CHAPTER  144
SENATE BILL No. 57
(Amended by Chapters 195 and 216)

TO     Sec. TO     Sec.
Abstracters' board of examiners 79
Accountancy, board of 80
Accounts and reports, director of 12
Adjutant general 48, 150
Administration, department of 10, 22, 62, 118
Aging, department on 29, 129
Agriculture, Kansas department of 44, 158
Animal health department, Kansas 159
Arts commission, Kansas 33, 134
Attorney general 106
Attorney general--Kansas bureau of
investigation 74, 154
Bank commissioner, state 13, 81
Barbering, Kansas board of 82
Behavioral sciences regulatory board 8, 49, 83
Blind, Kansas state school for the 57, 135
Citizens' utility ratepayer board 50, 117
Commerce and housing, department of 51, 63, 123
Conservation commission, state 45, 161
Corporation commission, state 116
Corrections, department of 11, 40, 59, 148
Corrections, ombudsman of 157
Cosmetology, Kansas state board of 3, 85
Credit unions, state department of 86
Deaf, Kansas state school for the 58, 136
Dental board, Kansas 87
Education, department of 31, 132
Emergency medical services board 155
Emporia state university 37, 67, 142
Fair board, state 55, 160
Fair, Kansas state 9
Fire marshal, state 42, 151
Fort Hays state university 34, 64, 138
Governmental ethics commission 98
Governor's department 17, 104
Guardianship program, Kansas 131
Healing arts, state board of 84
Health and environment, department of 28, 128
Health care stabilization fund board of governors 110
Hearing aids, Kansas board of examiners in
fitting and dispensing of 89
Highway patrol, Kansas 75, 153
Historical society, state 60, 137
Human resources, department of 4, 26, 72, 126
Human rights commission, Kansas 54, 115
Indigents' defense services, state board of 21, 112
Insurance department 20, 61, 109
Judicial branch 113
Judicial council 52, 111
Juvenile justice authority 41, 78, 149
Kansas, Inc. 124
Kansas state university 65, 139
Kansas state university extension systems and
agriculture research programs 35, 66, 140
Kansas state university veterinary medical
center 36, 141
Legislative coordinating council 101
Legislature 102
Library, state 32, 133
Lieutenant governor 18, 105
Lottery, Kansas 53, 121
Mortuary arts, state board of 88
Nursing, board of 14, 90
Ombudsman of corrections 157
Optometry, board of examiners in 7, 91
Parole board, Kansas 152
Pharmacy, state board of 15, 92
Pittsburg state university 38, 68, 143
Post audit, division of 103
Public employees retirement system, Kansas 114
Racing and gaming commission, Kansas 24, 122
Real estate appraisal board 16, 93
Real estate commission, Kansas 94
Regents, state board of 39, 77, 147
Retirement system, Kansas public employees 114
Revenue, department of 2, 6, 23, 120
Secretary of state 107
Securities commissioner of Kansas, office of the 95
Sentencing commission, Kansas 43, 156
Social and rehabilitation services,
department of 5, 30, 56, 130
Tax appeals, state board of 119
Technical professions, state board of 96
Technology enterprise corporation, Kansas 25, 125
Transportation, department of 164
Treasurer, state 19, 108
University of Kansas 69, 144
University of Kansas medical center 70, 145
Veterans affairs, Kansas commission on 27, 73, 127
Veterinary examiners, state board of 97
Water office, Kansas 46, 162
Wichita state university 71, 146
Wildlife and parks, department of 47, 76, 163

An Act making and concerning appropriations for the fiscal years ending June 30, 2001,
June 30, 2002, and June 30, 2003, for state agencies; authorizing certain transfers, capital
improvement projects and fees, imposing certain restrictions and limitations, and di-
recting or authorizing certain receipts, disbursements and acts incidental to the fore-
going; amending K.S.A. 2000 Supp. 79-2959, 79-2964, 79-3425i and 79-34,147 and re-
pealing the existing sections.

Be it enacted by the Legislature of the State of Kansas:

 Section 1. (a) For the fiscal years ending June 30, 2002, and June 30,
2003, appropriations are hereby made, restrictions and limitations are
hereby imposed, and transfers, capital improvement projects, fees, re-
ceipts, disbursements and acts incidental to the foregoing are hereby di-
rected or authorized as provided in this act.

 (b) The agencies named in this act are hereby authorized to initiate
and complete the capital improvement projects specified and authorized
by this act or for which appropriations are made by this act, subject to
the restrictions and limitations imposed by this act.

 (c) The appropriations made by this act shall not be subject to the
provisions of K.S.A. 46-155 and amendments thereto.

 (d) This act shall not be subject to the provisions of subsection (a) of
K.S.A. 75-6702 and amendments thereto.

 Sec. 2. The department of revenue is hereby authorized and directed
to pay the following amounts from the motor-vehicle fuel tax refund fund,
for claims not filed within the statutory filing period prescribed in K.S.A.
79-3458 and amendments thereto, to the following claimants:

Adams, Donnel Sr., 999 Hwy 75,
Yates Center, KS 66783
$32.34
Albright, Keith R., 1807 E 140th N,
Mulvane, KS 67110
$61.16
Andover USD 385,1432 N Andover Rd.,
Andover, KS 67002
$1,753.87
Ascher Farms, 6221 Barr Rd.,
Junction City, KS 66441
$94.80
Beckmann, Fred Inc., RR 1 Box 30,
Gaylord, KS 67638
$90.66
Bengston, Arvid or Marcia M., 862 14th Ave.,
McPherson, KS 67460
$21.00
Bergin, Wayne W., 1990 Limestone Rd.,
Clay Center, KS 67432
$321.89
Braun Bros-Melvin, John or Gerald, RR 2 Box 32,
Miltonvale, KS 67466
$234.74
Braun, Michael J., 4635 N Big Lowe Rd.,
Holcomb, KS 67851
$263.83
Brining, Richard C., RR 1 Box 79,
Great Bend, KS 67530
$372.60
Cheney, Glen E., RR 1 Box 63,
Sylvan Grove, KS 67481
$8.22
Circle J. Farms Inc., 151 NW 40 Ave.,
Great Bend, KS 67530
$21.00
Claassen, Dwight, 3003 E 1st,
Newton, KS 67114
$84.54
Cline, John A., RR 1 Box 675,
Havensville, KS 66432
$94.40
Construction Materials Inc., PO Box 465,
Spring Hill, KS 66083
$3,267.58
Dauner, John P., 485 West River Rd.,
Pratt, KS 67124
$96.20
Economic Opportunity Foundation, 1542 Minnesota Ave.,
Kansas City, KS 66102
$2,933.50
Economic Opportunity Foundation, 1542 Minnesota Ave.,
Kansas City, KS 66102
$1,480.03
Fast, Gregory A., 603 Idlewild Dr.,
Hutchinson, KS 67502
$178.20
Finley, Delbert D., 19722 SE Flinthill,
Latham, KS 67072
$189.00
Fullmer, Lamar, 4250 County Rd. C.,
Dighton, KS 67839
$66.00
Garten Bros. Inc., 2305 Fair Rd., Abilene, KS 67410 $252.56
Gray, Jerry, 9018 Morton Rd., Atchinson, KS 66002 $899.10
Haas, Lloyd K., Box 28, Lamont, KS 66855 $416.18
Hall Farms Inc., RT 1 Box 78B, Garfield, KS 67529 $1,206.54
Hall, James D., 13895 Spooncreek Rd.,
Olathe, KS 66061
$25.14
Herbel, Willis, Box 121, Tampa, KS 67483 $25.50
Herzog, Ted, 1905 W Dennis Ave.,
Olathe, KS 66061
$864.34
Hoskins, William, RR 1 Box 179, Centralia, KS 66415 $75.36
Housman, Eugene or Donna, PO Box 91,
Hanston, KS 67849
$32.70
Indian Hills Country Club, 6847 Tomohawk Rd.,
Mission Hills, KS 66208
$1,584.56
Johnson, Garry, 588 N Niles Rd., Salina, KS 67401 $84.00
Johnson, Leland, 706 N Palmer, Brookville, KS 67425 $572.80
Just, Harold, 731 E 240th, Hillsboro, KS 67063 $166.70
KAW Pipeline Company, PO Box 711,
Russell, KS 67665
$548.82
Keller, Danny, 2108 100th Ave., Ellis, KS 67637 $241.54
Koehn, Orville W., 2855 Overland Rd.,
Canton, KS 67428
$12.00
Kroemer, Lavern, RR 1, Seneca, KS 66538 $82.20
Kuntz, Michael J., 572 County Road #74,
Quinter, KS 67752
$399.98
Laidlaw Transit Inc., 200 SE 21st St.,
Topeka, KS 66612
$2,980.19
Lake Barton Golf Club, PO Box 666,
Great Bend, KS 67530
$220.97
Larson, George F., RR 1, Miltonvale, KS 67466 $484.06
Litch, Wayne E. or Robert, 2079 E K31,
Melvern, KS 66510
$17.40
McGee, Wallace, 33811 SE 300 Rd.,
Kincaid, KS 66039
$27.30
Miller, Paul, RR 2 Box 263, Alma, KS 66401 $105.96
Newcomer, Keith, 7621 N Hillside,
Valley Center, KS 67147
$267.30
Allen E. Nuss, 1324 NW 60th, Newton, KS 67114 $712.98
Pawnee Beefbuilders Inc., PO Box 134,
Larned, KS 67550
$137.70
PBX Inc., 800 Stevens Port Dr.,
Dakota Dunes, SD 57049
$74,198.34
Peterson Land & Cattle LLC., 624 Holliday,
Osage City, KS 66523
$165.24
Plante, Henry, 2055 AA Rd., Plainville, KS 67663 $28.38
Rausch, Francis, 27901 W 55th St. S, Viola, KS 67149 $447.61
Redeker, Francis J., 495 Road L., Olpe, KS 66865 $64.56
Regehr, Arthur H., 518 Cheyenne Rd.,
Inman, KS 67546
$437.89
Riley Co. Public Works, 2711 Anderson,
Manhattan, KS 66502
$226.98
Rissen, Lloyd, RR 2 Box 14A, Lyndon, KS 66451 $354.78
Sedgwick Co. Central Mtr. Pool, 1015 Stillwell,
Wichita, KS 67213
$3,630.06
James S. Shultejans, R.R. Box 110A,
Corning, KS 66417
$74.18
Shumate, Raymond H., 1891 Montana Rd.,
Ottawa, KS 66067
$21.00
Smith, John D., RR 1 Box 75, Pleasanton, KS 66075 $69.00
Solomon Electric Supply Co., PO Box 245,
Solomon, KS 67480
$2,514.11
Sramek, Ivan J., RT 2 Box 58, Atwood, KS 67730 $295.38
St. Joseph Truss Co. Inc., 2257 169th Rd.,
Wathena, KS 66090
$1,313.60
Steward, Mildred, 2329 28th Rd NE,
Waverly, KS 66871
$390.91
Tessendorf, Harold D., 13955 Arispie Rd.,
Onaga, KS 66521
$271.19
Total Turfcare Inc., 827 York, Salina, KS 67401 $738.77
USD 235, R.R. 1, Box 70, Uniontown, KS 66779 $1,856.80
USD 240 - Twin Valley, PO Box 38,
Bennington, KS 67422
$1,261.49
USD 262 - Valley Center Public School, PO Box 157, Valley Center, KS 67147 $19,299.40
USD 337 - Royal Valley, 101 W Main,
Mayetta, KS 66509
$534.01
USD 407, 802 Main, Russell, KS 67665 $15,010.00
USD 484 - Fredonia, PO Box 539,
Fredonia, KS 66736
$3,101.65
Walters, Charles L., PO Box 60,
Quenemo, KS 66528
$171.72
Wolters, Wilma Jean, 7316 N Wyandotte,
Kansas City, MO 64118
$125.00
Wildcat Concrete Serv. Inc., PO Box 750075,
Topeka, KS 66675
$359.10
Winterman, John T., 16780 Elm Slough Rd.,
Wamego, KS 66547
$55.20
Wulfemeyer, Ray, 21915 W Longview Rd.,
Abbyville, KS 67510
$205.52
Yenne, Raymond W., PO Box 365,
Smith Center, KS 66967
$763.18
Yingling Aircraft, PO Box 9248, Wichita, KS 67277 $2,779.00
 Sec. 3. The Kansas board of cosmetology is hereby authorized and
directed to pay the following amount from the cosmetology fee fund for
reimbursement for certain lost earnings and attorney fees incurred in
defending an alleged unlicensed practice of cosmetology complaint, to
the following claimants:

Debra Jennings, Wendolyn Moody, 346 Indiana, Lawrence, KS 66044, c/o David Brown, Attorney at Law, 1040 New Hampshire St., Lawrence, KS 66044 $4,521.50
 Sec. 4. The department of human resources is hereby authorized and
directed to pay the following amount from the employment security ad-
ministration fund for reimbursement of attorney fees incurred in con-
testing an agency ruling requiring claimant to pay certain employment
taxes, to the following claimant:

Jim Fouts, Discount Siding Supply, 2706 Plaza Ave., Hays, KS 67601, c/o John T. Bird and Todd R. Stramel, Attorneys at Law, 113 W. 13th St., Hays, KS 67601 $15,000.00
 Sec. 5. (a) The department of social and rehabilitation services is hereby
authorized and directed to pay from the state operations account of the
state general fund of the above agency the amount of $4,642.63, from
the disability determination services federal fund the amount of $696.85,
from the food stamp assistance federal fund the amount of $550.42, from
the foster care assistance federal fund the amount of $623.64, from the
medical assistance federal fund the amount of $849.82, from the reha-
bilitation services federal fund the sum of $530.81, from the child support
enforcement federal fund the amount of $3,264.62, from the child care
matching federal fund the amount of $686.39, and from the temporary
assistance for needy families federal fund the amount of $1,228.98, for
computer services rendered, an invoice for which was not presented in
the proper fiscal year, to the following claimant:

Unified Government of Wyandotte County, Legislative Auditor, 710 N. 7th St., Kansas City, KS 66101 $13,074.16
 (b) The department of social and rehabilitation services is hereby au-
thorized and directed to pay the following amount from the state oper-
ations account of the state general fund for medical services rendered,
an invoice for which was not presented in the proper fiscal year, to the
following claimant:

Olathe Medical Center, 20333 W. 151st St., Suite 302,
Olathe, KS 66061
$3,692.00
 (c) The department of social and rehabilitation services is hereby au-
thorized and directed to pay from the state operations account of the
state general fund of the above agency the amount of $15,371.48, from
the food stamp assistance federal fund the amount of $1,626.27, from the
foster care assistance federal fund the amount of $3,389.14, from the
medical assistance federal fund the amount of $3,135.44, from the re-
habilitation services federal fund the amount of $1,356.31, from the child
support enforcement federal fund the amount of $2,914.27, from the
child care matching federal fund the amount of $1,102.61, and from the
temporary assistance for needy families federal fund the amount of
$3,629.82, as reimbursement for expenses incurred in the bidding process
of a lease of a building, to the following claimant:

Cloman D. Weaver, The Real Estate Investment Co., P.O. Box 248, Osawatomie, KS 66044-0248, c/o John J. Federico, Federico Consulting, 815 SW Topeka Blvd, 2nd Floor, Topeka, KS 66612 $32,525.34
 (d) The department of social and rehabilitation services is hereby au-
thorized and directed to pay from the state operations account of the
state general fund of the above agency the amount of $1,631.07 and from
the rehabilitation services federal fund the amount of $4,668.93 for copier
services rendered, an invoice for which was not submitted in a timely
manner, to the following claimant:

Canon U.S.A., Inc., 2110 Washington Blvd., Suite 150,
Arlington, VA 22204-5799
$6,300.00
 (e) The department of social and rehabilitation services is hereby au-
thorized and directed to pay from the state operations account of the
state general fund of the above agency the amount of $2,198.89, from
the disability determination services federal fund the amount of $172.57,
from the food stamp assistance federal fund the amount of $216.55, from
the foster care assistance federal fund the amount of $461.14, from the
medical assistance federal fund the amount of $480.96, from the reha-
bilitation services federal fund the amount of $234.92, from the child
support enforcement federal fund the amount of $422.96, from the child
care matching federal fund the amount of $161.93, and from the tem-
porary assistance for needy families federal fund the amount of $483.87,
for copier services rendered, an invoice for which was not presented in
the proper fiscal year, to the following claimant:

Canon U.S.A., Inc., 2110 Washington Blvd. Suite 150,
Arlington, VA 22204-5799
$4,833.79
 (f) The department of social and rehabilitation services is hereby au-
thorized and directed to pay the following amount from the youth aid
and assistance account of the state general fund for reimbursement for
property damaged by foster children placed in claimants' home, to the
following claimants:

Steve and Susan Moore, 471 N. Mulberry,
Gardner, KS 66030
$5,000.00
 (g) The department of social and rehabilitation services is hereby au-
thorized and directed to pay from the vocational rehabilitation aid and
assistance account of the state general fund the amount of $46.86, and
from the rehabilitation services federal fund the amount of $173.14, for
dental services rendered, an invoice for which was not submitted in a
timely manner, to the following claimant:

Dr. Michael E. Webber, D.D.S., 4301 Huntoon, Suite 6,
Topeka, KS 66604
$220.00
 Sec. 6. The department of revenue is hereby authorized and directed
to pay the following amount from the motor carrier tax refund fund as a
refund of tax payments in excess of the amount due, to the following
claimant:

Clay Botrager, KTC, Inc., P.O. Box 1283, 2100 S. K-61 Hwy., Hutchinson, KS 67504-1283, c/o Jeffrey A. Weitharn, Coffman, DeFries, and Nothern, 534 S. Kansas Ave., Suite 925, Topeka, KS 66603-3407 $13,941.43
 Sec. 7. The board of examiners in optometry is hereby authorized and
directed to pay the following amount from the optometry fee fund for
legal services rendered, an invoice for which was not presented in the
proper fiscal year, to the following claimant:

Freiden, Haynes & Forbes, 555 S. Kansas Ave., Suite 303, Topeka, KS 66603 $6,711.21
 Sec. 8. The behavioral sciences regulatory board is hereby authorized
and directed to pay the following amount from the behavioral sciences
regulatory board fee fund for a Kansas savings incentive program salary
bonus payment to the following claimant:

Judy L. Parker, 3112 W. 29th St.,
Lawrence, KS 66047
$1,250.00
 Sec. 9. The Kansas state fair is hereby authorized and directed to pay
the following amount from the state fair fee fund as reimbursement for
out-of-pocket medical expenses resulting from personal injuries sustained
at the state fairgrounds, to the following claimant:

Linda M. Jantz, 715 S. Lincoln St.,
Hillsboro, KS 67063
$718.95
 Sec. 10. The department of administration is hereby authorized and
directed to pay the following amount from the department of adminis-
tration operations account of the state general fund for employer's con-
tributions which would have been made if claimant were allowed to par-
ticipate in the special deferred compensation program, to the following
claimant:

Gary M. Bothwell, 2100 Westridge Dr.,
Topeka, KS 66614
$10,365.45
 Sec. 11. (a) The department of corrections is hereby authorized and
directed to pay the following amount from the Topeka correctional facil-
ity--facilities operations account of the state general fund for loss of
claimant's personal property while in the care, custody and control of the
personnel at the Topeka correctional facility, to the following claimant:

Deione Smith, 210 N. 30th, Kansas City, KS 66102, c/o Rosie Quinn, Attorney at Law, 1951 N. 5th, Kansas City, KS 66101 $524.00
 (b) The department of corrections is hereby authorized and directed
to pay the following amount from the El Dorado correctional facility--
facilities operations account of the state general fund for personal injuries
sustained while claimant was in the care, custody and control of the El
Dorado correctional facility, to the following claimant:

Lester Thomas, P.O. Box 311, El Dorado, KS 67042 $500.00
 (c) The department of corrections is hereby authorized and directed
to pay the following amount from the Lansing correctional facility--fa-
cilities operations account of the state general fund as reimbursement for
lost wages following claimant's termination of employment by a private
industry employer, to the following claimant:

Vernon A. Allen, 1031 N. 6th, Atchison, KS 66002 $251.00
 (d) The department of corrections is hereby authorized and directed
to pay the following amount from the El Dorado correctional facility--
facilities operations account of the state general fund for reinstatement
of sick leave under a temporary amendment to personnel regulation
K.A.R. 1-9-14, requested documentation for which was processed in an
untimely manner, to the following claimant:

Robert J. Hedricks, 401 N. Emporia,
El Dorado, KS 67042
$1,775.00
 Sec. 12. (a) Except as otherwise provided by this act, the director of
accounts and reports is hereby authorized and directed to draw warrants
on the state treasurer in favor of the claimants specified in this act, upon
vouchers duly executed by the state agencies directed to pay the amounts
specified in such sections to the claimants or their legal representatives
or duly authorized agents, as provided by law.

 (b) The director of accounts and reports shall secure prior to the pay-
ment of any amount to any claimant, other than amounts authorized to
be paid pursuant to section 2 as motor-vehicle fuel tax refunds or as
transactions between state agencies as provided by this act, a written
release and satisfaction of all claims and rights against the state of Kansas
and any agencies, officers and employees of the state of Kansas regarding
their respective claims.

 Sec. 13.

STATE BANK COMMISSIONER
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 33(a) of chapter
183 of the 2000 Session Laws of Kansas on the bank commissioner fee
fund, as adjusted by the division of accounts and reports pursuant to
K.S.A. 2000 Supp. 75-1318, and amendments thereto, is hereby de-
creased from $4,576,982 to $4,516,656.

 Sec. 14.

BOARD OF NURSING
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 14(a) of chapter
132 of the 1999 Session Laws of Kansas on the board of nursing fee fund
is hereby increased from $1,087,944 to $1,206,194: Provided, That, of the
amount of additional expenditure authorized by the expenditure limita-
tion increase prescribed by this subsection, no portion of such increased
expenditure authority for fiscal year 2001 shall be the basis for any amount
being transferred into a Kansas savings incentive program account or
KSIP account under the Kansas savings incentive program pursuant to
section 23 of chapter 132 of the 1999 Session Laws of Kansas or any other
Kansas savings incentive program section in this or other appropriation
act of the 2001 regular session of the legislature.

 (b) On the effective date of this act, the position limitation established
for the fiscal year ending June 30, 2001, by section 22 of chapter 132 of
the 1999 Session Laws of Kansas for the board of nursing is hereby in-
creased from 16.5 to 22.0.

 Sec. 15.

STATE BOARD OF PHARMACY
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 38(b) of chapter 160 of the 1999 Session Laws of Kansas
on the state board of pharmacy fee fund is hereby decreased from
$525,228 to $511,658.

 Sec. 16.

REAL ESTATE APPRAISAL BOARD
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 17(a) of chapter
132 of the 1999 Session Laws of Kansas on the appraiser fee fund is
hereby increased from $197,953 to $236,177.

 Sec. 17.

GOVERNOR'S DEPARTMENT
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2001, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Special programs fund No limit
Provided, That expenditures may be made from the special programs
fund for operating expenditures for the governor's department, including
conferences and official hospitality: Provided further, That the governor
is hereby authorized to fix, charge and collect fees for such conferences:
And provided further, That fees for such conferences shall be fixed in
order to recover all or part of the operating expenses incurred for such
conferences, including official hospitality: And provided further, That all
fees received for such conferences and all fees received by the governor's
department under the open records act for providing access to or fur-
nishing copies of public records, shall be credited to this fund.

 Sec. 18.

LIEUTENANT GOVERNOR
 (a) On the effective date of this act, of the $125,537 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 6(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the operations account, the sum of $13,507 is hereby lapsed.

 Sec. 19.

STATE TREASURER
 (a) On the effective date of this act, of the $175,000 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 9(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the postsecondary education savings program account, the sum
of $59,505 is hereby lapsed.

 Sec. 20.

INSURANCE DEPARTMENT
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 30(b) of chapter 183 of the 2000 Session Laws of Kansas
on the insurance department service regulation fund is hereby decreased
from $6,951,327 to $6,782,199.

 (b) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 10(a) of chapter
130 of the 2000 Session Laws of Kansas on expenditures for official hos-
pitality from the insurance department service regulation fund is hereby
increased from $1,000 to $2,000.

 (c) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 10(a) of chapter
130 of the 2000 Session Laws of Kansas on expenditures for official hos-
pitality from the senior health insurance counseling for Kansans fund is
hereby increased from $1,000 to $2,000.

 Sec. 21.

STATE BOARD OF INDIGENTS' DEFENSE SERVICES
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures $750,000
 Sec. 22.

DEPARTMENT OF ADMINISTRATION
 (a) On the effective date of this act, of the $127,973 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 20(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the policy analysis initiatives account, the sum of $100,000 is
hereby lapsed.

 (b) In addition to the other purposes for which expenditures may be
made by the department of administration from the moneys appropriated
from the state general fund or from any special revenue fund for fiscal
year 2001 or for fiscal year 2002 as authorized by chapter 130 or chapter
183 of the 2000 Session Laws of Kansas or by this or other appropriation
act of the 2001 regular session of the legislature, expenditures shall be
made by the department of administration from moneys appropriated
from the state general fund or from any special revenue fund for fiscal
year 2001 or fiscal year 2002 to provide for the issuance of bonds by the
Kansas development finance authority in accordance with K.S.A. 74-8905
and amendments thereto to finance grants for capital improvement pro-
jects and equipment acquisition for the conversion of public television
stations to digital broadcasting: Provided, That such grants for capital
improvement projects and equipment acquisition are hereby approved
for the department of administration for the purposes of subsection (b)
of K.S.A. 74-8905 and amendments thereto and the authorization of the
issuance of bonds by the Kansas development finance authority in ac-
cordance with that statute: Provided further, That the department of ad-
ministration may make expenditures from the moneys received from the
issuance of any such bonds for grants for capital improvement projects
and equipment acquisition for the conversion of public television stations
to digital broadcasting: Provided, however, That expenditures from the
moneys received from the issuance of any such bonds for such capital
improvement projects and equipment acquisition shall not exceed
$6,000,000, plus all amounts required for costs of bond issuance, costs of
interest on the bonds issued for such capital improvement projects and
equipment acquisition during the construction of such projects and ac-
quisitions and any required reserves for the payment of principal and
interest on the bonds: And provided further, That all moneys received
from the issuance of any such bonds shall be deposited and accounted
for as prescribed by applicable bond covenants: And provided further,
That debt service for any such bonds for grants for capital improvement
projects and equipment acquisition for the conversion of public television
stations to digital broadcasting shall be financed by appropriations from
the state general fund or any appropriate special revenue fund or funds.

 Sec. 23.

DEPARTMENT OF REVENUE
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures $50,000
 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 4(c) of chapter 183 of the 2000 Session Laws of Kansas
on the division of vehicles operating fund is hereby decreased from
$30,613,887 to $30,456,224.

 (c) On the effective date of this act, the expenditure limitation estab-
lished by section 22(b) of chapter 130 of the 2000 Session Laws of Kansas
on the electronic databases fee fund is hereby increased from $3,484,500
to $3,654,500.

 (d) On the effective date of this act, the expenditure limitation estab-
lished by section 22(b) of chapter 130 of the 2000 Session Laws of Kansas
on the state bingo regulation fund is hereby decreased from $342,964 to
$316,622.

 Sec. 24.

KANSAS RACING AND GAMING COMMISSION
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 15(d) of chapter 183 of the 2000 Session Laws of Kansas
on the state racing fund is hereby decreased from $3,813,653 to
$3,430,729.

 Sec. 25.

KANSAS TECHNOLOGY ENTERPRISE CORPORATION
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 11(a) of chapter 183 of the 2000 Session Laws of Kansas
on the economic development research and development fund is hereby
decreased from $13,088,590 to $13,086,065.

 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 11(b) of chapter 183 of the 2000 Session Laws of Kansas
on the operations, assistance and grants (including official hospitality)
account of the economic development research and development fund is
hereby decreased from $13,088,590 to $13,086,065.

 Sec. 26.

DEPARTMENT OF HUMAN RESOURCES
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 29(b) of chapter 130 of the 2000 Session Laws of Kansas
on the occupational health and safety--federal fund is hereby increased
from $462,064 to $581,421.

 Sec. 27.

KANSAS COMMISSION ON VETERANS AFFAIRS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operations--state veterans cemeteries $5,225
Operating expenditures--Kansas soldiers' home $624,528
 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 30(b) of chapter 130 of the 2000 Session Laws of Kansas
on the soldiers' home fee fund is hereby decreased from $4,323,386 to
$3,544,000.

 (c) On the effective date of this act, the position limitation established
for the fiscal year ending June 30, 2001, by section 69(a) of chapter 130
of the 2000 Session Laws of Kansas for the Kansas commission on vet-
erans affairs is hereby increased from 454.8 to 457.8.

 Sec. 28.

DEPARTMENT OF HEALTH AND ENVIRONMENT
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

AIDS medications $400,000
Provided, That expenditures made from the AIDS medications account
shall be used to maximize federal dollars for AIDS drug purchases.

 (b) On the effective date of this act, of the $674,898 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 31(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the vaccine purchases account, the sum of $1,618 is hereby lapsed.

 (c) On the effective date of this act, of the $350,000 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 31(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the immunization programs account, the sum of $2,470 is hereby
lapsed.

 (d) On the effective date of this act, of the $890,955 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 31(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the match for title XIX for nursing home inspections account, the
sum of $98,745 is hereby lapsed.

 (e) On the effective date of this act, of the $5,026,596 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 31(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the aid to local units account, the sum of $4,754 is hereby lapsed.

 (f) On the effective date of this act, of the $1,520,840 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 31(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the aid to local units--primary health projects account, the sum
of $178 is hereby lapsed.

 (g) On the effective date of this act, of the $19,936,321 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
31(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the operating expenditures (including official hospitality)
account, the sum of $140,206 is hereby lapsed.

 (h) On the effective date of this act, the expenditure limitation estab-
lished by section 63(c) of chapter 183 of the 2000 Session Laws of Kansas
on the water plan special revenue fund is hereby decreased from
$4,137,270 to $4,136,452.

 (i) In addition to the other purposes for which expenditures may be
made by the department of health and environment from the trauma fund
for fiscal year 2001 as authorized by section 31(b) of chapter 130 of the
2000 Session Laws of Kansas, expenditures may be made by the above
agency from the trauma fund for fiscal year 2001 pursuant to contracts,
subject to the provisions of the following provisos, for programs that pro-
vide services for women which enable them to carry their pregnancies to
term, which are hereby authorized and directed to be entered into by the
secretary of health and environment with the same not-for-profit organ-
izations that the secretary of health and environment entered into con-
tracts with pursuant to section 30(h) of chapter 160 of the 1999 Session
Laws of Kansas for fiscal year 2000: Provided, That such contracted serv-
ices may include an array of social services relating to pregnancy main-
tenance and that no individuals who are unable to pay shall be denied the
delivery or provision of pregnancy maintenance services: Provided fur-
ther, That no contract or contracts under pregnancy maintenance pro-
grams shall be entered into with any group performing, promoting, re-
ferring for or educating in favor of abortion: And provided further, That
a not-for-profit organization awarded a contract under this proviso shall
match state moneys under this contract on the basis of a 50% match from
a not-for-profit organization and a 50% match from the department of
health and environment: And provided further, That the secretary of
health and environment shall submit a report to the legislature at the
beginning of the regular session of the legislature in 2002 on the results
and outcomes of such pregnancy maintenance programs: And provided
further, That no part of the grant moneys shall be used for any political
purposes: And provided further, That expenditures for such purpose from
the trauma fund for fiscal year 2001 shall not exceed $168,750.

 (j) On the effective date of this act, the expenditure limitation estab-
lished by section 31(a) of chapter 130 of the 2000 Session Laws of Kansas
on expenditures for programs that provide services for women which
enable them to carry their pregnancies to term from the operating ex-
penditures (including official hospitality) account of the state general fund
is hereby decreased from $225,000 to $56,250.

 Sec. 29.

DEPARTMENT ON AGING
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 21(b) of chapter
183 of the 2000 Session Laws of Kansas on the long-term care loan and
grant fund is hereby decreased from $11,000,000 to $9,000,000.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2001, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

HCBS programs fund--department on aging $0
 (c) On and after the effective date of this act during fiscal year ending
June 30, 2001, at the point during fiscal year 2001 that an aggregate
amount of $15,300,000 has been transferred from the intergovernmental
transfer fund to the state medicaid match fund--SRS pursuant to sub-
section (f)(1) of K.S.A. 2000 Supp. 75-4265 and amendments thereto,
then the director of accounts and reports shall not transfer any more
moneys from the intergovernmental transfer fund to the state medicaid
match fund--SRS of the department of social and rehabilitation services
during fiscal year 2001 and all additional moneys that otherwise would
have been transferred from the intergovernmental transfer fund to the
state medicaid match fund--SRS during fiscal year 2001 shall be trans-
ferred from the intergovernmental transfer fund to the state medicaid
match fund--department on aging.

 (d) On and after the effective date of this act during fiscal year ending
June 30, 2001, at the point during fiscal year 2001 that an aggregate
amount of $5,000,000 has been transferred from the intergovernmental
transfer fund to the HCBS programs fund of the department of social
and rehabilitation services pursuant to subsection (f)(1) of K.S.A. 2000
Supp. 75-4265 and amendments thereto, then the director of accounts
and reports shall not transfer any more moneys from the intergovern-
mental transfer fund to the HCBS programs fund of the department of
social and rehabilitation services during fiscal year 2001 and all additional
moneys that otherwise would have been transferred from the intergov-
ernmental transfer fund to the HCBS programs fund of the department
of social and rehabilitation services during fiscal year 2001 shall be trans-
ferred from the intergovernmental transfer fund to the HCBS programs
fund--department on aging, which is hereby created in the state treasury.

 Sec. 30.

DEPARTMENT OF SOCIAL AND REHABILITATION SERVICES
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Community based services $4,384,242
Other medical assistance $7,221,115
Youth services aid and assistance $16,536,630
Cash assistance $618,033
Osawatomie state hospital--operating expenditures $781,120
 (b) On the effective date of this act, of the $91,704,036 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
33(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the state operations account, the sum of $6,419,303 is
hereby lapsed.

 (c) On the effective date of this act, of the $1,446,973 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 33(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the sex predator program account, the sum of $215,051 is hereby
lapsed.

 (d) On the effective date of this act, of the $2,867,559 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 20(a)
of chapter 183 of the 2000 Session Laws of Kansas from the state general
fund in the mental health and retardation services aid and assistance ac-
count, the sum of $157,710 is hereby lapsed.

 (e) On the effective date of this act, of the $3,692,346 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 33(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the vocational rehabilitation aid and assistance account, the sum
of $338,180 is hereby lapsed.

 (f) On the effective date of this act, of the $10,100,000 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
33(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the children's health insurance account, the sum of
$719,721 is hereby lapsed.

 (g) On the effective date of this act, of the $3,732,885 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 33(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the alcohol and drug abuse services grants account, the sum of
$197,497 is hereby lapsed.

 (h) On the effective date of this act, the expenditure limitation estab-
lished by section 33(b) of chapter 130 of the 2000 Session Laws of Kansas
on the title XIX fund is hereby decreased from $59,538,641 to
$59,064,824.

 (i) On the effective date of this act, the expenditure limitation estab-
lished by section 20(i) of chapter 183 of the 2000 Session Laws of Kansas
on the social welfare fund is hereby increased from $55,353,137 to
$61,448,082.

 (j) On the effective date of this act, the expenditure limitation estab-
lished by section 20(h) of chapter 183 of the 2000 Session Laws of Kansas
on the HCBS programs fund is hereby decreased from $6,000,000 to
$5,000,000.

 (k) On the effective date of this act, of the $10,565,622 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
33(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the Larned state hospital--operating expenditures ac-
count, the sum of $345,048 is hereby lapsed.

 (l) On the effective date of this act, of the $6,558,547 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 33(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the Parsons state hospital and training center--operating ex-
penditures account, the sum of $215,559 is hereby lapsed.

 (m) On the effective date of this act, of the $8,517,075 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
33(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the Kansas neurological institute--operating expenditures
account, the sum of $2,030 is hereby lapsed.

 (n) On the effective date of this act, of the $1,333,972 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 33(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the Rainbow mental health facility--operating expenditures ac-
count, the sum of $218,333 is hereby lapsed.

 (o) On the effective date of this act, the expenditure limitation estab-
lished by section 33(b) of chapter 130 of the 2000 Session Laws of Kansas
on the Kansas neurological institute fee fund is hereby increased from
$900,063 to $1,039,837.

 (p) On the effective date of this act, the expenditure limitation estab-
lished by section 20(y) of chapter 183 of the 2000 Session Laws of Kansas
on the Larned state hospital fee fund is hereby increased from $3,224,006
to $4,115,744.

 (q) On the effective date of this act, the expenditure limitation estab-
lished by section 20(z) of chapter 183 of the 2000 Session Laws of Kansas
on the Osawatomie state hospital fee fund is hereby decreased from
$5,534,639 to $4,836,124.

 (r) On the effective date of this act, the expenditure limitation estab-
lished by section 20(aa) of chapter 183 of the 2000 Session Laws of Kansas
on the Parsons state hospital and training center fee fund is hereby in-
creased from $734,711 to $1,061,799.

 (s) On the effective date of this act, the expenditure limitation estab-
lished by section 33(b) of chapter 130 of the 2000 Session Laws of Kansas
on the Rainbow mental health facility fee fund is hereby increased from
$879,700 to $1,069,080.

 (t) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 33(b) of chapter
130 of the 2000 Session Laws of Kansas on the alcohol and drug abuse
block grant federal fund is hereby increased from $10,978,786 to
$11,186,173.

 (u) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 33(b) of chapter
130 of the 2000 Session Laws of Kansas on the child welfare services
block grant federal fund is hereby decreased from $6,496,560 to
$6,313,397.

 (v) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 33(b) of chapter
130 of the 2000 Session Laws of Kansas on the social services block
grant--federal fund is hereby decreased from $28,351,705 to
$26,745,582.

 (w) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 33(b) of chapter
130 of the 2000 Session Laws of Kansas on the mental health block grant
federal fund is hereby increased from $2,370,291 to $2,762,568.

 (x) During the fiscal year ending June 30, 2001, of the amounts budg-
eted but not expended for the regular medical program from the other
medical assistance account of the state general fund, the amounts budg-
eted but not expended for the mental health and retardation services aid
account of the state general fund, and assistance program from the mental
health and retardation services aid and assistance and the amounts budg-
eted for the regular medical program but not expended from the social
welfare fund, an aggregate of $870,000 from such accounts and such fund
shall not be expended for other programs or purposes during fiscal year
2001 and shall be expended by the above agency during fiscal year 2002
for implementation of the medicaid buy-in program for individuals with
disabilities.

 Sec. 31.

DEPARTMENT OF EDUCATION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures (including official hospitality) $35,000
Supplemental general state aid $2,438,893
Grant to Kansas cultural heritage and arts center,
Dodge City, Kansas
$30,000
 Sec. 32.

STATE LIBRARY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures $14,116
 Sec. 33.

KANSAS ARTS COMMISSION
 (a) On the effective date of this act, of the $1,199,340 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 37(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the arts programming grants and challenge grants account, the
sum of $16,615 is hereby lapsed.

 Sec. 34.

FORT HAYS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures (including official hospitality) $99,860
 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 41(b) of chapter 130 of the 2000 Session Laws of Kansas
on the general fees fund is hereby decreased from $8,760,045 to
$8,660,185.

 Sec. 35.

KANSAS STATE UNIVERSITY EXTENSION SYSTEMS
AND AGRICULTURE RESEARCH PROGRAMS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Cooperative extension service (including official hospitality) $103,931
Agricultural experiment stations (including official hospitality) $225,784
 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 43(b) of chapter 130 of the 2000 Session Laws of Kansas
on the federal extension fund is hereby decreased from $4,703,061 to
$4,599,130.

 (c) On the effective date of this act, the expenditure limitation estab-
lished by section 43(b) of chapter 130 of the 2000 Session Laws of Kansas
on the federal experimental station fund is hereby decreased from
$3,611,930 to $3,386,146.

 Sec. 36.

KANSAS STATE UNIVERSITY
VETERINARY MEDICAL CENTER
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 44(b) of chapter 130 of the 2000 Session Laws of Kansas
on the hospital and diagnostic laboratory revenue fund is hereby increased
from $1,862,905 to $1,999,634.

 Sec. 37.

EMPORIA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund the following:

Operating expenditures (including official hospitality) $5,214
 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 6(c) of chapter 183 of the 2000 Session Laws of Kansas
on the general fees fund is hereby decreased from $8,888,734 to
$8,883,520.

 Sec. 38.

PITTSBURG STATE UNIVERSITY
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 8(c) of chapter 183 of the 2000 Session Laws of Kansas
on the general fees fund is hereby increased from $11,048,357 to
$11,064,313.

 (b) On the effective date of this act, of the $31,750,938 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
46(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the operating expenditures (including official hospitality)
account, the sum of $15,956 is hereby lapsed.

 (c) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2001, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Energy conservation projects fund No limit
 Sec. 39.

STATE BOARD OF REGENTS
 (a) On the effective date of this act, of the $500,000 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 50(a)
of chapter 130 of the 2000 Session Laws of Kansas from the state general
fund in the vocational educational capital outlay aid account, the sum of
$500,000 is hereby lapsed.

 (b) In addition to the other purposes for which expenditures may be
made by the state board of regents from the financial aid services fee
fund for fiscal year 2001 as authorized by section 50(b) of chapter 130 of
the 2000 Session Laws of Kansas, expenditures may be made from the
financial aid services fee fund for operating expenditures directly or in-
directly related to the operating costs associated with student financial
assistance programs administered by the state board of regents: Provided
further, That the executive officer of the state board of regents is hereby
authorized to fix, charge and collect fees for the processing of applications
for student financial assistance under programs administered by the state
board of regents: And provided further, That such fees shall be fixed in
order to recover all or a part of the direct and indirect operating expenses
incurred for administering such programs: And provided further, That all
moneys received for such fees shall be deposited in the state treasury and
credited to this fund.

 Sec. 40.

DEPARTMENT OF CORRECTIONS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Local jail payments $1,000,000
Hutchinson correctional facility--facilities operations $123,484
Lansing correctional facility--facilities operations $123,483
El Dorado correctional facility--facilities operations $123,483
Larned correctional mental health facility--facilities operations $7,689
 (b) On the effective date of this act, the $253,086 appropriated for the
above agency for the fiscal year ending June 30, 2001, by section 13(a) of
chapter 182 of the 2000 Session Laws of Kansas from the state general
fund in the El Dorado correctional facility--RDU housing account, is
hereby lapsed.

 (c) On the effective date of this act, of the $190,000 appropriated for
the above agency for the fiscal year ending June 30, 2001, by section 13(a)
of chapter 182 of the 2000 Session Laws of Kansas from the state general
fund in the day reporting center state match account, the sum of $94,691
is hereby lapsed.

 Sec. 41.

JUVENILE JUSTICE AUTHORITY
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 52(b) of chapter 130 of the 2000 Session Laws of Kansas
on the juvenile detention facilities fund is hereby decreased from
$3,985,258 to $3,385,258.

 (b) On the effective date of this act, the position limitation established
by section 69(a) of chapter 130 of the 2000 Session Laws of Kansas for
the juvenile justice authority is hereby increased from 612.0 to 614.0.

 (c) In addition to the other purposes for which expenditures may be
made by the juvenile justice authority from the juvenile detention facili-
ties fund for fiscal year 2001, notwithstanding the provisions of K.S.A. 79-
4803 and amendments thereto, the juvenile justice authority is hereby
authorized and directed to make expenditures from the juvenile detention
facilities fund for fiscal year 2001 for juvenile intake and assessment:
Provided, That expenditures from the juvenile detention facilities fund
for fiscal year 2001 for juvenile intake and assessment shall not exceed
$1,000,000: Provided further, That all expenditures for such purpose shall
be in addition to any expenditure limitation imposed on the juvenile de-
tention facilities fund for fiscal year 2001.

 (d) On the effective date of this act, of the $34,385,360 appropriated
for the above agency for the fiscal year ending June 30, 2001, by section
52(a) of chapter 130 of the 2000 Session Laws of Kansas from the state
general fund in the operating expenditures account, the sum of $1,300 is
hereby lapsed.

 (e) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Atchison juvenile correctional facility operations $1,300
 Sec. 42.

STATE FIRE MARSHAL
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 27(a) of chapter
183 of the 2000 Session Laws of Kansas on the fire marshal fee fund is
hereby increased from $2,736,071 to $2,837,262.

 Sec. 43.

KANSAS SENTENCING COMMISSION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures $8,598
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2001, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Sentencing commission forfeiture fund No limit
 Sec. 44.

KANSAS DEPARTMENT OF AGRICULTURE
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 38(f) of chapter 183 of the 2000 Session Laws of Kansas
on the warehouse fee fund is hereby decreased from $618,169 to
$555,407.

 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 38(d) of chapter 183 of the 2000 Session Laws of Kansas
on the fertilizer fee fund is hereby increased from $427,765 to $543,830.

 (c) On the effective date of this act, the expenditure limitation estab-
lished by section 61(b) of chapter 130 of the 2000 Session Laws of Kansas
on the water appropriation certification fund is hereby increased from
$266,282 to $330,018.

 (d) On the effective date of this act, the expenditure limitation estab-
lished by section 61(b) of chapter 130 of the 2000 Session Laws of Kansas
on the egg fee fund is hereby increased from $62,419 to $83,325.

 (e) On the effective date of this act, the expenditure limitation estab-
lished by section 61(b) of chapter 130 of the 2000 Session Laws of Kansas
on the water plan special revenue fund is hereby increased from
$1,031,935 to $1,033,789.

 (f) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 61(b) of chapter
130 of the 2000 Session Laws of Kansas on the feeding stuffs fee fund is
hereby increased from $491,867 to $541,867.



 Sec. 45.

STATE CONSERVATION COMMISSION
 (a) On the effective date of this act, of the $1,714 appropriated for the
above agency for the fiscal year ending June 30, 2001, by section 42(a) of
chapter 183 of the 2000 Session Laws of Kansas from the state general
fund in the operating expenditures account, the sum of $521 is hereby
lapsed.

 Sec. 46.

KANSAS WATER OFFICE
 (a) On the effective date of this act, the expenditure limitation estab-
lished by section 66(b) of chapter 130 of the 2000 Session Laws of Kansas
on the water supply storage assurance fund is hereby increased from $0
to No limit: Provided, That any moneys deposited to the credit of the
water supply storage assurance fund which are received from a water
assurance district shall be credited to a separate subaccount: Provided
further, That moneys in such subaccounts may be transferred to the water
marketing fund for (1) payment to the federal government of annual
capital costs of water supply storage in federal reservoirs under the water
assurance program act, (2) payment and reimbursement to the water
marketing fund for water supply storage space previously paid for with
revenue from the water marketing fund, if such storage space has been
transferred to the water assurance program, (3) payment to the federal
government of annual operation, maintenance and repair costs associated
with the water supply storage space dedicated for the use of water assur-
ance districts, and (4) payment and reimbursement to the water market-
ing fund and the state general fund for costs incurred by the state for the
administration and enforcement of applicable state laws governing the
operations and management of the water assurance program as provided
in contracts with water assurance districts.

 (b) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 66(b) of chapter
130 of the 2000 Session Laws of Kansas on the state water plan fund is
hereby increased from $2,826,474 to $2,834,974.

 Sec. 47.

DEPARTMENT OF WILDLIFE AND PARKS
 (a) On the effective date of this act, the position limitation established
by section 69(a) of chapter 130 of the 2000 Session Laws of Kansas for
the department of wildlife and parks is hereby increased from 394.5 to
397.5.

 (b) On the effective date of this act, the expenditure limitation estab-
lished by section 68(b) of chapter 183 of the 2000 Session Laws of Kansas
on the wildlife fee fund is hereby increased from $21,801,503 to
$22,048,056.

 Sec. 48.

ADJUTANT GENERAL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Additional operating expenditures $25,000
Provided, That expenditures may be made from the additional operating
expenditures account only upon approval by the state finance council
acting after receiving certification from the adjutant general that moneys
have been received from the federal government to match such expend-
itures and acting on this matter which is hereby characterized as a matter
of legislative delegation and subject to the guidelines prescribed in sub-
section (c) of K.S.A. 75-3711c and amendments thereto, except that such
approval also may be given while the legislature is in session.

 Sec. 49.

BEHAVIORAL SCIENCES REGULATORY BOARD
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 74(a) of chapter
130 of the 2000 Session Laws of Kansas on the behavioral sciences reg-
ulatory board fee fund is hereby increased from $425,141 to $425,791.

 Sec. 50.

CITIZENS' UTILITY RATEPAYER BOARD
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 28(a) of chapter
183 of the 2000 Session Laws of Kansas on the utility regulatory fee fund
is hereby increased from $471,003 to $546,469: Provided, That, of the
amount of additional expenditures authorized by the expenditure limi-
tation increase prescribed by this subsection, no portion of such increased
expenditure authority for fiscal year 2001 shall be the basis for any amount
being transferred into a Kansas savings incentive program account or
KSIP account under the Kansas savings incentive program pursuant to
section 70 of chapter 130 of the 2000 Session Laws of Kansas or any other
Kansas savings incentive program section in this or other appropriation
act of the 2001 regular session of the legislature: Provided, however, That,
if the total amount of additional expenditures authorized by the expend-
iture limitation increase prescribed by this section are not expended or
encumbered for fiscal year 2001, then an amount equal to the amount of
such increased expenditure authority for fiscal year 2001 remaining may
be expended from the utility regulatory fee fund for fiscal year 2002
pursuant to contracts for professional services and any such expenditures
for fiscal year 2002 shall be in addition to any expenditure limitation
imposed on the utility regulatory fee fund for the fiscal year ending June
30, 2002.

 Sec. 51.

DEPARTMENT OF COMMERCE AND HOUSING
 (a) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 12(a) of chapter
183 of the 2000 Session Laws of Kansas on the Kansas economic devel-
opment endowment account of the state economic development initia-
tives fund is hereby decreased from $16,578,179 to $16,552,337.

 (b) On the effective date of this act, the expenditure limitation estab-
lished for the fiscal year ending June 30, 2001, by section 12(d) of chapter
183 of the 2000 Session Laws of Kansas on the state operations (including
official hospitality) subaccount of the Kansas economic development en-
dowment account of the state economic development initiatives fund is
hereby decreased from $9,184,779 to $9,158,937.

 Sec. 52.

JUDICIAL COUNCIL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures $5,000
 Sec. 53.

KANSAS LOTTERY
 (a) The executive director of the Kansas lottery is hereby directed to
provide written notification to the chairpersons of the house appropria-
tions committee and senate ways and means committee, the president of
the senate, the speaker of the house of representatives, the minority lead-
ers of the house of representatives and the senate and to the director of
the Kansas legislative research department whenever there is a change in
the state or corporate management staff of the vendor with which the
lottery contracts for online games and services.

 Sec. 54.

KANSAS HUMAN RIGHTS COMMISSION
 (a) During the fiscal year ending June 30, 2001, of the moneys appro-
priated from the state general fund by section 17(a) of chapter 130 of the
2000 Session Laws of Kansas in the operating expenditures account an
amount equal to $15,595 shall remain unexpended, unencumbered and
available for reappropriation in the operating expenditures account for
the Kansas human rights commission for fiscal year 2002, in addition to
any other moneys that remain unexpended, unencumbered and available
for reappropriation in the operating expenditures account, and such
amount of $15,595 shall not be transferred into a Kansas savings incentive
program account or KSIP account under the Kansas savings incentive
program pursuant to section 70 of chapter 130 of the 2000 Session Laws
of Kansas or any other Kansas savings incentive program section in this
or other appropriation act of the 2001 regular session of the legislature.

 Sec. 55.

STATE FAIR BOARD
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

State fair capital improvements fund No limit
SBSF--encampment building renovation fund No limit
 (b) On or before the 10th of each month during the fiscal year ending
June 30, 2002, the director of accounts and reports shall transfer from
the state general fund to the state fair capital improvements fund interest
earnings based on: (1) The average daily balance of moneys in the state
fair capital improvements fund for the preceding month; and (2) the net
earnings rate for the pooled money investment portfolio for the preceding
month.

 (c) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--capital improvements fund of the state fair
board, to the state economic development initiatives fund. On July 1,
2001, all liabilities of the EDIF--capital improvements fund of the state
fair board, including any outstanding encumbrances, are hereby trans-
ferred to and imposed on the state economic development initiatives fund
and the EDIF--capital improvements fund of the state fair board is
hereby abolished.

 Sec. 56.

DEPARTMENT OF SOCIAL AND
REHABILITATION SERVICES
 (a) There is appropriated for the above agency from the state institu-
tions building fund for the fiscal year ending June 30, 2002, for the capital
improvement project or projects specified as follows:

Rehabilitation and repair projects $3,996,950
Provided, That the secretary of social and rehabilitation services is hereby
authorized to transfer moneys during fiscal year 2002 from the rehabili-
tation and repair projects account to a rehabilitation and repair account
for any institution, as defined by K.S.A. 76-12a01 or 76-12a18 and amend-
ments thereto, for projects approved by the secretary of social and re-
habilitation services: Provided further, That expenditures also may be
made from this account during fiscal year 2002 for the purposes of re-
habilitation and repair for facilities of the department of social and re-
habilitation services other than any institution, as defined by K.S.A. 76-
12a01 or 76-12a18 and amendments thereto.

Sex predator capacity expansion $1,100,000
State security hospital $2,600,000
 (b) In addition to the purposes for which expenditures may be made
by the above agency from the other state fees fund for fiscal year 2002,
expenditures may be made by the above agency from the other state fees
fund for fiscal year 2002 for the following capital improvement project or
projects, subject to the expenditure limitations prescribed therefor:

Area office rehabilitation and repair $166,000
Provided, That expenditures from the area office rehabilitation and repair
account shall be in addition to any expenditure limitation imposed on the
other state fees fund for fiscal year 2002.

 (c) On the effective date of this act, any unencumbered balance in each
of the following accounts of the state institutions building fund is hereby
lapsed: Sex predator contingency fund.

 Sec. 57.

KANSAS STATE SCHOOL FOR THE BLIND
 (a) There is appropriated for the above agency from the state institu-
tions building fund for the fiscal year ending June 30, 2002, for the capital
improvement project or projects specified as follows:

Rehabilitation and repair projects $59,435
 Sec. 58.

KANSAS STATE SCHOOL FOR THE DEAF
 (a) There is appropriated for the above agency from the state institu-
tions building fund for the fiscal year or years specified, for the capital
improvement project or projects specified, the following:

Rehabilitation and repair projects

For the fiscal year ending June 30, 2001 $35,500
For the fiscal year ending June 30, 2002 $146,532
Roof replacement, Foltz gymnasium

For the fiscal year ending June 30, 2002 $75,705
Air conditioning, auditorium

For the fiscal year ending June 30, 2002 $55,942
Pool repair

For the fiscal year ending June 30, 2002 $58,718
Dorm renovation

For the fiscal year ending June 30, 2002 $384,686
 Sec. 59.

DEPARTMENT OF CORRECTIONS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, for the capital improvement
project or projects specified as follows:

Debt service payment for the revenue refunding bond issue $4,443,000
Debt service payment for the Wichita work release facility bond issue $166,000
Debt service payment for the Ellsworth correctional facility at Ellsworth, Kansas $1,070,000
Debt service payment for the reception and diagnostic unit relocation bond issue $1,329,000
Debt service payment for the Topeka and Lansing correctional facility bond issue $934,000
 (b) There is appropriated for the above agency from the correctional
institutions building fund for the fiscal year ending June 30, 2002, for the
capital improvement project or projects specified as follows:

Debt service payment for the revenue refunding bond issues $1,542,472
Capital improvements--rehabilitation, remodeling, renovation and repair of correctional institutions $4,001,809
Provided, That the secretary of corrections is hereby authorized to trans-
fer moneys during fiscal year 2002 from the capital improvements--re-
habilitation, remodeling, renovation and repair of correctional institutions
account of the correctional institutions building fund to an account or
accounts of the correctional institutions building fund of any institution
or facility under the jurisdiction of the secretary of corrections to be
expended during fiscal year 2002 by the institution or facility for capital
improvement projects.

 (c) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Lease revenue bond issue--principal and interest fund--H bonds No limit
Lease revenue bond issue--principal and interest fund--J bonds No limit
Revenue refunding bond issue--principal and interest fund--L bonds No limit
Reception and diagnostic unit replacement project revenue fund No limit
 (d) On the effective date of this act, any unencumbered balance in each
of the following accounts of the correctional institutions building fund is
hereby lapsed: Construction of 32-bed unit at Hutchinson correctional
facility south unit; partial construction of Norton correctional facility 200-
bed unit.

 (e) On July 1, 2001, the director of accounts and reports shall transfer
$1,285,000 from the construction defects recovery fund of the depart-
ment of administration to the lease revenue bond issue--principal and
interest fund--J bonds fund of the department of corrections.

 (f) On July 1, 2001, the director of accounts and reports shall transfer
$500,000 from the construction defects recovery fund of the department
of administration to the revenue refunding bond issue--principal and
interest fund--L bonds fund of the department of corrections.

 (g) In addition to the other purposes for which expenditures may be
made by the department of corrections from the correctional industries
fund for fiscal year 2002 as authorized by this or other appropriation act
of the 2001 regular session of the legislature, expenditures may be made
by the department of corrections for the construction of an industries
building and warehouse at Topeka correctional facility: Provided, That
expenditures for such purpose from the correctional industries fund for
fiscal year 2002 shall not exceed $527,000: Provided, however, That no
expenditures shall be made from the correctional industries fund for the
construction of an industries building and warehouse at Topeka correc-
tional facility except upon approval of the state finance council acting on
this matter which is hereby characterized as a matter of legislative dele-
gation and subject to the guidelines prescribed in subsection (c) of K.S.A.
75-3711c and amendments thereto and acting after receiving the rec-
ommendations of the joint committee on state building construction.

 Sec. 60.

STATE HISTORICAL SOCIETY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Rehabilitation and repair projects $75,000
Provided, That any unencumbered balance in the rehabilitation and re-
pair projects account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002.

Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following capital improvement accounts of the state general fund
is hereby reappropriated for fiscal year 2002: Construct storage bay #3.

 (b) There is hereby appropriated for the above agency from the follow-
ing special revenue fund or funds for the fiscal year ending June 30, 2002,
all moneys now or hereafter lawfully credited to and available in such
fund or funds, except that expenditures shall not exceed the following:

Historical society capital improvements fund No limit
 Sec. 61.

INSURANCE DEPARTMENT
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Insurance building principal and interest payment fund No limit
Insurance department rehabilitation and repair fund No limit
 Sec. 62.

DEPARTMENT OF ADMINISTRATION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year or years specified, for the capital improvement
project or projects specified, the following:

Judicial center improvements

For the fiscal year ending June 30, 2001 $124,730
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the judicial center improvements account is hereby reappro-
priated for fiscal year 2002.

Judicial center rehabilitation and repair

For the fiscal year ending June 30, 2002 $100,000
Rehabilitation and repair for state facilities

For the fiscal year ending June 30, 2001 $72,063
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the rehabilitation and repair for state facilities account is
hereby reappropriated for fiscal year 2002.

Judicial center improvements--debt service

For the fiscal year ending June 30, 2002 $103,362
Statehouse improvements--debt service

For the fiscal year ending June 30, 2002 $1,249,742
Energy conservation improvements--debt service

For the fiscal year ending June 30, 2002 $2,485,322
Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following capital improvement accounts is hereby reappropriated
for fiscal year 2002: Fire and safety alarms--statehouse; judicial center
renovation planning; statehouse grounds and facility improvements; state-
house committee room planning, remodel and relocation.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Master lease program fund No limit
State buildings depreciation fund $0
 (c) In addition to the other purposes for which expenditures may be
made by the above agency from the state budget stabilization fund for
fiscal year 2001, expenditures may be made by the above agency from
the following capital improvement account or accounts of the state budget
stabilization fund during fiscal year 2001 for the following capital im-
provement project or projects, subject to the expenditure limitation pre-
scribed therefor:

Judicial center improvements $77,970
 (d) In addition to the other purposes for which expenditures may be
made from the state budget stabilization fund for fiscal year 2002, ex-
penditures may be made by the above agency from the state budget sta-
bilization fund for fiscal year 2002 from any unencumbered balance as of
June 30, 2001, in each of the following capital improvement accounts of
the state budget stabilization fund: Statehouse elevators renovation; state-
house grounds & facility improvements; statehouse fire and safety alarms;
judicial center improvements: Provided, That the expenditures for fiscal
year 2002 from the unencumbered balance of any such account shall not
exceed the amount of the unencumbered balance in such account on June
30, 2001: Provided further, That all expenditures from the state budget
stabilization fund for the fiscal year 2002 from the unencumbered balance
in any such account shall be in addition to any expenditure limitation
imposed on the state budget stabilization fund for the fiscal year 2002.

 (e) In addition to the other purposes for which expenditures may be
made by the above agency from the building and ground fund for fiscal
year 2001, expenditures may be made by the above agency from the
following capital improvement account or accounts of the building and
ground fund during fiscal year 2001 for the following capital improvement
project or projects, subject to the expenditure limitation prescribed there-
for:

Memorial Hall parking improvements $52,000
 (f) In addition to the other purposes for which expenditures may be
made by the above agency from the building and ground fund for fiscal
year 2002, expenditures may be made by the above agency from the
following capital improvement account or accounts of the building and
ground fund for fiscal year 2002 for the following capital improvement
project or projects, subject to the expenditure limitations prescribed
therefor:

Docking 9th street right-of-way $70,000
Paint and grounds shop--debt service No limit
Parking improvements and repair $95,000
 (g) In addition to the other purposes for which expenditures may be
made by the above agency from the state buildings depreciation fund for
fiscal year 2001, expenditures may be made by the above agency from
the following capital improvement account or accounts of the state build-
ings depreciation fund for fiscal year 2001 for the following capital im-
provement project or projects, subject to the expenditure limitations pre-
scribed therefor:

Capitol complex steam distribution $500,000
 (h) In addition to the other purposes for which expenditures may be
made by the above agency from the state buildings depreciation fund for
fiscal year 2002, expenditures may be made by the above agency from
the following capital improvement account or accounts of the state build-
ings depreciation fund for fiscal year 2002 for the following capital im-
provement project or projects, subject to the expenditure limitations pre-
scribed therefor:

Rehabilitation and repair $75,000
Docking fire suppression system installation $350,000
Landon fire suppression system installation $300,000
Landon electrical system failure mode study $50,000
Docking heating, ventilation and air-conditioning system renovations $20,000
Landon security improvements $30,000
Capitol complex steam distribution $500,000
Docking 11th floor re-roofing $106,000
Landon fail safe power supply $135,000
Provided, That all expenditures from each such capital improvement ac-
count shall be in addition to any expenditure limitation imposed on the
state buildings depreciation fund for fiscal year 2002.

 (i) In addition to the other purposes for which expenditures may be
made by the above agency from the state buildings depreciation fund for
fiscal year 2002, expenditures may be made by the above agency from
the state buildings depreciation fund for fiscal year 2002 from the unen-
cumbered balance as of June 30, 2001, in each capital improvement ac-
count of the state buildings depreciation fund for one or more projects
approved for prior fiscal years: Provided, That expenditures from the
unencumbered balance in any such account shall not exceed the amount
of the unencumbered balance in such account on June 30, 2001: Provided
further, That all expenditures from any such account shall be in addition
to any expenditure limitation imposed on the state buildings depreciation
fund for fiscal year 2002.

 (j) In addition to the other purposes for which expenditures may be
made by the above agency from the state buildings operating fund for
fiscal year 2002, expenditures may be made by the above agency from
the following capital improvement account or accounts of the state build-
ings operating fund for fiscal year 2002 for the following capital improve-
ment project or projects, subject to the expenditure limitations prescribed
therefor:

Landon state office building--debt service No limit
Memorial hall--debt service No limit
Energy conservation projects No limit
 (k) In addition to the other purposes for which expenditures may be
made by the above agency from the motor pool service fund for fiscal
year 2002, expenditures may be made by the above agency from the
following capital improvement account or accounts of the motor pool
service fund for fiscal year 2002 for the following capital improvement
project or projects, subject to the expenditure limitations prescribed
therefor:

Motor pool shop--debt service No limit
 (l) In addition to the other purposes for which expenditures may be
made from the intragovernmental printing service fund for fiscal year
2002, expenditures may be made by the above agency from the following
capital improvement account or accounts of the intragovernmental print-
ing service fund for fiscal year 2002 for the following capital improvement
project or projects, subject to the expenditure limitations prescribed
therefor:

Printing plant--debt service No limit
 (m) In addition to the other purposes for which expenditures may be
made by the department of administration from the moneys appropriated
from the state general fund or from any special revenue fund for fiscal
year 2002 as authorized by this or other appropriation act of the 2001
regular session of the legislature, expenditures shall be made by the de-
partment of administration from moneys appropriated from the state gen-
eral fund or from any special revenue fund for fiscal year 2002 to provide
for the issuance of bonds by the Kansas development finance authority
in accordance with K.S.A. 74-8905 and amendments thereto to finance
capital improvement projects for judicial center improvements: Provided,
That such capital improvement projects for judicial center improvements
are hereby approved for the department of administration for the pur-
poses of subsection (b) of K.S.A. 74-8905 and amendments thereto and
the authorization of the issuance of bonds by the Kansas development
finance authority in accordance with that statute: Provided further, That
the department of administration may make expenditures from the mon-
eys received from the issuance of any such bonds for such capital im-
provement projects for judicial center improvements: Provided, however,
That expenditures from the moneys received from the issuance of any
such bonds for such capital improvement projects for judicial center im-
provements shall not exceed $1,063,900, plus all amounts required for
costs of bond issuance, costs of interest on the bonds issued for such
capital improvement projects for judicial center improvements during the
construction of such projects and any required reserves for the payment
of principal and interest on the bonds: And provided further, That all
moneys received from the issuance of any such bonds shall be deposited
and accounted for as prescribed by applicable bond covenants: And pro-
vided further, That debt service for any such bonds for capital improve-
ment projects for judicial center improvements shall be financed by ap-
propriations from the state general fund or any appropriate special
revenue fund or funds.

 (n) On the effective date of this act, any unencumbered balance in each
of the following accounts of the state general fund is hereby lapsed: Ju-
dicial center carpet replacement.

 Sec. 63.

 DEPARTMENT OF COMMERCE AND HOUSING
 (a) There is appropriated for the above agency from the state economic
development initiatives fund for the fiscal year ending June 30, 2002, for
the following capital improvement project or projects, the following:

Rehabilitation and repair--travel information centers $15,000
 Sec. 64.

FORT HAYS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Lewis field renovation--bond and interest sinking fund No limit
Lewis field renovation--revenue fund No limit
Center for networked learning fund No limit
 Sec. 65.

KANSAS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, for the capital improvement
project or projects specified as follows:

Lease payment--Salina aeronautical center (including aeronautical laboratory center) $189,446
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Federal construction funds fund No limit
Bond construction funds fund No limit
Coliseum repair, equipment and improvement fund No limit
Housing system refunding revenue bond fund,
KDFA F bonds, 1999 fund
No limit
Parking system refunding revenue bond fund, KDFA G
bonds, 1995
No limit
Housing system bond fund, KDFA H bonds, 1993 No limit
Farrell library renovation/expansion-gifts/
donations fund
No limit
Plan/construct/equip Farrell library renovation/expansion fund No limit
Farrell library expansion revenue bond fund, KDFA K bonds, 1995 No limit
Recreation complex revenue bond fund, KDFA D bonds, 1993 No limit
Plant science building phase II--special revenue fund No limit
Site improvements fund No limit
College center construction fund No limit
Bluemont hall defects repair fund No limit
Engineering complex phase II private gift fund No limit
Student recreation building repair, equipment & improvement fund No limit
Coliseum/stadium parking repair & improvement fund No limit
Energy conservation projects fund No limit
Student union renovation and expansion revenue bond
fund,KDFA B bonds, 1998
No limit
Provided, That Kansas state university may make expenditures from the
student union renovation and expansion revenue bond fund, KDFA B
bonds, 1998 for the capital improvement project to renovate and expand
the student union in an amount of not more than $11,500,000, plus all
amounts required for cost of bond issuance, cost of interest on the bonds
during the construction of the project and required reserves for the pay-
ment of principal and interest on the bonds: Provided further, That such
capital improvement project is hereby approved for Kansas state univer-
sity for the purposes of subsection (b) of K.S.A. 74-8905 and amendments
thereto and the authorization of the issuance of bonds by the Kansas
development finance authority in accordance with that statute: And pro-
vided further, That all moneys received from the issuance of any such
bonds shall be deposited in the state treasury to the credit of this fund.

Ackert hall addition--federal fund No limit
Ackert hall addition--gifts and grants fund No limit
Ackert hall addition--special revenue fund No limit
Provided, That Kansas state university may make expenditures from the
Ackert hall addition--special revenue fund for the project to construct
an addition to Ackert hall in addition to the expenditure of other moneys
appropriated therefor: Provided, however, That expenditures from this
fund for such capital improvement project shall not exceed $1,500,000
plus all amounts required for costs of any bond issuance, costs of interest
on any bond issued or obtained for such capital improvement project and
any required reserves for payment of principal and interest on any bond:
Provided further, That such capital improvement project is hereby ap-
proved for Kansas state university for the purposes of subsection (b) of
K.S.A. 74-8905 and amendments thereto and the authorization of the
issuance of bonds by the Kansas development finance authority in ac-
cordance with that statute: And provided further, That all moneys re-
ceived from the issuance of any such bonds shall be deposited in the state
treasury to the credit of this fund.

Football stadium expansion--special revenue fund No limit
Provided, That Kansas state university may make expenditures from the
football stadium expansion--special revenue fund for the capital improve-
ment project to expand the football stadium in addition to the expenditure
of other moneys appropriated therefor: Provided, however, That expend-
itures from this fund for such capital improvement project shall not ex-
ceed $16,000,000 plus all amounts required for costs of any such bond
issuance, costs of interest on any bonds issued or obtained for such capital
improvement projects and any required reserves for payment of principal
and interest on any bond: Provided further, That such capital improve-
ment is hereby approved for Kansas state university for the purposes of
subsection (b) of K.S.A. 74-8905 and amendments thereto and the au-
thorization of the issuance of bonds by the Kansas development finance
authority in accordance with that statute: And provided further, That all
moneys received from the issuance of any such bonds shall be deposited
in the state treasury to the credit of this fund.

 (c) In addition to the other purposes for which expenditures may be
made by the above agency from the restricted fees fund for the fiscal year
ending June 30, 2002, expenditures may be made by the above agency
from the appropriate account or accounts of the restricted fees fund dur-
ing fiscal year 2002 for the following capital improvement project or pro-
jects, subject to the expenditure limitations prescribed therefor:

Biological and agricultural engineering research storage building No limit
Konza prairie preserve storage building No limit
Improvements to grain science value added laboratory No limit
Construct a materials acoustics laboratory No limit
 (d) In addition to the other purposes for which expenditures may be
made by the above agency from the student union renovation and expan-
sion fund for fiscal year 2002, expenditures may be made by the above
agency from the student union renovation and expansion fund for fiscal
year 2002 for costs associated with roof repair on an existing portion of
the student union building.

 (e) In addition to the other purposes for which expenditures may be
made by the above agency from the sponsored research overhead fund
for fiscal year 2002, expenditures may be made by the above agency from
the sponsored research overhead fund for the fiscal year 2002 for the
following capital improvement project or projects, subject to the expend-
iture limitations prescribed therefor:

Accelerated testing laboratory garage addition No limit
Accelerated testing laboratory storage/equipment shed No limit
Salina national gas machinery laboratory No limit
 (f) During the fiscal year ending June 30, 2002, Kansas state university
is hereby authorized to make expenditures to raze Dennison hall and to
raze portions of building no. 025 (Seaton hall).

 (g) On the effective date of this act, the director of accounts and reports
shall transfer all moneys in the housing system project revenue fund of
Kansas state university to the housing system refunding revenue bond
fund, KDFA F bonds, 1999. On the effective date of this act, all liabilities
of the housing system project revenue fund are hereby transferred to and
imposed on the housing system refunding revenue bond fund, KDFA F
bonds, 1999 and the housing system project revenue fund is hereby abol-
ished.

 (h) On the effective date of this act, the director of accounts and reports
shall transfer all moneys in the student union renovation and expansion
fund of Kansas state university to the student union renovation and ex-
pansion revenue bond fund, KDFA B bonds. On the effective date of this
act, all liabilities of the student union renovation and expansion fund are
hereby transferred to and imposed on the student union renovation and
expansion revenue bond fund, KDFA B bonds and the student union
renovation and expansion fund is hereby abolished.

 Sec. 66.

KANSAS STATE UNIVERSITY EXTENSION SYSTEMS AND
AGRICULTURE RESEARCH PROGRAMS
 (a) In addition to the other purposes for which expenditures may be
made by the above agency from the restricted fees fund for the fiscal year
ending June 30, 2002, expenditures may be made by the above agency
from the appropriate account or accounts of the restricted fees fund dur-
ing fiscal year 2002 for the following capital improvement project or pro-
jects:

Validation/fresh meats processing laboratory No limit
Renovate laboratories in Throckmorton hall No limit
Warehouse expansion--department of agronomy building No limit
Scandia experiment field office facility No limit
Equipment/pesticide storage buildings No limit
Southwest research extension center office/administrative facility No limit
Equine education and research center No limit
Southeast agriculture research center buildings No limit
South central agronomy experiment field office and storage building No limit
Grain science center No limit
Agricultural shop buildings--east central Kansas
experiment field
No limit
Animal science swine facility No limit
Construct east Kansas horticulture research center No limit
 (b) In addition to the other purposes for which expenditures may be
made by the above agency from the sponsored overhead research fund
for fiscal year 2002, expenditures may be made by the above agency from
the sponsored research overhead fund for the fiscal year 2002 for the
following capital improvement project or projects, subject to the expend-
iture limitations prescribed therefor:

Southeast agriculture research center buildings No limit
 (c) There is appropriated for the above agency from the Kansas edu-
cational building fund for the fiscal year ending June 30, 2002, for the
capital improvement project or projects specified as follows:

Grain science center biological and industrial value-added program--EBF $3,000,000
 (d) During the fiscal years ending June 30, 2002, and June 30, 2003,
upon approval of the state board of regents, the president of Kansas state
university may request and the pooled money investment board is hereby
authorized and directed to provide loans to Kansas state university for
the grain science center biological and industrial value-added program in
accordance with this subsection. The pooled money investment board is
authorized and directed to use any moneys in the operating accounts,
investment accounts or other investments of the state of Kansas to provide
the funds for such loans. As requested by the president of Kansas state
university, the loan amounts shall be provided in multiple disbursements
during fiscal year 2002 and fiscal year 2003 and each such amount shall
bear interest from the date of disbursement based on the net earnings
rate for the pooled money investment portfolio for the prior fiscal year.
Interest-only payments shall be made on or before August 1, 2001, and
on or before each August 1 thereafter until the principal amounts have
been repaid. Loan principal amounts may be repaid at any time and all
outstanding principal amounts shall be repaid in full on or before August
1, 2005. The aggregate of such loan amounts shall not exceed $4,000,000.

 Sec. 67.

EMPORIA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Student union refurbishing fund No limit
Bond construction funds fund No limit
Student union addition bond and interest sinking fund No limit
Twin towers project revenue fund No limit
Twin towers bond and interest sinking fund No limit
Twin towers maintenance and equipment reserve fund No limit
Student recreational building fund No limit
Provided, That Emporia state university may make expenditures from the
student recreational building fund for the capital improvement project to
plan and construct a student recreational center in an amount of not more
than $3,000,000, plus all amounts required for the cost of bond issuance,
cost of interest on the bond during planning and construction of the
project and required reserves for the payment of principal and interest
on the bonds: Provided further, That such capital improvement project
is hereby approved for Emporia state university for the purpose of sub-
section (b) of K.S.A. 74-8905 and amendments thereto and authorization
of the issuance of bonds by the Kansas development finance authority in
accordance with that statute: And provided further, That all moneys re-
ceived from the issuance of any such bonds shall be deposited into the
state treasury to the credit of this fund.

 Sec. 68.

PITTSBURG STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Horace Mann construction fund No limit
Provided, That Pittsburg state university may make expenditures from
the Horace Mann construction fund for the renovation of the Horace
Mann building: Provided further, That the capital improvement project
to renovate the Horace Mann building is hereby approved for Pittsburg
state university for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by
the Kansas development finance authority in accordance with that statute:
And provided further, That all moneys received from the issuance of any
such project bonds shall be deposited to the credit of this fund.

Willard hall construction fund No limit
Provided, That Pittsburg state university may make expenditures from
the Willard hall construction fund for the renovation of Willard hall: Pro-
vided further, That the capital improvement project to renovate Willard
hall is hereby approved for Pittsburg state university for the purposes of
subsection (b) of K.S.A. 74-8905 and amendments thereto and the au-
thorization of the issuance of bonds by the Kansas development finance
authority in accordance with that statute: And provided further, That all
moneys received from the issuance of any such project bonds shall be
deposited to the credit of this fund.

Suspense fund No limit
Energy conservation projects fund No limit
 Sec. 69.

UNIVERSITY OF KANSAS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Student union renovation revenue fund No limit
Student health facility maintenance, repair, and equipment fee fund No limit
Parking facilities surplus fund--KDFA G bonds, 1993 No limit
Provided, That the university of Kansas may make expenditures from the
parking facilities surplus fund--KDFA G bonds, 1993 for capital im-
provements to parking lots in addition to the expenditure of other moneys
appropriated therefor.

Regents center revenue fund--KDFA D bonds, 1990 No limit
Regents center bond reserve fund--KDFA D bonds, 1990 No limit
Regents center surplus fund No limit
Regents center rebate fund No limit
Regents center revenue refund project principal and interest--KDFA C bonds, 1997 No limit
Student union renovation rebate fund (phase I) No limit
Student union renovation surplus fund--KDFA C bonds, 1992 No limit
Student union renovation rebate fund--KDFA C bonds, 1992 No limit
Student union addition--special revenue fund No limit
Provided, That the university of Kansas may make expenditures from the
student union addition--special revenue fund for the capital improve-
ment project to construct an addition to the student union in addition to
the expenditure of other moneys appropriated therefor: Provided, how-
ever, That expenditures from this fund for such capital improvement pro-
ject shall not exceed $5,600,000 plus all amounts required for costs of any
bond issuance, costs of interest on any bond issued or obtained for such
capital improvement project and any required reserves for payment of
principal and interest on any bond: Provided further, That such capital
improvement project is hereby approved for the university of Kansas for
the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto
and the authorization of the issuance of bonds by the Kansas development
finance authority in accordance with that statute: And provided further,
That all moneys received from the issuance of any such bonds shall be
deposited in the state treasury to the credit of this fund.

Bioscience research center rebate fund--KDFA series Q bonds, 1992 No limit
Bioscience research center principal and interest payment account--KDFA A bonds, 1994 fund No limit
Bioscience research center reserve account--KDFA A bonds, 1994 fund No limit
Bioscience research center rebate account--KDFA A bonds, 1994 fund No limit
Parking facilities refunding bonds principal and interest fund--KDFA G bonds, 1993 No limit
Parking facilities refunding bonds reserve fund--KDFA G bonds, 1993 No limit
Parking facilities refunding bonds rebate fund--KDFA G bonds 1993 No limit
Student health facility addition revenue fund No limit
Biosciences research center--special revenue fund No limit
Provided, That all gifts and grants received for the capital improvement
project to construct and equip a biosciences research center, other than
those received from the federal government for such capital improvement
project, shall be deposited in the state treasury to the credit of the bio-
sciences research center--special revenue fund: Provided further, That
the above agency may transfer moneys during fiscal year 2002 from the
sponsored research overhead fund and from appropriate accounts of the
restricted fees fund to this fund for such capital improvement project or
for debt service for such capital improvement project: And provided fur-
ther, That all transfers of moneys for fiscal year 2002 from the sponsored
research overhead fund to this fund shall be in addition to any expenditure
limitation imposed on the sponsored research overhead fund for fiscal
year 2002: And provided further, That such capital improvement project
is hereby approved for the university of Kansas for the purposes of sub-
section (b) of K.S.A. 74-8905 and amendments thereto and the authori-
zation of the issuance of bonds by the Kansas development finance au-
thority in accordance with that statute: And provided further, That all
moneys received from the issuance of any such bonds shall be deposited
in the state treasury to the credit of this fund.

Law enforcement training center improvements special revenue fund No limit
Provided, That the university of Kansas may make expenditures from the
law enforcement training center improvements special revenue fund for
a capital improvement project for parking lot improvements at the law
enforcement training center: Provided, however, That expenditures from
this fund for such capital improvement project shall not exceed $450,000:
Provided further, That the above agency may transfer moneys for fiscal
year 2002 from the law enforcement training center fund to this fund for
such capital improvement project: And provided further, That all trans-
fers of moneys for fiscal year 2002 from the law enforcement training
center fund to this fund shall be in addition to any expenditure limitation
imposed on the law enforcement training center fund for fiscal year 2002.

Renovate Lewis hall--special revenue fund No limit
Lewis hall renovation principal and interest payment account KDFA D bonds, 1998 fund No limit
Lewis hall renovation bond proceeds project account KDFA D bonds, 1998 fund No limit
Lewis hall renovation university proceeds project account KDFA D bonds, 1998 fund No limit
Lewis hall renovation rebate fund KDFA D bonds, 1998 fund No limit
Lewis hall renovation bond reserve fund KDFA D bonds,
1998 fund
No limit
Continuing education revenue bonds principal and interest KDFA H bonds, 1998 fund No limit
Continuing education revenue bonds reserve fund KDFA
H bonds, 1998 fund
No limit
Continuing education revenue bonds surplus account KDFA H bonds, 1998 fund No limit
Athletic facilities enhancements special revenue fund KDFA A university proceeds No limit
Renovate Ellsworth hall--special revenue fund No limit
Provided, That the university of Kansas may make expenditures from the
renovate Ellsworth hall--special revenue fund for the project to renovate
Ellsworth hall in addition to the expenditure of other moneys appropri-
ated therefor: Provided, however, That expenditures from this fund for
such capital improvement project shall not exceed $12,467,450 plus all
amounts required for costs of any bond issuance, cost of interest on bonds
issued or obtained for such capital improvement project and any required
reserves for payment of principal and interest on any bond: And provided
further, That such capital improvement project is hereby approved for
the university of Kansas for the purposes of subsection (b) of K.S.A. 74-
8905 and amendments thereto and the authorization of the issuance of
bonds by the Kansas development finance authority in accordance with
that statute: And provided further, That all moneys received from the
issuance of any such bonds shall be deposited in the state treasury to the
credit of this fund: And provided further, That the above agency may
transfer moneys for fiscal year 2002 from appropriate accounts of the
house system repairs, equipment and improvement fund to renovate Ells-
worth hall--special revenue fund for such capital improvement project.

Regents center principal and interest payment account KDFA D bonds, 1990 fund No limit
Templin hall renovation principal and interest payment account KDFA E bonds, 1996 fund No limit
Templin hall renovation bond reserve KDFA E bonds, 1996 fund No limit
Watkins health center addition principal and interest payment account KDFA D bonds, 1995 fund No limit
Watkins health center addition university proceeds project account KDFA D bonds, 1995 fund No limit
Watkins health center addition bond reserve KDFA D bonds, 1995 fund No limit
Watkins health center addition surplus fund KDFA D bonds, 1995 fund No limit
Watkins health center addition rebate fund KDFA D bonds, 1995 fund No limit
Regents R&R project KDFA K bonds, 1996 fund No limit
Regents rehabilitation and repair phase II--project series KDFA G bonds, 1997 fund No limit
Construct parking garage no. 2--special revenue fund No limit
Parking garage no. 2 construction project principal and interest account KDFA D bonds, 1999 fund No limit
Parking garage no. 2 construction project bond reserve fund--KDFA D bonds 1999 No limit
Parking garage no. 2 construction project bond proceeds account--KDFA D bonds, 1999 fund No limit
Edwards campus facility expansion--special revenue fund No limit
Provided, That the university of Kansas may make expenditures from the
Edwards campus facility expansion--special revenue fund for the capital
improvement project to expand facilities on the Edwards campus in ad-
dition to the expenditure of other moneys appropriated therefor: Pro-
vided, however, That expenditures from this fund for such capital im-
provement project shall not exceed $13,230,000 plus all amounts required
for costs of any bond issuance, costs of interest on any bond issued or
obtained for such capital improvement project and any required reserves
for payment of principal and interest on any bond: Provided further, That
such capital improvement project is hereby approved for the university
of Kansas for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by
the Kansas development finance authority in accordance with that statute:
And provided further, That all moneys received from the issuance of any
such bonds shall be deposited in the state treasury to the credit of this
fund: And provided further, That all gifts and grants received for the
capital improvement project to expand facilities on the Edwards campus,
other than those received from the federal government for such capital
improvement project, shall be deposited in the state treasury to the credit
of the Edwards campus facility expansion--special revenue fund.

Construct child care facility--special revenue fund No limit
Child care facility bond proceeds fund No limit
Child care facility university proceeds fund No limit
Child care facility principal and interest fund No limit
Child care facility bond reserve fund No limit
Child care facility surplus fund No limit
Child care facility operations account No limit
Child care facility student fee account No limit
Athletic facilities enhancements--special revenue fund No limit
Provided, That the university of Kansas may make expenditures from the
athletic facilities enhancements--special revenue fund for the capital im-
provement project to renovate athletic facilities in addition to the ex-
penditure of other moneys appropriated therefor: Provided, however,
That expenditures from this fund for such capital improvement project
shall not exceed $32,391,210 plus all amounts required for costs of any
bond issuance, costs of interest on any bond issued or obtained for such
capital improvement project and any required reserves for payment of
principal and interest on any bond: Provided further, That such capital
improvement project is hereby approved for the university of Kansas for
the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto
and the authorization of the issuance of bonds by the Kansas development
finance authority in accordance with that statute: And provided further,
That all moneys received from the issuance of any such bonds shall be
deposited in the state treasury to the credit of this fund.

Budig hall completion fund No limit
Provided, That during the fiscal year ending June 30, 2002, the director
of accounts and reports shall transfer amounts specified by the chancellor
of the university of Kansas from moneys available to the above agency in
special revenue funds for fiscal year 2002, including the general fees fund,
tuition accountability fund, sponsored research overhead fund and various
moneys within the restricted fees fund, including grants, gifts, contracts
and fees to the Budig hall completion fund: Provided, however, That no
expenditures shall be made from this fund until the preliminary plans and
program statement for the Budig hall completion project have been re-
viewed by the joint committee on state building construction: Provided
further, That upon request by the chancellor to the director of accounts
and reports, any unencumbered balance in this fund shall be transferred
from this fund to the tuition accountability fund of the university of Kan-
sas.

Continuing education program building acquisition--
special revenue fund
No limit
Dole institute gift or grant fund No limit
Construct student recreation & fitness center--special revenue fund No limit
Provided, That the university of Kansas may make expenditures from the
construct student recreation & fitness center--special revenue fund for
the capital improvement project to construct student recreation center in
addition to the expenditure of other moneys appropriated therefor: Pro-
vided, however, That expenditures from this fund for such capital im-
provement project shall not exceed $17,000,000 plus all amounts required
for costs of any bond issuance, cost of interest on bonds issued or obtained
for such capital improvement project and any required reserves for pay-
ment of principal and interest on any bond: Provided further, That such
capital improvement project is hereby approved for the university of Kan-
sas for the purposes of subsection (b) of K.S.A. 74-8905 and amendments
thereto and the authorization of the issuance of bonds by the Kansas
development finance authority in accordance with that statute: And pro-
vided further, That all moneys received from the issuance of any such
bonds shall be deposited in the state treasury to the credit of this fund:
And provided further, That the above agency may transfer moneys for
fiscal year 2002 from appropriate accounts of the restricted fees fund to
this fund for such capital improvement project.

Student recreation and fitness center fund--principal and interest account KDFA 2000Q No limit
Student recreation and fitness center fund--project account KDFA 2000Q No limit
Student recreation and fitness center fund--cost of issuance account KDFA 2000Q No limit
Student recreation and fitness center fund--reserve account KDFA 2000Q No limit
 (b) During the fiscal year ending June 30, 2002, the university of Kansas
is hereby authorized to make expenditures to raze building no. 27--fa-
cilities operations storage facility.

 (c) In addition to the other purposes for which expenditures may be
made by the above agency from the sponsored overhead research fund
for fiscal year 2002, expenditures may be made by the above agency from
the sponsored research overhead fund for fiscal year 2002 for the follow-
ing capital improvement project or projects, subject to the expenditure
limitation prescribed therefor:

Remodel energy balance laboratory No limit
 (d) In addition to the other purposes for which expenditures may be
made by the above agency from the state budget stabilization fund for
fiscal year 2002, expenditures may be made by the above agency for fiscal
year 2002 from the unencumbered balance as of June 30, 2001, in the
Dole institute of public service and public policy account of the above
agency in the state budget stabilization fund: Provided, That expenditures
from the unencumbered balance in such account shall not exceed the
amount of the unencumbered balance in such account on June 30, 2001:
Provided further, That all expenditures from the unencumbered balance
in such account shall be in addition to any expenditure limitation imposed
on the state budget stabilization fund for fiscal year 2002.

 (e) In addition to the other purposes for which expenditures may be
made by the university of Kansas from the restricted fees fund for the
fiscal year ending June 30, 2002, expenditures may be made by the uni-
versity of Kansas from the restricted fees fund for the following capital
improvement project or projects, subject to the expenditure limitation
prescribed therefor:

Remodel of 2nd floor west wing of Strong hall No limit
 Sec. 70.

UNIVERSITY OF KANSAS MEDICAL CENTER
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Construct and equip Nursing Education Facility--gift and grant fund No limit
Parking facility KDFA principal and interest fund 1988 No limit
Parking facility KDFA bond reserve fund 1988 No limit
Parking facility KDFA surplus fund 1988 No limit
Parking facility revenue fund No limit
Parking facility rebate fund--KDFA F bonds--1988 No limit
Rehabilitation and repair projects for institutions of higher education fund No limit
Regents R&R project KDFA K bonds, 1996 fund No limit
Construct and equip research building fund No limit
Construct and equip center for health in aging fund No limit
Provided, That the university of Kansas medical center may make ex-
penditures from the construct and equip center for health in aging fund
for the capital improvement project to construct the center for health in
aging in addition to the expenditure of other moneys appropriated there-
for: Provided, however, That expenditures from this fund for such capital
improvement project shall not exceed $8,000,000 plus all amounts re-
quired for costs of any bond issuance, costs of interest on any bond issued
or obtained for such capital improvement project and any required re-
serves for payment of principal and interest on any bond: Provided fur-
ther, That the above agency may transfer moneys for fiscal year 2002
from appropriate accounts of the sponsored research overhead fund to
this fund for such capital improvement project or for debt service for
such capital improvement project: And provided further, That such cap-
ital improvement project is hereby approved for the university of Kansas
medical center for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by
the Kansas development finance authority in accordance with that statute:
And provided further, That all moneys received from the issuance of any
such bonds shall be deposited in the state treasury to the credit of this
fund.

Construct and equip center for health in aging principal and interest--KDFA B bonds, 1999 No limit
Construct and equip center for health in aging bond reserve fund--KDFA B bonds, 1999 No limit
Construct and equip center for health in aging bond reserve fund No limit
Construct and equip center for health in aging--gift and grant fund No limit
Construct and equip research support facility fund No limit
Provided, That the university of Kansas medical center may make ex-
penditures from the construct and equip research support facility fund
for the capital improvement project to construct an addition to the re-
search support facility in addition to the expenditure of other moneys
appropriated therefor: Provided, however, That expenditures from this
fund for such capital improvement project shall not exceed $5,240,000
plus all amounts required for costs of any bond issuance, costs of interest
on any bond issued or obtained for such capital improvement project and
any required reserves for payment of principal and interest on any bond:
Provided further, That the above agency may transfer moneys for fiscal
year 2002 from appropriate accounts of the sponsored research overhead
fund to this fund for such capital improvement project or for debt service
for such capital improvement project: And provided further, That such
capital improvement project is hereby approved for the university of Kan-
sas medical center for the purposes of subsection (b) of K.S.A. 74-8905
and amendments thereto and the authorization of the issuance of bonds
by the Kansas development finance authority in accordance with that
statute: And provided further, That all moneys received from the issuance
of any such bonds shall be deposited in the state treasury to the credit of
this fund.

Construct and equip addition to research support facility--
gift and grant fund
No limit
 (b) During the fiscal year ending June 30, 2002, the director of accounts
and reports shall transfer amounts certified by the chancellor of the uni-
versity of Kansas from the sponsored research overhead fund to the con-
struct and equip center for health in aging bond reserve fund.

 (c) On the effective date of this act, the expenditure limitation estab-
lished by section 93(a) of chapter 130 of the 2000 Session Laws of Kansas
on expenditures to construct and equip a research support facility from
the construct and equip research support facility fund is hereby increased
from $4,740,000 plus all amounts required for costs of any bond issuance,
costs of interest on any bond issued or obtained for such capital improve-
ment project and any required reserves for payment of principal and
interest on any bond to $5,240,000 plus all amounts required for costs of
any bond issuance, costs of interest on any bond issued or obtained for
such capital improvement project and any required reserves for payment
of principal and interest on any bond.

 Sec. 71.

WICHITA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

On-campus parking construction and maintenance fund No limit
On-campus parking expansion--special revenue fund No limit
Provided, That Wichita state university may make expenditures from the
on-campus parking expansion--special revenue fund for the capital im-
provement project to construct additional on-campus parking spaces in
addition to the expenditure of other moneys appropriated therefor: Pro-
vided, however, That expenditures from this fund for such capital im-
provement project shall not exceed $7,500,000 plus all amounts required
for costs of any bond issuance, costs of interest on any bond issued or
obtained for such capital improvement project and any required reserves
for payment of principal and interest on any bond: Provided further, That
such capital improvement project is hereby approved for Wichita state
university for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by
the Kansas development finance authority in accordance with that statute:
And provided further, That all moneys received from the issuance of any
such bonds shall be deposited in the state treasury to the credit of this
fund.

On campus parking principal and interest account--KDFA
bonds, 2000 fund
No limit
On campus parking bonds issuance account--KDFA bonds, 2000 fund No limit
On campus parking bond reserve account--KDFA bonds, 2000 fund No limit
WSU housing system surplus fund No limit
Bond reserve fund--KDFA--WSU housing system renovation No limit
Cessna stadium repair and rehabilitation gifts fund No limit
Regents rehabilitation and repair phase II--KDFA G bonds, 1997 fund No limit
Athletic facilities enhancements--special revenue fund No limit
Provided, That Wichita state university may renovate and expand athletic
facilities at such university and make expenditures from the athletic fa-
cilities enhancements--special revenue fund for such capital improve-
ment project, in addition to the expenditure of other moneys appropriated
therefor or obtained by such university from other sources: Provided,
however, That expenditures from this fund for such capital improvements
project shall not exceed $15,000,000 plus all amounts required for costs
of any bond issuance, cost of interest on any bond issued or obtained for
such capital improvement project and any required reserves for payment
of principal and interest on any such bond: Provided further, That such
capital improvement project is hereby approved for Wichita state univer-
sity for the purposes of subsection (b) of K.S.A. 74-8905 and amendments
thereto and the authorization of the issuance of bonds by the Kansas
development finance authority in accordance with that statute: And pro-
vided further, That all moneys received from the issuance of any bonds
issued pursuant to subsection (b) of K.S.A. 74-8905 and amendments
thereto shall be deposited in the state treasury to the credit of this fund.

 Sec. 72.

DEPARTMENT OF HUMAN RESOURCES
 (a) In addition to the other purposes for which expenditures may be
made by the above agency from the employment security administration
fund for fiscal year 2002, expenditures may be made by the above agency
from the employment security administration fund for fiscal year 2002
from moneys made available to the state under section 903 of the federal
social security act, as amended: Provided, That expenditures from this
fund during fiscal year 2002 of moneys made available to the state under
section 903 of the federal social security act, as amended, shall be made
only for the following capital improvement purposes: (1) For major main-
tenance of existing buildings used by the department of human resources
for employment security purposes; (2) for paving, landscaping and ac-
quiring fixed equipment as may be required for the use and operation of
such buildings; or (3) for any combination of these purposes: Provided
further, That expenditures from this fund for fiscal year 2002 of moneys
made available to the state under section 903 of the federal social security
act, as amended, for such capital improvement purposes shall not exceed
$50,000 plus the amounts of unencumbered balances as of June 30, 2001,
for capital improvement projects approved for fiscal years prior to fiscal
year 2002: And provided further, That all expenditures from this fund for
any such capital improvement purposes or projects shall be in addition
to any expenditure limitation imposed on the employment security ad-
ministration fund for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Complete remodeling of agency headquarters fund No limit
Provided, That the department of human resources may make expendi-
tures from the complete remodeling of agency headquarters fund for the
capital improvement project to remodel the agency headquarters: Pro-
vided, however, That expenditures from this fund for such capital im-
provement project including necessary furniture and equipment shall not
exceed $3,800,000, plus all amounts required for cost of bond issuance,
cost of interest on the bonds issued for such capital improvement project
and any required reserves for the payment of principal and interest on
the bonds: Provided further, That such capital improvement project is
hereby approved for the department of human resources for the purposes
of subsection (b) of K.S.A. 74-8905 and amendments thereto and the
authorization of the issuance of bonds by the Kansas development finance
authority in accordance with that statue: And provided further, That all
moneys received from the issuance of any such bonds shall be deposited
in the state treasury to the credit of this fund.

Purchase of building and parking lot at 1430 SW Topeka Blvd., Topeka, KS fund No limit
Provided, That the department of human resources may make expendi-
tures from the purchase of building and parking lot at 1430 SW Topeka
Blvd., Topeka, KS fund for the capital improvement project to purchase
the building and parking lot at 1430 SW Topeka Blvd.: Provided, however,
That expenditures from this fund for such capital improvement project
shall not exceed $1,690,000, plus all amounts required for cost of bond
issuance, cost of interest on the bonds issued for such capital improve-
ment project and any required reserves for the payment of principal and
interest on the bonds: Provided further, That such capital improvement
project is hereby approved for the department of human resources for
the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto
and the authorization of the issuance of bonds by the Kansas development
finance authority in accordance with that statute: And provided further,
That all moneys received from the issuance of any such bonds shall be
deposited in the state treasury to the credit of this fund.

Employment security administration property sale fund No limit
Provided, That the secretary of human resources, in consultation with the
secretary of administration, is hereby authorized to make expenditures
for fiscal year 2002 from the employment security administration property
sale fund to purchase or acquire by exchange additional real estate to
provide space for the job service and unemployment insurance programs
of the department of human resources, including the initiation and com-
pletion of capital improvements on such real estate for such purposes:
Provided, however, That no expenditures shall be made from this fund
for a proposed purchase or other acquisition of additional real estate to
provide space for the job service and unemployment insurance programs
of the department of human resources until such proposed purchase or
other acquisition, including the preliminary plans and program statement
for any capital improvement project that is proposed to be initiated and
completed by or for the department of human resources on such real
estate for such purposes, have been reviewed by the joint committee on
state building construction: Provided further, That no expenditures shall
be made from the employment security administration property sale fund
except upon approval of the state finance council acting on this matter
which is hereby characterized as a matter of legislative delegation and
subject to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c
and amendments thereto and acting after receiving the recommendations
of the joint committee on state building construction.

 (c) For the fiscal years ending June 30, 2001, and June 30, 2002, the
above agency may make expenditures for the purpose of selling the fol-
lowing described property: (1) The North forty-six and two-thirds (462/3)
feet of Lot numbered sixty-three (63) and the South twenty-three and
one-third (231/3) feet of Lot numbered sixty-one (61), and the North ten
(10) feet of the South thirty-three and one-third (331/3) feet of Lot num-
bered sixty-one (61), all on Kentucky Street in the City of Lawrence,
Douglas County, Kansas; and (2) Beginning at the Northeast corner of
Lot 436, in Ward 2, City of Manhattan, Riley County, Kansas; thence
South 150 feet, more or less, to the Southeast corner of Lot 434, Ward
2; thence West along the South line of said Lot 434 a distance of 30 feet;
thence North and parallel with the East line of Lots 434 and 435, a dis-
tance of 85 feet; thence West and parallel with the North line of Lot 435
a distance of 20 feet; thence North 65 feet, more or less, to the North
line of Lot 436; thence East along the North line of Lot 436 to the place
of beginning, and, the West twenty-five (25) feet of Lot 433, in Ward 2,
City of Manhattan, Riley County, Kansas: Provided, That no expenditures
shall be made by the department of human resources for the sale of any
such property, and no such sale shall be executed or otherwise effectu-
ated, except upon approval of the state finance council acting on this
matter which is hereby characterized as a matter of legislative delegation
and subject to the guidelines prescribed in subsection (c) of K.S.A. 75-
3711c and amendments thereto and acting after receiving the recom-
mendations of the joint committee on state building construction.

 Sec. 73.

KANSAS COMMISSION ON VETERANS AFFAIRS
 (a) There is appropriated for the above agency from the state institu-
tions building fund for the fiscal year ending June 30, 2002, for the capital
improvement project or projects specified as follows:

Soldiers' home repair and rehabilitation projects $100,000
Veterans' home repair and rehabilitation projects $86,115
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Winfield veterans home acquisition and construction No limit
Veterans' home federal construction grant fund No limit
Provided, That all moneys received by the above agency as federal grants
for the purposes of construction and remodeling at the Kansas veterans'
home, which grants are hereby authorized to be applied for and received
by the above agency, shall be deposited in the state treasury to the credit
of the Veterans' home federal construction grant fund.

Veterans' cemeteries federal construction grant fund No limit
 (c) There is appropriated for the above agency from the state institu-
tions building fund for the fiscal year ending June 30, 2001, for the capital
improvement project or projects specified as follows:

State veterans cemeteries planning $305,000
 (d) On the effective date of this act, of the amount reappropriated for
the above agency for the fiscal year ending June 30, 2001, by section 115
of chapter 130 of the 2000 Session Laws of Kansas in the Halsey Hall
remodeling account of the state institutions building fund, the sum of
$660 is hereby lapsed.

 (e) On the effective date of this act, of the amount reappropriated for
the above agency for the fiscal year ending June 30, 2001, by section 115
of chapter 130 of the 2000 Session Laws of Kansas in the repair and
rehabilitation project account of the state institutions building fund, the
sum of $295 is hereby lapsed.

 Sec. 74.

ATTORNEY GENERAL--KANSAS
BUREAU OF INVESTIGATION
 (a) There is hereby appropriated for the above agency from the state
general fund for the fiscal year ending June 30, 2002, for the capital
improvement project or projects specified as follows:

Rehabilitation and repair--headquarters building $30,000
Debt service principal payment--headquarters building $190,000
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Remodel Great Bend facility fund $239,329
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $239,329 from the state
general fund to the remodel Great Bend facility fund.

 (d) On July 1, 2001, or as soon thereafter are moneys are available, the
director of accounts and reports shall make one or more transfers from
the Kansas bureau of investigation state forfeiture fund to the state gen-
eral fund for the purpose of reimbursing the state general fund for mon-
eys advanced to the remodel Great Bend facility fund: Provided, That the
aggregate of such transfer or transfers during the fiscal year ending June
30, 2002, shall not exceed $239,329.

 Sec. 75.

 KANSAS HIGHWAY PATROL
 (a) In addition to the other purposes for which expenditures may be
made from the highway patrol training center fund for fiscal year 2002,
expenditures may be made by the above agency from the highway patrol
training center fund for fiscal year 2002 to make debt service payments
for the Kansas highway patrol training center at Salina for the bonds
issued for such project pursuant to subsection (b) of section 6 of chapter
326 of the 1992 Session Laws of Kansas.

 (b) In addition to the other purposes for which expenditures may be
made from the highway patrol training center fund for fiscal year 2002,
expenditures may be made by the above agency from the highway patrol
training center fund for fiscal year 2002 for the following capital improve-
ment project or projects, subject to the expenditure limitation prescribed
therefor:

Training center--remodeling, rehabilitation and repair projects $50,000
Provided, That all expenditures from each such capital improvement ac-
count shall be in addition to any expenditure limitation imposed on the
highway patrol training center fund for fiscal year 2002.

 (c) In addition to other purposes for which expenditures may be made
by the above agency from the motor carrier inspection fund for fiscal year
2002, expenditures may be made by the above agency from the motor
carrier inspection fund for fiscal year 2002 for the following capital im-
provement project or projects, subject to the expenditure limitations pre-
scribed therefor:

Remodeling, rehabilitation and repair projects $50,000
Replacement of scales $163,701
Provided, That all expenditures from each such capital improvement ac-
count shall be in addition to any expenditure limitation imposed on the
motor carrier inspection fund for fiscal year 2002.



 Sec. 76.

DEPARTMENT OF WILDLIFE AND PARKS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, for the capital improvement
project or projects specified as follows:

Crawford state fishing lake sewer repair $70,000
Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following capital improvement accounts of the state general fund
is hereby reappropriated for fiscal year 2002: Rehabilitation and repair.

Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following capital improvement accounts of the state general fund
is hereby reappropriated for fiscal year 2002: Matching grant for devel-
opment of wetlands project at Milford reservoir: Provided, That expend-
itures for fiscal year 2002 may be made from the matching grant for
development of wetlands project at Milford reservoir account by the sec-
retary of wildlife and parks only upon verification by the chairperson of
WILDSCAPE that federal funds are available from the U.S. army corps
of engineers for development of the Milford wetlands: Provided, however,
That funds provided by the Kansas department of wildlife and parks to
WILDSCAPE shall not be used to finance the administrative costs of
WILDSCAPE.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Department access road fund No limit
Bridge maintenance fund No limit
Federal grants fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $1,500,000 from the state
highway fund of the department of transportation to the department ac-
cess road fund of the department of wildlife and parks.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $200,000 from the state
highway fund of the department of transportation to the bridge mainte-
nance fund of the department of wildlife and parks.

 (e) In addition to the other purposes for which expenditures may be
made by the above agency from the migratory waterfowl propagation and
protection fund for fiscal year 2002, expenditures may be made by the
above agency from the migratory waterfowl propagation and protection
fund for fiscal year 2002 from the unencumbered balance as of June 30,
2001, in each existing capital improvement account of the migratory wa-
terfowl propagation and protection fund: Provided, That all expenditures
from the unencumbered balance of any such account shall not exceed the
amount of the unencumbered balance in such account on June 30, 2001:
Provided further, That all expenditures from the unencumbered balance
of any such account shall be in addition to any expenditure limitation
imposed on the migratory waterfowl propagation and protection fund for
fiscal year 2002.

 (f) In addition to the other purposes for which expenditures may be
made by the above agency from the boating fee fund for fiscal year 2002,
expenditures may be made by the above agency from the boating fee
fund for fiscal year 2002 from the unencumbered balance as of June 30,
2001, in each existing capital improvement account of the boating fee
fund: Provided, That expenditures from the unencumbered balance of
any such existing capital improvement account shall not exceed the
amount of the unencumbered balance in such account on June 30, 2001:
Provided further, That all expenditures from the unencumbered balance
of any such account shall be in addition to any expenditure limitation
imposed on the boating fee fund for fiscal year 2002 and shall be in
addition to any other expenditure limitation imposed on any such account
of the boating fee fund for fiscal year 2002.

 (g) In addition to the other purposes for which expenditures may be
made by the above agency from the state budget stabilization fund for
fiscal year 2002, expenditures may be made by the above agency from
the state budget stabilization fund for fiscal year 2002 from the unencum-
bered balance as of June 30, 2001, in each existing capital improvement
account of the above agency in the state budget stabilization fund: Pro-
vided, That expenditures from the unencumbered balance of any such
existing capital improvement account shall not exceed the amount of the
unencumbered balance in such account on June 30, 2001: Provided fur-
ther, That all expenditures from the unencumbered balance of any such
account shall be in addition to any expenditure limitation imposed on the
state budget stabilization fund for fiscal year 2002.

 (h) In addition to the other purposes for which expenditures may be
made by the above agency from the wildlife fee fund for fiscal year 2002,
expenditures may be made by the above agency from the following capital
improvement account or accounts of the wildlife fee fund during fiscal
year 2002 for the following capital improvement project or projects, sub-
ject to the expenditure limitations prescribed therefor:

Wildlife fee fund federally mandated boating access $1,285,500
Wildlife fee fund rehabilitation and repair $692,500
Provided, That all expenditures from each such capital improvement ac-
count shall be in addition to any expenditure limitation imposed on the
wildlife fee fund for fiscal year 2002.

 (i) In addition to the other purposes for which expenditures may be
made by the above agency from the wildlife fee fund for fiscal year 2002,
expenditures may be made by the above agency from the wildlife fee fund
for fiscal year 2002 from the unencumbered balance as of June 30, 2001,
in each existing capital improvement account of the wildlife fee fund:
Provided, That expenditures from the unencumbered balance of any such
existing capital improvement account shall not exceed the amount of the
unencumbered balance in such account on June 30, 2001: Provided fur-
ther, That all expenditures from the unencumbered balance of any such
account shall be in addition to any expenditure limitation imposed on the
wildlife fee fund for fiscal year 2002.

 (j) In addition to the other purposes for which expenditures may be
made by the above agency from the wildlife conservation fund for fiscal
year 2002, expenditures may be made by the above agency from the
following capital improvement account or accounts of the wildlife con-
servation fund for fiscal year 2002 for the following capital improvement
project or projects, subject to the expenditure limitations prescribed
therefor:

Wildlife conservation fund--capital
improvement projects
$1,940,000
 (k) In addition to the other purposes for which expenditures may be
made by the above agency from the wildlife conservation fund for fiscal
year 2002, expenditures may be made by the above agency from the
wildlife conservation fund for fiscal year 2002 from the unencumbered
balance as of June 30, 2001, in each existing capital improvement account
of the wildlife conservation fund: Provided, That expenditures from the
unencumbered balance of any such existing capital improvement account
shall not exceed the amount of the unencumbered balance in such ac-
count on June 30, 2001: Provided further, That all expenditures from the
unencumbered balance of any such account shall be in addition to any
expenditure limitation imposed on the wildlife conservation fund for fiscal
year 2002 and shall be in addition to any other expenditure limitation
imposed on any such account of the wildlife conservation fund for fiscal
year 2002.

 (l) In addition to the other purposes for which expenditures may be
made by the above agency from the parks fee fund for fiscal year 2002,
expenditures may be made by the above agency from the following capital
improvement account or accounts of the parks fee fund for fiscal year
2002 for the following capital improvement project or projects, subject
to the expenditure limitations prescribed therefor:

Parks fee fund--rehabilitation and repair $0
 (m) In addition to the other purposes for which expenditures may be
made by the above agency from the parks fee fund for fiscal year 2002,
expenditures may be made by the above agency from the parks fee fund
for fiscal year 2002 from the unencumbered balance as of June 30, 2001,
in each existing capital improvement account of the parks fee fund: Pro-
vided, That expenditures from the unencumbered balance of any such
existing capital improvement account shall not exceed the amount of the
unencumbered balance in such account on June 30, 2001: Provided fur-
ther, That all expenditures from the unencumbered balance of any such
account shall be in addition to any expenditure limitation imposed on the
parks fee fund for fiscal year 2002.

 (n) In addition to the other purposes for which expenditures may be
made by the above agency from the nongame wildlife improvement fund
for fiscal year 2002, expenditures may be made by the above agency from
the nongame wildlife improvement fund for fiscal year 2002 from the
unencumbered balance as of June 30, 2001, in each existing capital im-
provement account of the nongame wildlife improvement fund: Provided,
That expenditures from the unencumbered balance of any such existing
capital improvement account shall not exceed the amount of the unen-
cumbered balance in such account on June 30, 2001: Provided further,
That all expenditures from the unencumbered balance of any such ac-
count shall be in addition to any expenditure limitation imposed on the
nongame wildlife improvement fund for fiscal year 2002 and shall be in
addition to any other expenditure limitation imposed on any such account
of the nongame wildlife improvement fund for fiscal year 2002.

 (o) In addition to the other purposes for which expenditures may be
made by the above agency from the migratory waterfowl propagation and
protection fund for fiscal year 2002, expenditures may be made by the
above agency from the following capital improvement account or accounts
of the migratory waterfowl propagation and protection fund for fiscal year
2002 for the following capital improvement project or projects, subject
to the expenditure limitations prescribed therefor:

Migratory waterfowl propagation and protection fund--wetlands acquisition $100,000
Provided, That all expenditures from each such capital improvement ac-
count of the migratory waterfowl propagation and protection fund shall
be in addition to any expenditure limitation imposed on the migratory
waterfowl propagation and protection fund for fiscal year 2002.

 (p) In addition to the other purposes for which expenditures may be
made by the above agency from the migratory waterfowl propagation and
protection fund for fiscal year 2002, expenditures may be made by the
above agency from the migratory waterfowl propagation and protection
fund for fiscal year 2002 from the unencumbered balance as of June 30,
2001, in each existing capital improvement account of the migratory wa-
terfowl propagation and protection fund: Provided, That expenditures
from the unencumbered balance of any such existing capital improvement
account shall not exceed the amount of the unencumbered balance in
such account on June 30, 2001: Provided further, That all expenditures
from the unencumbered balance of any such account shall be in addition
to any expenditure limitation imposed on the migratory waterfowl prop-
agation and protection fund for fiscal year 2002.

 (q) In addition to the other purposes for which expenditures may be
made by the above agency from the boating fee fund for fiscal year 2002,
expenditures may be made by the above agency for fiscal year 2002 from
the boating fee fund for the capital improvement project or projects,
subject to the expenditure limitations prescribed therefor:

Kansas and Missouri River access $200,000
Provided, That all expenditures from the unencumbered balance in the
Kansas and Missouri River access account shall be in addition to any
expenditure limitation imposed on the boating fee fund for fiscal year
2002.

 (r) For the fiscal year ending June 30, 2002, any expenditures by the
above agency from any moneys appropriated from the state general fund
or any special revenue fund for fiscal year 2002, for wetland acquisition
shall be for the acquisition of existing wetlands that are located within 1.1
miles of state-owned wetlands.

 (s) For the fiscal year ending June 30, 2002, any expenditures by the
above agency from any moneys appropriated for fiscal year 2002, for land
acquisition related to the playa lakes project shall be for lands which are
adjacent to playa lakes properties that are already owned by the state:
Provided, That no expenditures shall be made by the above agency from
any moneys appropriated from the state general fund or any special rev-
enue fund for fiscal year 2002 for pumping of groundwater on any such
newly-acquired properties.

 (t) During the fiscal year ending June 30, 2002, no expenditures shall
be made from any moneys appropriated for the department of wildlife
and parks from the state general fund or any special revenue fund for
fiscal year 2002 for construction of any new river access on the Kansas
River or Missouri River unless the secretary of wildlife and parks has
submitted the proposal for the new river access project (1) to each owner
and lessee of any real property on the river immediately adjacent to the
real property upon which the new river access project is to be constructed,
and (2) to the drainage district, if the proposed river access project is
within an established drainage district, at least 60 days in advance of
submission of the new river access project proposal to the division of
water resources of the Kansas department of agriculture: Provided, That
this sixty-day time period shall constitute a public comment period and,
if requested, the department of wildlife and parks shall conduct a public
hearing on the proposal within the sixty-day period: Provided further,
That no such proposed river access project, nor any access road to such
project, located within an established drainage district shall cross a levee
without the written consent of that drainage district: And provided fur-
ther, That any such proposed project shall include signs and other appro-
priate means to indicate the area of real property open to public access.

 Sec. 77.

STATE BOARD OF REGENTS
 (a) There is appropriated for the above agency from the Kansas edu-
cational building fund for the fiscal year or years specified, for the capital
improvement project or projects specified as follows:

Rehabilitation and repair projects, Americans with disabilities act com-
      pliance projects, state fire marshal code compliance projects, and im-
      provements to classroom projects for institutions of higher education

For the fiscal year ending June 30, 2002 $10,000,000
For the fiscal year ending June 30, 2003 $10,000,000
Provided, That the state board of regents is hereby authorized to transfer
moneys from the rehabilitation and repair projects, Americans with dis-
abilities act compliance projects, state fire marshal code compliance pro-
jects, and improvements to classroom projects for institutions of higher
education account to an account or accounts of the Kansas educational
building fund of any institution under the control and supervision of the
state board of regents to be expended by the institution for projects ap-
proved by the state board of regents: Provided, however, That no ex-
penditures shall be made from any such account until the proposed pro-
jects have been reviewed by the joint committee on state building
construction.

Debt service--revenue bonds issued for major remodeling and new con-
      struction projects at state educational institutions

For the fiscal year ending June 30, 2002 $15,000,000
 Sec. 78.

JUVENILE JUSTICE AUTHORITY
 (a) There is appropriated for the above agency from the state institu-
tions building fund for the fiscal year ending June 30, 2002, for the capital
improvement project or projects specified as follows:

Capital improvements--rehabilitation, remodeling, renovation and repair of juvenile correctional facilities $712,612
Provided, That the commissioner of juvenile justice is hereby authorized
to transfer moneys during the fiscal year ending June 30, 2002, from the
capital improvements--rehabilitation, remodeling, renovation and repair
of juvenile correctional facilities account of the state institutions building
fund to an account or accounts of the state institutions building fund of
any institution or facility under the jurisdiction of the commissioner of
juvenile justice to be expended during fiscal year 2002 by the institution
or facility for capital improvement projects approved by the commissioner
of juvenile justice.

Debt service--Topeka complex and Larned juvenile correctional facility $2,159,427
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Construction of juvenile correctional facilities fund--VOI/TIS No limit
Provided, That the juvenile justice authority may make expenditures from
the construction of juvenile correctional facilities fund--VOI/TIS to con-
struct new maximum security buildings at the Topeka juvenile correc-
tional facility: Provided, however, That expenditures from this fund to
construct new maximum security buildings at the Topeka juvenile cor-
rectional facility shall not exceed $5,500,000.

 (c) In addition to the other purposes for which expenditures may be
made by the juvenile justice authority from the moneys appropriated from
the state general fund or from any special revenue fund for fiscal year
2002 as authorized by this or other appropriation act of the 2001 regular
session of the legislature, expenditures shall be made by the juvenile jus-
tice authority from moneys appropriated from the state general fund or
from any special revenue fund for fiscal year 2002 to provide for the
issuance of bonds by the Kansas development finance authority in ac-
cordance with K.S.A. 74-8905 and amendments thereto to finance grants
for capital improvement projects to remodel a living unit at Beloit juvenile
correctional facility, construct a new medium security juvenile correc-
tional facility on the Larned state hospital grounds, raze and reconstruct
medium security living units at the Topeka juvenile correctional facility,
and construct new maximum security buildings at the Topeka juvenile
correctional facility: Provided, That the capital improvement project to
construct a new medium security juvenile correctional facility on the Lar-
ned state hospital grounds shall include an additional 32 beds within the
approved budget for such capital improvement project: Provided further,
That the juvenile justice authority is hereby authorized to make expend-
itures for fiscal year 2002 to utilize the Meyer building on the Larned
state hospital grounds for relief of overcrowding: And provided further,
That the capital improvement project to construct new maximum security
buildings at the Topeka juvenile correctional facility shall include (1) a
secured commons area which shall be constructed on the east end of the
campus for institutional services which shall include, but not be limited
to, food and medical services, and a visitors center, and (2) on the east
side of the commons area of the campus, facilities for (A) up to 150
maximum security beds, (B) up to 60 beds for system-wide and facility
classification and diagnostic purposes, and (C) up to 15 medical beds:
And provided further, That one superintendent shall be the chief admin-
istrative officer over all existing, renovated, or new buildings and facilities
of the Topeka juvenile correctional facility: And provided further, That
such capital improvement projects are hereby approved for the juvenile
justice authority for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by
the Kansas development finance authority in accordance with that statute:
And provided further, That the juvenile justice authority may make ex-
penditures from the moneys received from the issuance of any such bonds
for such capital improvement projects: Provided, however, That expend-
itures from the moneys received from the issuance of any such bonds for
such capital improvement projects shall not exceed $50,000,000, plus all
amounts required for costs of bond issuance, costs of interest on the
bonds issued for such capital improvement projects during the construc-
tion of such projects and any required reserves for the payment of prin-
cipal and interest on the bonds: And provided further, That all moneys
received from the issuance of any such bonds shall be deposited and
accounted for as prescribed by applicable bond covenants: And provided
further, That debt service for any such bonds for such capital improve-
ment projects shall be financed by appropriations from the state general
fund or any appropriate special revenue fund or funds.

 Sec. 79.

ABSTRACTERS' BOARD OF EXAMINERS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal years specified all moneys now
or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Abstracters' fee fund

For the fiscal year ending June 30, 2002 $20,169
For the fiscal year ending June 30, 2003 $20,285
 Sec. 80.

BOARD OF ACCOUNTANCY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Board of accountancy fee fund

For the fiscal year ending June 30, 2002 $179,693
Provided, That expenditures from the board of accountancy fee fund for
the fiscal year ending June 30, 2002, for official hospitality shall not exceed
$300.

For the fiscal year ending June 30, 2003 $187,915
Provided, That expenditures from the board of accountancy fee fund for
the fiscal year ending June 30, 2003, for official hospitality shall not exceed
$300.

 Sec. 81.

STATE BANK COMMISSIONER
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Bank commissioner fee fund

For the fiscal year ending June 30, 2002 $5,284,716
Provided, That expenditures from the bank commissioner fee fund for
the fiscal year ending June 30, 2002, for official hospitality shall not exceed
$500.

For the fiscal year ending June 30, 2003 $5,499,938
Provided, That expenditures from the bank commissioner fee fund for
the fiscal year ending June 30, 2003, for official hospitality shall not exceed
$500.

Bank examination and investigation fund

For the fiscal year ending June 30, 2002 No limit
For the fiscal year ending June 30, 2003 No limit
 Sec. 82.

KANSAS BOARD OF BARBERING
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Board of barbering fee fund

For the fiscal year ending June 30, 2002 $127,066
For the fiscal year ending June 30, 2003 $131,177
 Sec. 83.

BEHAVIORAL SCIENCES REGULATORY BOARD
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Behavioral sciences regulatory board fee fund

For the fiscal year ending June 30, 2002 $485,656
Provided, That expenditures from the behavioral sciences fee fund for
the fiscal year ending June 30, 2002, for official hospitality shall not exceed
$500.

For the fiscal year ending June 30, 2003 $512,945
Provided, That expenditures from the behavioral sciences fee fund for
the fiscal year ending June 30, 2003, for official hospitality shall not exceed
$500.

 Sec. 84.

STATE BOARD OF HEALING ARTS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Healing arts fee fund

For the fiscal year ending June 30, 2002 $1,921,536
Provided, That expenditures from the healing arts fee fund for the fiscal
year ending June 30, 2002, for official hospitality shall not exceed $500:
Provided further, That all expenditures from the healing arts fee fund for
the fiscal year ending June 30, 2002, for disciplinary hearings shall be in
addition to any expenditure limitation imposed on the healing arts fee
fund for fiscal year 2002.

For the fiscal year ending June 30, 2003 $1,954,895
Provided, That expenditures from the healing arts fee fund for the fiscal
year ending June 30, 2003, for official hospitality shall not exceed $500:
Provided further, That all expenditures from the healing arts fee fund for
the fiscal year ending June 30, 2003, for disciplinary hearings shall be in
addition to any expenditure limitation imposed on the healing arts fee
fund for fiscal year 2003.

 Sec. 85.

KANSAS STATE BOARD OF COSMETOLOGY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Cosmetology fee fund

For the fiscal year ending June 30, 2002 $698,184
For the fiscal year ending June 30, 2003 $726,378
 (b) On July 1, 2001, the director of accounts and reports shall transfer
$87,000 from the KSIP cosmetology fee fund to the cosmetology fee fund.

 Sec. 86.

STATE DEPARTMENT OF CREDIT UNIONS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Credit union fee fund

For the fiscal year ending June 30, 2002 $861,352
Provided, That expenditures from the credit union fee fund for the fiscal
year ending June 30, 2002, for official hospitality shall not exceed $300.

For the fiscal year ending June 30, 2003 $888,217
Provided, That expenditures from the credit union fee fund for the fiscal
year ending June 30, 2003, for official hospitality shall not exceed $300.

 Sec. 87.

KANSAS DENTAL BOARD
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Dental board fee fund

For the fiscal year ending June 30, 2002 $322,135
For the fiscal year ending June 30, 2003 $327,208
 Sec. 88.

STATE BOARD OF MORTUARY ARTS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Mortuary arts fee fund

For the fiscal year ending June 30, 2002 $206,283
For the fiscal year ending June 30, 2003 $214,222
 Sec. 89.

KANSAS BOARD OF EXAMINERS IN FITTING AND DISPENS-
ING OF HEARING AIDS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Hearing aid board fee fund

For the fiscal year ending June 30, 2002 $21,258
For the fiscal year ending June 30, 2003 $21,937
 Sec. 90.

BOARD OF NURSING
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Board of nursing fee fund

For the fiscal year ending June 30, 2002 $1,426,346
Provided, That expenditures from the board of nursing fee fund for the
fiscal year ending June 30, 2002, for official hospitality shall not exceed
$500.

For the fiscal year ending June 30, 2003 $1,383,705
Provided, That expenditures from the board of nursing fee fund for the
fiscal year ending June 30, 2003, for official hospitality shall not exceed
$500.

Gifts and grants fund

For the fiscal year ending June 30, 2002 No limit
For the fiscal year ending June 30, 2003 No limit
Education conference fund

For the fiscal year ending June 30, 2002 No limit
For the fiscal year ending June 30, 2003 No limit
 Sec. 91.

BOARD OF EXAMINERS IN OPTOMETRY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Optometry fee fund

For the fiscal year ending June 30, 2002 $83,855
Provided, That expenditures from the optometry fee fund for the fiscal
year ending June 30, 2002, for official hospitality shall not exceed $300.

For the fiscal year ending June 30, 2003 $84,630
Provided, That expenditures from the optometry fee fund for the fiscal
year ending June 30, 2003, for official hospitality shall not exceed $300.

 Sec. 92.

STATE BOARD OF PHARMACY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

State board of pharmacy fee fund

For the fiscal year ending June 30, 2002 $554,053
For the fiscal year ending June 30, 2003 $566,462
 Sec. 93.

REAL ESTATE APPRAISAL BOARD
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Appraiser fee fund

For the fiscal year ending June 30, 2002 $246,154
For the fiscal year ending June 30, 2003 $254,104
Federal registry clearing fund

For the fiscal year ending June 30, 2002 No limit
For the fiscal year ending June 30, 2003 No limit
 Sec. 94.

KANSAS REAL ESTATE COMMISSION
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Real estate fee fund

For the fiscal year ending June 30, 2002 $648,459
For the fiscal year ending June 30, 2003 $668,570
Real estate recovery revolving fund

For the fiscal year ending June 30, 2002 No limit
For the fiscal year ending June 30, 2003 No limit
 Sec. 95.

OFFICE OF THE SECURITIES COMMISSIONER OF KANSAS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Securities act fee fund

For the fiscal year ending June 30, 2002 $2,021,086
Provided, That, in addition to any aggregate expenditure limitation im-
posed on the securities act fee fund for the fiscal year ending June 30,
2002, but subject to the following expenditure limitation imposed
thereon, expenditures may be made from the securities act fee fund for
hearing and litigation costs: Provided, however, That expenditures from
the securities act fee fund for the fiscal year ending June 30, 2002, for
hearing and litigation costs shall not exceed $25,000: Provided further,
That one or more transfers of money may be made from the securities
act fee fund for the fiscal year ending June 30, 2002, to the appropriate
account of the restricted fees fund of Wichita state university pursuant
to a contract which is hereby authorized to be entered into by the secu-
rities commissioner and the Kansas council on economic education of
Wichita state university to conduct a securities and investment education
program: And provided further, That such transfer of money from this
fund for the fiscal year ending June 30, 2002, to the appropriate account
of the restricted fees fund of Wichita state university pursuant to such
contract shall be in addition to any expenditure limitation imposed on
this fund for the fiscal year ending June 30, 2002: And provided further,
That the total amount of such transfers for the fiscal year ending June
30, 2002, shall not exceed $20,000: And provided further, That expend-
itures from the securities act fee fund for the fiscal year ending June 30,
2002, for official hospitality shall not exceed $1,000.

For the fiscal year ending June 30, 2003 $2,067,598
Provided, That, in addition to any aggregate expenditure limitation im-
posed on the securities act fee fund for the fiscal year ending June 30,
2003, but subject to the following expenditure limitation imposed
thereon, expenditures may be made from the securities act fee fund for
hearing and litigation costs: Provided, however, That expenditures from
the securities act fee fund for the fiscal year ending June 30, 2003, for
hearing and litigation costs shall not exceed $25,000: Provided further,
That one or more transfers of money may be made from the securities
act fee fund for the fiscal year ending June 30, 2003, to the appropriate
account of the restricted fees fund of Wichita state university pursuant
to a contract which is hereby authorized to be entered into by the secu-
rities commissioner and the Kansas council on economic education of
Wichita state university to conduct a securities and investment education
program: And provided further, That such transfer of money from this
fund for the fiscal year ending June 30, 2003, to the appropriate account
of the restricted fees fund of Wichita state university pursuant to such
contract shall be in addition to any expenditure limitation imposed on
this fund for the fiscal year ending June 30, 2003: And provided further,
That the total amount of such transfers for the fiscal year ending June
30, 2003, shall not exceed $20,000: And provided further, That expend-
itures from the securities act fee fund for the fiscal year ending June 30,
2003, for official hospitality shall not exceed $1,000.

 Sec. 96.

STATE BOARD OF TECHNICAL PROFESSIONS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Technical professions fee fund

For the fiscal year ending June 30, 2002 $535,753
For the fiscal year ending June 30, 2003 $550,711
Special litigation reserve fund

For the fiscal year ending June 30, 2002 No limit
Provided, That no expenditures shall be made from the special litigation
reserve fund except upon the approval of the state finance council acting
on this matter which is hereby characterized as a matter of legislative
delegation and subject to the guidelines prescribed in subsection (c) of
K.S.A. 75-3711c and amendments thereto.

For the fiscal year ending June 30, 2003 No limit
Provided, That no expenditures shall be made from the special litigation
reserve fund except upon the approval of the state finance council acting
on this matter which is hereby characterized as a matter of legislative
delegation and subject to the guidelines prescribed in subsection (c) of
K.S.A. 75-3711c and amendments thereto.

 (b) On July 1, 2001, the director of accounts and reports shall transfer
$300,000 from the technical professions fee fund of the state board of
technical professions to the special litigation reserve fund of the state
board of technical professions.

 Sec. 97.

STATE BOARD OF VETERINARY EXAMINERS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Veterinary examiners fee fund

For the fiscal year ending June 30, 2002 $283,202
For the fiscal year ending June 30, 2003 $268,889
 Sec. 98.

GOVERNMENTAL ETHICS COMMISSION
 (a) There is hereby appropriated for the above agency from the state
general fund for the fiscal year or years specified, the following:

Operating expenditures

For the fiscal year ending June 30, 2002 $428,409
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002.

For the fiscal year ending June 30, 2003 $458,165
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2002, is hereby reappropriated
for fiscal year 2003.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year or years specified, all moneys
now or hereafter lawfully credited to and available in such fund or funds,
except that expenditures other than refunds authorized by law shall not
exceed the following:

Governmental ethics commission fee fund

For the fiscal year ending June 30, 2002 $143,457
For the fiscal year ending June 30, 2003 $116,326
 Sec. 99. Position limitations. The number of full-time and regular part-
time positions equated to full-time, excluding seasonal and temporary
positions, paid from appropriations for the fiscal years specified made in
this or other appropriation act of the 2001 or 2002 regular session of the
legislature for the following agencies shall not exceed the following, ex-
cept upon approval of the state finance council:

Abstracters' Board of Examiners

For the fiscal year ending June 30, 2002 0
For the fiscal year ending June 30, 2003 0
Board of Accountancy

For the fiscal year ending June 30, 2002 3.0
For the fiscal year ending June 30, 2003 3.0
State Bank Commissioner

For the fiscal year ending June 30, 2002 85.0
For the fiscal year ending June 30, 2003 85.0
Kansas Board of Barbering

For the fiscal year ending June 30, 2002 1.5
For the fiscal year ending June 30, 2003 1.5
Behavioral Sciences Regulatory Board

For the fiscal year ending June 30, 2002 8.0
For the fiscal year ending June 30, 2003 8.0
State Board of Healing Arts

For the fiscal year ending June 30, 2002 29.0
For the fiscal year ending June 30, 2003 29.0
Kansas State Board of Cosmetology

For the fiscal year ending June 30, 2002 12.0
For the fiscal year ending June 30, 2003 12.0
State Department of Credit Unions

For the fiscal year ending June 30, 2002 13.0
For the fiscal year ending June 30, 2003 13.0
Kansas Dental Board

For the fiscal year ending June 30, 2002 2.5
For the fiscal year ending June 30, 2003 2.5
State Board of Mortuary Arts

For the fiscal year ending June 30, 2002 3.0
For the fiscal year ending June 30, 2003 3.0
Kansas Board of Examiners in Fitting and Dispensing of Hearing Aids

For the fiscal year ending June 30, 2002 0.4
For the fiscal year ending June 30, 2003 0.4
Board of Nursing

For the fiscal year ending June 30, 2002 22.0
For the fiscal year ending June 30, 2003 22.0
Board of Examiners in Optometry

For the fiscal year ending June 30, 2002 1.0
For the fiscal year ending June 30, 2003 1.0
State Board of Pharmacy

For the fiscal year ending June 30, 2002 6.0
For the fiscal year ending June 30, 2003 6.0
Real Estate Appraisal Board

For the fiscal year ending June 30, 2002 3.0
For the fiscal year ending June 30, 2003 3.0
Kansas Real Estate Commission

For the fiscal year ending June 30, 2002 13.0
For the fiscal year ending June 30, 2003 13.0
Office of the Securities Commissioner of Kansas

For the fiscal year ending June 30, 2002 27.8
For the fiscal year ending June 30, 2003 27.8
State Board of Technical Professions

For the fiscal year ending June 30, 2002 6.0
For the fiscal year ending June 30, 2003 6.0
State Board of Veterinary Examiners

For the fiscal year ending June 30, 2002 3.0
For the fiscal year ending June 30, 2003 3.0
Governmental Ethics Commission

For the fiscal year ending June 30, 2002 9.0
For the fiscal year ending June 30, 2003 9.0
 Sec. 100. Kansas savings incentive program. (a) In addition to other
expenditures authorized by law, expenditures may be made for fiscal year
2002 or fiscal year 2003, as the case may be, from any account of the state
general fund reappropriated by this act for such fiscal year for any state
agency named in section 99 of this act for the following purposes: (1)
Salary bonus payments to permanent full-time or regular part-time em-
ployees of the state agency at the discretion of the agency head, (2) pur-
chase or other acquisition of technology equipment which was included
in the budget estimates for such fiscal year submitted by the state agency
pursuant to K.S.A. 75-3717 and amendments thereto, and (3) professional
development training including official hospitality: Provided, however,
That the total of all such expenditures from such account of the state
general fund for such fiscal year shall not exceed the amount equal to
50% of the amount of the unencumbered balance as of the June 30 im-
mediately preceding such fiscal year, in such account of the state general
fund that is reappropriated for such fiscal year and that is in excess of the
amount authorized to be expended for such fiscal year from such reap-
propriated balance, as determined by the director of accounts and reports:
Provided further, That the total net amount of any such salary bonus
payments to any individual employee during such fiscal year that are paid
under subsection (b) or this subsection shall not exceed $1,000: And pro-
vided further, That the provisions of this subsection shall apply only to
that portion of any such account from which expenditures may be made
for state operations: And provided further, That all such expenditures
from the reappropriated balance in any such account for such fiscal year
shall be in addition to any expenditure limitation imposed on expenditures
from the reappropriated balance in any such account for such fiscal year.

 (b) In addition to other expenditures authorized by law, expenditures
may be made for fiscal year 2002 or fiscal year 2003, as the case may be,
from any special revenue fund appropriated by this act for such fiscal year
for a state agency named in section 99 of this act for the following pur-
poses: (1) Salary bonus payments to permanent full-time or regular part-
time employees of the state agency at the discretion of the agency head,
(2) purchase or other acquisition of technology equipment which was
included in the budget estimates for such fiscal year submitted by the
state agency pursuant to K.S.A. 75-3717 and amendments thereto, and
(3) professional development training including official hospitality: Pro-
vided, That all such expenditures from such fund for such fiscal year shall
be in addition to any expenditure limitation imposed on such fund or any
account thereof for such fiscal year: Provided, however, That the total
amount of such expenditures from such fund for such fiscal year shall not
exceed the amount equal to 50% of the unexpended portion of the
amount authorized to be expended from such fund for the fiscal year
preceding such fiscal year for state operations, as determined by the di-
rector of accounts and reports, or, in the case of no limit appropriations,
as determined by the director of the budget: Provided further, That the
total net amount of any such salary bonus payments to any individual
employee during such fiscal year that are paid under subsection (a) or
this subsection shall not exceed $1,000: And provided further, That the
provisions of this subsection shall apply only to: (1) That portion of the
moneys in each account of a special revenue fund from which portion
expenditures may be made for state operations, and (2) that portion of
the moneys in a special revenue fund, that does not have any such ac-
counts specified in this or other appropriation act, from which portion
expenditures may be made for state operations.

 (c) Any unencumbered balance in excess of $100 as of June 30, 2001,
in any Kansas savings incentive account or KSIP account of any special
revenue fund of any state agency named in section 99 of this act, which
was appropriated by section 23 of chapter 132 of the 1999 Session Laws
of Kansas or section 70 of chapter 130 of the 2000 Session Laws of Kansas
and which is not otherwise specifically appropriated or limited by this or
other appropriation act of the 2001 regular session of the legislature, is
hereby appropriated for the fiscal year ending June 30, 2002, and any
unencumbered balance in excess of $100 as of June 30, 2002, in any such
account of any such special revenue fund is hereby appropriated for the
fiscal year ending June 30, 2003, and may be expended for fiscal year
2002 or fiscal year 2003, as the case may be, for the purposes authorized
in subsections (a) and (b). All expenditures from any such account of any
such special revenue fund shall be in addition to any expenditure limi-
tation imposed on such special revenue fund for such fiscal year.

 (d) No salary bonus payment paid pursuant to this section during fiscal
year 2002 or fiscal year 2003 shall be compensation, within the meaning
of K.S.A. 74-4901 et seq., and amendments thereto, for any purpose un-
der the Kansas public employees retirement system and shall not be sub-
ject to deductions for employee contributions thereunder. Each salary
bonus payment paid under this section shall be a bonus, as defined by 29
C.F.R. 778, and shall be in addition to the regular earnings which that
employee may be entitled or for which the employee may become eligi-
ble.

 Sec. 101.

LEGISLATIVE COORDINATING COUNCIL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Legislative coordinating council--operations $578,388
Provided, That any unencumbered balance in the legislative coordinating
council--operations account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002.

Legislative coordinating council--KPERS actuarial audit $50,000
Legislative research department--operations $2,545,621
Provided, That any unencumbered balance in the legislative research de-
partment--operations account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002.

Office of revisor of statutes--operations $2,477,666
Provided, That any unencumbered balance in the office of revisor of
statutes--operations account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002.

 (b) Any unencumbered balance in the legislative coordinating coun-
cil--KPERS actuarial audit account in excess of $100 as of June 30, 2002,
is hereby reappropriated for fiscal year 2003.

 Sec. 102.

LEGISLATURE
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operations (including official hospitality) $12,267,664
Provided, That any unencumbered balance in the operations (including
official hospitality) account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided further, That expenditures
may be made from this account, pursuant to vouchers approved by the
chairperson or vice-chairperson of the legislative coordinating council, to
pay compensation and travel expenses and subsistence expenses or allow-
ances as authorized by K.S.A. 75-3212 and amendments thereto for mem-
bers and associate members of the advisory committee to the Kansas
commission on interstate cooperation established under K.S.A. 46-407a
and amendments thereto for attendance at meetings of the advisory com-
mittee which are authorized by the legislative coordinating council, except
that (1) the legislative coordinating council may establish restrictions or
limitations, or both, on travel expenses, subsistence expenses or allow-
ances, or any combination thereof, paid to members and associate mem-
bers of such advisory committee, and (2) any person who is an associate
member of such advisory committee, by reason of such person having
been accredited by the national conference of commissioners on uniform
state laws as a life member of that organization, shall receive the same
travel expenses and subsistence expenses for attendance at meetings of
the advisory committee as a regular member, but shall receive no per
diem compensation: And provided further, That expenditures may be
made from this account for services, facilities and supplies provided for
legislators in addition to those provided under the approved budget and
for related copying, facsimile transmission and other services provided to
persons other than legislators, in accordance with policies and any restric-
tions or limitations prescribed by the legislative coordinating council: And
provided further, That expenditures shall be made from this account in
the amount of $42,500 to digitize the state library's collection of news-
paper articles on legislative and public policy issues.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Legislative special revenue fund No limit
Provided, That expenditures may be made from the legislative special
revenue fund, pursuant to vouchers approved by the chairperson or the
vice-chairperson of the legislative coordinating council, to pay compen-
sation and travel expenses and subsistence expenses or allowances as au-
thorized by K.S.A. 75-3212 and amendments thereto for members and
associate members of the advisory committee to the Kansas commission
on interstate cooperation established under K.S.A. 46-407a and amend-
ments thereto for attendance at meetings of the advisory committee
which are authorized by the legislative coordinating council, except that
(1) the legislative coordinating council may establish restrictions or limi-
tations, or both, on travel expenses, subsistence expenses or allowances,
or any combination thereof, paid to members and associate members of
such advisory committee, and (2) any person who is an associate member
of such advisory committee, by reason of such person having been ac-
credited by the national conference of commissioners on uniform state
laws as a life member of that organization, shall receive the same travel
expenses and subsistence expenses for attendance at meetings of the ad-
visory committee as a regular member, but shall receive no per diem
compensation: Provided further, That expenditures may be made from
this fund for services, facilities and supplies provided for legislators in
addition to those provided under the approved budget and for related
copying, facsimile transmission and other services provided to persons
other than legislators, in accordance with policies and any restrictions or
limitations prescribed by the legislative coordinating council: And pro-
vided further, That amounts are hereby authorized to be collected for
such services, facilities and supplies in accordance with policies of the
council: And provided further, That such amounts shall be fixed in order
to recover all or part of the expenses incurred for providing such services,
facilities and supplies and shall be consistent with policies and fees estab-
lished in accordance with K.S.A. 46-1207a and amendments thereto: And
provided further, That all such amounts received shall be deposited in
the state treasury to the credit of the legislative special revenue fund: And
provided further, That all donations, gifts or bequests of money for the
legislative branch of government which are received and accepted by the
legislative coordinating council shall be deposited in the state treasury
and credited to an account of the legislative special revenue fund.

 Sec. 103.

DIVISION OF POST AUDIT
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operations (including legislative post audit committee) $1,738,732
Provided, That any unencumbered balance in the operations (including
legislative post audit committee) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Audit services fund No limit
Provided, That the division of post audit is hereby authorized to fix, charge
and collect fees for copies of public records of the division, including
distribution of such copies: Provided further, That such fees shall be fixed
to recover all or part of the expenses incurred for reproducing and dis-
tributing such copies and shall be consistent with policies and fees estab-
lished in accordance with K.S.A. 46-1207a and amendments thereto: And
provided further, That all moneys received for such fees shall be depos-
ited in the state treasury to the credit of the audit services fund: And
provided further, That all moneys received by the division of post audit
during fiscal year 2002 from the department of social and rehabilitation
services under the contract entered into by the post auditor and the sec-
retary of social and rehabilitation services pursuant to section 71(a) of
chapter 292 of the 1993 Session Laws of Kansas to reimburse all or part
of the operating services incurred by the division of post audit for the
performance audit related to a settlement agreement regarding Sheila A.,
et al. v. Joan Finney, et al., Case No. 89-CV-33, Shawnee County District
Court, shall be credited to the audit services fund.

Conversion of materials and equipment fund No limit
State agency audits fund No limit


 Sec. 104.

GOVERNOR'S DEPARTMENT
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Governor's department $1,854,878
Provided, That any unencumbered balance in the governor's department
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided further, That expenditures may be made
from this account for contingencies without limitation at the discretion
of the governor.

 (b) Expenditures may be made by the above agency for travel expenses
of the governor's spouse when accompanying the governor or when rep-
resenting the governor on official state business, for travel and subsistence
expenditures for security personnel when traveling with the governor and
for entertainment of officials and other persons as guests from the amount
appropriated for the fiscal year ending June 30, 2002, by subsection (a)
from the state general fund in the governor's department account.

 (c) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Special programs fund No limit
Provided, That expenditures may be made from the special programs
fund for operating expenditures for the governor's department, including
conferences and official hospitality: Provided further, That the governor
is hereby authorized to fix, charge and collect fees for such conferences:
And provided further, That fees for such conferences shall be fixed in
order to recover all or part of the operating expenses incurred for such
conferences, including official hospitality: And provided further, That all
fees received for such conferences and all fees received by the governor's
department under the open records act for providing access to or fur-
nishing copies of public records, shall be credited to this fund.

Conversion of materials and equipment fund No limit
 Sec. 105.

LIEUTENANT GOVERNOR
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operations $128,104
Provided, That any unencumbered balance in the operations account in
excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002.

 (b) Expenditures may be made by the above agency for travel expenses
of the lieutenant governor's spouse when accompanying the lieutenant
governor on official state business and for travel and subsistence expend-
itures for security personnel when traveling with the lieutenant governor
on official state business from the amount appropriated by subsection (a)
from the state general fund for the fiscal year ending June 30, 2002, in
the operations account.

 (c) Expenditures may be made by the above agency for official hospi-
tality from the amount appropriated by subsection (a) from the state gen-
eral fund for the fiscal year ending June 30, 2002, in the operations ac-
count, except that such expenditures shall not exceed $2,000.

 Sec. 106.

ATTORNEY GENERAL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $3,993,100
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided further, That expenditures from this account
for official hospitality shall not exceed $1,200.

Litigation costs $95,534
Provided, That any unencumbered balance in the litigation costs account
in excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002.

Additional operating expenditures for investigation and litigation regarding interstate water rights $970,000
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the additional operating expenditures for investigation and
litigation regarding interstate water rights account is hereby reappro-
priated for fiscal year 2002.

Operating expenditures relating to interstate water rights regarding the Republican river and its tributaries $1,115,000
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the operating expenditures relating to interstate water rights
regarding the Republican river and its tributaries account is hereby reap-
propriated for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Court cost fund No limit
Bond transcript review fee fund No limit
Conversion of materials and equipment fund No limit
Attorney general's antitrust special revenue fund No limit
Private gifts fund No limit
Medicaid fraud reimbursement fund No limit
Attorney general's antitrust suspense fund No limit
Attorney general's consumer protection clearing fund No limit
Attorney general's committee on crime prevention fee fund No limit
Provided, That expenditures may be made from the attorney general's
committee on crime prevention fee fund for operating expenditures di-
rectly or indirectly related to conducting training seminars organized by
the attorney general's committee on crime prevention, including official
hospitality: Provided further, That the attorney general is hereby author-
ized to fix, charge and collect fees for conducting training seminars or-
ganized by the attorney general's committee on crime prevention: And
provided further, That such fees shall be fixed in order to recover all or
part of the direct and indirect operating expenses incurred for conducting
such seminars, including official hospitality: And provided further, That
all fees received for conducting such seminars shall be deposited in the
state treasury and credited to this fund.

Tort claims fund No limit
Crime victims compensation fund No limit
Provided, That expenditures from the crime victims compensation fund
for state operations shall not exceed $280,242: Provided further, That any
expenditures for payment of compensation to crime victims are author-
ized to be made from this fund regardless of when the claim was awarded.

Child exchange and visitation fund No limit
Federal preventive health and health services block grant fund No limit
Crime victims assistance fund No limit
Protection from abuse fund No limit
Drug free schools and communities fund No limit
Victims of crime act--federal fund No limit
Victims of crime assistance act--federal fund No limit
Family violence prevention and services fund--federal No limit
Violence against women grant fund No limit
Crime victims grants and gifts fund No limit
Provided, That all private grants and gifts received by the crime victims
compensation board shall be deposited to the credit of the crime victims
grants and gifts fund.

Attorney general's medicaid fraud control fund No limit
Other federal grants and reimbursement fund No limit
Debt collection administration cost recovery fund No limit
Provided, That the attorney general shall deposit in the state treasury to
the credit of the debt collection administration cost recovery fund all
moneys remitted to the attorney general as administrative costs under
contracts entered into pursuant to K.S.A. 75-719 and amendments
thereto: Provided further, That the attorney general shall authorize the
director of accounts and reports to transfer $30,000 from this fund to the
state general fund at such time as receipts to this fund are sufficient to
sustain expenditures for administering and monitoring such contracts as
well as to repay the state general fund for money advanced for such
purpose: And provided further, That, upon receipt of such authorization,
the director of accounts and reports shall transfer $30,000 from the debt
collection administration cost recovery fund to the state general fund.

Medicaid fraud prosecution revolving fund No limit
Provided, That all moneys recovered by the medicaid fraud and abuse
division of the attorney general's office in the enforcement of state and
federal law which are in excess of any restitution for overcharges and
interest, including all moneys recovered as recoupment of expenses of
investigation and prosecution, shall be deposited in the state treasury to
the credit of the medicaid fraud prosecution revolving fund.

Interstate water litigation fund No limit
Suspense fund No limit
 Sec. 107.

SECRETARY OF STATE
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $1,802,863
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
to the operating expenditures account for fiscal year 2002: Provided fur-
ther, That expenditures from this account for official hospitality shall not
exceed $2,500.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Cemetery and funeral audit fee fund No limit
Conversion of materials and equipment fund No limit
Information and copy service fee fund No limit
State register fee fund No limit
Uniform commercial code fee fund No limit
State flag and banner fund No limit
Secretary of state fee refund fund No limit
Electronic voting machine examination fund No limit
Suspense fund No limit
Prepaid services fund No limit
Athlete agent registration fee fund No limit
Franchise fee recovery fund No limit
 (c) During each month of the fiscal year ending June 30, 2002, the
secretary of state shall certify to the director of accounts and reports the
amount equal to the product of $1 multiplied by the number of annual
reports received by the secretary of state during the preceding month
from professional corporations, domestic or foreign corporations, corpo-
rations organized not for profit, domestic or foreign limited liability com-
panies, domestic or foreign limited partnerships or any other entities pur-
suant to statute, which include the receipt of an annual franchise tax or
privilege fee. Upon receipt of each such certification, the director of ac-
counts and reports shall transfer an amount equal to the amount certified
from the state general fund to the franchise fee recovery fund of the
secretary of state.

 Sec. 108.

STATE TREASURER
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $1,023,563
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided further, That expenditures from this account
for official hospitality shall not exceed $750.

Banking services $315,000
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Fiscal agency fund No limit
Bond services fee fund No limit
City bond finance fund No limit
Taylor grazing fees--federal fund No limit
Local ad valorem tax reduction fund No limit
County and city revenue sharing fund No limit
Suspense fund No limit
County and city retailers' sales tax fund No limit
County and city compensating use tax fund No limit
Local alcoholic liquor fund No limit
Local alcoholic liquor equalization fund No limit
Unclaimed property claims fund No limit
Unclaimed property expense fund No limit
Provided, That expenditures from the unclaimed property expense fund
for official hospitality shall not exceed $2,000.

Unclaimed mineral proceeds trust fund No limit
Road and schools--10 U.S.C. 2655 federal fund No limit
Racing admissions tax fund No limit
Rental motor vehicle excise tax fund No limit
Services reimbursement fund No limit
Municipal investment pool fund No limit
Municipal investment pool reserve fund No limit
Municipal investment pool fund fee fund No limit
Pooled money investment portfolio fee fund No limit
Provided, That on or before the fifth day of each month of the fiscal year
ending June 30, 2002, the state treasurer shall certify to the pooled money
investment board an accounting of the banking fees incurred by the state
treasurer during the second preceding month that are attributable to the
investment of the pooled money investment portfolio during such month:
Provided further, That prior to the 10th day of each month during the
fiscal year ending June 30, 2002, the pooled money investment board
shall review the certification from the state treasurer and shall make ex-
penditures from the pooled money investment portfolio fee fund to pay
the amount of banking fees incurred by the state treasurer during the
second preceding month that are attributable to the investment of the
pooled money investment portfolio during the second preceding month,
as determined by the pooled money investment board.

Kansas postsecondary education savings program trust fund No limit
Conversion of materials and equipment fund No limit
Tax increment financing revenue replacement fund No limit
 (c) On July 1, 2001, the director of accounts and reports shall transfer
$90,000 from the state highway fund of the department of transportation
to the services reimbursement fund of the state treasurer for the purpose
of financing a portion of the costs associated with the investment of the
bond proceeds of the comprehensive transportation program and related
operations of the state treasurer.

 Sec. 109.

INSURANCE DEPARTMENT
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Insurance department service regulation fund $7,416,497
Provided, That expenditures from the insurance department service reg-
ulation fund for official hospitality shall not exceed $2,000: Provided fur-
ther, That any transfers from this fund to the insurance building principal
and interest payment fund or the insurance department rehabilitation and
repair fund of the department of insurance shall be in addition to any
expenditure limitation imposed on this fund.

Insurance company examination fund No limit
Insurance company annual statement examination fund No limit
Insurance company examiner training fund No limit
Conversion of materials and equipment fund No limit
Commissioner's travel reimbursement fund No limit
Provided, That expenditures may be made from the commissioner's travel
reimbursement fund only to reimburse the commissioner of insurance,
or any designated employee, for expenses incurred for in-state or out-of-
state travel for official purposes, including travel to meetings of public or
private associations: Provided further, That all moneys received by the
commissioner of insurance for such travel from any non-state agency
source shall be deposited in the state treasury to the credit of this fund.

Workers compensation fund No limit
Provided, That expenditures from the workers compensation fund for
attorney fees and other costs and benefit payments may be made regard-
less of when services were rendered or when the initial award of benefits
was made.

State firefighters relief fund No limit
Insurance company tax and fee refund fund No limit
Group-funded workers' compensation pools fee fund No limit
Municipal group-funded pools fee fund No limit
Uninsurable health insurance plan fund No limit
Senior health insurance counseling for Kansans fund No limit
Provided, That expenditures from the senior health insurance counseling
for Kansans fund for official hospitality shall not exceed $2,000.

Insurance education and training fund No limit
Provided, That expenditures may be made from the insurance education
and training fund for training programs and official hospitality: Provided
further, That the insurance commissioner is hereby authorized to fix,
charge and collect fees for such training programs: And provided further,
That fees for such training programs shall be fixed in order to collect all
or part of the operating expenses incurred for such training programs,
including official hospitality: And provided further, That all fees received
for such training programs shall be deposited in the state treasury and
credited to this fund.

Federal grants fund No limit
Provided, That the above agency is authorized to make expenditures from
the federal grants fund of any moneys credited to this fund from any
individual grant if the grant is: (1) Equal to or less than $250,000 in the
aggregate, and (2) does not require the matching expenditure of any other
moneys in the state treasury during the current or any ensuing fiscal year:
Provided, however, That no grant that is greater than $250,000 in the
aggregate or that requires the matching expenditure of any other moneys
in the state treasury during the current or ensuing fiscal year, shall be
deposited to the credit of this fund.

 Sec. 110.

HEALTH CARE STABILIZATION FUND
BOARD OF GOVERNORS
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Health care stabilization fund No limit
 (b) Expenditures from the health care stabilization fund for the fiscal
year ending June 30, 2002, other than refunds authorized by law for the
following specified purposes shall not exceed the limitations prescribed
therefor as follows:

Operating expenditures $934,022
Provided, That expenditures from the operating expenditures account for
official hospitality shall not exceed $300.

Fees--legal and professional services No limit
Provided, That expenditures from the fees--legal and professional serv-
ices account for attorney fees and other professional service fees may be
made regardless of when services were rendered or when the judgment
or settlement was made.

Claims and benefits No limit
Provided, That expenditures from the claims and benefits account for
claim and benefit payments may be made regardless of when services
were rendered or when the judgment or settlement was made.

 Sec. 111.

JUDICIAL COUNCIL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $230,718
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $2,890 except upon approval of
the state finance council: Provided further, That no expenditures shall be
made from this account for any study requested by one or more members
of the legislature unless the study request was submitted in writing to the
legislative coordinating council and the study request was approved by
the legislative coordinating council prior to the study request being sub-
mitted to the judicial council: And provided further, That such limitation
shall not apply to any study requested by a standing committee of either
house of the legislature or any legislative committee established by stat-
ute.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Grants and gifts fund No limit
Provided, That all private grants and gifts and federal grants received by
the judicial council, other than moneys received as grants, gifts or dona-
tions for the preparation, publication or distribution of legal publications,
shall be deposited to the credit of the grants and gifts fund.

Publications fee fund No limit
Provided, That the judicial council is hereby authorized to fix, charge and
collect fees for sale and distribution of legal publications in order to re-
cover direct and indirect costs incurred for preparation, publication and
distribution of legal publications: Provided further, That such fees may
be fixed in order to recover all or part of such costs: And provided further,
That all moneys received from such fees shall be deposited in the state
treasury and credited to the publications fee fund: And provided further,
That all moneys received as gifts, grants or donations for the preparation,
publication or distribution of legal publications shall be deposited in the
state treasury to the credit of the publications fee fund.

 (c) On June 30, 2002, the director of accounts and reports shall transfer
the amount of any unencumbered balance in the publications fee fund
as of June 30, 2002, in excess of $175,000 from the publications fee fund
to the state general fund.

 Sec. 112.

STATE BOARD OF INDIGENTS' DEFENSE SERVICES
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $13,044,016
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the operating expenditures account is hereby reappropriated
to the operating expenditures account for fiscal year 2002: Provided fur-
ther, That any expenditures for indigents' defense services are authorized
to be made from the operating expenditures account regardless of when
services were rendered: And provided further, That expenditures may be
made from the operating expenditures account for negotiated contracts
for malpractice insurance for public defenders and deputy or assistant
public defenders: And provided further, That all contracts for malpractice
insurance for public defenders and deputy or assistant public defenders
shall be negotiated and purchased by the state board of indigents' defense
services, shall not be subject to approval or purchase by the committee
on surety bonds and insurance under K.S.A. 75-4114 and 75-6111 and
amendments thereto and shall not be subject to the provisions of K.S.A.
75-3739 and amendments thereto.

Capital defense operations $1,373,690
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the capital defense operations account is hereby reappro-
priated for fiscal year 2002.

Legal services for prisoners $497,218
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Indigents' defense services fund No limit
Provided, That expenditures may be made from the indigents' defense
services fund for the purpose of assigned counsel and other professional
services related to contract cases.

Inservice education workshop fee fund No limit
Provided, That expenditures may be made from the inservice education
workshop fee fund for operating expenditures, including official hospi-
tality, incurred for inservice workshops and conferences: Provided fur-
ther, That the state board of indigents' defense services is hereby au-
thorized to fix, charge and collect fees for inservice workshops and
conferences: And provided further, That such fees shall be fixed in order
to recover all or part of such operating expenditures incurred for inservice
workshops and conferences: And provided further, That all fees received
for inservice workshops and conferences shall be deposited in the state
treasury and credited to the inservice education workshop fee fund.

 Sec. 113.

JUDICIAL BRANCH
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Judiciary operations $79,623,104
Provided, That any unencumbered balance in the judiciary operations
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $7,683 except upon approval by
the state finance council: Provided further, That contracts for computer
input of judicial opinions under this appropriation shall be executed in
the name of the supreme court by the chief justice and may be interre-
lated with contracts for the comprehensive legislative information system:
And provided further, That all such contracts for computer input of ju-
dicial opinions and all purchases thereunder shall not be subject to the
provisions of K.S.A. 75-3739 and amendments thereto: And provided fur-
ther, That expenditures may be made from the judicial operations account
for contingencies without limitation at the discretion of the chief justice:
And provided further, That expenditures from the judicial operations ac-
count for such contingencies shall not exceed $25,000: And provided fur-
ther, That expenditures from the judicial operations account for official
hospitality shall not exceed $4,000: And provided further, That expendi-
tures shall be made from the judicial operations account for the travel
expenses of panels of the court of appeals for travel to cities across the
state to hear appealed cases.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Library report fee fund No limit
Judiciary technology fund No limit
Judicial branch gifts fund No limit
Dispute resolution fund No limit
Judicial branch education fund No limit
Conversion of materials and equipment fund No limit
Child welfare federal grant fund No limit
Child support enforcement contractual agreement fund No limit
Bar admission fee fund No limit
Permanent families account--family and children investment fund No limit
Duplicate law book fund No limit
Court reporter fund No limit
Access to justice fund No limit
Judicial technology and building and grounds fund No limit
Judicial branch nonjudicial salary initiative fund No limit
 Sec. 114.

KANSAS PUBLIC EMPLOYEES RETIREMENT SYSTEM
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Kansas public employees retirement fund No limit
Provided, That no expenditures may be made from the Kansas public
employees retirement fund other than for benefits, investments, refunds
authorized by law, and other purposes specifically authorized by this or
other appropriation act.

Group insurance reserve fund No limit
Optional death benefit plan reserve fund No limit
Kansas endowment for youth fund No limit
Senior services trust fund No limit
Family and children endowment account--family and children investment fund No limit
Non-retirement administration fund No limit
Provided, That the executive officer of the Kansas public employees re-
tirement system shall certify to the director of accounts and reports the
amount of moneys to transfer from the Kansas endowment for youth
fund, the senior services trust fund, the family and children endowment
account--family and children investment fund, and the unclaimed prop-
erty account of the state general fund for the purpose of reimbursing the
costs of non-retirement related administrative activities and investment-
related expenses for managing such funds in accordance with K.S.A. 2000
Supp. 74-4909b, and amendments thereto.

 (b) Expenditures may be made from the expense reserve of the Kansas
public employees retirement fund for the fiscal year ending June 30,
2002, for the following specified purposes:

Agency operations $6,327,726
Provided, That expenditures from the agency operations account may be
made for official hospitality.

Investment-related expenses No limit
KPERS technology project No limit
 (c) Expenditures may be made from the non-retirement administration
fund for the fiscal year ending June 30, 2002, for the following specified
purposes:

Agency operations $255,000
Investment-related expenses No limit
 Sec. 115.

KANSAS HUMAN RIGHTS COMMISSION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $1,471,235
Provided, That any unencumbered balance in the operating expenditures
account and in the contract investigative services account in excess of
$100 as of June 30, 2001, is hereby reappropriated to the operating ex-
penditures account for fiscal year 2002: Provided, however, That expend-
itures from such reappropriated balance shall not exceed $22,257 except
upon approval of the state finance council: Provided further, That ex-
penditures from this account for official hospitality shall not exceed $150:
And provided further, That expenditures for mediation services con-
tracted with Kansas legal services shall be made only upon certification
by the executive director of the human rights commission to the director
of accounts and reports that private moneys are available to match the
expenditure of state moneys on a $1 of private moneys to $3 of state
moneys basis.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Federal fund No limit
Conversion of materials and equipment fund No limit
Annual banquet fund No limit
Provided, That expenditures may be made from the annual banquet fund
for operating expenditures for the commission's annual banquet, includ-
ing official hospitality: Provided further, That the executive director is
hereby authorized to fix, charge and collect fees for such banquet: And
provided further, That such fees shall be fixed in order to recover all or
part of the operating expenses incurred for such banquet, including of-
ficial hospitality: And provided further, That all fees received for such
banquet shall be credited to this fund.

Education and training fund No limit
Provided, That expenditures may be made from the education and train-
ing fund for operating expenditures for the commission's education and
training programs for the general public: Provided further, That the ex-
ecutive director is hereby authorized to fix, charge and collect fees for
such programs: And provided further, That such fees shall be fixed in
order to recover all or part of the operating expenses incurred for such
training programs, including official hospitality: And provided further,
That all fees received for such programs shall be credited to this fund.

 Sec. 116.

STATE CORPORATION COMMISSION
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Public service regulation fund No limit
Motor carrier license fees fund No limit
Conservation fee fund No limit
Provided, That any expenditure made from the conservation fee fund for
plugging abandoned wells, cleanup of pollution from oil and gas activities
and testing of wells shall be in addition to any expenditure limitation
imposed on this fund: Provided further, That expenditures may be made
from this fund for debt collection and set-off administration: And pro-
vided further, That a percentage of the fees collected, not to exceed 27%,
shall be transferred from the conservation fee fund to the department of
administration accounting services recovery fund for services rendered in
collection efforts: And provided further, That all expenditures made from
the conservation fee fund for debt collection and set-off administration
shall be in addition to any expenditure limitation imposed on this fund:
And provided further, That the state corporation commission shall in-
clude as part of the fiscal year 2003 budget estimates for the state cor-
poration commission submitted pursuant to K.S.A. 75-3717 and amend-
ments thereto, a three-year projection of receipts to and expenditures
from the conservation fee fund for fiscal years 2003, 2004 and 2005.

Gas pipeline inspection fee fund No limit
Abandoned oil and gas well fund No limit
Gas pipeline safety program--federal fund No limit
Energy related grants fund No limit
Energy grants management fund No limit
Alternative fuels and transportation initiatives grant--federal fund No limit
Energy conservation plan--federal fund No limit
Underground injection control class II--federal fund No limit
Inservice education workshop fee fund No limit
Provided, That expenditures may be made from the inservice education
workshop fee fund for operating expenditures, including official hospi-
tality, incurred for inservice workshops and conferences conducted by the
state corporation commission for staff and members of the state corpo-
ration commission: Provided further, That the state corporation commis-
sion is hereby authorized to fix, charge and collect fees for such inservice
workshops and conferences: And provided further, That such fees shall
be fixed in order to recover all or part of the operating expenditures
incurred for conducting such inservice workshops and conferences: And
provided further, That all moneys received for such fees shall be depos-
ited in the state treasury and credited to this fund.

Base state registration clearing fund No limit
Suspense fund No limit
Data management system fund No limit
 (b) Expenditures for the fiscal year ending June 30, 2002, by the state
corporation commission from the public service regulation fund, the mo-
tor carrier license fees fund and the conservation fee fund shall not ex-
ceed, in the aggregate, $13,368,898: Provided, That, within such limita-
tion on the aggregate of expenditures, expenditures made for fiscal year
2002 from the public service regulation fund, the motor carrier license
fees fund and the conservation fee fund for official hospitality shall not
exceed, in the aggregate, $600.

 (c) Expenditures for the fiscal year ending June 30, 2002, by the state
corporation commission from the conservation fee fund or the abandoned
oil and gas well fund may be made for the service of independent on-site
supervision of well plugging contracts: Provided, That all expenditures
from the conservation fee fund or the abandoned oil and gas well fund
for the purpose of plugging of abandoned oil and gas wells shall be subject
to the competitive bidding requirements of K.S.A. 75-3739, and amend-
ments thereto, and shall not be exempt from such competitive bidding
requirements on the basis of the estimated amount of such purchases.

 Sec. 117.

CITIZENS' UTILITY RATEPAYER BOARD
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Utility regulatory fee fund $555,019
Provided, That expenditures may be made by the citizens' utility ratepayer
board from the utility regulatory fee fund pursuant to contracts for pro-
fessional services, which are hereby authorized to be entered into by the
board: Provided further, That such professional services shall include but
are not limited to the services of engineers, accountants, attorneys and
economists, to assist in carrying out the duties of the board, which assis-
tance may include preparation and presentation of expert testimony,
when the expenses of such professional services are required to be as-
sessed under K.S.A. 66-1502 and amendments thereto against the public
utilities involved: And provided further, That such contracts shall be ne-
gotiated by a negotiating committee composed of the following persons:
The consumer counsel of the citizens' utility ratepayer board or the con-
sumer counsel's designee, the director of the budget or that director's
designee, the director of accounts and reports or that director's designee,
and the chairperson of the citizens' utility ratepayer board or the chair-
person's designee: And provided further, That the consumer counsel of
the citizens' utility ratepayer board or the consumer counsel's designee
shall convene the negotiating committee for each such contract and the
negotiating committee shall consider all proposals by persons applying to
perform such contract and shall award the contract: And provided further,
That such contracts shall not be subject to the provisions of K.S.A. 75-
3739 and amendments thereto or to the provisions of the acts contained
in article 58 of chapter 75 of the Kansas Statutes Annotated.

 (b) On July 1, 2001, October 1, 2001, January 1, 2002, and April 1,
2002, or as soon after each such date as moneys are available, and upon
receipt of certification by the state corporation commission of the amount
to be transferred, the director of accounts and reports shall transfer from
the public service regulation fund of the state corporation commission to
the utility regulatory fee fund of the citizens' utility ratepayer board all
moneys assessed by the state corporation commission for the citizens'
utility ratepayer board under K.S.A. 66-1502 or 66-1503 and amendments
thereto and deposited in the state treasury to the credit of the public
service regulation fund.

 Sec. 118.

DEPARTMENT OF ADMINISTRATION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Department of administration operations $16,546,132
Provided, That any unencumbered balance in the department of admin-
istration operations account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002: Provided, however, That ex-
penditures from such reappropriated balance shall not exceed $143,336
except upon approval of the state finance council: Provided further, That
in addition to other positions within the department of administration in
the unclassified service as prescribed by law, expenditures may be made
from the department of administration operations account for three em-
ployees in the unclassified service under the Kansas civil service act: And
provided further, That expenditures from this account for official hospi-
tality shall not exceed $1,000.

Budget analysis $1,388,585
Provided, That any unencumbered balance in the budget analysis account
in excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002: Provided further, That expenditures from this account for of-
ficial hospitality shall not exceed $1,000.

Public broadcasting council grants $2,078,009
Provided, That any unencumbered balance in the public broadcasting
council grants account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided further, That all expendi-
tures from the public broadcasting council grants account for capital
equipment shall be made to provide matching funds for federal capital
equipment grants awarded to eligible public broadcasting stations: And
provided further, That expenditures from this account may be made to
provide matching funds for capital equipment projects funded from any
nonstate source in the event federal capital equipment grants are not
awarded: And provided further, That in the event the federal facility pro-
grams cease to exist or fail to conduct grant solicitations, expenditures
may be made from this account to provide matching funds for capital
equipment projects funded from any nonstate source without first apply-
ing for federal capital equipment grants.

Public TV digital conversion debt service $500,000
Policy analysis initiatives $129,253
Provided, That any unencumbered balance in the policy analysis initia-
tives account in excess of $100 as of June 30, 2001, is hereby reappro-
priated for fiscal year 2002: Provided further, That expenditures from this
account for official hospitality shall not exceed $3,000.

Long-term care ombudsman $141,230
Provided, That any unencumbered balance in the long-term care om-
budsman account in excess of $100 as of June 30, 2001, is hereby reap-
propriated for fiscal year 2002: Provided, however, That expenditures for
such reappropriated balance shall be made only upon approval of the
state finance council: Provided further, That expenditures from this ac-
count for official hospitality shall not exceed $400.

Signature building relocation costs $637,476
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds or indirect cost
recoveries authorized by law shall not exceed the following:

Federal cash management fund No limit
State leave payment reserve fund No limit
State budget stabilization fund $0
Building and ground fund No limit
General fees fund No limit
Provided, That expenditures may be made from the general fees fund for
operating expenditures for the division of personnel services, including
human resources programs and official hospitality: Provided further, That
the director of personnel services is hereby authorized to fix, charge and
collect fees: And provided further, That fees shall be fixed in order to
recover all or part of the operating expenses incurred, including official
hospitality: And provided further, That all fees received, including fees
received under the open records act for providing access to or furnishing
copies of public records, shall be credited to this fund.

Human resource information systems cost recovery fund No limit
Budget fees fund No limit
Provided, That expenditures may be made from the budget fees fund for
operating expenditures for the division of the budget, including training
programs and official hospitality: Provided further, That the director of
the budget is hereby authorized to fix, charge and collect fees for such
training programs: And provided further, That fees for such training pro-
grams shall be fixed in order to recover all or part of the operating ex-
penses incurred for such training programs, including official hospitality:
And provided further, That all fees received for such training programs
and all fees received by the division of the budget under the open records
act for providing access to or furnishing copies of public records, shall be
credited to this fund.

Purchasing fees fund No limit
Provided, That expenditures may be made from the purchasing fees fund
for operating expenditures of the division of purchases, including training
seminars and official hospitality: Provided further, That the director of
purchases is hereby authorized to fix, charge and collect fees for operating
expenditures incurred to reproduce and disseminate purchasing infor-
mation, administer vendor applications, administer state contracts and
conduct training seminars, including official hospitality: And provided fur-
ther, That such fees shall be fixed in order to recover all or part of such
operating expenses: And provided further, That all moneys received for
such fees and all moneys received pursuant to the state travel services
contract shall be deposited in the state treasury to the credit of this fund.

Architectural services fee fund No limit
Provided, That expenditures may be made from the architectural services
fee fund for operating expenditures for distribution of architectural in-
formation: Provided further, That the director of architectural services is
hereby authorized to fix, charge and collect fees for reproduction and
distribution of architectural information: And provided further, That such
fees shall be fixed in order to recover all or part of the operating expenses
incurred for reproducing and distributing architectural information: And
provided further, That all fees received for such reproduction and distri-
bution of architectural information shall be credited to this fund.

Budget equipment conversion fund No limit
Conversion of materials and equipment fund No limit
Architectural services equipment conversion fund No limit
Property contingency fund No limit
Flood control emergency--federal fund No limit
Information technology fund No limit
Information technology reserve fund No limit
Computer services recovery fund No limit
Provided, That expenditures may be made from the computer services
recovery fund to provide central computer system development services,
which shall be in addition to data processing services provided under
K.S.A. 75-4704 and amendments thereto to other state agencies: Provided
further, That the secretary of administration is hereby authorized, in ac-
cordance with the procedures and guidelines prescribed by K.S.A. 75-
4703 and amendments thereto, to fix, charge and collect fees for such
central computer system development services to other state agencies:
And provided further, That such fees shall be fixed in order to recover
all or part of the operating expenses incurred in providing such services:
And provided further, That all fees received for such services shall be
credited to this fund: And provided further, That all expenditures for the
personnel/payroll project shall be made from the personnel/payroll pro-
ject program account of this fund: And provided further, That amounts
may be transferred into this account from any state general fund account
or any special revenue fund of the department of administration or any
other state agency.

State buildings operating fund No limit
Provided, That expenditures may be made from the state buildings op-
erating fund for operating and other expenses for the Hiram Price Dillon
House: Provided further, That the secretary of administration is hereby
authorized to fix, charge and collect fees for use of the rooms and other
facilities of the Hiram Price Dillon House in accordance with policies
adopted by the legislative coordinating council under K.S.A. 75-3682 and
amendments thereto for approving the use of such property: And pro-
vided further, That fees for approved use of such property shall be rea-
sonable and directly related to the costs of such use and shall be fixed in
order to recover all or part of the operating expenses incurred for such
use: And provided further, That all moneys received for such fees shall
be deposited in the state treasury and credited to the state buildings
operating fund: And provided further, That the secretary of administra-
tion is hereby authorized to fix, charge and collect a real estate property
leasing services fee at a reasonable rate per square foot of space leased
by state agencies as approved by the secretary of administration under
K.S.A. 75-3739 and amendments thereto to recover the costs incurred by
the department of administration in providing services to state agencies
relating to leases of real property: And provided further, That each state
agency that is party to a lease of real property that is approved by the
secretary of administration under K.S.A. 75-3739 and amendments
thereto shall remit to the secretary of administration the real estate prop-
erty leasing services fee upon receipt of the billing therefor: And provided
further, That all moneys received for real estate property leasing services
fees shall be deposited in the state treasury and credited to the state
buildings operating fund: And provided further, That the net proceeds
from the sale of all or any part of the Topeka state hospital property, as
defined by subsection (a) of K.S.A. 2000 Supp. 75-37,123 and amend-
ments thereto shall be deposited in the state treasury and credited to the
state buildings operating fund.

Accounting services recovery fund No limit
Provided, That expenditures may be made from the accounting services
recovery fund for the operating expenditures, including official hospital-
ity, of the department of administration: Provided further, That the sec-
retary of administration is hereby authorized to fix, charge and collect
fees for services or sales provided by the department of administration
which are not specifically authorized by any other statute: And provided
further, That all fees received for such services or sales shall be credited
to this fund.

Architectural services recovery fund No limit
Provided, That expenditures may be made from the architectural services
recovery fund for operating expenditures for the division of architectural
services: Provided further, That notwithstanding the provisions of sub-
section (b) of K.S.A. 75-4403 and amendments thereto, the director of
architectural services may exchange an employee with the attorney gen-
eral's office to assist in the enforcement of K.S.A. 58-1301 et seq.: And
provided further, That the director of architectural services is hereby
authorized to charge and collect fees for services provided to other state
agencies not directly related to the construction of a capital improvement
project: And provided further, That the director of architectural services
is hereby authorized to charge and collect (1) a fee equal to 1% of the
estimated cost of each capital improvement project for a state agency
which is not financed, in whole or in part, by gifts, bequests, or donations
made by one or more private individuals or other private entities and for
which the division provides architectural, engineering or management
services or, in the case of any capital improvement project for a state
agency which is partially financed by gifts, bequests or donations made
by one or more private individuals or other private entities, a fee equal
to 1% of the proportional amount of the estimated cost of such capital
improvement project which is not financed by gifts, bequests or donations
made by one or more private individuals or other private entities and for
which the division provides architectural, engineering or management
services, and (2) an additional fee equal to 6% of the construction cost of
each capital improvement project for which the division provides in-house
architectural and engineering design services: And provided further, That
such services shall be subject to the limitations of K.S.A. 75-1253 and
amendments thereto: And provided further, That all fees received for
such services shall be credited to this fund.

Motor pool service fund No limit
Motor pool service depreciation reserve fund No limit
Kansas public employees retirement clearing fund No limit
Intragovernmental printing service fund No limit
Intragovernmental printing service depreciation reserve fund No limit
Central aircraft fund No limit
Provided, That expenditures may be made from the central aircraft fund
to provide central aircraft services to other state agencies and to purchase
liability and property damage insurance for state aircraft: Provided fur-
ther, That the secretary of administration is hereby authorized to fix,
charge and collect fees for central aircraft services to other state agencies:
And provided further, That such fees shall be fixed in order to recover
all or part of the operating expenses incurred in providing such services:
And provided further, That all fees received for such services shall be
credited to this fund.

Municipal accounting and training services recovery fund No limit
Provided, That expenditures may be made from the municipal accounting
and training services recovery fund to provide general ledger, payroll
reporting, utilities billing, data processing, and accounting services to mu-
nicipalities and to provide training programs conducted for municipal
government personnel, including official hospitality: Provided further,
That the director of accounts and reports is hereby authorized to fix,
charge and collect fees for such services and programs: And provided
further, That such fees shall be fixed to cover all or part of the operating
expenditures incurred in providing such services and programs, including
official hospitality: And provided further, That all fees received for such
services and programs, including official hospitality, shall be credited to
this fund.

Canceled warrants payment fund No limit
Executive mansion gifts fund No limit
State facilities gift fund No limit
Veterans memorial fund No limit
State emergency fund No limit
Bid and contract deposit fund No limit
State workers compensation self-insurance fund No limit
Provided, That expenditures shall be made from the state workers com-
pensation self-insurance fund for a contract with the secretary of human
resources to implement and administer the state workplace health and
safety program for state employees in accordance with K.S.A. 44-575 and
amendments thereto, which contract is hereby authorized and directed
to be entered into between the secretary of administration and the sec-
retary of human resources: Provided further, That, pursuant to policies
and procedures prescribed by the secretary of administration, the director
of accounts and reports shall transfer an amount certified pursuant to
such contract by the secretary of administration from the state workers
compensation self-insurance fund of the department of administration to
the state workplace health and safety program fund of the department of
human resources.

Health and hospitalization insurance clearing fund No limit
Federal withholding tax clearing fund No limit
State gaming revenues fund No limit
Health insurance premium reserve fund No limit
Excise tax refund clearing fund No limit
State withholding tax clearing fund No limit
Unemployment compensation tax clearing fund No limit
Construction defects recovery fund No limit
Provided, That, during the fiscal year ending June 30, 2002, upon certi-
fication by the secretary of administration to the director of accounts and
reports that the unencumbered balance in the construction defects re-
covery fund is insufficient to pay an amount that is necessary to finance
expenses related to efforts by the state of Kansas to recover damages
incidental to construction defects on capital projects involving state facil-
ities, the director of accounts and reports shall transfer an amount equal
to the insufficient amount from the architectural services recovery fund
to the construction defects recovery fund: Provided, however, That the
total of all such amounts transferred from the architectural services re-
covery fund to the construction defects recovery fund during fiscal year
2002 shall not exceed $300,000.

Preventive health care program fund No limit
Facilities conservation improvement fund No limit
State revolving fund services fee fund No limit
Cafeteria benefits fund No limit
Provided, That expenditures from the cafeteria benefits fund for salaries
and wages and other operating expenditures shall not exceed $2,592,693.

Dependent care assistance program fund No limit
Conversion of materials and equipment--recycling program fund No limit
Employees faithful performance bond clearing fund No limit
Deferred compensation clearing fund No limit
Equipment lease purchase program administration clearing fund No limit
Suspense fund No limit
Series E savings bond clearing fund No limit
Optional life insurance clearing fund No limit
Employee organization dues clearing fund No limit
United Way contributions clearing fund No limit
Setoff clearing fund No limit
Parking fees clearing fund No limit
Electronic funds transfer suspense fund No limit
State employee contribution clearing fund for OASDHI No limit
Intergovernmental cooperation agreement for development of statewide cost allocation plan clearing fund No limit
Medicare fund clearing account No limit
Ad Astra sculpture fund No limit
State capitol dome sculpture fund No limit
Provided, That, notwithstanding the provisions of K.S.A. 75-2249 and
amendments thereto, all expenditures from the state capitol dome sculp-
ture fund shall be made in accordance with appropriations acts upon
warrants of the director of accounts and reports issued pursuant to vouch-
ers approved by the secretary of administration, or the secretary's des-
ignee: Provided further, That all moneys received by the department of
administration in the form of grants, gifts, contributions or bequests made
for the purpose of financing the cost of acquiring and placing atop the
capitol the work of sculpture selected pursuant to statute shall be depos-
ited in the state treasury and credited to this fund and all such grants,
gifts, contributions or bequests are hereby authorized to be received by
the department of administration.

Statewide training enterprise fund No limit
Provided, That expenditures may be made from the statewide training
enterprise fund for operating expenditures for the division of personnel
services, including training programs and official hospitality: Provided fur-
ther, That the director of personnel services is hereby authorized to fix,
charge and collect fees: And provided further, That fees shall be fixed in
order to recover all or part of the operating expenses incurred, including
official hospitality.

Public school districts benefit fund No limit
Administrative hearings office fund No limit
Older Americans act long term care ombudsman federal fund No limit
Long term care ombudsman gift and grant fund No limit
 (c) On July 1, 2001, the director of accounts and reports shall transfer
$210,000 from the state highway fund to the state general fund for the
purpose of reimbursing the state general fund for the cost of providing
purchasing services to the department of transportation.

 (d) During the fiscal year ending June 30, 2002, the secretary of ad-
ministration is authorized to approve refinancing of equipment being fi-
nanced by state agencies through the department's equipment financing
program. Such project is approved for the purposes of subsection (b) of
K.S.A. 74-8905 and amendments thereto.

 (e) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer energy conservation savings
of $156,392 from the state buildings operating fund to the state general
fund.

 (f) In addition to the purposes for which expenditures may be made
by the above agency from moneys appropriated in any capital improve-
ment account of any special revenue fund or in any capital improvement
account of the state general fund for the above agency for fiscal year 2002
by this or other appropriation act of the 2001 regular session of the leg-
islature, expenditures may be made by the above agency from any such
capital improvement account of any special revenue fund or any such
capital improvement account of the state general fund for fiscal year 2002
for the purpose of making emergency repairs to any facility that is under
the charge, care, management or control of the department of adminis-
tration as provided by law: Provided, That the secretary of administration
shall make a full report on such repairs and expenditures to the director
of the budget and the director of the legislative research department.

 (g) During the fiscal year ending June 30, 2002, the director of the
office of administrative hearings of the department of administration shall
prepare and submit to the secretary of social and rehabilitation services
a billing invoice each month in the amount equal to 1/12 of $784,634, for
administrative hearing services performed by the department of admin-
istration for the department of social and rehabilitation services: Provided,
That the amount to be billed may be adjusted as provided in writing by
mutual agreement between the secretary of social and rehabilitation serv-
ices and the secretary of administration: Provided further, That the
amount specified in the monthly invoice shall be paid from the appro-
priate fund or funds of the department of social and rehabilitation services
into the administrative hearings office fund of the department of admin-
istration.

 (h) During the fiscal year ending June 30, 2002, the state long-term
care ombudsman shall prepare and submit to the secretary of aging a
billing invoice each month in the amount equal to 1/12 of $306,722 for
long-term care ombudsman services performed by the state long-term
care ombudsman and the office of the state long-term care ombudsman
within the department of administration for the department on aging:
Provided, That the amount to be billed may be adjusted as provided in
writing by mutual agreement between the state long-term care ombuds-
man and the secretary of aging: Provided further, That the amount spec-
ified in the monthly invoice shall be paid from the appropriate fund or
funds of the department on aging into the older Americans act long term
care ombudsman federal fund of the department of administration.

 (i) On July 1, 2001, any unencumbered balance as of June 30, 2001, in
each of the following accounts of the state general fund is hereby lapsed:
Performance review board; ksip--performance review board.

 (j) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the Kansas performance review board fund to the state
general fund. On July 1, 2001, all liabilities of the Kansas performance
review board fund, including any outstanding encumbrances, are hereby
transferred to and imposed upon the state general fund and the Kansas
performance review board fund is hereby abolished.

 (k) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the retirement salary recapture fund to the state general
fund. On July 1, 2001, all liabilities of the retirement salary recapture
fund, including any outstanding encumbrances, are hereby transferred to
and imposed on the state general fund and the retirement salary recapture
fund is hereby abolished.

 (l) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--Smoky Hills public tv equipment fund to the
state economic development initiatives fund. On July 1, 2001, all liabilities
of the EDIF--Smoky Hills public tv equipment fund, including any out-
standing encumbrances, are hereby transferred to and imposed on the
state economic development initiatives fund and the EDIF--Smoky Hills
public tv equipment fund is hereby abolished.

 (m) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the flexible spending fund to the state general fund. On
July 1, 2001, all liabilities of the flexible spending fund, including any
outstanding encumbrances, are hereby transferred to and imposed on the
state general fund and the flexible spending fund is hereby abolished.

 (n) On July 1, 2001, the director of accounts and reports shall transfer
$1,000,000 from the state workers compensation self-insurance fund of
the department of administration to the state general fund.

 (o) (1) On July 1, 2001, the director of accounts and reports shall record
a debit to the state treasurer's receivables for the children's initiatives
fund and shall record a corresponding credit to children's initiatives fund
in an amount certified by the director of the budget which shall be equal
to 50% of the amount estimated by the director of the budget to be
transferred and credited to the children's initiatives fund during the fiscal
year ending June 30, 2002, except that such amount shall be proportion-
ally adjusted during fiscal year 2002 with respect to any change in the
moneys to be transferred and credited to the children's initiatives fund
during fiscal year 2002. Among other appropriate factors, the director of
the budget shall take into consideration the estimated and actual receipts
and interest earnings of the Kansas endowment for youth fund for fiscal
year 2001 and fiscal year 2002 in determining the amount to be certified
under this subsection. All moneys transferred and credited to the chil-
dren's initiatives fund during fiscal year 2002 shall reduce the amount
debited and credited to the children's initiatives fund under this subsec-
tion.

 (2) On June 30, 2002, the director of accounts and reports shall adjust
the amounts debited and credited to the state treasurer's receivables and
to the children's initiatives fund pursuant to this subsection, to reflect all
moneys actually transferred and credited to the children's initiatives fund
during fiscal year 2002.

 (3) The director of accounts and reports shall notify the state treasurer
of all amounts debited and credited to the children's initiatives fund pur-
suant to this subsection and all reductions and adjustments thereto made
pursuant to this subsection. The state treasurer shall enter all such
amounts debited and credited and shall make reductions and adjustments
thereto on the books and records kept and maintained for the children's
initiatives fund by the state treasurer in accordance with the notice
thereof.

 Sec. 119.

STATE BOARD OF TAX APPEALS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $2,060,014
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $55,768 except upon approval of
the state finance council.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Duplicating fees fund $14,500


 Sec. 120.

DEPARTMENT OF REVENUE
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $32,604,204
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $63,922 except upon approval of
the state finance council: Provided further, That expenditures from this
account for official hospitality shall not exceed $1,500.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Sand royalty fund No limit
Division of vehicles operating fund $31,229,721
Provided, That all receipts collected under authority of K.S.A. 74-2012
and amendments thereto shall be credited to the division of vehicles op-
erating fund: Provided further, That any expenditure from the division of
vehicles operating fund of the department of revenue to reimburse the
audit services fund of the division of post audit for a financial-compliance
audit in an amount certified by the legislative post auditor shall be in
addition to any expenditure limitation imposed on the division of vehicles
operating fund for the fiscal year ending June 30, 2002: And provided
further, That the department of revenue shall make expenditures from
this fund for printing and mailing vehicle renewal notices.

Vehicle dealers and manufacturers fee fund No limit
Kansas qualified agricultural ethyl alcohol producer incentive fund No limit
Local report fee fund No limit
Military retirees income tax refund fund No limit
Conversion of materials and equipment fund No limit
Forfeited property fee fund No limit
Setoff services revenue fund No limit
Publications fee fund No limit
State bingo regulation fund $341,541
Child support enforcement contractual agreement fund No limit
County treasurers' vehicle licensing fee fund No limit
Reappraisal reimbursement fund No limit
Provided, That all moneys received for the costs incurred for conducting
appraisals for any county shall be deposited in the state treasury and
credited to the reappraisal reimbursement fund: Provided further, That
expenditures may be made from this fund for the purpose of conducting
appraisals pursuant to orders of the board of tax appeals under K.S.A. 79-
1479 and amendments thereto.

Special training fund No limit
Provided, That expenditures may be made from the special training fund
for operating expenditures, including official hospitality, incurred for con-
ferences, training seminars, workshops and examinations: Provided fur-
ther, That the secretary of revenue is hereby authorized to fix, charge and
collect fees for conferences, training seminars, workshops and examina-
tions sponsored or cosponsored by the department of revenue: And pro-
vided further, That such fees shall be fixed in order to recover all or part
of the operating expenditures incurred for such conferences, training
seminars, workshops and examinations or for qualifying applicants for
such conferences, training seminars, workshops and examinations: And
provided further, That all fees received for conferences, training semi-
nars, workshops and examinations shall be deposited in the state treasury
and credited to the special training fund.

Recovery fund for enforcement actions and attorney fees No limit
Federal commercial motor vehicle safety fund No limit
Central stores fund No limit
Provided, That expenditures may be made from the central stores fund
to operate and maintain a central stores activity to sell supplies to other
state agencies: Provided further, That all moneys received for such sup-
plies shall be deposited in the state treasury and credited to this fund.

Microfilming fund No limit
Provided, That expenditures may be made from the microfilming fund to
operate and maintain a microfilming activity to sell microfilming services
to other state agencies: Provided further, That all moneys received for
such services shall be deposited in the state treasury and credited to this
fund.

Miscellaneous trust bonds fund No limit
Liquor excise tax guarantee bond fund No limit
Non-resident contractors cash bond fund No limit
Bond guaranty fund No limit
Interstate motor fuel user cash bond fund No limit
Motor fuel distributor cash bond fund No limit
County and city bingo tax fund No limit
Special county mineral production tax fund No limit
County drug tax fund No limit
Escheat proceeds suspense fund No limit
Privilege tax refund fund No limit
Suspense fund No limit
Cigarette tax refund fund No limit
Motor-vehicle fuel tax refund fund No limit
Cereal malt beverage tax refund fund No limit
Income tax refund fund No limit
Sales tax refund fund No limit
Compensating tax refund fund No limit
Alcoholic liquor tax refund fund No limit
Cigarette/tobacco products regulation fund No limit
Motor carrier tax refund fund No limit
Car company tax fund No limit
Protested motor carrier taxes fund No limit
Tobacco products refund fund No limit
Transient guest tax refund fund established by
K.S.A. 12-1694a
No limit
Interstate motor fuel taxes clearing fund No limit
Bingo refund fund No limit
Transient guest tax refund fund established by
K.S.A. 12-16,100
No limit
Inheritance tax abatement refund fund No limit
Interstate motor fuel taxes refund fund No limit
Interfund clearing fund No limit
Local alcoholic liquor clearing fund No limit
International registration plan distribution clearing fund No limit
Rental motor vehicle excise tax refund fund No limit
International fuel tax agreement clearing fund No limit
Mineral production tax refund fund No limit
Special fuels tax refund fund No limit
LP-gas motor fuels refund fund No limit
Local alcoholic liquor refund fund No limit
Sales tax clearing fund No limit
Rental motor vehicle excise tax clearing fund No limit
VIPS/CAMA technology hardware fund No limit
Provided, That expenditures may be made from the VIPS/CAMA tech-
nology hardware fund for CAMA software and VIPS software.

County and city retailers sales tax clearing fund--county and city sales tax No limit
City and county compensating use tax clearing fund No limit
County and city transient guest tax clearing fund No limit
Automated tax systems fund No limit
Dyed diesel fuel fee fund No limit
Electronic databases fee fund $4,655,772
 (c) On July 1, 2001, October 1, 2001, January 1, 2002, and April 1,
2002, the director of accounts and reports shall transfer $7,350,000 from
the state highway fund of the department of transportation to the division
of vehicles operating fund of the department of revenue for the purpose
of financing the cost of operation and general expense of the division of
vehicles and related operations of the department of revenue.

 (d) On August 1, 2001, the director of accounts and reports shall trans-
fer $75,000 from the accounting services recovery fund of the department
of administration to the setoff services revenue fund of the department
of revenue for reimbursing costs of recovering amounts owed state agen-
cies under K.S.A. 75-6201 et seq., and amendments thereto.

 (e) On August 1, 2001, the director of accounts and reports shall trans-
fer $50,000 from the social welfare fund of the department of social and
rehabilitation services to the child support enforcement contractual
agreement fund of the department of revenue to reimburse costs of ad-
ministrative expenses of child support enforcement activities under the
agreement.

 (f) On August 1, 2001, and on the first day of each month thereafter
during fiscal year 2002, the secretary of revenue shall report to the di-
rector of the budget and the director of the legislative research depart-
ment (1) the amount of any increase in the amount of taxes, interest and
penalties collected in the immediately preceding month that is attribut-
able to the implementation of the automated tax systems authorized by
K.S.A. 75-5147 and amendments thereto, and (2) that portion of such
monthly increase in the amount of taxes, interest and penalties which is
currently required to pay one or more vendors pursuant to contracts en-
tered into under K.S.A. 75-5147 and amendments thereto for the acqui-
sition or implementation of such automated tax systems. Upon receipt of
each such report from the secretary of revenue, the director of the budget
and the director of the legislative research department shall jointly certify
to the director of accounts and reports the amount reported that is re-
quired to be paid to such vendors and the director of accounts and reports
shall transfer the amount certified from the state general fund to the
automated tax systems fund of the department of revenue. On or before
October 10, 2001, January 10, 2002, and April 10, 2002, the secretary of
revenue shall submit a report accounting for all amounts credited to and
expended from the automated tax systems fund of the department of
revenue to the director of the budget, the director of the legislative re-
search department, the chairperson of the house committee on appro-
priations and the chairperson of the senate committee on ways and means
and shall submit a report on the implementation of the automated tax
systems to the joint committee on information technology.

 (g) In addition to the purposes for which moneys may be expended by
the above agency for the fiscal year ending June 30, 2002, expenditures
shall be made by the above agency for claiming moneys due and owing
the department of revenue which are held by the state treasurer under
the unclaimed property program.

 (h) In addition to the other purposes for which expenditures may be
made by the above agency from the income tax refund fund for fiscal
year ending 2002 as provided in K.S.A. 79-32,105 and amendments
thereto, and in this or other appropriation act of the 2001 regular session
of the legislature, expenditures may be made by the above agency from
the income tax refund fund during fiscal year 2002 for homestead prop-
erty tax refunds under the homestead property tax refund act.

 Sec. 121.

KANSAS LOTTERY
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Lottery prize payment fund No limit
Lottery operating fund $9,257,161
Provided, That all expenditures from the lottery operating fund for on-
line terminal communication charges, for on-line vendor commission pay-
ments, for instant ticket printing charges, or for refunds and transfers
shall be in addition to any expenditure limitation imposed on this fund:
Provided further, That expenditures from this fund for official hospitality
shall not exceed $5,000: And provided further, That any expenditure from
the lottery operating fund to reimburse the audit services fund of the
division of legislative post audit for a financial-compliance audit in an
amount certified by the legislative post auditor shall be in addition to any
expenditure limitation imposed on the lottery operating fund for the fiscal
year ending June 30, 2002.

 (b) Notwithstanding the provisions of K.S.A. 74-8711 and amendments
thereto, monthly transfers credited for the fiscal year ending June 30,
2002, from the lottery operating fund to the state gaming revenue fund
pursuant to subsection (d) of K.S.A. 74-8711 and amendments thereto
shall be an amount equal to not less than 30.00% of total monthly reve-
nues from the sales of lottery tickets and shares less estimated returned
tickets.

 (c) The director of accounts and reports is hereby directed to credit
any transfer from the lottery operating fund to the state gaming revenues
fund made after June 30, 2001, to the fiscal year commencing on July 1,
2001.

 (d) Notwithstanding any other provision of law, no transfers shall be
made during the fiscal year ending June 30, 2002, to any fund of the
Kansas bureau of investigation for any purpose. All payments for services
provided by the Kansas bureau of investigation shall be paid by the Kansas
lottery in accordance with subsection (b) of K.S.A. 75-5516 and amend-
ments thereto pursuant to bills which are presented in a timely manner
by the Kansas bureau of investigation for services rendered. Any expend-
iture from the lottery operating fund during fiscal year 2002 to reimburse
the Kansas bureau of investigation for professional services and fees in
an amount certified by the director of the Kansas bureau of investigation
shall be in addition to any expenditure limitation imposed on the lottery
operating fund for the fiscal year ending June 30, 2002.

 (e) The executive director of the Kansas lottery is hereby directed to
provide written notification to the chairpersons of the house appropria-
tions committee and senate ways and means committee, the president of
the senate, the speaker of the house of representatives, the minority lead-
ers of the house of representatives and the senate and to the director of
the Kansas legislative research department whenever there is a change in
the state or corporate management staff of the vendor with which the
lottery contracts for online games and services.

 Sec. 122.

KANSAS RACING AND GAMING COMMISSION
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

State racing fund $3,188,533
Provided, That all expenditures from the state racing fund for refunds
and transfers shall be in addition to any expenditure limitation imposed
on this fund: Provided further, That expenditures from this fund for of-
ficial hospitality shall not exceed $2,500: And provided further, That any
expenditure from the state racing fund to reimburse the audit services
fund of the division of legislative post audit for a financial-compliance
audit in an amount certified by the legislative post auditor shall be in
addition to any expenditure limitation imposed on the state racing fund
for the fiscal year ending June 30, 2002.

Racing reimbursable expense fund No limit
Racing applicant deposit fund No limit
Kansas horse breeding development fund No limit
Kansas greyhound breeding development fund No limit
Racing investigative expense fund No limit
Horse fair racing benefit fund No limit
Tribal gaming fund No limit
Provided, That expenditures from the tribal gaming fund for the fiscal
year ending June 30, 2002, for official hospitality shall not exceed $1,500.

 (b) On July 1, 2001, the director of accounts and reports shall transfer
$450,000 from the state general fund to the tribal gaming fund of the
Kansas racing and gaming commission.

 (c) During the fiscal year ending June 30, 2002, the director of accounts
and reports shall transfer one or more amounts certified by the executive
director of the state gaming agency from the tribal gaming fund to the
state general fund: Provided, That all such transfers shall be for the pur-
pose of reimbursing the state general fund for the amount equal to the
net amount obtained by subtracting (1) the aggregate of any costs in-
curred by the state gaming agency during fiscal year 2002 for any arbi-
tration or litigation in connection with the administration and enforce-
ment of tribal-state gaming compacts or the provisions of the tribal
gaming oversight act, from (2) the aggregate of the amounts transferred
to the tribal gaming fund of the Kansas racing and gaming commission
during fiscal year 2002 for the operating expenditures for the state gaming
agency and any other expenses incurred in connection with the admin-
istration and enforcement of tribal-state gaming compacts or the provi-
sions of the tribal gaming oversight act.

 (d) Notwithstanding any other provision of law, no transfers shall be
made during the fiscal year ending June 30, 2002, from the state racing
fund to any fund of the Kansas bureau of investigation for any purpose.
All payments during the fiscal year ending June 30, 2002, for services
provided by the Kansas bureau of investigation shall be paid by the Kansas
racing and gaming commission in accordance with subsection (b) of
K.S.A. 75-5516 and amendments thereto, pursuant to bills which are pre-
sented in a timely manner by the Kansas bureau of investigation for serv-
ices rendered. Any expenditure from the state racing fund during fiscal
year 2002 to reimburse the Kansas bureau of investigation for professional
services and fees in an amount certified by the director of the Kansas
bureau of investigation shall be in addition to any expenditure limitation
imposed on the state racing fund for the fiscal year ending June 30, 2002.

 (e) In addition to the other purposes for which expenditures may be
made from the moneys appropriated in the tribal gaming fund for fiscal
year 2002 for the Kansas racing and gaming commission by this or other
appropriation act of the 2001 regular session of the legislature, expendi-
tures may be made from the tribal gaming fund for fiscal year 2002 for
the state gaming agency regulatory oversight of class III gaming, including
but not limited to the regulatory oversight and law enforcement activities
of monitoring compliance with tribal-state gaming compacts and con-
ducting investigations of violations of tribal-state gaming compacts, in-
vestigations of criminal violations of the laws of this state at tribal gaming
facilities, criminal violations of the tribal gaming oversight act, and inves-
tigations of other criminal activities related to tribal gaming, which are
hereby authorized.

 (f) In addition to the other purposes for which expenditures may be
made from the moneys appropriated in the state racing fund for fiscal
year 2002 for the Kansas racing and gaming commission by this or other
appropriation act of the 2001 regular session of the legislature, expendi-
tures may be made from the state racing fund for fiscal year 2002 for
paying salaries and wages of agency personnel performing criminal history
record checks, background investigations and other investigations speci-
fied in statute: Provided, That, notwithstanding any other provision of
law, including K.S.A. 2000 Supp. 74-8805, 74-8806 and 74-8814 and
amendments thereto, law enforcement agents of the Kansas racing and
gaming commission are hereby authorized and directed to conduct crim-
inal history record checks, background investigations and other investi-
gations specified in statute.

 Sec. 123.

DEPARTMENT OF COMMERCE AND HOUSING
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year or years specified, the following:

State operations

For the fiscal year ending June 30, 2002 $200,000
Provided, That any unencumbered balance in excess of $100 as of June
30, 2001, in the state operations account is hereby reappropriated for
fiscal year 2002: Provided, however, That expenditures from such reap-
propriated balance shall be made only upon approval of the state finance
council acting on this matter which is hereby characterized as a matter
of legislative delegation and subject to the guidelines prescribed in sub-
section (c) of K.S.A. 75-3711c and amendments thereto: Provided further,
That expenditures shall be made from the state operations account to
disburse a grant in the amount of $200,000 to the Eisenhower Library
and Museum located in Abilene, Kansas.

State operations

For the fiscal year ending June 30, 2003 $200,000
Provided, That any unencumbered balance in excess of $100 as of June
30, 2002, in the state operations account is hereby reappropriated for
fiscal year 2003: Provided, however, That expenditures from such reap-
propriated balance shall be made only upon approval of the state finance
council acting on this matter which is hereby characterized as a matter
of legislative delegation and subject to the guidelines prescribed in sub-
section (c) of K.S.A. 75-3711c and amendments thereto: Provided further,
That expenditures shall be made from the state operations account to
disburse a grant in the amount of $200,000 to the Eisenhower Library
and Museum located in Abilene, Kansas.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Publication and other sales fund No limit
Provided, That all proceeds from the sale of the Olathe travel information
center may be deposited in this fund: Provided further, That any such
sale shall be conducted in accordance with procedures approved by the
director of purchases and after appraisals have been obtained pursuant
to K.S.A. 75- 3043a and amendments thereto.

Conversion of equipment and materials fund No limit
Conference registration and disbursement fund No limit
Provided, That expenditures may be made from the conference registra-
tion and disbursement fund for official hospitality.

Kansas venture capital companies certificate fee fund No limit
Trademark fund No limit
Low income housing tax credit fee fund No limit
Provided, That expenditures may be made from the low income tax credit
fee fund for loans pursuant to loan agreements which are hereby author-
ized to be entered into by the secretary of commerce and housing in
accordance with such repayment provisions and other terms and condi-
tions as may be prescribed by the secretary therefor under the low income
housing tax credit program: Provided further, That all moneys received
by the department of commerce and housing for repayment of loans made
under the low income housing tax credit program shall be deposited in
the state treasury and credited to this fund: And provided further, That,
in addition to the other purposes for which expenditures may be made
from the low income housing tax credit fee fund, expenditures may be
made from such fund for projects of the Kansas housing development
corporation and related operating expenses of such corporation: And pro-
vided further, That all such expenditures for projects and operating ex-
penses shall be subject to the approval of the secretary of commerce and
housing: And provided further, That such projects shall include, but not
be limited to, (1) increasing housing opportunities for the citizens of Kan-
sas, (2) purchasing, developing and transferring housing projects, (3) in-
curring obligations related to any such projects, and (4) establishing part-
nerships and lending relationships with local communities and entities in
the private sector.

Flood mitigation assistance federal fund No limit
Trade show promotion fund No limit
Kansas tourist attraction matching grant development fund No limit
Greyhound tourism fund No limit
Reimbursement and recovery fund No limit
Provided, That expenditures may be made from the reimbursement and
recovery fund for official hospitality.

Housing assistance program--federal fund No limit
Provided, That in addition to other positions within the department of
commerce and housing in the unclassified service as prescribed by law,
expenditures may be made from the housing assistance program--federal
fund for 13 employees in the unclassified service under the Kansas civil
service act.

Community development block grant--federal fund No limit
Provided, That expenditures from the community development block
grant--federal fund for official hospitality shall not exceed $2,000.

Community development block grant--federal fund--
revolving loan account.
No limit
HOME--federal fund No limit
Provided, That, in addition to the other purposes for which expenditures
may be made from the HOME--federal fund, expenditures may be made
from such fund for projects of the Kansas housing development corpo-
ration and related operating expenses of such corporation: Provided fur-
ther, That all such expenditures for projects and operating expenses shall
be subject to the approval of the secretary of commerce and housing: And
provided further, That such projects shall include, but not be limited to,
(1) increasing housing opportunities for the citizens of Kansas, (2) pur-
chasing, developing and transferring housing projects, (3) incurring ob-
ligations related to any such projects, and (4) establishing partnerships
and lending relationships with local communities and entities in the pri-
vate sector: And provided further, That expenditures from this fund for
official hospitality shall not exceed $2,000.

Community services block grant--federal fund No limit
Other grants fund No limit
Provided, That the above agency is authorized to make expenditures from
the other grants fund of any moneys credited to this fund from any in-
dividual grant if the grant is: (1) Less than $250,000 in the aggregate, and
(2) does not require the matching expenditure of any other moneys in
the state treasury during the current or any ensuing fiscal year: Provided,
however, That no grant that is greater than $250,000 in the aggregate or
that requires the matching expenditure of any other moneys in the state
treasury during the current or any ensuing fiscal year, shall be deposited
to the credit of this fund.

Weatherization block grant--federal fund No limit
Energy winterization--federal fund No limit
Kansas export loan guarantee fund No limit
HUD emergency shelter grants--federal fund No limit
National main street center fund No limit
State housing trust fund No limit
Provided, That, in addition to the other purposes for which expenditures
may be made from the state housing trust fund, expenditures may be
made from such fund for projects of the Kansas housing development
corporation and related operating expenses of such corporation: Provided
further, That all such expenditures for projects and operating expenses
shall be subject to the approval of the secretary of commerce and housing:
And provided further, That such projects shall include, but not be limited
to, (1) increasing housing opportunities for the citizens of Kansas, (2)
purchasing, developing and transferring housing projects, (3) incurring
obligations related to any such projects, and (4) establishing partnerships
and lending relationships with local communities and entities in the pri-
vate sector.

IMPACT program services fund No limit
IMPACT program repayment fund No limit
Kansas partnership fund No limit
Provided, That the interest rate on any loan made from the Kansas part-
nership fund shall be annually indexed to the federal discount rate.

General fees fund No limit
Provided, That expenditures may be made from the general fees fund for
loans pursuant to loan agreements which are hereby authorized to be
entered into by the secretary of commerce and housing in accordance
with repayment provisions and other terms and conditions as may be
prescribed by the secretary therefor under programs of the department.

Market development fund No limit
Provided, That expenditures may be made from the market development
fund for loans pursuant to loan agreements which are hereby authorized
to be entered into by the secretary of commerce and housing in accord-
ance with repayment provisions and other terms and conditions as may
be prescribed by the secretary therefor under the agricultural value added
center program: Provided further, That all moneys received by the de-
partment of commerce and housing for repayment of loans made under
the agricultural value added center program shall be deposited in the
state treasury and credited to this fund.

 (c) The secretary of commerce and housing is hereby authorized to fix,
charge and collect fees during the fiscal year ending June 30, 2002, for
(1) the services provided under the low-income housing tax credit pro-
gram, private activity bond program, mortgage certificates/mortgage rev-
enue bond program and under other programs of the department of com-
merce and housing providing similar services and for which fees are not
specifically prescribed by statute, (2) the provision and administration of
conferences held for the purposes of programs and activities of the de-
partment of commerce and housing and for which fees are not specifically
prescribed by statute, (3) sale of Kansas! magazine and other publications
of the department of commerce and housing and for sale of educational
and other promotional items and for which fees are not specifically pre-
scribed by statute, and (4) promotional and other advertising and related
economic development activities and services provided under economic
development programs and activities of the department of commerce and
housing, including those provided at tourist information centers: Pro-
vided, That such fees shall be fixed in order to recover all or part of the
operating expenses incurred in providing such services, conferences,
publications and items, advertising and other economic development ac-
tivities and services provided under economic development programs and
activities of the department of commerce and housing for which fees are
not specifically prescribed by statute: Provided further, That all such fees
shall be credited to one or more special revenue funds of the department
of commerce and housing as specified by the secretary of commerce and
housing: And provided further, That expenditures may be made from
such special revenue funds of the department of commerce and housing
for fiscal year 2002, in accordance with the provisions of this or other
appropriation act of the 2001 regular session of the legislature, for op-
erating expenses incurred in providing such services, conferences,
publications and items, advertising, programs and activities and for op-
erating expenses incurred in providing similar economic development ac-
tivities and services provided under economic development programs and
activities of the department of commerce and housing.

 Sec. 124.

KANSAS, INC.
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Kansas, Inc. matching fund No limit
Conversion of materials and equipment fund No limit
Information network of Kansas fund No limit
Provided, That expenditures from the information network of Kansas
fund shall not be considered to be part of the private sector match re-
quired by K.S.A. 74-8009a and amendments thereto.

Conversion of materials and equipment fund No limit
 Sec. 125.

KANSAS TECHNOLOGY ENTERPRISE CORPORATION
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

MAMTC federal fund No limit
KTEC special revenue fund No limit
 (b) No moneys appropriated for the fiscal year ending June 30, 2002,
by this or other appropriation act of the 2001 regular session of the leg-
islature for the Kansas technology enterprise corporation shall be ex-
pended for any bonus or other payment of additional compensation for
any officer or employee of the Kansas technology enterprise corporation,
or any subsidiary corporation, agency or instrumentality thereof, except
longevity bonus payments pursuant to K.S.A. 75-5541 and amendments
thereto or as otherwise specifically authorized by statute.

 Sec. 126.

DEPARTMENT OF HUMAN RESOURCES
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $2,151,838
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $2,334 except upon approval of
the state finance council: Provided further, That in addition to the other
purposes for which expenditures may be made by the above agency from
this account for the fiscal year ending June 30, 2002, expenditures may
be made from this account for the costs incurred for court reporting
under K.S.A. 72-5413 et seq. and 75-4321 et seq., and amendments
thereto: And provided further, That expenditures from this account for
official hospitality by the secretary of human resources shall not exceed
$2,000.

Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following accounts is hereby reappropriated for fiscal year 2002:
Welfare to work grant-- state match.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Workmen's compensation fee fund $8,655,252
Occupational health and safety--federal fund $578,753
Boiler inspection fee fund No limit
Special employment security fund No limit
Provided, That expenditures may be made from the special employment
security fund for payment of the portion of telecommunications services
provided by the state of Kansas which are required to be paid from non-
federal sources: Provided, however, That expenditures from the special
employment security fund for such purpose shall not exceed $40,000:
Provided further, That expenditures may be made from the special em-
ployment security fund for payment of debt service on revenue bonds
issued to finance remodeling of the 401 S. Topeka building: Provided,
however, That expenditures from this fund for such debt service shall not
exceed $250,862: And provided further, That expenditures may be made
from the special employment security fund for the wheat harvest pro-
gram: And provided further, That expenditures from this fund for the
wheat harvest program shall not exceed $60,000: And provided further,
That expenditures may be made from the special employment security
fund for payment of the portion of services provided by the central motor
pool which are required to be paid from nonfederal funds: And provided
further, That expenditures from this fund for payment of such central
motor pool services shall not exceed $35,000: And provided further, That
expenditures may be made from the special employment security fund
for moving, rent and associated costs due to the remodeling of the ad-
ministrative office: And provided further, That expenditures from this
fund for the cost of remodeling such administrative office shall not exceed
$340,000.

Employment security administration fund No limit
State workplace health and safety fund No limit
Wage claims assignment fee fund No limit
Employment security computer systems institute fund No limit
JTPA EDWAA discretion state operations fund No limit
Workforce investment act state operations fund No limit
Welfare to work grant--federal fund No limit
Workforce investment act non-state operations fund No limit
Occupational information system--federal fund No limit
Human resources special projects fund No limit
Advisory committee on Hispanic affairs--donations
fund
No limit
Committee on employment of the handicapped--gifts,
grants and donations fund
No limit
Federal indirect cost offset fund $290,301
Dispute resolution fund No limit
Provided, That all moneys received by the secretary of human resources
for reimbursement of expenditures for the costs incurred for mediation
under K.S.A. 72-5427 and amendments thereto and for fact-finding under
K.S.A. 72-5428 and amendments thereto shall be deposited in the state
treasury and credited to the dispute resolution fund: Provided further,
That expenditures may be made from this fund to pay the costs incurred
for mediation under K.S.A. 72-5427 and amendments thereto and for
fact-finding under K.S.A. 72-5428 and amendments thereto, subject to
full reimbursement therefor by the board of education and the profes-
sional employees' organization involved in such mediation and fact-find-
ing procedures.

Employment security fund No limit
Employment security administration property sale
fund
No limit
Provided, That the secretary of human resources, in consultation with the
secretary of administration, is hereby authorized to make expenditures
from the employment security administration property sale fund to pur-
chase or acquire by exchange additional real estate to provide space for
the job service and unemployment insurance programs of the department
of human resources, including the initiation and completion of capital
improvements on such real estate for such purposes: Provided, however,
That no expenditures shall be made from this fund for a proposed pur-
chase or other acquisition of additional real estate to provide space for
the job service and unemployment insurance programs of the department
of human resources until such proposed purchase or other acquisition,
including the preliminary plans and program statement for any capital
improvement project that is proposed to be initiated and completed by
or for the department of human resources on such real estate for such
purposes, have been reviewed by the joint committee on state building
construction.

 (c) On July 1, 2001, the director of accounts and reports shall transfer
$175,000 from the state workers compensation self-insurance fund of the
department of administration to the state workplace health and safety
fund of the department of human resources for the purpose of reim-
bursing costs of providing a state workplace health and safety program
for state employees under K.S.A. 44-575 and amendments thereto.

 (d) In addition to the other purposes for which expenditures may be
made by the department of human resources from the employment se-
curity fund for fiscal year 2002, expenditures may be made by the above
agency from the employment security fund during fiscal year 2002 from
moneys made available to the state under section 903 of the federal social
security act, as amended: Provided, That expenditures from this fund
during fiscal year 2002 of moneys made available to the state under sec-
tion 903 of the federal social security act, as amended, shall be made only
for administration of the unemployment insurance program: Provided
further, That expenditures from this fund during fiscal year 2002 of mon-
eys made available to the state under section 903 of the federal social
security act, as amended, for administration of the unemployment insur-
ance program shall not exceed $746,096.

 (e) In addition to the other purposes for which expenditures may be
made by the department of human resources from moneys appropriated
from any special revenue fund for fiscal year 2001 or fiscal year 2002 as
authorized by this or other appropriation act of the 2001 regular session
of the legislature, expenditures may be made by the department of human
resources for fiscal year 2001 and fiscal year 2002 from the moneys ap-
propriated from any special revenue fund for the expenses of the sale,
exchange or other disposition conveying title for any portion or all of the
real estate of the department of human resources: Provided, That such
expenditures may be made and such sale, exchange or other disposition
conveying title for any portion or all of the real estate of the department
of human resources may be executed or otherwise effectuated only upon
specific authorization by the state finance council acting on this matter,
which is hereby characterized as a matter of legislative delegation and
subject to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c
and amendments thereto and acting after receiving the recommendations
of the joint committee on state building construction: Provided, however,
That no such sale, exchange or other disposition conveying title for any
portion of the real estate of the department of human resources until the
proposed sale, exchange or other disposition conveying title for such real
estate has been reviewed by the joint committee on state building con-
struction: Provided further, That the net proceeds from the sale of any
of the real estate of the department of human resources shall be deposited
in the state treasury to the credit of the employment security administra-
tion property sale fund of the department of human resources.

 Sec. 127.

KANSAS COMMISSION ON VETERANS AFFAIRS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures--veterans affairs $1,653,525
Provided, That any unencumbered balance in the operating expendi-
tures--veterans affairs account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002: Provided, however, That ex-
penditures from such reappropriated balance shall not exceed $3,479 ex-
cept upon approval of the state finance council.

Operations-state veterans cemeteries $65,665
Provided, That any unencumbered balance in the operations-state vet-
erans cemeteries account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002.

Operating expenditures--Kansas soldiers' home $1,174,937
Provided, That any unencumbered balance in the operating expendi-
tures--Kansas soldiers' home account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided, however,
That expenditures from such reappropriated balance shall not exceed
$188 except upon approval of the state finance council.

Operating expenditures--Kansas veterans' home $1,122,059
Provided, That any unencumbered balance in the operating expendi-
tures--Kansas veterans' home account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided, however,
That expenditures from such reappropriated balance shall not exceed
$600,957 except upon approval of the state finance council.

Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following accounts is hereby reappropriated for fiscal year 2002:
Operating expenditures--Persian Gulf War health initiative program.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Kansas commission on veterans affairs fund $123,288
Soldiers' home fee fund No limit
Soldiers' home benefit fund No limit
Soldiers' home work therapy fund No limit
Veterans' home fee fund No limit
Persian Gulf War veterans health initiative fund No limit
Veterans' home canteen fund No limit
Veterans' home benefit fund No limit
Soldiers' home outpatient clinic fund No limit
State veterans cemeteries fee fund No limit
 (c) On June 1, 2002, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $75,000 from the soldiers'
home outpatient clinic fund to the state general fund.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $2,500 from the soldiers'
home work therapy fund to the soldiers' home benefit fund.

 Sec. 128.

DEPARTMENT OF HEALTH AND ENVIRONMENT
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $20,669,768
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided, however,
That expenditures from such reappropriated balance shall not exceed
$135,911 except upon approval of the state finance council: Provided
further, That expenditures shall be made by the department of health
and environment from this account, in addition to other moneys available
therefor, to work with nursing home providers to establish a technical
assistance program and clearinghouse for the purpose of providing assis-
tance to providers of nursing home care in meeting standards and pro-
viding quality care.

Vaccine purchases $674,898
Infant and toddler program $1,992,000
Aid to local units $5,026,596
Provided, That expenditures from the aid to local units account for child
care licensure activities are hereby authorized to be made for contracts
which are hereby authorized to be entered into by the secretary of health
and environment with local health departments, private individuals and
others: Provided further, That all expenditures from this account for state
financial assistance to local health departments shall be in accordance
with the formula prescribed by K.S.A. 65-241 through 65-246 and amend-
ments thereto.

Aid to local units--primary health projects $1,520,840
Provided, That no expenditures shall be made from the aid to local
units--primary health projects account to disburse any amount to a local
government or other health care unit until the amount has been matched
on a $1 for $1 basis by the local government or other health care unit on
a cash or in-kind basis, or some combination thereof, as approved by the
secretary of health and environment.

Teen pregnancy prevention activities $562,732
Provided, That expenditures from the teen pregnancy prevention activi-
ties account shall be made to give highest priority to recipients of aid to
families with dependent children and other medicaid eligible teens: Pro-
vided further, That expenditures may be made from this account for
grants made pursuant to K.S.A. 65-1,158 and amendments thereto: Pro-
vided, however, That no expenditures shall be made from this account to
disburse any amount to the recipient of any grant pursuant to K.S.A. 65-
1,158 and amendments thereto until the amount has been matched in
the manner prescribed by K.S.A. 65-1,158 and amendments thereto.

Aid to local units--family planning $98,880
Provided, That all expenditures from the aid to local units--family plan-
ning account shall be in accordance with grant agreements entered into
by the secretary of health and environment and grant recipients: Provided
further, That all expenditures from this account pursuant to such grant
agreements shall be made only for the costs of pap smears or initial and
follow-up laboratory tests.

Immunization programs $350,000
Provided, That all expenditures from the immunization programs account
shall be for the purpose of providing expanded immunization services at
local health departments.

Match for title XIX for nursing home inspections $833,946
Provided, That any unencumbered balance in the match for title XIX for
nursing home inspections account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall be made only upon
approval of the state finance council.

Pregnancy maintenance initiative $300,000
Provided, That expenditures from the pregnancy maintenance initiative
account of the department of health and environment for fiscal year 2002
shall be made pursuant to contracts for programs that provide services
for women which enable them to carry their pregnancies to term, which
are hereby authorized and directed to be entered into by the secretary
of health and environment with the same not-for-profit organizations that
the secretary entered into contracts with pursuant to section 30(h) of
chapter 160 of the 1999 Session Laws of Kansas for fiscal year 2000:
Provided further, That such contracted services may include an array of
social services relating to pregnancy maintenance and shall provide that
no individuals who are unable to pay shall be denied the delivery or
provision of pregnancy maintenance services: And provided further, That
no contract or contracts under pregnancy maintenance programs shall be
entered into with any group performing, promoting, referring for or ed-
ucating in favor of abortion: And provided further, That a not-for-profit
organization awarded a contract under this proviso shall match state mon-
eys under this contract on the basis of a 50% match from a not-for-profit
organization and a 50% match from the department of health and envi-
ronment: And provided further, That the secretary of health and envi-
ronment shall submit a report to the legislature at the beginning of the
regular session of the legislature in 2002 on the results and outcomes of
such pregnancy maintenance programs: And provided further, That no
part of the grant moneys shall be used for any political purposes.

Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following accounts is hereby reappropriated for fiscal year 2002:
Vaccine purchases; infant and toddler program; aid to local units; aid to
local units primary health projects; teen pregnancy prevention activities;
immunization programs; AIDS medication shortfall.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Environmental permit fund No limit
Air quality fee fund No limit
Title XIX fund No limit
Provided, That transfers of moneys from this fund to the state fire marshal
may be made during fiscal year 2002 pursuant to a contract which is
hereby authorized to be entered into by the secretary of health and en-
vironment with the state fire marshal to provide fire and safety inspections
for adult care homes and hospitals.

Health care database fee fund No limit
Laboratory medicaid cost recovery fund No limit
Hazardous waste collection fund No limit
Driving under the influence equipment fund No limit
Provided, That expenditures from the driving under the influence equip-
ment fund may be made only for the purpose of purchasing blood or
breath alcohol concentration testing equipment.

Power generating facility fee fund No limit
Breast and cervical cancer program and detection fund No limit
Health and environment training fee fund No limit
Provided, That expenditures may be made from the health and environ-
ment training fee fund for acquisition and distribution of health and en-
vironment program literature and films and for participation in or con-
ducting training seminars for training employees of the department of
health and environment, for training recipients of state aid from the de-
partment of health and environment and for training representatives of
industries affected by rules and regulations of the department of health
and environment: Provided further, That the secretary of health and en-
vironment is hereby authorized to fix, charge and collect fees in order to
recover costs incurred for such acquisition and distribution of literature
and films and for the operation of such seminars: And provided further,
That such fees may be fixed in order to recover all or part of such costs:
And provided further, That all moneys received from such fees shall be
deposited in the state treasury and credited to this fund.

Capacity management assistance fund No limit
Food service inspection reimbursement fund No limit
Food inspection fee fund No limit
Provided, That expenditures may be made from the food inspection fee
fund for operating expenditures for the food inspection program and
other activities for the regulation of food service establishments, food
vending machines, food vending machine companies and food vending
machine dealers under the food service and lodging act: Provided further,
That, notwithstanding the provisions of K.S.A. 36-512 and amendments
thereto to the contrary, all moneys received from fees charged and col-
lected by the secretary of health and environment under the food in-
spection program and other activities for the regulation of food service
establishments, food vending machines, food vending machine companies
and food vending machine dealers under the food service and lodging act
shall be deposited in the state treasury and credited to this food inspection
fee fund: And provided further, That, on July 1, 2001, and on the first
day of each month thereafter, the director of accounts and reports shall
transfer from the food inspection fee fund to the food service inspection
reimbursement fund an amount equal to 80% of all fees credited to the
food inspection fee fund where food service inspection services are pro-
vided by a local agency under contract with the secretary to inspect food
service establishments located in a municipality.

Mined-land conservation and reclamation fee fund No limit
Insurance statistical plan fund No limit
Solid waste management fund No limit
Public water supply fee fund No limit
Voluntary cleanup fund No limit
Storage tank fee fund No limit
Conversion of materials and equipment fund No limit
Nuclear safety emergency preparedness special revenue fund No limit
Provided, That all moneys received from the adjutant general from the
nuclear safety emergency preparedness fee fund shall be credited to the
nuclear safety emergency preparedness special revenue fund.

Health facilities review fund No limit
Waste tire management fund No limit
Health and environment publication fee fund No limit
Provided, That expenditures from the health and environment publica-
tion fee fund shall be made only for the purpose of paying the expenses
of publishing documents as required by K.S.A. 75-5662 and amendments
thereto.

District coroners fund No limit
Provided, That, notwithstanding provisions of K.S.A. 22a-245 and amend-
ments thereto, moneys may be expended by the department of health
and environment from the district coroners fund for expenditures made
pursuant to K.S.A. 22a-242 and amendments thereto.

Local air quality control authority regulation services fund No limit
Environmental response fund No limit
Mined-land reclamation fund No limit
Adult care licensing revolving fund No limit
Sponsored project overhead fund No limit
Child care facilities licensure fund No limit
Federal cancer registry fund No limit
Clinical laboratory improvement amendments--federal fund No limit
Child care and development block grant--federal fund No limit
Office of rural health--federal fund No limit
EPA--core support fund No limit
Medicare fund--federal No limit
Provided, That transfers of moneys from this fund to the state fire marshal
may be made during fiscal year 2002 pursuant to a contract which is
hereby authorized to be entered into by the secretary of health and en-
vironment and the state fire marshal to provide fire and safety inspections
for adult care homes and hospitals.

Federal migrant health program fund No limit
Venereal disease control project fund--federal No limit
Disease prevention and health promotion federal grants fund No limit
Provided, That no moneys from any grant that requires the matching
expenditure of any other moneys in the state treasury during the current
or any ensuing fiscal year shall be deposited to the credit of the disease
prevention and health promotion federal grants fund: Provided further,
That transfers or payments from this fund to other state agencies shall be
in addition to any expenditure limitation placed on this fund.

Federal air quality program fund No limit
Federal women, infants and children health program fund No limit
Federal occupational health and safety statistics program fund No limit
EPA water related federal grants fund No limit
Provided, That no moneys from any grant that requires the matching
expenditure of any other moneys in the state treasury during the current
or any ensuing fiscal year shall be deposited to the credit of the EPA
water related federal grants fund.

Other federal grants fund No limit
Provided, That the above agency is authorized to make expenditures from
the other federal grants fund for fiscal year 2002 of any moneys credited
to this fund from any individual grant if the grant is: (1) Less than
$150,000 in the aggregate, and (2) does not require the matching ex-
penditure of any other moneys in the state treasury during the current
or any ensuing fiscal year: Provided, however, That no grant that is greater
than $150,000 in the aggregate or that requires the matching expenditure
of any other moneys in the state treasury during the current or any en-
suing fiscal year shall be deposited to the credit of this fund: Provided
further, That transfers or payments from this fund to other state agencies
shall be in addition to any expenditure limitation placed on this fund.

Federal chemical emergency preparedness assistance fund No limit
Provided, That all expenditures from the federal chemical emergency
preparedness assistance fund during fiscal year 2002 shall be in accord-
ance with a grant agreement entered into by the secretary of health and
environment and each grant recipient: Provided further, That such grant
agreement shall require the grant recipient or recipients to provide any
matching amount of moneys necessary to meet any federal matching
requirements: And provided further, That no expenditures shall be made
from this fund for state operations.

State legalization impact assistance grant fund No limit
Water supply fund--federal No limit
EPA voluntary cleanup federal fund No limit
Provided, That all expenditures from the EPA voluntary cleanup federal
fund during fiscal year 2002 shall be supplemental to fees collected for
direct or indirect costs of administering the voluntary cleanup and prop-
erty redevelopment act: Provided, however, That such expenditures shall
be in accordance with the federal agreement entered into by the secretary
of health and environment for the grant moneys.

Immunization grant funds--federal fund No limit
Diagnostic X-ray program--federal fund No limit
Title I--P.L. 99-457 child development--federal fund No limit
Resource conservation and recovery act--federal fund No limit
Preventive health and health services block grant fund No limit
Maternal and child health services block grant fund No limit
National center for health statistics fund--
federal
No limit
Federal EPA underground injection control fund No limit
Federal EPA 106 water pollution control fund No limit
Federal title X family planning fund No limit
Pregnancy nutrition surveillance--
federal fund
No limit
Radiological environmental cooperative monitoring--
federal fund
No limit
Early childhood developmental services--
federal fund
No limit
104(6)(1) outreach operator training program--
federal fund
No limit
Underground storage tank fund--
federal
No limit
AIDS project--education and risk reduction--
federal fund
No limit
Commodity supplemental food program fund No limit
Special child clinic program--federal fund No limit
Make a difference information network--federal fund No limit
Census of traumatic occupational fatalities--
federal fund
No limit
AIDS drug reimbursement program--federal fund No limit
Leaking underground storage tank trust--federal fund No limit
National surface mining control and reclamation act--federal fund No limit
Abandoned mined-land fund No limit
State indoor radon grant--federal fund No limit
EPA non-point source implementation--federal fund No limit
Pollution prevention program--federal fund No limit
Federal NICE3 public utility grant fund No limit
Sudden infant death support fund No limit
Provided, That all moneys received by the department of health and en-
vironment for the sudden infant death support network or for the pur-
poses of the sudden infant death support fund, which moneys are hereby
authorized to be requested, received and accepted by the secretary of
health and environment, shall be deposited in the state treasury to the
credit of this fund.

Gifts, grants and donations fund No limit
Hazardous waste perpetual care trust fund No limit
Special bequest fund No limit
Aboveground petroleum storage tank release trust fund No limit
Underground petroleum storage tank release trust fund No limit
Drycleaning facility release trust fund No limit
Public water supply loan fund No limit
Kansas water pollution control revolving fund No limit
Provided, That the proceeds from revenue bonds issued by the Kansas
development finance authority to provide matching grant payments under
the federal clean water act of 1987 (P.L. 92-500) shall be credited to the
Kansas water pollution control revolving fund: Provided further, That
expenditures from this fund shall be made to provide for the payment of
such matching grants.

Cost of issuance fund for Kansas water pollution control revolving fund revenue bonds No limit
Surcharge fund for Kansas water pollution control revolving fund revenue bonds No limit
Debt service reserve fund No limit
Bicycle helmet revolving fund No limit
SSA fee fund No limit
Lead poisoning prevention--federal fund No limit
Wetlands protection--federal fund No limit
Title IV-E--federal fund No limit
Teenage pregnancy program evaluation fund No limit
Lead-based paint hazard fee fund No limit
Trauma fund No limit
Provided, That, notwithstanding the provisions of K.S.A. 2000 Supp. 75-
5670 and amendments thereto, expenditures may be made by the de-
partment of health and environment for fiscal year 2002 for the stroke
prevention project from the trauma fund of the department of health and
environment: Provided, however, That expenditures for the stroke pre-
vention project from the trauma fund for fiscal year 2002 shall not exceed
$156,000.

Hazardous waste management fund No limit
Oz theme park fund No limit
Sunflower army ammunition plant remediation
trust fund
No limit
 ( c) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, for the water plan
project or projects specified as follows:

Assessment of sediment quality $50,000
Contamination remediation $1,397,506
Local environmental protection program $1,800,000
Nonpoint source program $482,435
TMDL initiatives and use attainability analysis $406,900
 (d) On July 1, 2001, the director of accounts and reports shall transfer
amounts specified by the secretary of health and environment, which
amounts constitute reimbursements, credits and other amounts received
by the department for activities related to federal programs, from speci-
fied special revenue funds of the department of health and environment
to the sponsored project overhead fund of the department of health and
environment.

 (e) On July 1, 2001, the director of accounts and reports shall transfer
$130,500 from the health care stabilization fund of the health care sta-
bilization fund board of governors to the health facilities review fund of
the department of health and environment for the purpose of financing
a review of records of licensed medical care facilities and an analysis of
quality of health care services provided to assist in correcting substandard
services and to reduce the incidence of liability resulting from the ren-
dering of health care services and implementing the risk management
provisions of K.S.A. 65-4922 et seq., and amendments thereto.

 (f) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $692,000 from the child
care development block grant federal fund of the department of social
and rehabilitation services to the child care and development block
grant--federal fund of the department of health and environment.

 (g) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $499,000 from the foster
care assistance federal fund of the department of social and rehabilitation
services to the title IV-E--federal fund of the department of health and
environment.

 (h) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $176,000 from the tem-
porary assistance to needy families federal fund of the department of
social and rehabilitation services to the teenage pregnancy program eval-
uation fund of the department of health and environment.

 (i) On and after July 1, 2001, during the fiscal year ending June 30,
2002, the director of accounts and reports shall not make the transfers of
amounts of interest earnings from the state general fund to the air quality
fee fund of the department of health and environment which are directed
to be made on or before the 10th day of each month by K.S.A. 2000 Supp.
65-3024 and amendments thereto.

 (j) During the fiscal year ending June 30, 2002, the director of accounts
and reports shall transfer an amount or amounts specified by the secretary
of health and environment from any one or more special revenue funds
of the department of health and environment, which have available mon-
eys, to the sponsored project overhead fund of the department of health
and environment for expenditures for administrative expenses, except
that such transfers shall only be made upon the approval of the director
of the budget.

 (k) In addition to the other purposes for which expenditures may be
made by the department of health and environment from moneys appro-
priated from the state general fund or from any special revenue fund for
fiscal year 2002 and from which expenditures may be made for salaries
and wages, as authorized by this or other appropriation act of the 2001
regular session of the legislature, expenditures may be made by the de-
partment of health and environment from such moneys appropriated
from the state general fund or from any special revenue fund for fiscal
year 2002 for up to four full-time equivalent positions in the unclassified
service under the Kansas civil service act: Provided, That all such addi-
tional full-time equivalent positions in the unclassified service under the
Kansas civil service act shall be in addition to other positions within the
department of health and environment in the unclassified service as pre-
scribed by law and shall be established by the secretary of health and
environment within the position limitation established for the department
of health and environment on the number of full-time and regular part-
time positions equated to full-time, excluding seasonal and temporary
positions, paid from appropriations for fiscal year 2002 made by this or
other appropriation act of the 2001 regular session of the legislature:
Provided, however, That the authority to establish such additional posi-
tions in the unclassified service shall not affect the classified service status
of any person who is an employee of the department of health and en-
vironment in the classified service under the Kansas civil service act.

 (l) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the water plan special revenue fund of the department of
health and environment to the state water plan fund. On July 1, 2001, all
liabilities of the water plan special revenue fund of the department of
health and environment, including any outstanding encumbrances, are
hereby transferred to and imposed on the state water plan fund and the
water plan special revenue fund of the department of health and envi-
ronment is hereby abolished.

 (m) In addition to the other purposes for which expenditures may be
made by the department of health and environment from moneys appro-
priated from the state general fund or any special revenue fund for fiscal
year 2002 as authorized by this or other appropriation act of the 2001
regular session of the legislature, expenditures shall be made by the de-
partment of health and environment for fiscal year 2002 from the moneys
appropriated from the state general fund or any special revenue fund for
the following purposes: (1) To draft and adopt an amendment to subsec-
tion (d) of K.A.R. 28-4-354 to include nurse practitioners or registered
nurses in consultation with a physician among those permitted to examine
ill, injured, intoxicated or physically or mentally impaired juveniles to
approve for such juveniles for admission to or detention in an emergency
shelter; (2) to work with the epilepsy foundation of Kansas and Western
Missouri to develop a plan for epilepsy education; (3) to implement such
epilepsy education plan if funding is available; and (4) a state dental care
loan repayment program for qualified persons to assist in covering edu-
cation or training and related expenses in order to become qualified as
dentists and dental hygienists in conjunction with amounts provided by
counties and other local governments pursuant to loan agreements and
other agreements which are hereby authorized and directed to be entered
into by the secretary of health and environment with individuals and other
entities and which may be required for the purposes of such loan pro-
gram.

 (n) In addition to the other purposes for which expenditures may be
made by the department of health and environment from moneys appro-
priated from the state general fund or any special revenue fund for fiscal
year 2002 as authorized by this or other appropriation act of the 2001
regular session of the legislature, expenditures shall be made by the de-
partment of health and environment for fiscal year 2002 from the moneys
appropriated from the state general fund or any special revenue fund to
provide information about the proposed location of a youth residential
facility that is proposed to be licensed by the secretary of health and
environment, to the governing body of the local government in which a
youth residential facility is proposed to be located: Provided, That, if the
governing body of the local government objects to the proposed location
and the governing body actively assists the secretary of health and envi-
ronment in identifying a suitable location for the youth residential facility
within the local government, with consideration of the site selection cri-
teria established by the juvenile justice authority and applicable zoning
and other land-use restrictions of the local government, then, prior to
licensing the specific youth residential facility, the secretary of health and
environment shall actively consider the views of the governing body of
the local government and the affected residents of the local government
and shall act in the best interests of the state with regard to licensure of
the proposed youth residential facility: Provided, however, That no such
objections by the governing body or the residents of a local government
shall prohibit placement of a youth residential facility within a local gov-
ernment: Provided further, That, as used in this subsection, ``local gov-
ernment'' means any city, county or other taxing subdivision of the state
having general governance authority.



 Sec. 129.

DEPARTMENT ON AGING
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Administration $4,482,645
Provided, That any unencumbered balance in the administration account
in excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002: Provided, however, That expenditures, other than expendi-
tures for the CARE program, from such reappropriated balance shall not
exceed $183,429 except upon approval of the state finance council: Pro-
vided further, That all expenditures from such reappropriated balance for
the CARE program shall be made only for the purpose of matching fed-
eral moneys for nutrition programs: And provided further, That expend-
itures from this account for official hospitality by the secretary of aging
shall not exceed $550: And provided further, That expenditures from this
account may be made for printing the agency's newsletter The Advocate:
And provided further, That printing The Advocate shall not be subject to
K.S.A. 75-1005 and amendments thereto: And provided further, That the
amounts of any moneys encumbered in this account as of June 30, 2001,
for the senior care companion program at Fort Hays state university or
for the senior care companion program at Riverside Hospital in Wichita,
Kansas, are hereby reappropriated in this account for fiscal year 2002 and
expenditures may be made from such amounts from this account for such
programs for fiscal year 2002: And provided further, That the agency shall
provide $30,000 from this fund for the senior legal hotline for fiscal year
2002.

Program grants $10,461,539
Provided, That any unencumbered balance in the program grants account
in excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002: Provided, however, That expenditures from such reappro-
priated balance shall be made only upon approval of the state finance
council: Provided further, That each grant agreement with an area agency
on aging for a grant from the program grants account shall require the
area agency on aging to submit to the secretary of aging a report for
federal fiscal year 2001 by the area agency on aging which shall include
information about the kinds of services provided and the number of per-
sons receiving each kind of service during federal fiscal year 2001: And
provided further, That the secretary of aging shall submit to the senate
committee on ways and means and the house of representatives com-
mittee on appropriations at the beginning of the regular session of the
legislature in 2002 a report of the information contained in such reports
from the area agencies on aging on expenditures for federal fiscal year
2001: And provided further, That the secretary of aging shall combine
the income eligible, senior care act, case management, custom care and
environmental modification programs into one program: And provided
further, That the secretary of aging shall report each such shift of funding
to the legislative research department and the SRS transition oversight
committee: And provided further, That all people receiving or applying
for services that are funded, either partially or entirely, through expend-
itures from this account or the long term care account of the state general
fund shall be placed in appropriate services which are determined to be
the most economical services available with regard to state general fund
expenditures.

Long term care $134,903,477
Provided, That any unencumbered balance in the long term care account
in excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002: Provided further, That all people receiving or applying for
services that are funded, either partially or entirely, through this account
or the program grants account of the state general fund shall be placed
in appropriate services which are determined to be the most economical
services available with regard to state general fund expenditures.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Older Americans act--federal fund No limit
Title XIX fund--federal No limit
Nutrition fund--federal No limit
Conferences and workshops attendance and publications fees fund No limit
Provided, That the secretary of aging is hereby authorized to fix, charge
and collect conference and workshop attendance fees for conferences and
workshops sponsored by the department on aging and fees for copies of
publications: Provided further, That such fees shall be deposited in the
state treasury and credited to the conferences and workshops attendance
and publications fees fund: And provided further, That expenditures may
be made from this fund to defray all or part of the costs of such confer-
ences and workshops including official hospitality and of such
publications.

General fees fund No limit
Provided, That the secretary of aging is hereby authorized to collect (1)
fees from the sale of surplus property, (2) fees charged for searching,
copying and transmitting copies of public records, (3) fees paid by em-
ployees for personal long distance calls, postage, faxed messages, copies
and other authorized uses of state property, and (4) other miscellaneous
fees: Provided further, That such fees shall be deposited in the state
treasury and credited to the general fees fund: And provided further, That
expenditures shall be made from this fund to meet the obligations of the
department on aging, or to benefit and meet the mission of the depart-
ment on aging.

Gifts and donations fund No limit
Provided, That the secretary of aging is hereby authorized to receive gifts
and donations of money for services to senior citizens or purposes related
thereto: Provided further, That such gifts and donations of money shall
be deposited in the state treasury and credited to the gifts and donations
fund: And provided further, That expenditures shall be made from this
fund for the purposes specified by the donor or contributor, if any.

Elder care--federal fund No limit
Volunteer services coordinator--federal fund No limit
Title XIX fund--federal No limit
Medical resources and collection fund No limit
Provided, That all moneys received or collected by the secretary of aging
due to medicaid overpayments shall be deposited in the state treasury
and credited to the medical resources and collection fund and expendi-
tures from such fund shall be made for medicaid program-related ex-
penses and used to reduce state general fund outlays for the medicaid
program: Provided further, That all moneys received or collected by the
secretary of aging due to civil monetary penalty assessments against adult
care homes shall be deposited in the state treasury and credited to this
fund and expenditures from such fund shall be made to protect the health
or property of adult care home residents as required by federal law.

Area agencies on aging loan recovery fund $0
Provided, That area agencies on aging are not required to repay moneys
granted to such agencies during fiscal year 1998 for purposes related to
the transfer of long-term care programs from the department of social
and rehabilitation services to the department on aging: Provided, how-
ever, That area agencies on aging may repay moneys granted to them for
this purpose: Provided further, That any moneys received by the secretary
of aging for repayment of moneys granted to area agencies on aging for
such purposes shall be deposited in the state treasury and credited to the
area agencies on aging loan recovery fund.

State medicaid match fund--department on aging $10,950,000
Senior services fund $1,200,000
Long-term care loan and grant fund $4,400,000
HCBS programs fund--department on aging $250,000
 (c) On or before July 15, 2001, and on the 15th day of each month
thereafter during the fiscal year ending June 30, 2000, the secretary of
aging shall certify to the director of the budget the total amount of moneys
which were received by the department on aging during the preceding
month from the federal government and which were deposited in the
state treasury to the credit of the medicaid fund--federal. During the
fiscal year ending June 30, 2002, after receiving one or more certifications
from the secretary of aging under this subsection, the director of the
budget may certify an amount or amounts to the director of accounts and
reports to be transferred from the medicaid fund--federal of the de-
partment on aging to the state general fund for the purpose of reim-
bursing the state general fund for the amount appropriated for the de-
partment on aging from the state general fund in the administration
account. Upon receiving each such certification from the director of the
budget, the director of accounts and reports shall transfer the amount or
amounts certified from the medicaid fund--federal of the department on
aging to the state general fund on the dates specified by the director of
the budget.

 (d) During the fiscal year ending June 30, 2002, the secretary of aging,
with the approval of the director of the budget, may transfer any part of
any item of appropriation for the fiscal year ending June 30, 2002, from
the state general fund for the department on aging to another item of
appropriation for fiscal year 2002 from the state general fund for the
department on aging. The secretary of aging shall certify each such trans-
fer to the director of accounts and reports and shall transmit a copy of
each such certification to the legislative research department.

 Sec. 130.

DEPARTMENT OF SOCIAL AND REHABILITATION SERVICES
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

State operations $88,076,981
Provided, That any unencumbered balance in the state operations ac-
count in excess of $100 as of June 30, 2001, is hereby reappropriated for
fiscal year 2002: Provided further, That expenditures may be made from
this account for the purchase of professional liability insurance for phy-
sicians and dentists at any institution, as defined by K.S.A. 76-12a01 and
amendments thereto: And provided further, That expenditures from this
account for official hospitality by the secretary of social and rehabilitation
services shall not exceed $500.

Alcohol and drug abuse services grants $3,535,388
Provided, That any unencumbered balance in the alcohol and drug abuse
services grants account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002.

Mental health and retardation services aid and assistance $126,208,957
Provided, That any unencumbered balance in the mental health and re-
tardation services aid and assistance account in excess of $100 as of June
30, 2001, is hereby reappropriated for fiscal year 2002: Provided further,
That the secretary of social and rehabilitation services is authorized to
refuse to enter into contracts with ICFs/MR: And provided further, That
the secretary of social and rehabilitation services is hereby authorized and
directed to continue meeting with the directors of nursing facilities for
mental health (NF/MN facilities) and the directors of community mental
health centers and to develop a plan for reducing the reliance of the state
on NF/MN facilities and to determine the number of individuals currently
in care who are candidates for community based services: And provided
further, That the secretary of social and rehabilitation services shall not
decertify any beds prior to the plan being reviewed by the legislature
during the regular session in 2002.

Kansas neurological institute--operating expenditures $9,398,466
Provided, That any unencumbered balance in the Kansas neurological
institute--operating expenditures account in excess of $100 as of June
30, 2001, is hereby reappropriated for fiscal year 2002: Provided, how-
ever, That expenditures from such reappropriated balance shall not ex-
ceed $150 except upon approval of the state finance council: Provided
further, That expenditures from the Kansas neurological institute--op-
erating expenditures account for official hospitality by the superintendent
shall not exceed $150: And provided further, That expenditures may be
made from this account for educational services contracts which are
hereby authorized to be negotiated and entered into by Kansas neuro-
logical institute with unified school districts or other public educational
services providers: And provided further, That such educational services
contracts shall not be subject to the competitive bidding requirements of
K.S.A. 75-3739 and amendments thereto: And provided further, That
expenditures shall be made from this account to assist residents of the
institution to take personally-used items, which were constructed for use
by such residents and which are hereby authorized to be transferred to
such residents, from the institution to communities when such residents
leave the institution to reside in the communities.

Larned state hospital--operating expenditures $9,716,548
Provided, That any unencumbered balance in the Larned state hospital--
operating expenditures account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002: Provided, however, That ex-
penditures from such reappropriated balance shall be made only upon
approval of the state finance council: Provided further, That expenditures
from the Larned state hospital--operating expenditures account for of-
ficial hospitality by the superintendent shall not exceed $150: And pro-
vided further, That expenditures may be made from this account for ed-
ucational services contracts which are hereby authorized to be negotiated
and entered into by Larned state hospital with unified school districts or
other public educational services providers: And provided further, That
such educational services contracts shall not be subject to the competitive
bidding requirements of K.S.A. 75-3739 and amendments thereto.

Osawatomie state hospital--operating expenditures $5,592,630
Provided, That any unencumbered balance in the Osawatomie state hos-
pital--operating expenditures account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided, however,
That expenditures from such reappropriated balance shall not exceed
$150 except upon approval of the state finance council: Provided further,
That expenditures from the Osawatomie state hospital--operating ex-
penditures account for official hospitality by the superintendent shall not
exceed $150: And provided further, That expenditures may be made from
this account for educational services contracts which are hereby author-
ized to be negotiated and entered into by Osawatomie state hospital with
unified school districts or other public educational services providers: And
provided further, That such educational services contracts shall not be
subject to the competitive bidding requirements of K.S.A. 75-3739 and
amendments thereto.

Parsons state hospital and training center--operating expenditures $6,201,974
Provided, That any unencumbered balance in the Parsons state hospital
and training center--operating expenditures account in excess of $100 as
of June 30, 2001, is hereby reappropriated for fiscal year 2002: Provided,
however, That expenditures from such reappropriated balance shall not
exceed $150 except upon approval of the state finance council: Provided
further, That expenditures from the Parsons state hospital and training
center--operating expenditures account for official hospitality by the su-
perintendent shall not exceed $150: And provided further, That expend-
itures may be made from this account for educational services contracts
which are hereby authorized to be negotiated and entered into by Parsons
state hospital and training center with unified school districts or other
public educational services providers: And provided further, That such
educational services contracts shall not be subject to the competitive bid-
ding requirements of K.S.A. 75-3739 and amendments thereto: And pro-
vided further, That expenditures shall be made from this account to assist
residents of the institution to take personally-used items, which were con-
structed for use by such residents and which are hereby authorized to be
transferred to such residents, from the institution to communities when
such residents leave the institution to reside in the communities.

Rainbow mental health facility--operating expenditures $740,473
Provided, That any unencumbered balance in the Rainbow mental health
facility--operating expenditures account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided, however,
That expenditures from such reappropriated balance shall be made only
upon approval of the state finance council: Provided further, That ex-
penditures from the Rainbow mental health facility--operating expend-
itures account for official hospitality by the superintendent shall not ex-
ceed $150: And provided further, That expenditures may be made from
this account for educational services contracts which are hereby author-
ized to be negotiated and entered into by Rainbow mental health facility
with unified school districts or other public educational services providers:
And provided further, That such educational services contracts shall not
be subject to the competitive bidding requirements of K.S.A. 75-3739
and amendments thereto.

Children's mental health initiative $1,000,000
Provided, That no expenditures shall be made from the children's mental
health initiative account for inpatient hospital beds for children.

Children's health insurance $9,364,164
Provided, That any unencumbered balance in the children's health in-
surance account in excess of $100 as of June 30, 2001, is hereby reappro-
priated for fiscal year 2002: Provided further, That any health mainte-
nance organization which contracts with the department of social and
rehabilitation services to provide managed care physical health benefits
under the HealthWave Program and also contracts with the department
of social and rehabilitation services to provide managed care physical
health benefits under the PrimeCare Program may be eligible for en-
hanced funding under the Title XXI program.

Youth services aid and assistance $58,603,619
Provided, That any unencumbered balance in the youth services aid and
assistance account in excess of $100 as of June 30, 2001, is hereby reap-
propriated for fiscal year 2002 : Provided further, That the consensus
estimating group for the department of social and rehabilitation services
shall include foster care and adoption services in caseload estimates: And
provided further, That expenditures shall be made from the youth serv-
ices aid and assistance account in the amount of $90,000 from the com-
munity funding program subaccount for a pilot project for 100 child wel-
fare mediation cases in Wichita pursuant to a contract, which is hereby
authorized and directed to be entered into by the secretary of social and
rehabilitation services with a private contractor which shall provide
$30,000 of foundation funding for such project.

Vocational rehabilitation aid and assistance $3,440,562
Provided, That any unencumbered balance in the vocational rehabilitation
aid and assistance account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided further, That expenditures
may be made from this account for the acquisition of durable medical
equipment and assistive technology devices: Provided, however, That all
such expenditures for durable equipment or assistive technology devices
shall require a $1 for $1 match from non-state sources: And provided
further, That expenditures may be made from this account by the sec-
retary of social and rehabilitation services for the purchase of worker's
compensation insurance for consumers of vocational rehabilitation serv-
ices and assessments at work site and job tryout sites throughout the state.

Cash assistance $51,621,778
Provided, That any unencumbered balance in the cash assistance account
in excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002.

Community based services $36,834,437
Provided, That any unencumbered balance in the community based serv-
ices account in excess of $100 as of June 30, 2001, is hereby reappro-
priated for fiscal year 2002.

Other medical assistance $238,878,004
Provided, That any unencumbered balance in the other medical assis-
tance account in excess of $100 as of June 30, 2001, is hereby reappro-
priated for fiscal year 2002.

Sex predator program $1,301,352
Provided, That any unencumbered balance in the sex predator program
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Title XIX fund $62,391,895
Provided, That all receipts resulting from payments under title XIX of
the federal social security act to any of the institutions under mental
health and retardation services may be credited to the title XIX fund:
Provided further, That moneys in the title XIX fund may be used for
expenditures for contractual services to provide for collecting additional
payments under title XVIII and title XIX of the federal social security act,
for expenditures for premiums and surcharges required to be paid for
physicians' malpractice insurance, and for transfers to the social welfare
fund.

Kansas neurological institute fee fund $984,781
Kansas neurological institute--foster grandparents program--federal fund No limit
Kansas neurological institute--patient benefit fund No limit
Kansas neurological institute--work therapy patient benefit fund No limit
Larned state hospital fee fund $2,747,653
Larned state hospital--elementary and secondary education fund--federal No limit
Larned state hospital--vocational education fund--federal No limit
Larned state hospital--ECIA fund--federal No limit
Larned state hospital--canteen fund No limit
Larned state hospital--patient benefit fund No limit
Larned state hospital--motor pool revolving fund No limit
Osawatomie state hospital fee fund $3,245,715
Provided, That all moneys received as fees for the use of video telecon-
ferencing equipment at Osawatomie state hospital shall be deposited to
the credit of the video teleconferencing fee account of the Osawatomie
state hospital fee fund: Provided further, That all moneys credited to the
video teleconferencing fee account shall be used solely for the servicing,
technical and program support, maintenance and replacement of associ-
ated equipment at Osawatomie state hospital: And provided further, That
any expenditures from the video teleconferencing fee account shall be in
addition to any expenditure limitation imposed on the Osawatomie state
hospital fee fund for fiscal year 2002.

Osawatomie state hospital--ECIA fund--federal No limit
Osawatomie state hospital--canteen fund No limit
Osawatomie state hospital--patient benefit fund No limit
Osawatomie state hospital--work therapy patient benefit fund No limit
Osawatomie state hospital--motor pool revolving fund No limit
Osawatomie state hospital--training fee revolving fund No limit
Provided, That all moneys received as fees for training activities for Os-
awatomie state hospital shall be deposited to the credit of the Osawatomie
state hospital--training fee revolving fund: Provided further, That the
superintendent of Osawatomie state hospital is hereby authorized to fix,
charge and collect fees for training activities at Osawatomie state hospital:
And provided further, That such fees shall be fixed in order to recover
all or part of the expenses of such training activities for Osawatomie state
hospital.

Parsons state hospital and training center fee fund $997,177
Provided, That all moneys received as fees for the use of video telecon-
ferencing equipment at Parsons state hospital and training center shall
be deposited to the credit of the video teleconferencing fee account of
the Parsons state hospital and training center fee fund: Provided further,
That all moneys credited to the video teleconferencing fee account shall
be used solely for the servicing, maintenance and replacement of video
teleconferencing equipment at Parsons state hospital and training center:
And provided further, That any expenditures from the video teleconfer-
encing fee account shall be in addition to any expenditure limitation im-
posed on the Parsons state hospital and training center fee fund for fiscal
year 2002.

Parsons state hospital and training center--canteen fund No limit
Parsons state hospital and training center--patient benefit fund No limit
Parsons state hospital and training center--work therapy patient benefit fund No limit
Rainbow mental health facility fee fund $761,965
Rainbow mental health facility--elementary and secondary education fund--federal No limit
Rainbow mental health facility--patient benefit fund No limit
Social services clearing fund No limit
Provided, That the secretary of social and rehabilitation services shall
certify to the director of the budget on June 30, 2002, that expenditures
from the social services clearing fund for state operations did not exceed
$275,765,005 for fiscal year 2002: Provided, however, That expenditures
from the social services clearing fund for transfers or state operations for
institutions under the control of the department of social and rehabili-
tation services shall be in addition to any expenditure limitation on the
social services clearing fund: Provided further, That expenditures may be
made from this fund for fiscal year 2002 pursuant to employment incen-
tive programs which the secretary is hereby authorized to develop and
enter into with public and private employers to provide an economic
incentive to such employers to employ assistance recipients: And provided
further, That any transfer made from this fund to another state agency
pursuant to a contract with that agency shall be in addition to any ex-
penditure limitations imposed on this fund.

Social welfare fund $50,689,197
Provided, That any transfers of funds between the social welfare fund and
state institutions made by the secretary of social and rehabilitation serv-
ices during fiscal year 2002 shall be in addition to any expenditure limi-
tation imposed on this fund: Provided further, That notwithstanding the
provisions of K.S.A. 39-7,154 and amendments thereto, the child support
collection pass-through payments are hereby eliminated for FY 2002 and
no expenditures shall be made from the social welfare fund for payment
of any amounts pursuant to K.S.A. 39-7,154 and amendments thereto:
And provided further, That expenditures shall be made from the social
welfare fund to pay for the third day of emergency shelter payments for
law enforcement placements during fiscal year 2002.

Other state fees fund No limit
Provided, That expenditures shall be made from the social welfare fund
for a grant in the amount of $15,000 for the fetal alcohol syndrome project
pursuant to a grant agreement that shall require a $1 for $1 match from
the local contractor, that local funds shall be used for prevention services
and that the contractor shall also provide all data and information required
by the secretary of social and rehabilitation services to determine the
effectiveness of the project.

Alcohol and drug abuse block grant federal fund $11,193,076
Provided, That any transfers of moneys from the alcohol and drug abuse
block grant federal fund to any other block grant fund specified in this
subsection during fiscal year 2002 shall be in addition to any expenditure
limitation imposed on this fund.

Child welfare services block grant federal fund $5,471,777
Mental health block grant federal fund $2,763,991
Social services block grant--federal fund $23,044,036
Provided, That any transfers of moneys from the social services block
grant--federal fund to any other block grant fund specified in this sub-
section during fiscal year 2002 shall be in addition to any expenditure
limitation imposed on this fund.

Child care mandatory federal fund No limit
Provided, That any transfers from the child care mandatory federal fund
to the department of health and environment during fiscal year 2002 shall
be in addition to any expenditure limitation imposed on this fund.

Temporary assistance to needy families federal fund No limit
Child care matching federal fund No limit
Child care discretionary federal fund No limit
Disability determination services federal fund No limit
Food stamp assistance federal fund No limit
Foster care assistance federal fund No limit
Medical assistance federal fund No limit
Provided, That the secretary of social and rehabilitation services is hereby
authorized and directed to apply for a medicaid waiver from the U.S.
department of health and human services for a pilot project for not more
than 300 children currently in the third grade who are performing below
average in school reading scores to be treated and receive services under
an optometric vision therapy program that will be matched with state
funding through the department of education provided in the grant to
the Kansas optometric association for vision study account of the chil-
dren's initiatives fund.

Rehabilitation services federal fund No limit
Other federal grants and assistance fund No limit
SRS enterprise fund No limit
SRS trust fund No limit
Provided, That all contributions from local entities shall be credited to
the vocational rehabilitation special revenue account of the SRS trust fund
for the purpose of providing the required state match for receipt of fed-
eral vocational rehabilitation funds: Provided further, That expenditures
may be made from the vocational rehabilitation special revenue account
of this fund for local community-based vocational rehabilitation programs.

Child support enforcement administration fund No limit
Energy assistance block grant federal fund No limit
Childrens health insurance federal fund No limit
Family and children trust account--family and children investment fund No limit
Children's initiatives accountability fund $0
Kansas insurance coverage for children fund No limit
State medicaid match fund--SRS $12,300,000
 (c) During the fiscal year ending June 30, 2002, the secretary of social
and rehabilitation services, with the approval of the director of the budget,
may transfer any part of any item of appropriation for the fiscal year
ending June 30, 2002, from the state general fund for the department of
social and rehabilitation services or any institution or facility under the
general supervision and management of the secretary of social and re-
habilitation services to another item of appropriation for fiscal year 2002
from the state general fund for the department of social and rehabilitation
services or any institution or facility under the general supervision and
management of the secretary of social and rehabilitation services. The
secretary of social and rehabilitation services shall certify each such trans-
fer to the director of accounts and reports and shall transmit a copy of
each such certification to the legislative research department.

 (d) On July 1, 2001, the superintendent of Osawatomie state hospital,
upon the approval of the director of accounts and reports, shall transfer
an amount specified by the superintendent from the Osawatomie state
hospital--canteen fund to the Osawatomie state hospital--patient benefit
fund.

 (e) On July 1, 2001, the superintendent of Parsons state hospital and
training center, upon the approval of the director of accounts and reports,
shall transfer $11,000 from the Parsons state hospital and training cen-
ter--canteen fund to the Parsons state hospital and training center--
patient benefit fund.

 (f) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports may transfer, in one or more amounts,
from the title XIX fund to the social welfare fund the amount specified
by the secretary of social and rehabilitation services.

 (g) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $4,332,070 from the tem-
porary assistance to needy families federal fund to the social services block
grant--federal fund.

 (h) During the fiscal year ending June 30, 2002, all moneys received
by the secretary of social and rehabilitation services, to provide an en-
dowment to provide interest earnings for the purposes for which expend-
itures maybe made from the family and children trust account of the
family and children investment fund, shall be deposited in the state treas-
ury to the credit of the family and children endowment account of the
family and children investment fund.

 (i) During the fiscal year ending June 30, 2002, to the extent it is de-
termined by the secretary of social and rehabilitation services to be cost
effective, the secretary of social and rehabilitation services shall apply for
and accept donations from private sources to provide an endowment to
provide interest earnings for the purposes for which expenditures may be
made from the family and children trust account of the family and chil-
dren investment fund. During the fiscal year ending June 30, 2002, upon
receipt of any such donation of moneys from private sources for deposit
in the family and children endowment account of the family and children
investment fund, the secretary of social and rehabilitation services shall
match the amount of each such donation on a $1 for $1 basis from moneys
appropriated for fiscal year 2002 for the department of social and reha-
bilitation services in accordance with this subsection. During the fiscal
year ending June 30, 2001, and to provide such matching moneys, the
secretary of social and rehabilitation services shall transfer amounts from
any available moneys appropriated for fiscal year 2002 in one or more
accounts of the state general fund or in one or more special revenue funds
of the department of social and rehabilitation services, that in the aggre-
gate are equal to the amount of moneys donated, to the family and chil-
dren endowment account of the family and children investment fund.

 (j) In addition to the other purposes for which expenditures may be
made by the department of social and rehabilitation services from any
moneys appropriated from the state general fund or any special revenue
fund for the fiscal year 2002, as authorized by this or other appropriation
act of the 2001 regular session of the legislature, expenditures shall be
made by the department of social and rehabilitation services from any
such moneys appropriated for fiscal year 2002 for the receipt, crediting
and disbursement of moneys received by the department of social and
rehabilitation services for payments of support pursuant to a rule or ad-
ministrative order issued by the Kansas supreme court, which is hereby
authorized to be issued by the Kansas supreme court, directing payments
of support, which are made pursuant to any court order entered in this
state regardless of the date of the order, to be made to a central unit for
the collection and disbursement of support payments, notwithstanding
the provisions of any statute to the contrary.

 (k) During the fiscal year ending June 30, 2002, of the amounts budg-
eted but not expended for the regular medical program from the other
medical assistance account of the state general fund, the amounts budg-
eted but not expended from the mental health and retardation services
aid and assistance account of the state general fund, and the amounts
budgeted but not expended for the regular medical program from the
social welfare fund, an aggregate of $870,000 from such accounts and
such fund shall not be expended for other programs or purposes during
fiscal year 2002 and shall be expended by the above agency during fiscal
year 2003 for implementation of the medicaid buy-in program for indi-
viduals with disabilities.

 (l) In addition to the other purposes for which expenditures may be
made by the department of social and rehabilitation services from moneys
appropriated from the state general fund or any special revenue fund for
fiscal year 2002 as authorized by this or other appropriation act of the
2001 regular session of the legislature, expenditures shall be made by the
department of social and rehabilitation services for fiscal year 2002 from
the moneys appropriated from the state general fund or any special rev-
enue fund to provide information about the proposed location of a resi-
dential alcohol and substance abuse treatment program that is proposed
for the provision of services under contract with the secretary of social
and rehabilitation services, to the governing body of the local government
in which the residential alcohol and substance abuse treatment program
is proposed to be located: Provided, That, if the governing body of the
local government objects to the proposed location and the governing body
actively assists the secretary of social and rehabilitation services in iden-
tifying a suitable location for the residential alcohol and substance abuse
treatment program within the local government, with consideration of
the site selection criteria established for the location of the program and
applicable zoning and other land-use restrictions of the local government,
then, prior to entering into a contract for services with the specific resi-
dential alcohol and substance abuse treatment program, the secretary of
social and rehabilitation services shall actively consider the views of the
governing body of the local government and the affected residents of the
local government and shall act in the best interests of the state with regard
to entering into the proposed contract with the residential alcohol and
substance abuse treatment program: Provided, however, That no such
objections by the governing body or the residents of a local government
shall prohibit the secretary of social and rehabilitation services from en-
tering into a contract for services with a residential alcohol and substance
abuse treatment program to be located within a local government: Pro-
vided further, That, as used in this subsection, ``local government'' means
any city, county or other taxing subdivision of the state having general
governance authority.

 Sec. 131.

KANSAS GUARDIANSHIP PROGRAM
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Kansas guardianship program $1,069,217
Provided, That any unencumbered balance in the Kansas guardianship
program account in excess of $100 as of June 30, 2001, is hereby reap-
propriated for fiscal year 2002: Provided however, That expenditures from
such reappropriated balance shall not exceed $15,000 except upon ap-
proval of the state finance council.

 Sec. 132.

DEPARTMENT OF EDUCATION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $9,183,881
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

Governor's teaching excellence scholarships $54,000
Provided, That all expenditures from the governor's teaching excellence
scholarships account for teaching excellence scholarships shall be to pro-
vide grants of $1,000 each to Kansas elementary and secondary public
school teachers who are accepted to participate in the national board for
professional teaching standards certification program under the gover-
nor's teaching excellence scholarships program which shall be adminis-
tered by the state board of education: Provided further, That each such
grant shall be required to be matched on a $1 for $1 basis from nonstate
sources: And provided further, That award of each such grant shall be
conditioned upon the recipient entering into an agreement requiring the
grant to be repaid if the recipient fails to complete the course of training
under the national board for professional teaching standards certification
program: And provided further, That all moneys received by the depart-
ment of education for repayment of grants for governor's teaching excel-
lence scholarships shall be deposited in the state treasury and credited to
the governor's teaching excellence scholarships program repayment fund.

Governor's teaching excellence awards $56,000
General state aid $1,804,013,000
Provided, That any unencumbered balance in the general state aid ac-
count in excess of $100 as of June 30, 2001, is hereby reappropriated for
fiscal year 2002: Provided further, That any unencumbered balance in
the general state aid account in excess of $10,262,000 shall be transferred
to the inservice education aid account of the state general fund of the
department of education to be used to fund approved inservice education
programs as authorized by K.S.A. 72-9601 et seq., and amendments
thereto: Provided, however, That the amount transferred from such unen-
cumbered balance shall not exceed $2,000,000.

Supplemental general state aid $95,383,000
Provided, That any unencumbered balance in the supplemental general
state aid account in excess of $100 as of June 30, 2001, is hereby reap-
propriated for fiscal year 2002.

School food assistance $2,510,486
School safety hotline $10,000
Provided, That any unencumbered balance in the school safety hotline
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002.

KPERS--employer contributions $105,154,561
Provided, That any unencumbered balance in the KPERS--employer
contributions account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided further, That all expendi-
tures from the KPERS--employer contributions account shall be for pay-
ment of participating employers' contributions to the Kansas public em-
ployees retirement system as provided in K.S.A. 74-4939 and
amendments thereto: And provided further, That expenditures from this
account for the payment of participating employers' contributions to the
Kansas public employees retirement system may be made regardless of
when the liability was incurred.

Special education services aid $256,390,000
Provided, That expenditures shall not be made from the special education
services aid account for the provision of instruction for any homebound
or hospitalized child unless the categorization of such child as exceptional
is conjoined with the categorization of the child within one or more of
the other categories of exceptionality: Provided further, That expendi-
tures shall be made from this account for grants to school districts in
amounts determined pursuant to and in accordance with the provisions
of K.S.A. 2000 Supp. 72-983 and amendments thereto: And provided
further, That expenditures shall be made from the amount remaining in
this account, after deduction of the expenditures specified in the fore-
going proviso, for payments to school districts in amounts determined
pursuant to and in accordance with the provisions of K.S.A. 72-978 and
amendments thereto: And provided further, That for expenditures from
the special education services aid account of the above agency, fully-
trained reading recovery teacher leaders, selected by the agency in ac-
cordance with established criteria, shall be considered to be special teach-
ers as defined in subsection (j)(1) of K.S.A. 2000 Supp. 72-962 and
amendments thereto for the purpose of determining amounts of pay-
ments to be made to school districts in accordance with the provisions of
K.S.A. 2000 Supp. 72-978 and amendments thereto from the amount
remaining in the special education services aid account after deduction
of expenditures made in accordance with the provisions of K.S.A. 2000
Supp. 72-893 and amendments thereto: Provided, however, That ex-
penditures for fully-trained reading recovery teacher leaders considered
to be special teachers shall not exceed $180,000: And provided further,
That the amount of state aid that is attributed to and budgeted for special
education for FY 2002 shall be approximately 85% of special education
excess costs: And provided further, That such amount of state aid that is
attributed to and budgeted for special education shall serve as a baseline
for fiscal year 2003 and ensuing fiscal years and, if federal funding for
special education increases, any such amount of federal funding for spe-
cial education shall be used to increase the proportion of special education
costs funded in relation to total expenditures for special education that
are not otherwise funded and shall not be used to supplant any portion
of state aid that is provided for purposes of funding special education.

Environmental education program $30,000
Parent education program $4,667,000
Provided, That expenditures from the parent education program account
for each such grant shall be matched by the school district in an amount
which is equal to not less than 65% of the grant: Provided further, That
expenditures from this account for fiscal year 2002 for establishing and
maintaining a Kansas training model that meets the requirement for the
parents as teachers program shall not exceed $27,500.

Grant to the Kansas optometric association for vision study $110,000
Inservice education aid $2,600,000
Provided, That, in addition to moneys appropriated in the inservice ed-
ucation account, the department of education may make expenditures
from this account of any moneys transferred to this account from the
general state aid account of the state general fund of the department of
education in an amount not to exceed $2,000,000 for approved inservice
education programs as authorized by K.S.A. 72-9601 et seq., and amend-
ments thereto.

Grant to Emporia state university $155,000
Provided, That expenditures from this account shall be made for grants
to Emporia state university for the national board certification program
and for the future teacher academy: Provided, however, That expendi-
tures from this account shall not exceed $90,000 for the national board
certification program and $65,000 for the future teacher academy.

Educable deaf-blind and severely handicapped children's programs aid $110,000
School district juvenile detention facilities and Flint Hills job corps center grants $5,380,241
Provided, That expenditures shall be made from the school district ju-
venile detention facilities and Flint Hills job corps center grants account
for grants to school districts in amounts determined pursuant to and in
accordance with the provisions of K.S.A. 2000 Supp. 72-8187 and amend-
ments thereto.

Kansas foundation for agriculture project grant $35,000
Challenger project $50,000
Sports hall of fame $50,000
Technology infrastructure $345,000
Any unencumbered balance in excess of $100 as of June 30, 2001, in each
of the following accounts is hereby reappropriated for fiscal year 2002:
Mentor teacher program grants: Provided, That, notwithstanding the pro-
visions of K.S.A. 2000 Supp. 72-1412 et seq., expenditures shall be made
from the mentor teacher program grants account for grants to beginning
teachers in their first year of teaching.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
and transfers to other state agencies shall not exceed the following:

State school district finance fund No limit
School district capital improvements fund No limit
Provided, That expenditures from the school district capital improve-
ments fund shall be made only for the payment of general obligation
bonds approved by voters under the authority of K.S.A. 72-6761 and
amendments thereto.

Conversion of materials and equipment fund No limit
State safety fund No limit
School bus safety fund No limit
Goals 2002 federal fund No limit
Motorcycle safety fund No limit
Federal indirect cost reimbursement fund No limit
Certificate fee fund No limit
Food assistance--federal fund No limit
Food assistance--school breakfast program--federal fund No limit
Food assistance--national school lunch program--federal fund No limit
Food assistance--child and adult care food program--federal fund No limit
Elementary and secondary school aid--federal fund No limit
Elementary and secondary school aid--educationally deprived children--federal fund No limit
Educationally deprived children--state operations--federal fund No limit
Elementary and secondary school--educationally deprived children--LEA's fund No limit
ESEA chapter II--state operations--federal fund No limit
Title VI--innovative education program strategies--LEA's fund--federal fund No limit
Title VI--innovative education program strategies--state operations--federal fund No limit
Education of handicapped children fund--federal No limit
Educational interpreter performance assessment fee fund No limit
Provided, That expenditures may be made from the educational inter-
preter performance assessment fee fund for operating expenditures in-
curred in conjunction with the operation of the educational interpreter
performance program: Provided further, That the state board of educa-
tion is hereby authorized to fix, charge and collect fees for educational
interpreter performance assessments and other services provided under
the interpreter performance assessment program: And provided further,
That all such fees shall be deposited in the state treasury and credited to
the educational interpreter performance assessment fee fund.

Education of handicapped children fund--state operations--federal No limit
Education of handicapped children fund--preschool--federal fund No limit
Education of handicapped children fund--preschool state operations--federal No limit
Elementary and secondary school aid--federal fund--migrant education fund No limit
Elementary and secondary school aid--federal fund--migrant education--state operations No limit
Vocational education amendments of 1968--federal fund No limit
Vocational education title II--federal fund No limit
Vocational education title II--federal fund--state operations No limit
Educational research grants and projects fund No limit
Education for economic security act--federal fund No limit
Drug abuse fund--department of education--federal No limit
Federal class size reduction fund No limit
School renovation grants--federal fund No limit
Drug abuse funds--federal--state operations fund No limit
Inservice education workshop fee fund No limit
Provided, That expenditures may be made from the inservice education
workshop fee fund for operating expenditures, including official hospi-
tality, incurred for inservice workshops and conferences: Provided fur-
ther, That the state board of education is hereby authorized to fix, charge
and collect fees for inservice workshops and conferences: And provided
further, That such fees shall be fixed in order to recover all or part of
such operating expenditures incurred for inservice workshops and con-
ferences: And provided further, That all fees received for inservice work-
shops and conferences shall be deposited in the state treasury and cred-
ited to the inservice education workshop fee fund.

Private donations, gifts, grants and bequests fund No limit
Interactive video fee fund No limit
Provided, That expenditures may be made from the interactive video fee
fund for operating expenditures incurred in conjunction with the opera-
tion and use of the interactive video conference facility of the department
of education: Provided further, That the state board of education is
hereby authorized to fix, charge and collect fees for the operation and
use of such interactive video conference facility: And provided further,
That all fees received for the operation and use of such interactive video
conference facility shall be deposited in the state treasury and credited
to the interactive video fee fund.

Reimbursement for services fund No limit
Communities in schools program fund No limit
Governor's teaching excellence scholarships program repayment fund No limit
Provided, That all expenditures from the governor's teaching excellence
scholarships program repayment fund shall be to provide grants of $1,000
each to Kansas elementary and secondary public school teachers who are
accepted to participate in the national board for professional teaching
standards certification program under the governor's teaching excellence
scholarships program which shall be administered by the state board of
education: Provided further, That each such grant shall be required to be
matched on a $1 for $1 basis from nonstate sources: And provided further,
That award of each such grant shall be conditioned upon the recipient
entering into an agreement requiring the grant to be repaid if the recip-
ient fails to complete the course of training under the national board for
professional teaching standards certification program: And provided fur-
ther, That all moneys received by the department of education for re-
payment of grants made under the governor's teaching excellence schol-
arships program shall be deposited in the state treasury and credited to
this fund.

 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $50,000 from the family
and children trust account of the family and children investment fund of
the department of social and rehabilitation services to the communities
in schools program fund of the department of education.

 (d) On July 1, 2001, and quarterly thereafter, the director of accounts
and reports shall transfer $53,635 from the state highway fund of the
department of transportation to the school bus safety fund of the de-
partment of education.

 (e) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the economic development initiatives fund of the depart-
ment of education to the state economic development initiatives fund.
On July 1, 2001, all liabilities of the economic development initiatives
fund of the department of education, including any outstanding encum-
brances, are hereby transferred to and imposed on the state economic
development initiatives fund and the economic development initiatives
fund of the department of education is hereby abolished.

 Sec. 133.

STATE LIBRARY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $1,591,722
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from the op-
erating expenditures account for official hospitality shall not exceed
$2,000.

Grants to libraries and library systems $3,817,380
Provided, That, of the moneys appropriated in the grants to libraries and
library systems account, $2,569,665 shall be distributed as grants-in-aid
to libraries in accordance with K.S.A. 75-2555 and amendments thereto,
$620,033 shall be distributed for interlibrary loan development grants and
$377,682 shall be paid according to contracts with the subregional librar-
ies of the Kansas talking book services.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

State library fund No limit
Federal library services and technology act--fund No limit
 (c) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--grants-in-aid to libraries fund of the state library
to the state economic development initiatives fund. On July 1, 2001, all
liabilities of the EDIF--grants-in-aid to libraries fund of the state library,
including any outstanding encumbrances, are hereby transferred to and
imposed on the state economic development initiatives fund and the
EDIF--grants-in-aid to libraries fund of the state library is hereby abol-
ished.

 Sec. 134.

KANSAS ARTS COMMISSION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $333,838
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $5,091 except upon approval of
the state finance council: Provided further, That expenditures from the
operating expenditures account for official hospitality shall not exceed
$4,000: And provided further, That expenditures may be made by the
above agency from any amount of savings in the operating expenditures
account for the purpose of matching an equal or greater amount of federal
grant moneys or local grant moneys, or both, for arts programming pro-
jects.

Arts programming grants and challenge grants $1,318,450
Provided, That expenditures from the arts programming grants and chal-
lenge grants account shall be made only for the purpose of matching an
equal or greater amount of federal grant moneys or local grant moneys,
or both, for arts programming projects: Provided further, That expendi-
tures from this account shall be made in a manner to benefit the maxi-
mum number of Kansas communities in the development of Kansas talent
and art.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Kansas arts commission fee fund No limit
Kansas arts commission gifts, grants and bequests fund No limit
Kansas arts commission special gifts fund No limit
Arts programming grants fund No limit
Provided, That moneys received by the Kansas arts commission from the
remittance of the unexpended balance of arts programming grants to the
commission shall be deposited in the state treasury and credited to the
arts programming grants fund: Provided further, That expenditures from
this fund shall be made only for the purpose of matching an equal or
greater amount of federal grant moneys or local grant moneys, or both,
for arts programming projects.

 (c) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--arts commission fund of the Kansas arts com-
mission to the state economic development initiatives fund. On July 1,
2001, all liabilities of the EDIF--arts commission fund of the Kansas arts
commission, including any outstanding encumbrances, are hereby trans-
ferred to and imposed on the state economic development initiatives fund
and the EDIF--arts commission fund of the Kansas arts commission is
hereby abolished.

 Sec. 135.

KANSAS STATE SCHOOL FOR THE BLIND
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $4,339,419
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $18,792 except upon approval of
the state finance council.

Arts for the handicapped $150,000
Any unencumbered balance in excess of $100 as of June 30, 2001, in the
technology lending library account is hereby reappropriated for fiscal year
2002: Provided, however, That all expenditures from the technology lend-
ing library account shall be made only for the purpose of matching an
equal or greater amount of federal or other nonstate governmental grant
moneys or private grant or donation moneys, or any combination thereof,
received by the Kansas state school for the blind: Provided further, That
no expenditures shall be made from this account except upon approval
of the state finance council acting on this matter which is hereby char-
acterized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto,
after receiving information that the Kansas state school for the blind has
received the required matching funds.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

General fees fund No limit
Local services reimbursement fund No limit
Provided, That the Kansas state school for the blind is hereby authorized
to assess and collect a fee of 20% of the total cost of services provided to
local school districts: Provided further, That all moneys received from
such fees shall be deposited in the state treasury and credited to the local
services reimbursement fund.

Student activity fees fund No limit
Special bequest fund No limit
Gift fund No limit
Technology lending library fund No limit
Food assistance--cash for commodities--federal fund No limit
Food assistance--breakfast--federal fund No limit
Food assistance--lunch --federal fund No limit
Chapter I handicapped--federal fund No limit
Education improvement--federal fund No limit
Math and science improvement --federal fund No limit
Elementary and secondary--federal fund No limit
Supported employment initiative--federal fund No limit
 Sec. 136.

KANSAS STATE SCHOOL FOR THE DEAF
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $7,285,994
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall be made only upon approval of the state
finance council.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

General fees fund $100,000
Local services reimbursement fund No limit
Provided, That the Kansas state school for the deaf is hereby authorized
to assess and collect a fee of 20% of the total cost of services provided to
local school districts: Provided further, That all moneys received from
such fees shall be deposited in the state treasury and credited to the local
services reimbursement fund: And provided further, That all expendi-
tures from this fund shall be for capital outlay.

Student activity fees fund No limit
Elementary and secondary education act--federal fund No limit
Vocational education fund--federal No limit
Special bequest fund No limit
Special workshop fund No limit
Gift fund No limit
 Sec. 137.

STATE HISTORICAL SOCIETY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $5,795,713
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $6,568 except upon approval of
the state finance council: Provided further, That expenditures from the
operating expenditures account for official hospitality shall not exceed
$2,500.

Kansas humanities council $85,000
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

General fees fund No limit
Archeology fee fund No limit
Provided, That expenditures may be made from the archeology fee fund
for operating expenses for providing archeological services by contract:
Provided further, That the state historical society is hereby authorized to
fix, charge and collect fees for the sale of such services: And provided
further, That such fees shall be fixed in order to recover all or part of the
operating expenses incurred in providing archeological services by con-
tract: And provided further, That all fees received from such services shall
be credited to the archeology fee fund.

Microfilm fees fund $50,000
Provided, That expenditures may be made from the microfilm fees fund
for operating expenses for providing microfilming services: Provided fur-
ther, That the state historical society is hereby authorized to fix, charge
and collect fees for the sale of such services: And provided further, That
such fees shall be fixed in order to recover all or part of the operating
expenses incurred in providing microfilming services: And provided fur-
ther, That all fees received from such services shall be credited to the
microfilm fees fund.

Records center fee fund No limit
Historic properties fee fund No limit
National historic preservation act fund--state No limit
Historic preservation overhead fees fund No limit
National historic preservation act fund--local No limit
Private gifts, grants and bequests fund No limit
Museum and historic sites visitor donation fund No limit
Insurance collection replacement/reimbursement fund No limit
Heritage trust fund No limit
Provided, That expenditures from the heritage trust fund for state oper-
ations shall not exceed $92,650.

Land survey fee fund No limit
State historical society facilities fund No limit
Unmarked burial sites fund No limit
Historic properties fund No limit
Law enforcement memorial fund No limit
Federal grants fund No limit
Property sale proceeds fund No limit
Provided, That proceeds from the sale of property pursuant to K.S.A. 75-
2701 and amendments thereto shall be deposited in the state treasury
and credited to the property sale proceeds fund.

 (c) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--Kansas humanities council fund of the state
historical society to the state economic development initiatives fund. On
July 1, 2001, all liabilities of the EDIF--Kansas humanities council fund
of the state historical society, including any outstanding encumbrances,
are hereby transferred to and imposed on the state economic develop-
ment initiatives fund and the EDIF--Kansas humanities council fund of
the state historical society is hereby abolished.

 (d) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--other operating expenditure fund of the state
historical society to the state economic development initiatives fund. On
July 1, 2001, all liabilities of the EDIF--other operating expenditure fund
of the state historical society, including any outstanding encumbrances,
are hereby transferred to and imposed on the state economic develop-
ment initiatives fund and the EDIF--other operating expenditure fund
of the state historical society is hereby abolished.

 (e) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--friends of the free state capitol grant fund of
the state historical society to the state economic development initiatives
fund. On July 1, 2001, all liabilities of the EDIF--friends of the free state
capitol grant fund of the state historical society, including any outstanding
encumbrances, are hereby transferred to and imposed on the state eco-
nomic development initiatives fund and the EDIF--friends of the free
state capitol grant fund of the state historical society is hereby abolished.



 Sec. 138.

FORT HAYS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $31,309,311
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided further, That
expenditures from this account may be made to pay faculty and staff
members retiring on or after July 1, 1962, the difference between the
retirement benefits established under the former unfunded state board
of regents' retirement plan and the benefits to which these individuals
would be entitled under the Kansas public employees retirement system.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Parking fees fund No limit
Provided, That expenditures may be made from the parking fees fund for
a capital improvement project for parking lot improvements.

General fees fund No limit
Provided, That expenditures from the general fees fund may be made
only for salaries and wages and for other operating expenditures and shall
not be made for capital improvements.

Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Special events; technology equipment; Gross coliseum services;
performing arts center services; farm income; choral music clinic; Reveille
(yearbook); off-campus tours; memorial union activities; student activity
(unallocated); Leader (newspaper); conferences, clinics and workshops--
noncredit; summer laboratory school; little theater; library services; stu-
dent affairs; speech and debate; student government; counseling center
services; interest on local funds; student identification cards; nurse edu-
cation programs; national science foundation grants; veterans administra-
tion; federal programs and research grants; athletics; placement fees; vir-
tual college classes; speech and hearing; child care services for dependent
students; computer services; interactive television contributions; mid-
western student exchange; departmental receipts for all sales, refunds and
other collections not specifically enumerated above: Provided, however,
That the state board of regents, with the approval of the state finance
council acting on this matter which is hereby characterized as a matter
of legislative delegation and subject to the guidelines prescribed in sub-
section (c) of K.S.A. 75-3711c and amendments thereto, may amend or
change this list of restricted fees: Provided further, That all restricted fees
shall be deposited to the credit of the appropriate account of the re-
stricted fees fund and shall be used solely for the specific purpose or
purposes for which collected: And provided further, That expenditures
may be made from this fund to purchase insurance for equipment pur-
chased through research and training grants only if such grants include
money for and authorize the purchase of such insurance: And provided
further, That expenditures may be made from this fund to procure a
policy of accident, personal liability and excess automobile liability insur-
ance insuring volunteers participating in the senior companion program
against loss in accordance with specifications of federal grant guidelines
as provided in K.S.A. 75-4101 and amendments thereto: And provided
further, That all amounts of tuition received from students participating
in the midwestern student exchange program shall be deposited to the
credit of the midwestern student exchange account of the restricted fees
fund.

Education opportunity act--federal fund No limit
Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Computer services, storeroom for official supplies in-
cluding office supplies, paper products, janitorial supplies, printing and
duplicating, car pool, postage, copy center, and telecommunications and
such other internal service activities as are authorized by the state board
of regents under K.S.A. 76-755 and amendments thereto.

Commencement fees fund No limit
Health fees fund No limit
Provided, That expenditures from the health fees fund may be made for
the purchase of medical malpractice liability coverage for individuals em-
ployed on the medical staff, including pharmacists and physical therapists,
at the student health center.

Student union fees fund No limit
Kansas career work study program fund No limit
Economic opportunity act--federal fund No limit
Kansas comprehensive grant fund No limit
Scholarship funds fund No limit
Faculty of distinction matching fund No limit
Health professions student assistance program fund No limit
Nine month payroll clearing account fund No limit
Oil research library gifts and grants fund No limit
National direct student loan fund No limit
Housing system revenue fund No limit
Institutional overhead fund No limit
Oil and gas royalties fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

Housing system suspense fund No limit
Housing system operations fund No limit
Housing system repairs, equipment and improvement fund No limit
Sponsored research overhead fund No limit
Wildlife art fund No limit
Kansas distinguished scholarship fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Fort Hays state university of not to exceed $125,000 from
the general fees fund to the national direct student loan fund.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Fort Hays state university of not to exceed $100,000 from
the general fees fund to the education opportunity act--federal fund.

 Sec. 139.

KANSAS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $103,806,622
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided, however,
That expenditures from this account may be made to pay faculty and staff
members retiring on or after July 1, 1962, the difference between the
retirement benefits established under the former unfunded state board
of regents' retirement plan and the benefits to which these individuals
would be entitled under the Kansas public employees retirement system.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Parking fees fund No limit
Provided, That Kansas state university may make expenditures from the
parking fees fund for debt service, financing costs and required reserves
for the capital improvement project to construct and pave campus parking
lots pursuant to section 17(d) of chapter 25 of the 1989 Session Laws of
Kansas.

Faculty of distinction matching fund No limit
General fees fund No limit
Provided, That expenditures from the general fees fund may be made
only for salaries and wages and for other operating expenditures and shall
not be made for capital improvements.

Interest on endowment fund No limit
Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Educational opportunity grants; technology equipment; human
resources management system; computer services; copy centers; stan-
dardized test fees; placement center; recreational services; college of
technology and aviation; motor pool; music; professorships; student ac-
tivities fees; army and aerospace uniforms; aerospace uniform augmen-
tation; biology sales and services; chemistry; field camps; state department
of education; physics storeroom; sponsored research, instruction, public
service, equipment and facility grants; ion collision laboratory--federal;
chemical engineering; nuclear engineering; contract--post office--fed-
eral government; library collections; civil engineering; continuing edu-
cation; sponsored construction or improvement projects; attorney, edu-
cational and personal development, human resources; student financial
assistance; application for undergraduate programs; speech and hearing
fees; gifts; human development and family research and training; college
of education--publications and services; student financial assistance--
federal reimbursement; higher education act; guaranteed student loan
application processing; student identification card; auditorium receipts;
catalog sales; emission spectroscopy fees; interagency consulting; sales
and services of educational programs; transcript fees; facility use fees;
human ecology storeroom; college of human ecology sales; family re-
source center fees; human movement performance; application for post
baccalaureate programs; art exhibit fees; college of education--Kansas
careers; foreign student application fee; student union repair and replace-
ment reserve; departmental receipts for all sales, refunds and other col-
lections; institutional support fee; miscellaneous renovations; speech re-
ceipts; art museum; exchange program; flight training lab fees; off campus
work study; parking fees; postage center; printing; short courses and con-
ferences; student government association receipts; regents educational
communications center; late registration fee; engineering equipment fee;
biotechnology facility; English language program; international programs;
federal direct student loans; Bramlage coliseum; other specifically des-
ignated receipts not available for general operations of the university:
Provided, however, That the state board of regents, with the approval of
the state finance council acting on this matter which is hereby character-
ized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto,
may amend or change this list of restricted fees: Provided further, That
all restricted fees shall be deposited to the credit of the appropriate ac-
count of the restricted fees fund and shall be used solely for the specific
purpose or purposes for which collected: And provided further, That ex-
penditures may be made from this fund to purchase insurance for equip-
ment purchased through research and training grants only if such grants
include money for and authorize the purchase of such insurance: And
provided further, That expenditures from the restricted fees fund may
be made for the purchase of insurance for operation and testing of com-
pleted project aircraft and for operation of aircraft used in professional
pilot training, including coverage for public liability, physical damage,
medical payments and voluntary settlement coverages.

Kansas career work study program fund No limit
Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Supplies stores; telecommunications services; photo-
graphic services; K-State printing services; postage; facilities services; fa-
cilities carpool; public safety services; facility planning services; facilities
storeroom; and such other internal service activities as are authorized by
the state board of regents under K.S.A. 76-755 and amendments thereto.

Sponsored research overhead fund No limit
Provided, That the above agency may transfer moneys from the sponsored
research overhead fund of Kansas state university to the sponsored re-
search overhead fund of Kansas state university extension systems and
agriculture research programs.

Housing system suspense fund No limit
Housing system operations fund No limit
Housing system repairs, equipment and improvement fund No limit
Student recreation building program fund No limit
Coliseum operations fund No limit
Coliseum gifts fund No limit
Mandatory retirement annuity clearing fund No limit
Student health fees fund No limit
Provided, That expenditures from the student health fees fund may be
made for the purchase of medical malpractice liability coverage for in-
dividuals employed on the medical staff, including pharmacists and phys-
ical therapists, at the student health center.

Scholarship funds fund No limit
Perkins student loan fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

Howard Hughes grant fund No limit
U.S. army research grant--metal particle chemistry fund No limit
Board of regents--U.S. department of education awards fund No limit
Research projects grants fund No limit
Research projects grants matching fund No limit
State agricultural university fund No limit
Federal extension civil service retirement clearing fund No limit
Salina--student union fees fund No limit
Salina--dormitory and food service fees fund No limit
Kansas distinguished scholarship fund No limit
Tuition accountability fund No limit
Kansas comprehensive grant fund No limit
Temporary deposit fund No limit
Business procurement card clearing fund No limit
Suspense fund No limit
Voluntary tax shelter annuity clearing fund No limit
Agency payroll deduction clearing fund No limit
Payroll clearing fund No limit
Pre-tax parking clearing fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Kansas state university of not to exceed $97,924 from the
general fees fund to the Perkins student loan fund.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Kansas state university of not to exceed $215,000 from the
general fees fund to the educational opportunity grants account of the
restricted fees fund.

 Sec. 140.

KANSAS STATE UNIVERSITY EXTENSION SYSTEMS AND
AGRICULTURE RESEARCH PROGRAMS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $785,218
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

Cooperative extension service (including official hospitality) $18,295,652
Provided, That any unencumbered balance in the cooperative extension
service (including official hospitality) account in excess of $100 as of June
30, 2001, is hereby reappropriated for fiscal year 2002.

Agricultural experiment stations (including official hospitality) $29,480,930
Provided, That any unencumbered balance in the agricultural experiment
stations (including official hospitality) account in excess of $100 as of June
30, 2001, is hereby reappropriated for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Plant pathology; technology equipment; professorships; agri-
cultural experiment station, director's office; agronomy--Ashland farm;
KSU agricultural research center--Hays; KSU southeast agricultural re-
search center; KSU southwest research extension center; agronomy--
general; agronomy--experimental field crop sales; entomology sales;
grain science and industry--Kansas state university; food and nutrition
research; extension services and publication; sponsored construction or
improvement projects; gifts; animal resource facility; animal health and
disease research; higher education act; sales and services of educational
programs; animal sciences and industry livestock and product sales; hor-
ticulture greenhouse and farm products sales; Konza prairie operations;
departmental receipts for all sales, refunds and other collections; insti-
tutional support fee; KSU northwest research extension center opera-
tions; research projects grants; research projects grants matching; spon-
sored research, public service, equipment and facility grants; statistical
laboratory; equipment/pesticide storage building; other specifically des-
ignated receipts not available for general operations of the university:
Provided, however, That the state board of regents, with the approval of
the state finance council acting on this matter which is hereby character-
ized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto,
may amend or change this list of restricted fees: Provided further, That
all restricted fees shall be deposited to the credit of the appropriate ac-
count of the restricted fees fund and shall be used solely for the specific
purpose or purposes for which collected: And provided further, That ex-
penditures may be made from this fund to purchase insurance for equip-
ment purchased through research and training grants only if such grants
include money for and authorize the purchase of such insurance: And
provided further, That expenditures may be made from the Kansas ag-
ricultural mediation service account of the restricted fees fund during
fiscal year 2002.

Fertilizer research fund No limit
Sponsored research overhead fund No limit
Federal extension fund No limit
Federal experimental station fund No limit
Federal awards--advance payment fund No limit
Smith-Lever special program grant--federal fund No limit
Faculty of distinction matching fund No limit
Kansas artificial breeding service unit fees fund No limit
Agricultural land use-value fund No limit
Irrigation research field grant fund No limit
 Sec. 141.

KANSAS STATE UNIVERSITY
VETERINARY MEDICAL CENTER
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $9,842,527
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

General fees fund No limit
Hospital and diagnostic laboratory revenue fund No limit
Faculty of distinction matching fund No limit
Hospital and diagnostic laboratory improvement fund No limit
Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Sponsored research, instruction, public service, equipment and
facility grants; technology equipment; pathology fees; laboratory test fees;
higher education act; dean of veterinary medicine receipts; gifts; appli-
cation for postbaccalaureate programs; embryo transfer unit; swine se-
rology; rapid focal fluorescent inhibition test; storerooms; departmental
receipts for all sales refunds and other collections; other specifically des-
ignated receipts not available for general operation of the Kansas state
university veterinary medical center: Provided, however, That the state
board of regents, with the approval of the state finance council acting on
this matter which is hereby characterized as a matter of legislative dele-
gation and subject to the guidelines prescribed in subsection (c) of K.S.A.
75-3711c and amendments thereto, may amend or change this list of
restricted fees: Provided further, That all restricted fees shall be deposited
to the credit of the appropriate account of the restricted fees fund and
shall be used solely for the specific purpose or purposes for which col-
lected: And provided further, That expenditures may be made from this
fund to purchase insurance for equipment purchased through research
and training grants only if such grants include money for and authorize
the purchase of such insurance.

Sponsored research overhead fund No limit
Health professions student loan fund No limit
H.E.W. veterinary revolving student loan fund No limit
Student loan funds fund No limit
Suspense fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

 Sec. 142.

EMPORIA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $30,056,455
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Parking fees fund No limit
Provided, That expenditures may be made from the parking fees fund for
a capital improvement project for parking lot improvements.

General fees fund No limit
Provided, That expenditures from the general fees fund may be made
only for salaries and wages and for other operating expenditures and shall
not be made for capital improvements.

Interest fund No limit
Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Computer services, student activity; technology equipment; stu-
dent union; sponsored research; computer services; extension classes; na-
tional science foundation grants; national defense education act; gifts and
grants (for teaching, research and capital improvements); business school
contributions; state department of education (vocational); elementary and
secondary education act--federal; library services; library collections; in-
terest on local funds; receipts from conferences, clinics, and workshops
held on campus for which no college credit is given; physical plant re-
imbursements from auxiliary enterprises; midwestern exchange; depart-
mental receipts--for all sales, refunds and other collections or receipts
not specifically enumerated above: Provided, however, That the state
board of regents, with the approval of the state finance council acting on
this matter which is hereby characterized as a matter of legislative dele-
gation and subject to the guidelines prescribed in subsection (c) of K.S.A.
75-3711c and amendments thereto, may amend or change this list of
restricted fees: Provided further, That all restricted fees shall be deposited
to the credit of the appropriate account of the restricted fees fund and
shall be used solely for the specific purpose or purposes for which col-
lected: And provided further, That expenditures may be made from this
fund to purchase insurance for equipment purchased through research
and training grants only if such grants include money for and authorize
the purchase of such insurance: And provided further, That all amounts
of tuition received from students participating in the midwestern student
exchange program shall be deposited to the credit of the midwestern
student exchange account of the restricted fees fund.

Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Telecommunications services; office supplies inventory;
state car operation; E.S.U. press including duplicating and reproducing;
postage; physical plant storeroom including motor fuel inventory; data
processing center; and such other internal service activities as are au-
thorized by the state board of regents under K.S.A. 76-755 and amend-
ments thereto.

Commencement fees fund No limit
Kansas career work study program fund No limit
Student health fees fund No limit
Provided, That expenditures from the student health fees fund may be
made for the purchase of medical malpractice liability coverage for in-
dividuals employed on the medical staff, including pharmacists and phys-
ical therapists, at the student health center.

Faculty of distinction matching fund No limit
Bureau of educational measurements fund No limit
Scholarship funds fund No limit
National direct student loan fund No limit
Economic opportunity act--work study--federal fund No limit
Educational opportunity grants--federal fund No limit
Basic opportunity grant program--federal fund No limit
Research and institutional overhead fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

Kansas comprehensive grant fund No limit
Housing system suspense fund No limit
Housing system operations fund No limit
Housing system repairs, equipment and improvement fund No limit
Kansas distinguished scholarship fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Emporia state university of not to exceed $30,000 from the
general fees fund to the national direct student loan fund.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Emporia state university of not to exceed $70,000 from the
general fees fund to the educational opportunity grants--federal fund.

 Sec. 143.

PITTSBURG STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $32,764,096
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided further, That
expenditures from this account may be made to pay faculty and staff
members retiring on or after July 1, 1962, the difference between the
retirement benefits under the former unfunded state board of regents'
retirement plan and the benefits to which these individuals would be
entitled under the Kansas public employees retirement system.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Parking fees fund No limit
Provided, That expenditures may be made from the parking fees fund for
capital improvement projects for parking lot improvements.

General fees fund No limit
Provided, That expenditures from the general fees fund may be made
only for salaries and wages and for other operating expenditures and shall
not be made for capital improvements: Provided further, That any trans-
fers of moneys from this fund to the equipment reserve fund pursuant to
subsection (c) shall be deemed expenditures for the purpose of the ex-
penditure limitation imposed on this fund.

Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Computer services; instructional technology fee; technology
equipment; student activity fee accounts; commencement fees; ROTC
activities; continuing education receipts; vocational auto parts and service
fees; receipts from camps, conferences and meetings held on campus;
national science foundation grants, department of education, and other
federal grants, including Pell grants, SEOG grants; flight training; library
service collections and fines; state department of education and grants
from other state agencies; Midwest Quarterly; chamber music series; con-
tract--post office; gifts and grants; general fees transfer for SEOG match;
intensive English program; business and technology institute; public sec-
tor radio station activities; economic opportunity--state match; research
projects grants; career work study; regents supplemental grants; contig-
uous county fees; midwestern student exchange; departmental receipts,
and other specifically designated receipts not available for general oper-
ations of the university: Provided, however, That the state board of re-
gents, with the approval of the state finance council acting on this matter
which is hereby characterized as a matter of legislative delegation and
subject to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c
and amendments thereto, may amend or change this list of restricted fees:
Provided further, That all restricted fees shall be deposited to the credit
of the appropriate account of the restricted fees fund and shall be used
solely for the specific purpose or purposes for which collected: And pro-
vided further, That expenditures may be made from this fund to purchase
insurance for equipment purchased through research and training grants
only if such grants include money for and authorize the purchase of such
insurance: And provided further, That surplus restricted fees moneys gen-
erated by the music department may be transferred to the Pittsburg state
university foundation, inc. for the express purpose of awarding music
scholarships: And provided further, That all amounts of tuition received
from students participating in the midwestern student exchange program
shall be deposited to the credit of the midwestern student exchange ac-
count of the restricted fees fund.

Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Duplicating and printing services; instructional media
division; office stationery and supplies; motor carpool; postage services;
telephone services; data processing; and such other internal service activ-
ities as are authorized by the state board of regents under K.S.A. 76-755
and amendments thereto.

Hospital and student health fees fund No limit
Provided, That expenditures from the hospital and student health fees
fund may be made for the purchase of medical malpractice liability cov-
erage for individuals employed on the medical staff, including pharmacists
and physical therapists, at the student health center: Provided further,
That expenditures may be made from this fund for capital improvement
projects for hospital and student health center improvements.

Faculty of distinction matching fund No limit
Perkins student loan fund No limit
Sponsored research overhead fund No limit
College work study fund No limit
Nursing student loan fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

Housing system suspense fund No limit
Housing system operations fund No limit
Housing system repairs, equipment and improvement fund No limit
Provided, That expenditures may be made from the housing system re-
pairs, equipment and improvement fund for capital improvement projects
for housing system maintenance and improvements.

Kansas comprehensive grant fund No limit
Kansas distinguished scholarship program fund No limit
 (c) During the fiscal year ending June 30, 2002, the director of accounts
and reports shall transfer amounts specified by the president of Pittsburg
state university of not to exceed a total of $125,000 for all such amounts,
from the general fees fund to the following specified funds and accounts
of funds: Perkins student loan fund; economic opportunity--state match
account of the restricted fee fund; nursing student loan fund.

 Sec. 144.

UNIVERSITY OF KANSAS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $129,392,277
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

Geological survey $6,175,626
Provided, That any unencumbered balance in the geological survey ac-
count in excess of $100 as of June 30, 2001, is hereby reappropriated for
fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Parking facilities revenue fund No limit
Provided, That transfers of moneys from the parking facilities revenue
fund to bond funds pursuant to bond agreements shall be in addition to
any expenditure limitation imposed on this fund.

Faculty of distinction matching fund No limit
General fees fund No limit
Provided, That expenditures from the general fees fund may be made
only for salaries and wages and for other operating expenditures, but shall
not be made for capital improvements: Provided further, That, subject to
approval by the state board of regents under K.S.A. 76-719 and amend-
ments thereto, the university of Kansas is hereby authorized to fix, charge
and collect a fee of not more than $100 per student credit hour on courses
offered by the school of law for students entering law school after April
1, 1997, and not more than $40 per student credit hour for all other
students of the school of law: And provided further, That all moneys
received for such fee shall be credited to the school of law credit hour
fee account of this fund: And provided further, That expenditures from
the school of law credit hour fee account shall not exceed $1,625,000:
And provided further, That, subject to approval by the state board of
regents under K.S.A. 76-719 and amendments thereto, the university of
Kansas is hereby authorized to fix, charge and collect a fee of not more
than $85 per student credit hour on courses offered by the school of
pharmacy: And provided further, That all moneys received for such fee
shall be credited to the school of pharmacy credit hour fee account of
this fund: And provided further, That all expenditures from the school of
pharmacy credit hour fee account of this fund shall be for school of phar-
macy faculty salaries and other operating expenditures in order to provide
faculty and student support services, clerkships and externships for stu-
dents, and for school of pharmacy instructional equipment and supplies:
And provided further, That expenditures from the school of pharmacy
credit hour fee account of this fund shall not exceed $1,090,000: And
provided further, That, subject to approval by the state board of regents
under K.S.A. 76-719 and amendments thereto, the university of Kansas
is hereby authorized to fix, charge and collect a fee of not more than $55
per student credit hour on master's level courses offered by the school
of business at the Lawrence campus: And provided further, That all mon-
eys received for such fee shall be credited to the school of business credit
hour fee account of this fund: And provided further, That expenditures
from the school of business credit hour fee account of this fund shall not
exceed $240,000: And provided further, That all moneys received for
tuition for students enrolled in courses offered at the regents center on
the Edwards campus shall be deposited in the state treasury and credited
to this fund: And provided further, That the director of accounts and
reports shall transfer on a periodic basis amounts generated from such
courses in excess of $2,383,301 as specified by the chancellor of the uni-
versity of Kansas, or the chancellor's designee, from the general fees fund
to the regents center development fund.

Regents center development fund No limit
Provided, That expenditures shall be made from the regents center de-
velopment fund for program operation and development at the regents
center on the Edwards campus.

Interest fund No limit
Sponsored research overhead fund No limit
Law enforcement training center fund No limit
Provided, That expenditures may be made from the law enforcement
training center fund to cover the costs of tuition for students enrolled in
the law enforcement training program in addition to the costs of salaries
and wages and other operating expenditures for the program: Provided,
however, That any academic credit granted through this program shall
not be included in the university's budgeted enrollment figures: Provided
further, That the amount of any unencumbered balance of the amount
made available for expenditure from this fund for capital improvements
in fiscal year 1993 by section 9(b) of chapter 215 of the 1992 Session Laws
of Kansas and amendments thereto is hereby authorized to be expended
during fiscal year 2002: And provided further, That expenditures may be
made from this fund for the acquisition of tracts of land adjacent to the
law enforcement training center.

Law enforcement training center fees fund No limit
Provided, That all moneys received for tuition from students enrolling in
the basic law enforcement training program for undergraduate or grad-
uate credit shall be deposited in the state treasury and credited to the
law enforcement training center fees fund.

Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Institute for public policy and business research; technology
equipment; clinical psychology conference; concert course; residence hall
maintenance; speech, language and hearing clinic; perceptual motor
clinic; application for admission fees; named professorships; summer in-
stitutes and workshops; dramatics; economic opportunity act; executive
management; continuing education programs; geology field trips; gifts
and grants; extension services; counseling center; investment income
from bequests; housing and residence halls; endowment research salaries;
engineering research salaries; music and art camp; national defense ed-
ucation programs; child development lab preschools; orientation center;
educational placement; press publications; Rice estate educational pro-
ject; sponsored research; student activities; sale of surplus books and art
objects; building use charges; Kansas applied remote sensing program;
executive master's degree in business administration; applied English
center; cartographic services; economic education; study abroad pro-
grams; computer services; recreational activities; animal care activities;
geological survey; engineering equipment fee; midwestern student
exchange; department commercial receipts for all sales, refunds, and all
other collections or receipts not specifically enumerated above: Provided,
however, That the state board of regents, with the approval of the state
finance council acting on this matter which is hereby characterized as a
matter of legislative delegation and subject to the guidelines prescribed
in subsection (c) of K.S.A. 75-3711c and amendments thereto, may
amend or change this list of restricted fees: Provided further, That all
restricted fees shall be deposited to the credit of the appropriate account
of the restricted fees fund and shall be used solely for the specific purpose
or purposes for which collected: And provided further, That expenditures
may be made from this fund to purchase insurance for equipment pur-
chased through research and training grants only if such grants include
money for and authorize the purchase of such insurance.

Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Residence hall food stores; university motor pool; fur-
niture stores; business office stores; university printing service; military
uniforms; telecommunications service; and such other internal service
activities as are authorized by the state board of regents under K.S.A. 76-
755 and amendments thereto.

Health service fund No limit
Provided, That expenditures from the health service fund may be made
for the purchase of medical malpractice liability coverage for individuals
employed on the medical staff, including pharmacists and physical ther-
apists, at the student health center.

Kansas career work study program fund No limit
Student union fund No limit
Regents supplemental grant fund No limit
National direct student loan fund No limit
Provided, That expenditures from the national direct student loan fund
shall be used for the federal Perkins student loan program, federal sup-
plemental educational opportunity program and federal disadvantaged
student loan program.

Ford foundation--forgivable loan fund No limit
Andrew Mellon Foundation fund No limit
Health professions student loan fund No limit
Geological survey fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

Research projects grants fund No limit
Research projects grants matching fund No limit
U.S. Army grant fund No limit
Housing system suspense fund No limit
Housing system revenue fund No limit
Housing system operations fund No limit
Housing system repairs, equipment and improvement fund No limit
Educational opportunity act--federal fund No limit
Loans for disadvantaged students fund No limit
Prepaid tuition fees clearing fund No limit
Kansas comprehensive grant fund No limit
Tuition accountability fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer amounts specified by the
chancellor of the university of Kansas of not to exceed a total of $285,000
for all such amounts, from the general fees fund to the following specified
funds and accounts of funds: Federal Perkins student loan program ac-
count of the national direct student loan fund; federal supplemental ed-
ucational opportunity program account of the national direct student loan
fund; federal disadvantaged student loan program account of the national
direct student loan fund; health professions student loan fund; other
funds or accounts established for campus-based loan programs sponsored
by the federal government.

 (d) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, for the water plan
project or projects specified, the following:

Geological survey $50,000
 Sec. 145.

UNIVERSITY OF KANSAS MEDICAL CENTER
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $103,070,977
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided further, That
expenditures may be made from this account for the purchase of mal-
practice insurance for students in training at the university of Kansas
school of medicine, nursing and allied health: And provided further, That
such malpractice insurance shall be approved by the commissioner of
insurance of the state of Kansas: And provided further, That expenditures
from this account may be used to reimburse medical residents in resi-
dency programs located in Kansas City at the university of Kansas medical
center for the purchase of health insurance for residents' dependents.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

General fees fund No limit
Provided, That any transfers of moneys from this fund to the equipment
reserve fund pursuant to subsection (c) shall be deemed expenditures for
the purpose of the expenditure limitation imposed on this fund.

Faculty of distinction matching fund No limit
Restricted fees fund No limit
Provided, That restricted fees shall be limited to the following accounts:
Technology equipment; computer services; salaries reimbursed by the
Kansas university endowment association; postgraduate fees; pathology
fees; student health insurance premiums; gift receipts; designated re-
search collaboration; facilities use; photography; continuing education;
student activity fees; student application fees; department duplicating;
student health services; student identification badges; student transcript
fees; loan administration fees; fitness center fees; occupational health
fees; computer remote access; employee health; telekid care fees; area
outreach fees; police fees; endowment payroll reimbursement; rental
property; school of allied health e-learning fees; school of nursing e-learn-
ing fee; surplus property sales; student union fees; outreach air travel;
student loan legal fees; hospital authority salary reimbursements; gradu-
ate medical education contracts; housestaff activity fees; anatomy cadav-
ers; biotechnology services; energy center funded depreciation; fungal
sales; biostatistics; electron microscope services; Wichita faculty contracts;
physical therapy services; legal fee reimbursements; sponsored research;
departmental commercial receipts; department of social and rehabilita-
tion services cost-sharing: Provided, however, That the state board of
regents, with the approval of the state finance council acting on this mat-
ter which is hereby characterized as a matter of legislative delegation and
subject to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c
and amendments thereto, may amend or change this list of restricted fees:
And provided further, That all restricted fees shall be deposited to the
credit of the appropriate account of the restricted fees fund and shall be
used solely for the specific purpose or purposes for which collected: And
provided further, That expenditures may be made from this fund to pur-
chase insurance for equipment purchased through research and training
grants only if such grants include money for and authorize the purchase
of such insurance: And provided further, That expenditures may be made
from this fund to purchase health insurance coverage for all students
enrolled in the school of allied health, school of nursing and school of
medicine.

Sponsored research overhead fund No limit
Parking fees fund No limit
Services to hospital authority fund No limit
Direct medical education reimbursement fund No limit
Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Print shop; purchasing storeroom; university motor
pool; clothing (uniforms); physical plant storeroom; photo supplies; tel-
ecommunications services; facilities operations discretionary repairs; an-
imal care; paging equipment; biomedical engineering; audiovisual serv-
ices; computer services; and such other internal service activities as are
authorized by the state board of regents under K.S.A. 76-755 and amend-
ments thereto.

College work-study fund No limit
Student union fees fund No limit
Scholarship funds fund No limit
Health professions student loan fund--medical students No limit
Health professions student loan fund--nursing students No limit
Revolving student loans fund No limit
Student loans fund No limit
Suspense fund No limit
Prepaid tuition fees clearing fund No limit
Educational opportunity grant fund No limit
Basic educational opportunity grant fund No limit
National direct student loan fund No limit
Medical scholarship and loan repayment fund No limit
Provided, That expenditures from this fund for attorney fees and litigation
costs associated with the administration of the medical scholarship and
loan program shall be in addition to any expenditure limitation imposed
on the operating expenditures account of the medical scholarship and
loan repayment fund or on the total expenditures from the medical schol-
arship and loan repayment fund.

Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

University of Kansas medical center private practice
foundation reserve fund
No limit
Robert Wood Johnson foundation loan fund No limit
 (c) Any unencumbered balance in the children's initiatives fund--pe-
diatric biomedical research account in excess of $100 as of June 30, 2001,
is hereby reappropriated to the pediatric biomedical research account,
which is hereby created, for fiscal year 2002.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer amounts specified by the
chancellor of the university of Kansas of not to exceed a total of $125,000
for all such amounts, from the general fees fund to the following funds:
National direct student loan fund; federal basic educational opportunity
grant fund; federal college work-study fund; health professions student
loan fund--medical students; health professions student loan fund--
nursing students.

 (e) During the fiscal year ending June 30, 2002, medical students en-
rolled at the university of Kansas medical center are hereby self-insured
by the state of Kansas while in clinical training at the university of Kansas
medical center or at other health care institutions. Such individuals shall
be considered employees for purposes of the Kansas tort claims act and
shall be provided defense and indemnification for claims arising out of
their clinical training at the university of Kansas medical center or at other
health care institutions in accordance with the provisions of the Kansas
tort claims act. With in the limits of appropriations therefor, the university
of Kansas medical center may enter into contracts to purchase additional
malpractice insurance for such medical students. Any such malpractice
insurance purchase shall be approved by the commissioner of insurance
of the state of Kansas.

 (f) During the fiscal year ending June 30, 2002, the director of accounts
and reports shall transfer an amount specified by the chancellor prior to
July 1, 2001, from the general fees fund to the student health insurance
premiums account of the restricted fees fund.

 Sec. 146.

WICHITA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $64,544,363
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

General fees fund No limit
Provided, That expenditures from the general fees fund may be made
only for salaries and wages and for other operating expenditures and shall
not be made for capital improvements.

Restricted fees fund No limit
Provided, That restricted fees shall be limited to receipts for the following
accounts: Summer school workshops; technology equipment; concert
course; dramatics; continuing education; flight training; gifts and grants
(for teaching, research, and capital improvements); testing service; state
department of education (vocational); investment income from bequests;
sale of surplus books and art objects; public service; veterans counseling
and educational benefits; sponsored research; campus privilege fee; stu-
dent activities; national defense education programs; engineering equip-
ment fee; midwestern student exchange; departmental receipts --for all
sales, refunds and other collections or receipts not specifically enumer-
ated above: Provided, however, That the state board of regents, with the
approval of the state finance council acting on this matter which is hereby
characterized as a matter of legislative delegation and subject to the
guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amend-
ments thereto, may amend or change this list of restricted fees: Provided
further, That all restricted fees shall be deposited to the credit of the
appropriate account of the restricted fees fund and shall be used solely
for the specific purpose or purposes for which collected: And provided
further, That expenditures may be made from this fund to purchase in-
surance for equipment purchased through research and training grants
only if such grants include money for and authorize the purchase of such
insurance: And provided further, That expenditures from this fund may
be made for the purchase of medical malpractice liability coverage for
individuals employed on the medical staff at the student health center.

Service clearing fund No limit
Provided, That the service clearing fund shall be used for the following
service activities: Central service duplicating and reproducing bureau; au-
tomobiles; furniture stores; postal clearing; telecommunication; computer
service; and such other internal service activities as are authorized by the
state board of regents under K.S.A. 76-755 and amendments thereto.

Faculty of distinction matching fund No limit
On-campus parking revenue fund No limit
Kansas career work study program fund No limit
National direct student loan fund No limit
Scholarship funds fund No limit
Sponsored research fund No limit
Sponsored research overhead fund No limit
Economic opportunity act--federal fund No limit
Education opportunity grant--federal fund No limit
Work-study program fund No limit
Health professions student assistance program--loans fund No limit
Nine month payroll clearing account fund No limit
Equipment reserve fund No limit
Provided, That expenditures from the equipment reserve fund shall be
made only for the purchase of equipment.

Research projects grants fund No limit
Research projects grants matching fund No limit
Pell grants fund No limit
Housing system suspense fund No limit
Housing system renovation principal and interest fund No limit
Housing system repairs, equipment and improvement fund No limit
WSU housing system depreciation and replacement fund No limit
Perkins loan fund No limit
Kansas distinguished scholarship fund No limit
Kansas comprehensive grant fund No limit
1971 academic and service building maintenance fund No limit
WSU housing systems revenue fund No limit
1976 dormitory maintenance reserve fund No limit
Tuition accountability fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount specified by the
president of Wichita state university of not to exceed $120,000 from the
general fees fund to the education opportunity grant--federal fund.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $186,313 from the WSU
housing systems revenue fund of Wichita state university to the state
general fund.

 Sec. 147.

STATE BOARD OF REGENTS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures (including official hospitality) $2,881,151
Provided, That any unencumbered balance in the operating expenditures
(including official hospitality) account in excess of $100 as of June 30,
2001, is hereby reappropriated for fiscal year 2002: Provided further, That
the state board of regents is hereby authorized to transfer moneys from
this account to an account or accounts of the restricted fees fund of any
institution under its jurisdiction for the support of regents distinguished
professors, Kansas regents honors academy or the Kansas council on ec-
onomic education.

State scholarship program $1,278,688
Provided, That expenditures may be made from the state scholarship
program account for the state scholarship program under K.S.A. 72-6816
and amendments thereto and for the Kansas distinguished scholarship
program under K.S.A. 74-3278 through 74-3283 and amendments
thereto: Provided further, That of the total amount appropriated in the
state scholarship program account the amount dedicated for the Kansas
distinguished scholarship program shall not exceed $25,000.

Comprehensive Grant program $10,750,000
Ethnic minority scholarship program $359,569
Provided, That any unencumbered balance in the ethnic minority schol-
arship program account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided, however, That expenditures
from such reappropriated balance shall not exceed $1,500 except upon
approval of the state finance council.

Ethnic minority fellowship program $99,450
Provided, That any unencumbered balance in the ethnic minority fellow-
ship program account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided, however, That expenditures
from such reappropriated balance shall not exceed $6,000 except upon
approval of the state finance council.

Kansas work-study program $538,951
Provided, That the state board of regents is hereby authorized to transfer
moneys from the Kansas work-study program account to the Kansas ca-
reer work study program fund of any institution under its jurisdiction
participating in the Kansas work-study program established by K.S.A. 74-
3274 et seq., and amendments thereto: Provided further, That all moneys
transferred from this account to the Kansas career work study program
fund of any such institution shall be expended for and in accordance with
the Kansas work-study program.

ROTC scholarship reimbursement $192,166
Provided, That all expenditures from the ROTC scholarship reimburse-
ment account for reimbursements under K.S.A. 74-3256 and amend-
ments thereto to any state educational institution under the jurisdiction
of the state board of regents shall be made as transfers to the general
fees fund of such state educational institution as a transaction between
state agencies in accordance with subsection (b) of K.S.A. 75-5516 and
amendments thereto.

Teachers scholarship program $374,277
Vocational scholarships $125,000
Nursing student scholarship program $248,563
Provided, That any unencumbered balance in the nursing student schol-
arship program account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002.

Optometry Education Program $115,000
Faculty salary enhancement $8,383,427
Provided, That all moneys in the faculty salary enhancement account shall
be used by the state board of regents to increase the salary of public
service, teaching and research faculty members: Provided further, That
the state board of regents is hereby authorized to transfer moneys from
this account to appropriate accounts of the state general fund of any
institution under its jurisdiction: And provided further, That the executive
director of the state board of regents shall certify each such transfer to
the director of accounts and reports and shall transmit a copy of each
such certification to the division of the budget and the legislative research
department.

Municipal university operating grant $10,594,032
Postsecondary aid for vocational education $20,083,890
Adult basic education $1,100,000
Community college operating grant $85,174,486
Technology equipment at community colleges and Washburn university $450,000
Provided, That the state board of regents is hereby authorized to make
expenditures from the technology equipment at community colleges and
Washburn university account for grants to community colleges and Wash-
burn university pursuant to grant applications for the purchase of tech-
nology equipment, in accordance with guidelines established by the state
board of education.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Osteopathic scholarship repayment fund $480,000
Vocational education scholarship discontinued attendance fund No limit
Leveraging educational assistance program fund--
federal
No limit
Regents' scholarship gift fund No limit
Provided, That expenditures may be made from the regents' scholarship
gift fund for scholarships awarded to Kansas residents who are attending
institutions of postsecondary education in Kansas which are authorized
under the laws of this state to award academic degrees and who meet
academic and other eligibility criteria established by the state board of
regents by rules and regulations: Provided, however, That a financial
needs test shall not be one of the eligibility criteria established by the
state board of regents for such scholarships: Provided further, That no
scholarship awarded from this fund shall exceed $2,000 per academic
year: And provided further, That any recipient of a scholarship awarded
from this fund may also receive either a state scholarship under K.S.A.
72-6810 to 72-6816, inclusive, and amendments thereto or a tuition grant
under K.S.A. 72-6107 to 72-6111, inclusive, and amendments thereto, or
both: And provided further, That there shall be no reduction of any schol-
arship awarded from this fund for the amount of any such state scholar-
ship or tuition grant received.

Earned indirect costs fund--federal No limit
Faculty of distinction program fund No limit
Paul Douglas teacher scholarship fund--federal No limit
GED credentials processing fees fund No limit
Proprietary school fee fund No limit
Adult basic education--federal fund No limit
Truck driver training fund No limit
Eisenhower professional state grants fund--federal No limit
Comprehensive grant program discontinued attendance fund No limit
State scholarship discontinued attendance fund No limit
Kansas ethnic minority fellowship program fund No limit
Private postsecondary educational institution degree authorization expense reimbursement fee fund No limit
Voluntary tax sheltered annuity clearing fund No limit
Substance abuse education fund--federal No limit
Mandatory retirement annuity clearing fund No limit
Nursing student scholarship program fund No limit
Kansas ethnic minority discontinued attendance fund No limit
Clearing fund No limit
Conversion of materials and equipment fund No limit
Teacher scholarship program fund No limit
Financial aid services fee fund No limit
Provided, That expenditures may be made from the financial aid services
fee fund for operating expenditures directly or indirectly related to the
operating costs associated with student financial assistance programs ad-
ministered by the state board of regents: Provided further, That the ex-
ecutive director of the state board of regents is hereby authorized to fix,
charge and collect fees for the processing of applications for student fi-
nancial assistance under programs administered by the state board of
regents: And provided further, That such fees shall be fixed in order to
recover all or a part of the direct and indirect operating expenses incurred
for administering such programs: And provided further, That all moneys
received for such fees shall be deposited in the state treasury and credited
to this fund.

Optometry education repayment fund No limit
Teacher scholarship repayment fund No limit
Advanced registered nurse practitioner program fund No limit
Nursing student scholarship discontinued attendance fund No limit
Nursing student scholarship repayment fund No limit
 (c) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the economic development initiatives fund of the state
board of regents to the state economic development initiatives fund. On
July 1, 2001, all liabilities of the economic development initiatives fund
of the state board of regents, including any outstanding encumbrances,
are hereby transferred to and imposed on the state economic develop-
ment initiatives fund and the economic development initiatives fund of
the state board of regents is hereby abolished.

 (d) On the effective date of this act, the director of accounts and reports
shall transfer all moneys in the student incentive grant fund--federal of
the state board of regents to the educational assistance program fund. On
the effective date of this act, all liabilities of the student incentive grant
fund--federal are hereby transferred to and imposed on the educational
assistance program fund and the student incentive grant fund--federal
fund is hereby abolished.

 (e) On the effective date of this act, the director of accounts and reports
shall transfer all moneys in the economic security grant--federal fund of
the state board of regents to the Eisenhower professional state grants--
federal fund. On the effective date of this act, all liabilities of the student
incentive grant fund--federal are hereby transferred to and imposed on
the educational assistance program fund and the student incentive grant
fund--federal fund is hereby abolished.



 Sec. 148.

DEPARTMENT OF CORRECTIONS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Central administration operations and parole and postrelease supervision operations $13,231,912
Provided, That any unencumbered balance in the central administration
operations and parole and postrelease supervision operations account in
excess of $100 as of June 30, 2001, is hereby reappropriated for fiscal
year 2002: Provided, however, That expenditures from such reappro-
priated balance shall be made only upon approval of the state finance
council.

Community corrections $15,622,025
Provided, That any unencumbered balance in the community corrections
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $137,195 except upon approval
of the state finance council: Provided further, That no expenditures may
be made by any county from any grant made to such county from the
community corrections account for either half of state fiscal year 2002
which supplant any amount of local public or private funding of existing
programs as determined in accordance with rules and regulations adopted
by the secretary of corrections.

Day reporting center state match $345,380
Provided, That any unencumbered balance in the day reporting center
state match account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided, however, That expenditures
from such reappropriated balance shall not exceed $69,378, except upon
approval of the state finance council acting on this matter which is hereby
characterized as a matter of legislation delegation and subject to the
guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amend-
ments thereto: Provided further, That all expenditures from the day re-
porting center state match account shall be made for the purpose of
providing the required state match for receipt of federal funds for day
reporting centers: And provided further, That all expenditures from the
day reporting center state match account shall be made pursuant to a
contract which is hereby authorized to be entered into by the secretary
of corrections with a private entity for operation of such day reporting
centers: And provided further, That such contract shall be designed to
use day reporting centers to divert offenders who would otherwise occupy
prison space making additional prison space available for violent offend-
ers.

Local jail payments $1,950,000
Community correctional conservation camp $2,413,250
Conservation camp for female offenders $439,463
Treatment and programs $29,657,153
Provided, That any unencumbered balance in the treatment and pro-
grams account in excess of $100 as of June 30, 2001, is hereby reappro-
priated for fiscal year 2002: Provided, however, That expenditures from
such reappropriated balance shall not exceed $418,000 except upon ap-
proval of the state finance council: Provided further, That expenditures
from the treatment and programs account for malpractice insurance shall
not be greater than the amount obtained by multiplying $5,000 by the
approved number of positions equated to full-time for individuals em-
ployed as physician specialists, physician assistants and dentists.

Topeka correctional facility--facilities operations $10,539,874
Provided, That any unencumbered balance in the Topeka correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall not exceed $134,961
except upon approval of the state finance council.

Hutchinson correctional facility--facilities operations $23,942,818
Provided, That any unencumbered balance in the Hutchinson correc-
tional facility--facilities operations account in excess of $100 as of June
30, 2001, is hereby reappropriated for fiscal year 2002: Provided, how-
ever, That expenditures from such reappropriated balance shall not ex-
ceed $1,913 except upon approval of the state finance council.

Lansing correctional facility--facilities operations $32,299,254
Provided, That any unencumbered balance in the Lansing correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall not exceed $11,820
except upon approval of the state finance council.

Ellsworth correctional facility--facilities operations $9,391,443
Provided, That any unencumbered balance in the Ellsworth correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall be made only upon
approval of the state finance council.

Winfield correctional facility--facilities operations $9,388,523
Provided, That any unencumbered balance in the Winfield correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall be made only upon
approval of the state finance council.

Norton correctional facility--facilities operations $11,764,065
Provided, That any unencumbered balance in the Norton correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall not exceed $59,326
except upon approval of the state finance council.

El Dorado correctional facility--facilities operations $20,752,995
Provided, That any unencumbered balance in the El Dorado correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
is hereby reappropriated for fiscal year 2002: Provided, however, That
expenditures from such reappropriated balance shall be made only upon
approval of the state finance council.

Larned correctional mental health facility--facilities operations $7,627,528
Provided, That any unencumbered balance in the Larned correctional
facility--facilities operations account in excess of $100 as of June 30, 2001,
and any unencumbered balance in the Larned correctional mental health
facility--facility operations account in excess of $100 as of June 30, 2001,
are hereby reappropriated to the Larned correctional mental health fa-
cility--facilities operations account for fiscal year 2002: Provided, how-
ever, That expenditures from such reappropriated balance shall not ex-
ceed $15,598 except upon approval of the state finance council.

Facilities operations $11,187,213
Provided, That any unencumbered balance in the food service--facilities
operations account in excess of $100 as of June 30, 2001, is hereby reap-
propriated to the facilities operations account for fiscal year 2002: Pro-
vided, however, That expenditures from such reappropriated balance
shall not exceed $314,075 except upon approval of the state finance coun-
cil.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Other federal grants fund No limit
Provided, That the above agency is authorized to make expenditures from
the other federal grants fund for fiscal year 2002 of any moneys credited
to this fund from any individual grant if the grant is: (1) Less than
$1,000,000 in the aggregate, and (2) does not require the matching ex-
penditure of any other moneys in the state treasury during the current
or any ensuing fiscal year: Provided, however, That no grant that is greater
than $1,000,000 in the aggregate or that requires the matching expendi-
ture of any other moneys in the state treasury during the current or any
ensuing fiscal year shall be deposited to the credit of this fund.

Supervision fees fund No limit
Asset forfeiture--federal fund No limit
Residential substance abuse treatment--federal fund No limit
Justice assistance--federal fund No limit
Department of corrections state asset forfeiture fund No limit
Carl Perkins act--federal fund No limit
Criminal Justice Information System--federal fund No limit
Violent offender incarceration and truth in sentencing incentive grants--federal fund No limit
Chapter I--federal fund No limit
Correctional industries fund No limit
Provided, That, notwithstanding the provisions of K.S.A 75-5282, and
amendments thereto, and in addition to any other expenditures author-
ized to be made from the correctional industries fund as authorized by
this or other appropriation act of the 2001 regular session of the legisla-
ture, expenditures shall be made by the department of corrections from
the correctional industries fund for treatment and programs: Provided,
however, That expenditures for treatment and programs from the cor-
rectional industries fund for the fiscal year 2002 shall not exceed
$150,000.

State of Kansas--department of corrections inmate benefit fund No limit
Provided, That in addition to any other expenditure authorized from the
state of Kansas--department of corrections inmate benefit fund, the sum
of $15,000 shall be expended for fiscal year 2002 to fund a portion of the
operations of the office of the ombudsman of corrections: Provided fur-
ther, That, in addition to any other expenditures authorized from the state
of Kansas--department of corrections inmate benefit fund, the sum of
$1,050,000 shall be expended for fiscal year 2002 to fund a portion of
treatment and programs.

Department of corrections--alien incarceration grant fund--federal No limit
Department of corrections--general fees fund No limit
Provided, That expenditures may be made from the department of cor-
rections--general fees fund for operating expenditures for training pro-
grams for correctional personnel, including official hospitality: Provided
further, That the secretary of corrections is hereby authorized to fix,
charge and collect fees for such programs: And provided further, That
such fees shall be fixed in order to recover all or part of the operating
expenses incurred for such training programs, including official hospital-
ity: And provided further, That all fees received for such programs shall
be credited to this fund.

Topeka correctional facility--community development block grant--federal fund No limit
Topeka correctional facility--general fees fund No limit
Topeka correctional facility--inmate canteen fund No limit
Topeka correctional facility --inmate benefit fund No limit
Topeka correctional facility--institutional library services grant fund--federal No limit
Topeka correctional facility--alien incarceration grant fund--federal No limit
Hutchinson correctional facility--general fees fund No limit
Hutchinson correctional facility--inmate canteen fund No limit
Hutchinson correctional facility--inmate benefit fund No limit
Hutchinson correctional facility--drug free demonstration project--federal fund No limit
Hutchinson correctional facility--institutional library services grant fund--federal No limit
Hutchinson correctional facility--alien incarceration grant fund--federal No limit
Lansing correctional facility--general fees fund No limit
Lansing correctional facility--inmate canteen fund No limit
Lansing correctional facility--inmate benefit fund No limit
Lansing correctional facility--institutional library services grant fund--federal No limit
Lansing correctional facility--alien incarceration grant fund--federal No limit
Ellsworth correctional facility--general fees fund No limit
Ellsworth correctional facility--inmate canteen fund No limit
Ellsworth correctional facility--inmate benefit fund No limit
Ellsworth correctional facility--institutional library services grant fund--federal No limit
Ellsworth correctional facility--alien incarceration grant fund--federal No limit
Winfield correctional facility--general fees fund No limit
Winfield correctional facility--inmate canteen fund No limit
Winfield correctional facility--inmate benefit fund No limit
Winfield correctional facility--institutional library services grant fund-- federal No limit
Winfield correctional facility--alien incarceration grant fund--federal No limit
Norton correctional facility--general fees fund No limit
Norton correctional facility--inmate canteen fund No limit
Norton correctional facility--inmate benefit fund No limit
Norton correctional facility--institutional library services grant fund--federal No limit
Norton correctional facility--alien incarceration grant fund--federal No limit
El Dorado correctional facility--general fees fund No limit
El Dorado correctional facility--inmate canteen fund No limit
El Dorado correctional facility--inmate benefit fund No limit
El Dorado correctional facility--institutional library services grant fund--federal No limit
El Dorado correctional facility--alien incarceration grant fund--federal No limit
Larned correctional mental health facility--general fees fund No limit
Larned correctional mental health facility--inmate canteen fund No limit
Larned correctional mental health facility--inmate benefit fund No limit
Larned correctional mental health facility--institutional library services grant fund--federal No limit
Larned correctional mental health facility--justice assistance--federal fund No limit
Larned correctional mental health facility--alien incarceration grant fund--federal No limit
 (c) During the fiscal year ending June 30, 2002, the secretary of cor-
rections, with the approval of the director of the budget, may transfer any
part of any item of appropriation for the fiscal year ending June 30, 2002,
from the state general fund for the department of corrections or any
correctional institution or facility under the general supervision and man-
agement of the secretary of corrections to another item of appropriation
for fiscal year 2002 from the state general fund for the department of
corrections or any correctional institution or facility under the general
supervision and management of the secretary of corrections. The secre-
tary of corrections shall certify each such transfer to the director of ac-
counts and reports and shall transmit a copy of each such certification to
the legislative research department.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $108,015 from the state of
Kansas--department of corrections inmate benefit fund to the supervi-
sion fees fund.

 (e) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $106,000 from the correc-
tional industries fund to the Lansing correctional facility--general fees
fund.

 (f) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $147,000 from the correc-
tional industries fund to the Norton correctional facility--general fees
fund.

 (g) In addition to the other purposes for which expenditures may be
made by the department of corrections from moneys appropriated from
the state general fund or any special revenue fund for fiscal year 2002 as
authorized by this or other appropriation act of the 2001 regular session
of the legislature, expenditures shall be made by the department of cor-
rections for fiscal year 2002 from the moneys appropriated from the state
general fund or any special revenue fund to provide information, each
time that the department of corrections is going to establish, directly or
indirectly, a new residential facility or a new day reporting center within
a local government, regarding the proposed location of such residential
facility or day reporting center to the governing body of the local govern-
ment: Provided, That, if the governing body of the local government ob-
jects to the proposed location of such residential facility or day reporting
center and the governing body actively assists the secretary of corrections
in identifying a suitable location for such residential facility or day re-
porting center within the local government, with consideration of the site
selection criteria established for such residential facility or day reporting
center and applicable zoning and other land-use restrictions of the local
government, then, prior to establishing such residential facility or day
reporting center, the secretary of corrections shall actively consider the
views of the governing body of the local government and the affected
residents of the local government and shall act in the best interests of the
state with regard to establishing such residential facility or day reporting
center: Provided, however, That no such objections by the governing body
or the residents of a local government shall prohibit establishment of such
residential facility or day reporting center within a local government: Pro-
vided further, That, as used in this subsection, ``local government'' means
any city, county or other taxing subdivision of the state having general
governance authority.

 Sec. 149.

JUVENILE JUSTICE AUTHORITY
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $33,221,882
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $646,074 except upon approval
of the state finance council: Provided further, That expenditures from the
operating expenditures account for official hospitality shall not exceed
$2,000.

Management information systems $1,067,607
Provided, That any unencumbered balance in the management infor-
mation systems account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided, however, That expenditures
from such reappropriated balance shall not exceed $127,408 except upon
approval of the state finance council.

Topeka juvenile correctional facility operations $11,955,934
Provided, That any unencumbered balance in the Topeka juvenile cor-
rectional facility operations subaccount of the facilities operations account
in excess of $100 as of June 30, 2001, is hereby reappropriated to the
Topeka juvenile correctional facility operations account for fiscal year
2002: Provided, however, That expenditures from such reappropriated
balance shall not exceed $118,180 except upon approval of the state fi-
nance council: Provided further, That expenditures may be made from
this account for educational services contracts which are hereby author-
ized to be negotiated and entered into by the above agency with unified
school districts or other public educational services providers: And pro-
vided further, That such educational services contracts shall not be sub-
ject to the competitive bid requirements of K.S.A. 75-3739 and amend-
ments thereto.

Atchison juvenile correctional facility operations $6,274,654
Provided, That any unencumbered balance in the Atchison juvenile cor-
rectional facility operations subaccount of the facilities operations account
in excess of $100 as of June 30, 2001, is hereby reappropriated to the
Atchison juvenile correctional facility operations account for fiscal year
2002: Provided, however, That expenditures from such reappropriated
balance shall not exceed $30,400 except upon approval of the state finance
council: Provided further, That expenditures may be made from this ac-
count for educational services contracts which are hereby authorized to
be negotiated and entered into by the above agency with unified school
districts or other public educational services providers: And provided fur-
ther, That such educational services contracts shall not be subject to the
competitive bid requirements of K.S.A. 75-3739 and amendments
thereto.

Beloit juvenile correctional facility operations $5,544,379
Provided, That any unencumbered balance in the Beloit juvenile correc-
tional facility operations subaccount of the facilities operations account in
excess of $100 as of June 30, 2001, is hereby reappropriated to the Beloit
juvenile correctional facility operations account for fiscal year 2002: Pro-
vided, however, That expenditures from such reappropriated balance
shall not exceed $55,042 except upon approval of the state finance coun-
cil: Provided further, That expenditures may be made from this account
for educational services contracts which are hereby authorized to be ne-
gotiated and entered into by the above agency with unified school districts
or other public educational services providers: And provided further, That
such educational services contracts shall not be subject to the competitive
bid requirements of K.S.A. 75-3739 and amendments thereto.

Larned juvenile correctional facility operations $4,555,511
Provided, That any unencumbered balance in the Larned juvenile cor-
rectional facility operations subaccount of the facilities operations account
in excess of $100 as of June 30, 2001, is hereby reappropriated to the
Larned juvenile correctional facility operations account for fiscal year
2002: Provided, however, That expenditures from such reappropriated
balance shall not exceed $9,265 except upon approval of the state finance
council.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Title XIX fund No limit
Title IV-E fund No limit
Juvenile justice delinquency prevention--federal fund No limit
Juvenile detention facilities fund $3,482,618
Juvenile justice fee fund No limit
Kansas juvenile delinquency prevention trust fund No limit
Juvenile justice federal fund No limit
Juvenile justice community planning fund No limit
Byrne grant--federal fund No limit
Construction of juvenile correctional facilities fund--VOI/TIS No limit
Topeka juvenile correctional facility fee fund No limit
Topeka juvenile correctional facility improvement fund No limit
Topeka juvenile correctional facility--elementary and secondary education fund--federal No limit
Topeka juvenile correctional facility--canteen fund No limit
Topeka juvenile correctional facility--patient benefit fund No limit
Atchison juvenile correctional facility fee fund No limit
Atchison juvenile correctional facility--elementary and secondary education fund--federal No limit
Atchison juvenile correctional facility--canteen fund No limit
Atchison juvenile correctional facility--patient benefit fund No limit
Beloit juvenile correctional facility fee fund No limit
Beloit juvenile correctional facility--elementary and secondary education fund--federal No limit
Beloit juvenile correctional facility--canteen fund No limit
Beloit juvenile correctional facility--patient benefit fund No limit
Larned juvenile correctional facility fee fund No limit
 (c) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $90,000 from the alcohol
and drug abuse block grant federal fund of the department of social and
rehabilitation services to the juvenile justice federal fund of the juvenile
justice authority.

 (d) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $46,120 from the alcohol
and drug abuse block grant federal fund of the department of social and
rehabilitation services to the Beloit juvenile correctional facility fee fund
of the juvenile justice authority.

 (e) During the fiscal year ending June 30, 2002, the superintendent of
the Topeka juvenile correctional facility, upon the approval of the director
of accounts and reports, shall transfer $4,000 from the Topeka juvenile
correctional facility--canteen fund to the Topeka juvenile correctional
facility--patient benefit fund.

 (f) During the fiscal year ending June 30, 2002, the superintendent of
the Atchison juvenile correctional facility, upon the approval of the di-
rector of accounts and reports, shall transfer $500 from the Atchison
juvenile correctional facility--canteen fund to the Atchison juvenile cor-
rectional facility--patient benefit fund.

 (g) During the fiscal year ending June 30, 2002, the superintendent of
the Beloit juvenile correctional facility, upon the approval of the director
of accounts and reports, shall transfer $1,000 from the Beloit juvenile
correctional facility--canteen fund to the Beloit juvenile correctional fa-
cility--patient benefit fund.

 (h) During the fiscal year ending June 30, 2002, the commissioner of
juvenile justice, with the approval of the director of the budget, may
transfer any part of any item of appropriation for the fiscal year ending
June 30, 2002, from the state general fund for the juvenile justice au-
thority or any juvenile correctional facility or institution under the general
supervision and management of the commissioner of juvenile justice to
another item of appropriation for fiscal year 2002 from the state general
fund for the juvenile justice authority or any juvenile correctional facility
or institution under the general supervision and management of the com-
missioner of juvenile justice. The commissioner of juvenile justice shall
certify each such transfer to the director of accounts and reports and shall
transmit a copy of each such certification to the legislative research de-
partment.

 (i) On July 1, 2001, or as soon thereafter as moneys are available there-
for, the director of accounts and reports shall transfer $1,000,000 from
the juvenile detention facilities fund to the state general fund.

 (j) In addition to the other purposes for which expenditures may be
made by the juvenile justice authority from moneys appropriated from
the state general fund or any special revenue fund for fiscal year 2002 as
authorized by this or other appropriation act of the 2001 regular session
of the legislature, expenditures shall be made by the juvenile justice au-
thority for fiscal year 2002 from the moneys appropriated from the state
general fund or any special revenue fund to provide information about
the proposed location of a youth residential facility that is proposed to be
licensed by the secretary of health and environment and to be a contract
service provider for the juvenile justice authority, to the governing body
of the local government in which the youth residential facility is proposed
to be located: Provided, That, if the governing body of the local govern-
ment objects to the proposed location and the governing body actively
assists the commissioner of juvenile justice in identifying a suitable lo-
cation for the youth residential facility within the local government, with
consideration of the site selection criteria established by the juvenile jus-
tice authority and applicable zoning and other land-use restrictions of the
local government, then, prior to entering into a contract for services with
the specific youth residential facility, the juvenile justice authority shall
actively consider the views of the governing body of the local government
and the affected residents of the local government and shall act in the
best interests of the state with regard to entering into a contract for serv-
ices with the proposed youth residential facility: Provided, however, That
no such objections by the governing body or the residents of a local gov-
ernment shall prohibit placement of a youth residential facility within a
local government: Provided further, That, as used in this subsection, ``lo-
cal government'' means any city, county or other taxing subdivision of the
state having general governance authority.

 Sec. 150.

ADJUTANT GENERAL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $4,549,979
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from this ac-
count for official hospitality shall not exceed $1,250.

Civil air patrol--operating expenditures $26,558
Additional operating expenditures $25,000
Provided, That expenditures may be made from the additional operating
expenditures account only upon approval by the state finance council
acting after receiving certification from the adjutant general that moneys
have been received from the federal government to match such expend-
itures and acting on this matter which is hereby characterized as a matter
of legislative delegation and subject to the guidelines prescribed in sub-
section (c) of K.S.A. 75-3711c and amendments thereto, except that such
approval also may be given while the legislature is in session.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Conversion of materials and equipment fund--military division No limit
Training and support of title III--federal fund No limit
Emergency management--federal fund matching--equipment fund No limit
Emergency management--federal fund matching--administration fund No limit
Emergency management--RADEF instrument--maintenance fund No limit
State disaster coordination--federal fund No limit
Emergency management--nuclear civil protection--federal fund No limit
Payment of death, disability, and medical benefit claims fund No limit
Expenses under national guard mutual assistance compact fund No limit
Nuclear safety emergency preparedness fee fund No limit
Military fees fund No limit
Provided, That all moneys received by the adjutant general from the fed-
eral government for reimbursement for expenditures made under agree-
ments with the federal government shall be deposited in the state treasury
and credited to the military fees fund.

State emergency fund allocation--flood relief No limit
Emergency management--fee fund No limit
Armories and units general fees fund No limit
Emergency management--disaster fund--federal fund No limit
Civil air patrol--grants and contributions fund No limit
Emergency management performance grant (EMPG) fund No limit
EMPG terrorism consequence management preparedness grant (TCMPA) fund No limit
NG--federal forfeiture fund No limit
 (c) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--educational assistance fund of the adjutant gen-
eral to the state economic development initiatives fund. On July 1, 2001,
all liabilities of the EDIF--educational assistance fund of the adjutant
general, including any outstanding encumbrances, are hereby transferred
to and imposed on the state economic development initiatives fund and
the EDIF--educational assistance fund of the adjutant general is hereby
abolished.

 Sec. 151.

STATE FIRE MARSHAL
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures, other than refunds authorized by law,
purchases of nationally recognized adopted codes for resale and federally
reimbursed overtime, shall not exceed the following:

Fire marshal fee fund $2,810,408
Provided, That expenditures from the fire marshal fee fund for official
hospitality shall not exceed $500.

Other federal grants fund No limit
Provided, That the above agency is authorized to make expenditures from
the other federal grants fund of any moneys credited to this fund from
any individual grant if the grant is: (1) Less than $250,000 in the aggre-
gate, and (2) does not require the matching expenditure of any other
moneys in the state treasury during the current or any ensuing fiscal year:
Provided, however, That no grant that is greater than $250,000 in the
aggregate or that requires the matching expenditure of any other moneys
in the state treasury during the current or any ensuing fiscal year, shall
be deposited in the state treasury to the credit of this fund.

Gifts, grants and donations fund No limit
Hazardous material program fund $406,020
Hazardous materials emergency fund $0
Provided, That all expenditures from the hazardous materials emergency
fund shall be for the purposes of responding to emergencies related to
hazardous materials: Provided, however, That expenditures shall be made
from the hazardous materials emergency fund for the purposes of re-
sponding to an emergency related to hazardous materials only upon ap-
proval by the state finance council acting on this matter which is hereby
characterized as a matter of legislative delegation and subject to the
guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amend-
ments thereto, except that such approval also may be given while the
legislature is in session: Provided further, That expenditures may be made
from the hazardous materials emergency fund for operating expenses of
the state fire marshal upon approval of the state finance council acting
on this matter which is hereby characterized as a matter of legislative
delegation and subject to the guidelines prescribed in subsection (c) of
K.S.A. 75-3711c and amendments thereto.

 (b) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $203,010 from the fire
marshal fee fund to the hazardous material program fund of the state fire
marshal.

 (c) On January 1, 2002, or as soon thereafter as moneys are available,
the director of accounts and reports shall transfer $203,010 from the fire
marshal fee fund to the hazardous material program fund of the state fire
marshal.

 (d) On July 1, 2001, and on January 1, 2002, or as soon after each such
date as moneys are available, the director of accounts and reports shall
transfer $750,000 from the fire marshal fee fund to the hazardous ma-
terials emergency fund.

 (e) During the fiscal year ending June 30, 2002, the director of the
budget and the director of the legislative research department shall con-
sult periodically and review the balance credited to and the estimated
receipts to be credited to the fire marshal fee fund during fiscal year
2002, and, upon a finding by the director of the budget in consultation
with the director of the legislative research department that the total of
the unencumbered balance and estimated receipts to be credited to the
fire marshal fee fund during fiscal year 2002 are insufficient to fund the
budgeted expenditures and transfers from the fire marshal fee fund for
fiscal year 2002 in accordance with the provisions of appropriation acts,
the director of the budget shall certify such finding to the director of
accounts and reports. Upon receipt of any such certification, the director
of accounts and reports shall transfer the amount of moneys from the
hazardous materials emergency fund to the fire marshal fee fund that is
required, in accordance with the certification by the director of the
budget under this subsection, to fund the budgeted expenditures and
transfers from the fire marshal fee fund for the remainder of fiscal year
2002 in accordance with the provisions of appropriation acts, as specified
by the director of the budget pursuant to such certification.

 Sec. 152.

KANSAS PAROLE BOARD
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Parole from adult correctional institutions $528,671
Provided, That any unencumbered balance in the parole from adult cor-
rectional institutions account in excess of $100 as of June 30, 2001, is
hereby reappropriated for fiscal year 2002.

 Sec. 153.

KANSAS HIGHWAY PATROL
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $26,390,135
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $90,743 except upon approval of
the state finance council: Provided further, That expenditures may be
made from this account for the purchase of civilian clothing for members
of the Kansas highway patrol assigned to duties pursuant to K.S.A. 74-
2105 and amendments thereto: And provided further, That expenditures
may be made from this account for state aircraft insurance: And provided
further, That expenditures from this account for official hospitality shall
not exceed $1,000: And provided further, That expenditures shall be
made from this account for operating expenditures of the Kansas highway
patrol to provide leadership, coordination and technical assistance to
other state public safety agencies in implementing the conversion to 800
megahertz radio systems for those agencies.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

General fees fund No limit
Provided, That all moneys received from the sale of used equipment,
recovery of and reimbursements for expenditures and any other source
of revenue shall be deposited in the state treasury and credited to the
general fees fund, except as otherwise provided by law: Provided further,
That the Kansas highway patrol shall deposit the proceeds from the sale
of personal sidearms to retiring troopers and other retiring sworn officers
of the Kansas highway patrol, which sales upon retirement are hereby
authorized, in the state treasury to the credit of this fund: Provided, how-
ever, That each such sale of a retiring sworn officer's personal sidearm
upon retirement shall be for an amount of not less than the replacement
cost of the sidearm: And provided further, That the Kansas highway patrol
is hereby authorized to sell and a trooper or other sworn officer of the
Kansas highway patrol who resigns from the Kansas highway patrol to
accept employment with a local, state or federal law enforcement agency
is hereby authorized to purchase such trooper or other sworn officer's
personal sidearm with a trigger lock upon resignation in the same manner
as prescribed in this subsection for retiring troopers and sworn officers
of the Kansas highway patrol for the amount equal to the total of the cost
of the sidearm plus the cost of the trigger lock: And provided further,
That no sale of a personal sidearm shall be made to any trooper or sworn
officer of the Kansas highway patrol upon resignation unless the super-
intendent of the Kansas highway patrol determines that the employment
record and performance evaluations of each such trooper or sworn officer
of the Kansas highway patrol is satisfactory: And provided further, That
the Kansas highway patrol shall deposit the proceeds from the sale of
personal sidearms and trigger locks to such resigning troopers and other
sworn officers in the state treasury to the credit of this fund.

For patrol of Kansas turnpike fund No limit
Highway patrol motor vehicle fund No limit
Highway patrol--federal fund No limit
Kansas highway patrol state forfeiture fund No limit
Gifts and donations fund No limit
Federal forfeiture fund No limit
Motor carrier safety assistance program fund No limit
Highway patrol training center clearing fund No limit
Provided, That expenditures may be made from the highway patrol train-
ing center clearing fund for use of the highway patrol training center by
other state or local government agencies: Provided further, That the su-
perintendent of the Kansas highway patrol is hereby authorized to fix,
charge and collect fees for recovery of costs associated with use of the
highway patrol training center by other state or local government agen-
cies: And provided further, That such fees shall be fixed in order to re-
cover all or part of the expenses incurred in providing for the use of the
highway patrol training center by other state or local government agen-
cies: And provided further, That all fees received for use of the highway
patrol training center by other state or local government agencies shall
be deposited in the state treasury and credited to this fund.

Highway safety fund No limit
Capitol area security fund No limit
Provided, That the Kansas highway patrol and any state agency which is
responsible for the operation of buildings in the capitol area are hereby
authorized to negotiate contracts for building security services: Provided
further, That any such contract shall provide for reimbursement of the
Kansas highway patrol for services rendered pursuant to such contract
and such reimbursement shall be credited to the capitol area security
fund.

Vehicle identification number fee fund No limit
Interagency motor vehicle fuel sales fund No limit
Provided, That expenditures may be made from the interagency motor
vehicle fuel sales fund to provide and sell motor vehicle fuel to other state
agencies: Provided further, That the superintendent of the Kansas high-
way patrol is hereby authorized to fix, charge and collect fees for motor
vehicle fuel sold to other state agencies: And provided further, That such
fees shall be fixed in order to recover all or part of the expenses incurred
in providing motor vehicle fuel to other state agencies: And provided
further, That all fees received for such sales of motor vehicle fuel shall
be credited to this fund.

Motor carrier inspection fund $9,873,155
Highway patrol training center fund $1,280,210
 (c) On July 1, 2001, the director of accounts and reports shall transfer
$218,474 from the motor carrier license fees fund of the state corporation
commission to the motor carrier safety assistance program fund of the
Kansas highway patrol.

 (d) On January 1, 2002, the director of accounts and reports shall trans-
fer $218,474 from the motor carrier license fees fund of the state cor-
poration commission to the motor carrier safety assistance program fund
of the Kansas highway patrol.

 (e) On July 1, 2001, October 1, 2001, January 1, 2002, and April 1,
2002, the director of accounts and reports shall transfer $2,491,461 from
the state highway fund of the department of transportation to the motor
carrier inspection fund of the Kansas highway patrol for the purpose of
financing the motor carrier inspection program of the Kansas highway
patrol.

 (f) On July 1, 2001, the director of accounts and reports shall transfer
$150,000 from the state highway fund of the department of transportation
to the highway safety fund of the Kansas highway patrol for the purpose
of financing the motorist assistance program of the Kansas highway patrol.

 (g) On July 1, 2001, the director of accounts and reports shall transfer
$206,200 from the state highway fund of the department of transportation
to the general fees fund of the Kansas highway patrol for the purpose of
financing operating expenditures of the Kansas highway patrol.

 Sec. 154.

ATTORNEY GENERAL--KANSAS BUREAU OF INVESTIGATION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $12,462,791
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall be made only upon approval of the state
finance council: Provided, further, That expenditures from this account
for official hospitality shall not exceed $750.

Debt service payment--purchase of headquarters building at 1620 S.W. Tyler Street in Topeka $116,703
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Kansas bureau of investigation state forfeiture fund No limit
Kansas bureau of investigation federal forfeiture fund No limit
Kansas bureau of investigation federal grants fund No limit
Private detective fee fund $46,442
Forensic laboratory and materials fee fund No limit
Provided, That expenditures may be made from the forensic laboratory
and materials fee fund for the acquisition of laboratory equipment and
materials and for other direct or indirect operating expenditures for the
forensic laboratory of the Kansas bureau of investigation incurred for
laboratory tests conducted for noncriminal justice entities, including gov-
ernmental agencies and private organizations, which testing activity is
hereby authorized: Provided, however, That all expenditures from this
fund of moneys received as Kansas bureau of investigation laboratory
analysis fees pursuant to subsection (a) of K.S.A. 28-176 and amendments
thereto shall be for the purposes authorized by subsection (c) of K.S.A.
28-176 and amendments thereto: Provided further, That the director of
the Kansas bureau of investigation is hereby authorized to fix, charge and
collect fees for laboratory tests conducted for such noncriminal justice
entities: And provided further, That such fees shall be fixed in order to
recover all or part of the direct and indirect operating expenses incurred
for conducting laboratory tests for such noncriminal justice entities: And
provided further, That all fees received for such laboratory tests, including
all moneys received pursuant to subsection (a) of K.S.A. 28-176 and
amendments thereto shall be deposited in the state treasury and credited
to this fund.

KBI general fees fund No limit
Provided, That expenditures may be made from the KBI general fees
fund for direct or indirect operating expenditures incurred for the follow-
ing activities: (1) Conducting education and training classes for special
agents and other personnel, including official hospitality; (2) purchasing
illegal drugs, making contacts and acquiring information leading to illegal
drug outlets, contraband and stolen property, and conducting other ac-
tivities for similar investigatory purposes; (3) conducting investigations
and related activities for the Kansas lottery or the Kansas racing and
gaming commission; (4) conducting DNA forensic laboratory tests and
related activities; (5) preparing, publishing and distributing crime pre-
vention materials: Provided, however, That the director of the Kansas
bureau of investigation is hereby authorized to fix, charge and collect fees
in order to recover all or part of the direct and indirect operating expenses
incurred, except as otherwise hereinafter provided, for the following: (1)
Education and training services made available to local law enforcement
personnel in classes conducted for special agents and other personnel of
the Kansas bureau of investigation; (2) investigations and related activities
conducted for the Kansas lottery or the Kansas racing and gaming com-
mission, except that the fees fixed for these activities shall be fixed in
order to recover all of the direct and indirect expenses incurred for such
investigations and related activities; (3) DNA forensic laboratory tests and
related activities; (4) sale and distribution of crime prevention materials:
Provided further, That all fees received for such activities shall be de-
posited in the state treasury and credited to this fund: And provided
further, That all moneys which are expended for any such evidence pur-
chase, information acquisition or similar investigatory purpose or activity
from whatever funding source and which are recovered shall be deposited
in the state treasury and credited to this fund: And provided further, That
all moneys received as gifts, grants or donations for the preparation, pub-
lication or distribution of crime prevention materials shall be deposited
in the state treasury to the credit of this fund: And provided further, That
expenditures from any moneys received from the division of alcoholic
beverage control and credited to the KBI general fees fund may be made
by the Kansas bureau of investigation for all purposes for which expend-
itures may be made for operating expenditures.

Record check fee fund No limit
Provided, That the director of the Kansas bureau of investigation is au-
thorized to fix, charge and collect fees in order to recover all or part of
the direct and indirect operating expenses for criminal history record
checks conducted for noncriminal justice entities including government
agencies and private organizations: Provided, however, That all moneys
received for such fees shall be deposited in the state treasury and credited
to the record check fee fund: Provided further, That expenditures from
the record check fee fund may be made only for the expenses of con-
ducting criminal history record checks.

 Sec. 155.

EMERGENCY MEDICAL SERVICES BOARD
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $752,732
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $34,707 except upon approval of
the state finance council.

Regional council grants $79,008
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

EMS--federal fund No limit
Rural health options grant fund No limit
Emergency medical services operating fund $1,998
Provided, That the emergency medical services board is hereby author-
ized to fix, charge and collect fees in order to recover costs incurred for
distributing educational videos, replacing lost educational materials and
mailing labels of those licensed by the board: Provided further, That such
fees may be fixed in order to recover all or part of such costs: And pro-
vided further, That all moneys received from such fees shall be deposited
in the state treasury and credited to the emergency medical services op-
erating fund.

 Sec. 156.

KANSAS SENTENCING COMMISSION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $515,922
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided further, That the Kansas sentencing com-
mission shall hold hearings, receive information and otherwise analyze
the issues and interests related to risk and needs assessment tools and
processes of the following agencies or entities during the 2001 interim:
Office of judicial administration, representatives of the community cor-
rections programs, the department of corrections and the Kansas parole
board: And provided further, That the Kansas sentencing commission
shall review the best practices for risk and needs assessment instruments
and hear testimony and reports from each of the specified entities or
agencies during the 2001 interim: And provided further, That the Kansas
sentencing commission shall periodically report to the joint committee
on corrections and juvenile justice oversight and issue a final report to
the legislature by February 1, 2002, on a plan for the adoption of a dy-
namic and uniform risk and needs assessment tool: And provided further,
That the final report shall include an assessment of the costs and potential
funding sources to validate and implement the risk and needs assessment
tool identified in the plan.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

General fees fund No limit
Juvenile justice--federal fund No limit
Statistical analysis--federal fund No limit
Drug abuse fund--federal No limit
Sentencing commission forfeiture fund No limit
 Sec. 157.

OMBUDSMAN OF CORRECTIONS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Adult corrections oversight $166,700
Provided, That any unencumbered balance in the adult corrections over-
sight account in excess of $100 as of June 30, 2001, is hereby reappro-
priated for fiscal year 2002: Provided, however, That expenditures from
such reappropriated balance shall not exceed $11,503 except upon ap-
proval of the state finance council.

 Sec. 158.

KANSAS DEPARTMENT OF AGRICULTURE
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $10,083,111
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $243 except upon approval of
the state finance council: Provided further, That expenditures may be
made from this account for expenses incurred in holding the annual meet-
ing: And provided further, That expenditures from this account for official
hospitality shall not exceed $2,000: And provided further, That the above
agency may negotiate and enter into contracts to carry out its functions
at the annual meeting: And provided further, That such contracts shall
not be subject to the competitive bid requirements of K.S.A. 75-3739 and
amendments thereto.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Dairy division fee fund $109,694
Meat and poultry inspection fee fund $78,036
Wheat quality survey fund $29,000
Entomology fee fund $125,686
Laboratory equipment fund No limit
Water structures--state highway fund $92,205
Soil amendment fee fund $2,390
Agricultural liming materials fee fund $35,787
Weights and measures fee fund $103,866
Water appropriation certification fund $303,733
Water rights information system fees fund No limit
Provided, That the secretary of agriculture is hereby authorized to fix,
charge and collect fees for water data provided at the request of non-
state government agencies and the general public: Provided further, That
such fees shall be fixed in order to recover all of the direct data processing
expenses incurred in preparation of requested water data: And provided
further, That such fees shall be deposited in the state treasury and cred-
ited to the water rights information system fees fund: And provided fur-
ther, That expenditures may be made from this fund to pay the costs
incurred by the division of water resources for data processing services
to prepare requested water data.

Agriculture seed fee fund $69,216
Chemigation fee fund $99,313
Agriculture statistics fund No limit
Petroleum inspection fee fund $582,731
Water transfer hearing fund No limit
Grain commodity commission services fund No limit
Kansas agricultural remediation board fund $150,000
Kansas agricultural remediation fund No limit
Warehouse fee fund $565,475
Grain inspection fee fund $0
U.S. geological survey cooperative gage agreement fund No limit
Provided, That the secretary of agriculture is hereby authorized to enter
into a cooperative gage agreement with the United States geological sur-
vey: Provided further, That all moneys collected for the construction or
operation of river water intake gages shall be deposited in the state treas-
ury and credited to the U.S. geological survey cooperative gage agreement
fund: And provided further, That expenditures may be made from this
fund to pay the costs incurred in the construction or operation of river
water intake gages.

Agricultural chemical fee fund $313,978
Feeding stuffs fee fund $526,943
Fertilizer fee fund $546,921
Livestock remedies fee fund $16,297
Pesticide use fee fund $497,229
Grade A milk fee fund $285,704
Geographic information system fee fund No limit
Seed examination fee fund $0
Egg fee fund $87,385
Meat and poultry inspection fund (federal) No limit
EPA pesticide performance partnership grant fund No limit
FEMA dam safety No limit
Pest detection and survey--federal fund No limit
USDA NASS postage fund No limit
FDA tissue residue fund--federal No limit
Conversion of materials and equipment fund No limit
Publications fee fund No limit
Provided, That expenditures may be made from the publications fee fund
for operating expenditures related to preparation and publication of ``In-
sects in Kansas'': Provided further, That, notwithstanding the provisions
of K.S.A. 75-1005 and amendments thereto to the contrary, the secretary
of agriculture is hereby authorized to enter into a contract with a com-
mercial publisher for the printing, distribution and sale of the publication
``Insects in Kansas'': And provided further, That the secretary of agricul-
ture is hereby authorized to collect fees from such commercial publisher
pursuant to contract with the publisher for the sale of the publication:
And provided further, That the secretary of agriculture is hereby author-
ized to receive and accept grants, gifts, donations or funds of any kind
from the federal government or any of its agencies or from any other
source whatsoever for the printing, publication and distribution of ``In-
sects of Kansas'': And provided further, That all moneys received from
such fees or for such grants, gifts, donations or other funds received for
such purpose, shall be deposited in the state treasury and credited to this
fund.

Other grants fund No limit
Provided, That, the above agency is authorized to make expenditures from
the other grants fund of any moneys credited to this fund from any in-
dividual grant if the grant is: (1) Less than $250,000 in the aggregate, and
(2) does not require the matching expenditure of any moneys in the state
treasury during fiscal year 2002 other than moneys appropriated by this
act: Provided, however, That no grant that: (1) Is greater than $250,000
in the aggregate, (2) requires the matching expenditure of any moneys in
the state treasury during fiscal year 2002 other than moneys appropriated
by this act, or (3) is a grant for the farmers' assistance, counseling and
training program, shall be deposited to the credit of this fund.

Civil litigation fee fund No limit
Provided, That the above agency is authorized to make expenditures from
the civil litigation fee fund for costs or other expenses associated with
investigation and litigation regarding fraudulent meat sales: Provided fur-
ther, That a portion of the moneys received by the state from fines and
other moneys collected as a result of the settlement of fraudulent meat
sales cases, as determined by the secretary of agriculture and the attorney
general, shall be deposited in the state treasury to the credit of this fund
by the attorney general.

 (c) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, for the water plan
project or projects specified, the following:

Floodplain management $136,647
Interstate water issues $243,905
Subbasin water resources management $651,597
 (d) On July 1, 2001, the director of accounts and reports shall transfer
$86,509 from the state highway fund of the department of transportation
to the water structures--state highway fund of the Kansas department of
agriculture.

 (e) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the water plan special revenue fund of the Kansas depart-
ment of agriculture to the state water plan fund. On July 1, 2001, all
liabilities of the water plan special revenue fund of the Kansas department
of agriculture, including any outstanding encumbrances, are hereby trans-
ferred to and imposed on the state water plan fund and the water plan
special revenue fund of the Kansas department of agriculture is hereby
abolished.



 Sec. 159.

KANSAS ANIMAL HEALTH DEPARTMENT
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $631,729
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall not exceed $299 except upon approval of
the state finance council.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Animal disease control fund No limit
Provided, That expenditures from the animal disease control fund for
official hospitality shall not exceed $450.

Animal dealers fee fund No limit
Provided, That expenditures from the animal dealers fee fund for official
hospitality shall not exceed $300.

Veterinary inspection fee fund No limit
Livestock market brand inspection fee fund No limit
Livestock brand fee fund No limit
Provided, That expenditures from the livestock brand fee fund for official
hospitality shall not exceed $250.

Livestock brand emergency revolving fund No limit
County option brand fee fund No limit
Livestock and pseudorabies indemnity fund No limit
Legal services fund No limit
Provided, That all moneys received by the animal health department from
other state agencies pursuant to one or more interagency agreements for
the provision of legal services, which agreements are hereby authorized
and directed to be entered into, shall be credited to the legal services
fund: Provided further, That all expenditures from the legal services fund
shall be for contractual legal services to be provided to the animal health
department and such other state agencies pursuant to such interagency
agreements.

 Sec. 160.

STATE FAIR BOARD
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2001, the following:

Operating expenditures $134,000
 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures, other than refunds authorized by law
and remittances of sales tax to the department of revenue, shall not exceed
the following:

State fair fee fund No limit
Provided, That expenditures from the state fair fee fund for official hos-
pitality shall not exceed $10,000.

State fair special cash fund No limit
 (c) Upon request of the state fair board, the attorney general shall
provide legal services for the board during fiscal year 2002.

 (d) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF--operating expenditures fund of the state fair
board, to the state economic development initiatives fund. On July 1,
2001, all liabilities of the EDIF--operating expenditures fund of the state
fair board, including any outstanding encumbrances, are hereby trans-
ferred to and imposed on the state economic development initiatives fund
and the EDIF--operating expenditures fund of the state fair board is
hereby abolished.

 (e) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the economic development fund of the state fair board, to
the state economic development initiatives fund. On July 1, 2001, all
liabilities of the economic development fund of the state fair board, in-
cluding any outstanding encumbrances, are hereby transferred to and
imposed on the state economic development initiatives fund and the ec-
onomic development fund of the state fair board is hereby abolished.

 Sec. 161.

STATE CONSERVATION COMMISSION
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $614,765
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall be made only upon approval of the state
finance council.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Land reclamation fee fund No limit
Riparian & wetland areas project--federal fund No limit
Watershed protect approach/WTR RSRCE MGT fund No limit
Conversion of materials and equipment fund No limit
 (c) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, for the following water
plan project or projects specified, the following:

Land treatment cost share $4,450,000
Provided, That expenditures from the land treatment cost share account
shall be for cost-sharing grants for construction of enduring water con-
servation structures on privately and publicly owned land in conservation
districts which are needed for development and improvement of the qual-
ity and quantity of Kansas water resources: Provided further, That an
amount of not to exceed $2,720,000 of the initial allocation among con-
servation districts for such grants for fiscal year 2002 shall be on the basis
of allocating 60% of the amount equally among all conservation districts
and allocating 40% of the amount to be initially allocated proportionally
among all conservation districts on the basis of an index composed of the
measurement of nonfederal rural acreage, erosion potential and rainfall
in all conservation districts, as determined by the state conservation com-
mission: And provided further, That the balance of the initial allocation
for such grants for fiscal year 2002 shall be allocated to conservation
districts on a priority basis, as determined by the state conservation com-
mission and the provisions of the state water plan: And provided further,
That expenditures from this account for contractual technical expertise
shall not exceed the amount equal to 3% of the approved budget amount
for fiscal year 2002 for the land treatment cost-share programs account:
And provided further, That all expenditures from this account shall be in
accordance with K.S.A. 2-1915 and amendments thereto: And provided
further, That an amount not to exceed $850,000 be allocated for fiscal
year 2002 to conservation districts for cost-sharing grants to reduce water
use and improve irrigation water use efficiency, with 50% of the total
amount provided to projects capable of achieving a water use efficiency
level of 92% or greater.

Nonpoint source pollution assistance $3,150,000
Conservation district aid $1,038,000
Multipurpose small lakes $230,000
Watershed dam construction $805,000
Provided, That expenditures from the watershed dam construction ac-
count are hereby authorized for engineering contracts for watershed plan-
ning as determined by the state conservation commission: Provided, how-
ever, That expenditures from this account for such engineering contracts
for watershed planning shall not exceed $50,000.

Kansas water quality buffer initiatives $265,134
Provided, That all expenditures from the Kansas water quality buffer in-
itiatives account shall be for grants or incentives to install water quality
best management practices under the governor's water quality initiative:
Provided further, That such expenditures may be made from this account
from the approved budget amount for fiscal year 2002 in accordance with
contracts, which are hereby authorized to be entered into by the executive
director of the state conservation commission on behalf of the commis-
sion, for such grants or incentives: And provided further, That such con-
tracts may provide for such expenditures from the approved budget
amount for fiscal year 2002 to be made pursuant to encumbrances for
expenditures after June 30, 2002: Provided, however, That expenditures
from this account for contractual educational and technical assistance for
fiscal year 2002 shall not exceed $40,000.

Riparian and wetland program $250,000
Water rights purchase $69,433
 (d) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the water plan special revenue fund of the state conservation
commission to the state water plan fund. On July 1, 2001, all liabilities of
the water plan special revenue fund of the state conservation commission,
including any outstanding encumbrances, are hereby transferred to and
imposed on the state water plan fund and the water plan special revenue
fund of the state conservation commission is hereby abolished.

 (e) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, in the land treatment
cost share account the amount equal to the unencumbered balance as of
June 30, 2001, in the land treatment cost-share programs account of the
state water plan fund.

 (f) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, in the nonpoint source
pollution assistance account the amount equal to the unencumbered bal-
ance as of June 30, 2001, in the non-point source pollution account of
the state water plan fund.

 Sec. 162.

KANSAS WATER OFFICE
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Water resources operating expenditures $1,477,589
Provided, That any unencumbered balance in the water resources oper-
ating expenditures account in excess of $100 as of June 30, 2001, is hereby
reappropriated for fiscal year 2002: Provided however, That expenditures
from such reappropriated balance shall not exceed $2,321 except upon
approval of the state finance council: Provided further, That expenditures
from this account for official hospitality shall not exceed $250.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2001, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

Conversion of materials and equipment fund No limit
Local water project match fund No limit
Provided, That all moneys received from local government entities and
instrumentalities to be used to match funds for water projects shall be
deposited in the state treasury to the credit of the local water project
match fund: Provided further, That all moneys credited to this fund shall
be used to match state funds for water projects using federal cost-share
funds.

Water supply storage assurance fund No limit
Provided, That any moneys deposited to the credit of the water supply
storage assurance fund which are received from a water assurance district
shall be credited to a separate subaccount: Provided further, That moneys
in such subaccounts may be transferred to the water marketing fund for
(1) payment to the federal government of annual capital costs of water
supply storage in federal reservoirs under the water assurance program
act, (2) payment and reimbursement to the water marketing fund for
water supply storage space previously paid for with revenue from the
water marketing fund, if such storage space has been transferred to the
water assurance program, (3) payment to the federal government of an-
nual operation, maintenance and repair costs associated with the water
supply storage space dedicated for the use of water assurance districts,
and (4) payment and reimbursement to the water marketing fund and
the state general fund for costs incurred by the state for the administration
and enforcement of applicable state laws governing the operations and
management of the water assurance program as provided in contracts
with water assurance districts: And provided further, That no additional
water supply storage space shall be purchased in Milford, Perry or Tuttle
Creek reservoirs during fiscal year 2002.

State conservation storage water supply fund $0
Water marketing fund No limit
Federal grants and receipts fund No limit
General fees fund No limit
Provided, That expenditures may be made from the general fees fund for
operating expenditures for the Kansas water office, including training and
informational programs and official hospitality: Provided further, That the
director of the Kansas water office is hereby authorized to fix, charge and
collect fees for such programs: And provided further, That fees for such
programs shall be fixed in order to recover all or part of the operating
expenses incurred for such programs, including official hospitality: And
provided further, That all fees received for such programs and all fees
received for providing access to or for furnishing copies of public records
shall be deposited in the state treasury and credited to this fund.

Water conservation projects fund $0
Water plan projects fund No limit
 (c) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, for the state water
plan project or projects specified, the following:

Assessment and evaluation $200,000
Federal cost-share programs $250,000
GIS data access and support center $143,773
GIS data base development $250,000
MOU--storage operations and maintenance $437,833
Ogallala aquifer institute $45,000
PMIB loan payment for storage $263,991
Public information $30,000
Stream gauging program $416,000
Technical assistance to water users $440,795
Water planning process $55,552
Water resource education $60,000
Weather modification program $178,000
 (d) During the fiscal year ending June 30, 2002, the director of the
Kansas water office, with the approval of the director of the budget, may
transfer any part of any item of appropriation for fiscal year 2002 from
the state water plan fund for the Kansas water office to another item of
appropriation for fiscal year 2002 from the state water plan fund for the
Kansas water office: Provided, however, That the director of the Kansas
water office shall certify each such transfer to the director of accounts
and reports and shall transmit a copy of each such certification to the
director of the legislative research department.

 (e) During the fiscal year ending June 30, 2002, the director of accounts
and reports shall transfer an amount or amounts specified by the director
of the Kansas water office from the state water plan fund to the water
plan projects fund of the Kansas water office, except that such transfers
shall only be made upon the approval of the director of the budget. The
director of the Kansas water office shall certify each such transfer to the
director of accounts and reports and shall transmit a copy of each such
certification to the legislative research department.

 (f) During the fiscal year ending June 30, 2002, if it appears that the
resources are insufficient to meet in full the estimated expenditures as
they become due to meet the financial obligations imposed by law on the
water marketing fund of the Kansas water office as a result of a cash flow
shortfall, the pooled money investment board is authorized and directed
to loan to the director of the Kansas water office sufficient funds to main-
tain the cash flow of the water marketing fund upon approval of such
loan by the state finance council acting on this matter which is hereby
characterized as a matter of legislative delegation and subject to the
guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amend-
ments thereto. No loan shall be made unless the terms thereof have been
approved by the director of the budget. A copy of the terms of the loan
shall be submitted to the director of the legislative research department.
The pooled money investment board is authorized and directed to use
any moneys in the operating accounts, investment accounts or other in-
vestments of the state of Kansas to provide the funds for such loan. Each
such loan shall be repaid without interest within one year from the date
of the loan. Each such loan shall bear interest at a rate equal to the net
earnings rate for the pooled money investment portfolio at the time of
the making of such loan. Such loan shall not be deemed to be an in-
debtedness or debt of the state of Kansas within the meaning of section
6 of article 11 of the constitution of the state of Kansas. Upon certification
by the pooled money investment board by the director of the Kansas
water office of the amount of each loan authorized pursuant to this sub-
section, the pooled money investment board shall transfer each such
amount certified by the director of the Kansas water office from the state
bank account or accounts to the water marketing fund of the Kansas water
office. The principal and interest of each loan authorized pursuant to this
subsection shall be repaid in payments payable at least annually for a
period of not more than five years.

 (g) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $250,000 from the state
general fund to the state water plan fund.

 (h) On July 1, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer $55,229 from the water
marketing fund to the state general fund.

 Sec. 163.

DEPARTMENT OF WILDLIFE AND PARKS
 (a) There is appropriated for the above agency from the state general
fund for the fiscal year ending June 30, 2002, the following:

Operating expenditures $4,305,369
Provided, That any unencumbered balance in the operating expenditures
account in excess of $100 as of June 30, 2001, is hereby reappropriated
for fiscal year 2002: Provided, however, That expenditures from such
reappropriated balance shall be made only upon approval of the state
finance council: Provided further, That no expenditures shall be made
from the operating expenditures account for the purchase of state aircraft
insurance: And Provided further, That expenditures from this account for
official hospitality shall not exceed $1,000.

 (b) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures other than refunds authorized by law
shall not exceed the following:

Wildlife fee fund $23,732,695
Provided, That additional expenditures may be made from the wildlife
fee fund for fiscal year 2002 for the purposes of compensating federal aid
program expenditures if necessary in order to comply with requirements
established by the United States fish and wildlife service for the utilization
of federal aid funds: Provided further, That all such expenditures shall be
in addition to any expenditure limitation imposed upon the wildlife fee
fund for fiscal year 2002: And provided further, That the secretary of
wildlife and parks shall report all such expenditures to the governor and
the legislature as appropriate: And provided further, That expenditures
from this fund for official hospitality shall not exceed $8,000.

Parks fee fund $4,880,243
Provided, That additional expenditures may be made from the parks fee
fund for fiscal year 2002 for the purposes of compensating federal aid
program expenditures if necessary in order to comply with requirements
established by the United States fish and wildlife service for the utilization
of federal aid funds: Provided further, That all such expenditures shall be
in addition to any expenditure limitation imposed upon the parks fee fund
for fiscal year 2002: And provided further, That the secretary of wildlife
and parks shall report all such expenditures to the governor and the leg-
islature as appropriate.

Boating fee fund $1,092,472
Provided, That additional expenditures may be made from the boating
fee fund for fiscal year 2002 for the purposes of compensating federal aid
program expenditures if necessary in order to comply with requirements
established by the United States fish and wildlife service for the utilization
of federal aid funds: Provided further, That all such expenditures shall be
in addition to any expenditure limitation imposed upon the boating fee
fund for fiscal year 2002: And provided further, That the secretary of
wildlife and parks shall report all such expenditures to the governor and
the legislature as appropriate: And provided further, That expenditures
from this fund for official hospitality shall not exceed $1,000.

Central aircraft fund No limit
Provided, That expenditures may be made by the above agency from the
central aircraft fund for aircraft operating expenditures, for aircraft main-
tenance and repair, to provide aircraft services to other state agencies,
and for the purchase of state aircraft insurance: Provided further, That
the secretary of wildlife and parks is hereby authorized to fix, charge and
collect fees for the provision of aircraft services to other state agencies:
And provided further, That such fees shall be fixed to recover all or part
of the operating expenditures incurred in providing such services: And
provided further, That all fees received for such services shall be credited
to this fund: And provided further: That all expenditures for salaries and
wages for pilots for fiscal year 2002 shall be paid from this fund.

Wildlife and parks nonrestricted fund No limit
Provided, That all moneys received under K.S.A. 32-990, 32-991, 32-992,
32-993, 32-994 and 32-1173, and amendments thereto, other than mon-
eys restricted by K.S.A. 32-990, 32-991, 32-992, 32-993, 32-994 and 32-
1173, and amendments thereto, shall be deposited in the state treasury
and credited to the wildlife and parks nonrestricted fund: Provided fur-
ther, That expenditures from this fund may be made for federal aid eli-
gible expenditures at the discretion of the secretary of wildlife and parks.

Prairie spirit rails-to-trails fee fund No limit
Nongame wildlife improvement fund No limit
Wildlife conservation fund No limit
Federally licensed wildlife areas fund No limit
State agricultural production fund No limit
Land and water conservation fund--state No limit
Land and water conservation fund--local No limit
Development and promotions fund No limit
Department of wildlife and parks private gifts and donations fund No limit
Fish and wildlife restitution fund No limit
Parks restitution fund No limit
Nonfederal grants fund No limit
Federal grants fund No limit
Suspense fund No limit
Employee maintenance deduction clearing fund No limit
 (c) There is appropriated for the above agency from the state water
plan fund for the fiscal year ending June 30, 2002, for the water plan
project or projects specified, the following:

Stream monitoring $50,000
 (d) On July 15, 2001, or as soon thereafter as moneys are available, the
director of accounts and reports shall transfer an amount not to exceed
$40,982 specified by the secretary of wildlife and parks from the wildlife
fee fund of the department of wildlife and parks to the El Dorado cor-
rectional facility--general fees fund of the department of corrections.

 (e) In addition to the other purposes for which expenditures may be
made by the department of wildlife and parks from the moneys appro-
priated in the parks fee fund for fiscal year 2002 as authorized by this or
other appropriation act of the 2001 regular session of the legislature,
expenditures may be made from the parks fee fund for fiscal year 2002
for operating expenditures and capital improvement projects for the pur-
poses of maintaining and repairing the Prairie Spirit rail trail in Allen,
Anderson and Franklin counties, including, but not limited to, the ex-
penses of operating of park equipment by employees of the department
of wildlife and parks that are assigned to the state park system.

 (f) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the water plan special revenue fund of the department of
wildlife and parks to the state water plan fund. On July 1, 2001, all lia-
bilities of the water plan special revenue fund of the department of wild-
life and parks are hereby transferred to and imposed on the state water
plan fund and the water plan special revenue fund of the department of
wildlife and parks is hereby abolished.

 (g) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the EDIF-- local government outdoor recreation grants
fund of the department of wildlife and parks to the state economic de-
velopment initiatives fund. On July 1, 2001, all liabilities of the EDIF--
local government outdoor recreation grants fund of the department of
wildlife and parks, including any outstanding encumbrances, are hereby
transferred to and imposed on the state economic development initiatives
fund and the EDIF--local government outdoor recreation grants fund
of the department of wildlife and parks is hereby abolished.

 (h) On July 1, 2001, the director of accounts and reports shall transfer
all moneys in the economic development initiatives grant fund of the
department of wildlife and parks to the state economic development in-
itiatives fund. On July 1, 2001, all liabilities of the economic development
initiatives grant fund of the department of wildlife and parks, including
any outstanding encumbrances, are hereby transferred to and imposed
on the state economic development initiatives fund and the economic
development initiatives grant fund of the department of wildlife and parks
is hereby abolished.

 Sec. 164.

DEPARTMENT OF TRANSPORTATION
 (a) There is appropriated for the above agency from the following spe-
cial revenue fund or funds for the fiscal year ending June 30, 2002, all
moneys now or hereafter lawfully credited to and available in such fund
or funds, except that expenditures shall not exceed the following:

State highway fund No limit
Provided, That no expenditures may be made from the state highway fund
other than for the purposes specifically authorized by this or other ap-
propriation act.

Special city and county highway fund No limit
County equalization and adjustment fund $2,500,000
Highway special permits fund No limit
Highway bond debt service fund No limit
Rail service improvement fund No limit
Rail service assistance program loan guarantee fund No limit
Railroad rehabilitation loan guarantee fund No limit
Provided, That expenditures from the railroad rehabilitation loan guar-
antee fund shall not exceed the amount which the secretary of transpor-
tation is obligated to pay during the fiscal year ending June 30, 2002, in
satisfaction of liabilities arising from the unconditional guarantee of pay-
ment which was entered into by the secretary of transportation in con-
nection with the mid-states port authority federally taxable revenue re-
funding bonds, series 1994, dated May 1, 1994, authorized by K.S.A.
12-3420 and amendments thereto and guaranteed pursuant to K.S.A. 75-
5031 and amendments thereto.

Interagency motor vehicle fuel sales fund No limit
Provided, That expenditures may be made from the interagency motor
vehicle fuel sales fund to provide and sell motor vehicle fuel to the Kansas
highway patrol: Provided further, That the secretary of transportation is
hereby authorized to fix, charge and collect fees for motor vehicle fuel
sold to the Kansas highway patrol: And provided further, That such fees
shall be fixed in order to recover all or part of the expenses incurred in
providing motor vehicle fuel to the Kansas highway patrol: And provided
further, That all fees received for such sales of motor vehicle fuel shall
be credited to this fund.

Coordinated public transportation assistance fund No limit
Public use general aviation airport development fund No limit
Highway bond proceeds fund No limit
 (b) Expenditures may be made by the above agency for the fiscal year
ending June 30, 2002, from the state highway fund for the following
specified purposes: Provided, That expenditures from the state highway
fund for fiscal year 2002 other than refunds authorized by law for the
following specified purposes shall not exceed the limitations prescribed
therefor as follows:

Agency operations $216,874,370
Provided, That expenditures from the agency operations account of the
state highway fund for official hospitality by the secretary of transporta-
tion shall not exceed $1,000: Provided, however, That expenditures may
be made from this account for state aircraft insurance: Provided further,
That expenditures may be made from this account for engineering serv-
ices furnished to counties for road and bridge projects under K.S.A. 68-
402e and amendments thereto.

Conference fees No limit
Provided, That the secretary of transportation is hereby authorized to fix,
charge and collect conference, training and workshop attendance and
registration fees for conferences, training seminars and workshops spon-
sored or cosponsored by the department: Provided further, That such
fees shall be deposited in the state treasury and credited to the conference
fees account of the state highway fund: And provided further, That ex-
penditures may be made from this account to defray all or part of the
costs of the conferences, training seminars and workshops.

Substantial maintenance No limit
Claims No limit
Payments for city connecting links $3,360,000
Federal local aid programs No limit
Pre-1992 bond services fees No limit
Construction, remodeling and special maintenance projects for buildings $7,273,802
Provided, That expenditures may be made from the construction, re-
modeling and special maintenance projects for buildings account of the
state highway fund of amounts in unexpended balances as of June 30,
2001, in capital improvement project accounts of projects approved for
prior fiscal years: Provided further, That expenditures from this account
of amounts in such unexpended balances shall be in addition to any ex-
penditure limitation imposed on this account for fiscal year 2002.

Other capital improvements No limit
Provided, That the secretary of transportation is authorized to undertake
a program to assist cities and counties with railroad crossings of roads not
on the state highway system.

 (c) On April 1, 2002, the director of accounts and reports shall transfer
from the motor pool service fund of the department of administration to
the state highway fund of the department of transportation an amount
determined to be equal to the sum of the annual vehicle registration fees
for each vehicle owned or leased by the state or any state agencies in
accordance with K.S.A. 75-4611 and amendments thereto.

 (d) During the fiscal year ending June 30, 2002, upon notification from
the secretary of transportation that an amount is due and payable from
the railroad rehabilitation loan guarantee fund, the director of accounts
and reports shall transfer from the state highway fund to the railroad
rehabilitation loan guarantee fund the amount certified by the secretary
as due and payable.

 (e) Any transfer of money during the fiscal year ending June 30, 2002,
from the state highway fund to other state agencies shall be in addition
to any expenditure limitation imposed on the state highway fund for the
fiscal year ending June 30, 2002.

 (f) Any transfer of money during the fiscal year ending June 30, 2002,
from the state highway fund to the highway bonds debt service fund shall
be in addition to any expenditure limitation imposed on the state highway
fund for the fiscal year ending June 30, 2002.

 (g) For the fiscal year commencing on and after July 1, 2001, the de-
partment of transportation shall prepare and submit along with the doc-
uments required under K.S.A. 75-3717, and amendments thereto, addi-
tional documents that present the revenues, transfers, and expenditures
that are considered to be in support of the comprehensive transportation
program authorized by K.S.A. 2000 Supp. 68-2314a et seq. The docu-
ments shall include both reportable as well as nonreportable and off-
budget items that reflect the revenues, transfers and expenditures asso-
ciated with the comprehensive transportation program.

 (h) Kansas savings incentive program. (1) In addition to other expend-
itures authorized by law, expenditures may be made from the agency
operations account of the state highway fund appropriated by this act for
the fiscal year ending June 30, 2002, by the department of transportation
for the following purposes: (A) Salary bonus payments to permanent full-
time or regular part-time employees of the state agency at the discretion
of the agency head, (B) purchase or other acquisition of technology equip-
ment which was included in the budget estimates for fiscal year 2002
submitted by the state agency pursuant to K.S.A. 75-3717 and amend-
ments thereto, and (C) professional development training including of-
ficial hospitality: Provided, That all such expenditures from such fund for
the fiscal year 2002 shall be in addition to any expenditure limitation
imposed on the agency operations account of the state highway fund for
fiscal year 2002: Provided, however, That the total amount of such ex-
penditures from the agency operations account of the state highway fund
for fiscal year 2002 shall not exceed the amount equal to 50% of the
unexpended portion of the amount authorized to be expended from the
agency operations account of the state highway fund for fiscal year 2001
for agency operations, as determined by the director of accounts and
reports: Provided further, That the total net amount of any such salary
bonus payments to any individual employee during fiscal year 2002 shall
not exceed $1,000: And provided further, That the provisions of this sub-
section (g)(1) shall apply only to: (A) That portion of the moneys in the
agency operations account of the state highway fund from which expend-
itures may be made for agency operations, and (B) shall not include that
portion of moneys which may be expended for other operating expenses
in the regular maintenance subprogram.

 (2) Any unencumbered balance in excess of $100 as of June 30, 2001,
in any account of any special revenue fund of the department of trans-
portation, which was appropriated by subsection (g)(2) of section 68 of
chapter 130 of the 2000 Session Laws of Kansas and which is not other-
wise specifically appropriated or limited by this or other appropriation act
of the 2001 regular session of the legislature, is hereby appropriated for
the fiscal year ending June 30, 2002, for the purposes authorized in sub-
section (g)(1) of this section. All expenditures from any such account of
any such special revenue fund shall be in addition to any expenditure
limitation imposed on such special revenue fund for the fiscal year ending
June 30, 2002.

 (3) No salary bonus payment paid pursuant to this section during fiscal
year 2002 shall be compensation, within the meaning of K.S.A. 74-4901
et seq., and amendments thereto, for any purpose under the Kansas public
employees retirement system and shall not be subject to deductions for
employee contributions thereunder. Each salary bonus payment paid un-
der this section shall be a bonus, as defined by 29 C.F.R. 778, and shall
be in addition to the regular earnings which that employee may be enti-
tled or for which the employee may become eligible.

 Sec. 165. Position limitations. (a) The number of full-time and regular
part-time positions equated to full-time, excluding seasonal and tempo-
rary positions, paid from appropriations for the fiscal year ending June
30, 2002, made in this or other appropriation act of the 2001 regular
session of the legislature for the following agencies shall not exceed the
following, except upon approval of the state finance council or pursuant
to subsection (b):

Attorney General 95.5
Secretary of State 57.0
State Treasurer 55.5
Insurance Department 157.0
Provided, That any attorney positions established in the insurance de-
partment for the purpose of defense of the workers compensation fund
shall be in addition to any limitation imposed on the full-time and regular
part-time equivalent number of positions, excluding seasonal and tem-
porary positions, paid from appropriations made for fiscal year 2002 for
the department of insurance.

Health Care Stabilization Fund Board of Governors 16.0
Judicial Council 4.0
Kansas Human Rights Commission 37.0
State Corporation Commission 210.0
Citizens' Utility Ratepayer Board 4.0
Department of Administration 879.4
State Board of Tax Appeals 31.0
Department of Revenue 1,162.0
Kansas Lottery 89.0
Kansas Racing and Gaming Commission--state racing operations 43.0
Kansas Racing and Gaming Commission--state gaming agency 21.0
Department of Commerce and Housing 149.0
Kansas, Inc. 4.0
Department of Human Resources 964.3
Kansas Commission on Veterans Affairs 555.8
Department of Health and Environment 854.0
Department on Aging 157.0
Department of Social and Rehabilitation Services 3,878.5
Kansas Neurological Institute 655.5
Larned State Hospital 744.8
Osawatomie State Hospital 477.4
Parsons State Hospital and Training Center 513.0
Rainbow Mental Health Facility 132.4
State Library 27.0
Kansas Arts Commission 8.0
Kansas State School for the Blind 93.5
Kansas State School for the Deaf 173.5
State Historical Society 136.5
State Board of Regents 30.0
Department of Corrections 3,132.5
Juvenile Justice Authority 614.0
Adjutant General 215.0
State Fire Marshal 46.0
Kansas Parole Board 4.0
Kansas Highway Patrol 823.8
Attorney General--Kansas Bureau of Investigation 200.0
Emergency Medical Services Board 13.0
Kansas Sentencing Commission 11.0
Ombudsman of Corrections 3.5
Kansas Department of Agriculture 301.5
Kansas Animal Health Department 31.0
State Fair Board 22.0
Kansas Wheat Commission 8.0
State Conservation Commission 13.5
Kansas Water Office 22.5
Department of Wildlife and Parks 406.5
Department of Transportation 3,247.5
 (b) During the fiscal year ending June 30, 2002, the secretary of social
and rehabilitation services may increase the position limitation for the de-
partment of social and rehabilitation services or for any institution or facility
under the general supervision and management of the secretary of social
and rehabilitation services by making a corresponding decrease in the po-
sition limitation for either the department of social and rehabilitation serv-
ices or any institution or facility under the general supervision and manage-
ment of the secretary of social and rehabilitation services. The secretary of
social and rehabilitation services shall certify each such increase and cor-
responding decrease to the director of personnel services of the department
of administration and shall transmit a copy of each such certification to the
legislative research department and the division of the budget.

 (c) During the fiscal year ending June 30, 2002, any full-time and reg-
ular part-time positions of the Kansas highway patrol that are for capitol
area police officers and capitol area security guards, that are assigned to
security for state-owned and controlled properties located in Shawnee
county under contracts with other state agencies shall be in addition to
any limitation on the number of full-time and regular part-time positions
equated to full-time, excluding seasonal and temporary positions, paid
from appropriations for the Kansas highway patrol for fiscal year 2002,
made in this or other appropriation act of the 2001 regular session of the
legislature: Provided, That the Kansas highway patrol shall prepare and
submit a report on all such positions assigned to provide security under
such contracts to the legislative budget committee prior to the 2002 reg-
ular session of the legislature.

 (d) During the fiscal year ending June 30, 2002, the secretary of social
and rehabilitation services may authorize the total number of full-time
and regular part-time positions equated to full-time, excluding seasonal
and temporary positions, for the department of social and rehabilitation
services that are paid from appropriations for department of social and
rehabilitation services for fiscal year 2002 made in this or other appro-
priation act of the 2001 regular session of the legislature, to temporarily
exceed the limitation on the number of full-time and regular part-time
positions equated to full-time, excluding seasonal and temporary posi-
tions, established for fiscal year 2002 for the department of social and
rehabilitation services so long as the total number of full-time and regular
part-time positions equated to full-time, excluding seasonal and tempo-
rary positions, for the department of social and rehabilitation services does
not exceed such limitation as of June 30, 2002. The secretary of social
and rehabilitation services shall certify each such authorization to the
director of personnel services of the department of administration and
shall transmit a copy of each such certification to the legislative research
department and the division of the budget.

 (e) During the fiscal year ending June 30, 2002, the attorney general
may authorize full-time other unclassified positions and regular part-time
other unclassified positions, for the Kansas bureau of investigation that
are paid from appropriations for the attorney general--Kansas bureau of
investigation for fiscal year 2002 made in this or other appropriation act
of the 2001 regular session of the legislature, which shall be in addition
to the number of full-time and regular part-time positions equated to full-
time, excluding seasonal and temporary positions, authorized for fiscal
year 2002 for the attorney general--Kansas bureau of investigation. The
attorney general shall certify each such authorization for other unclassi-
fied positions for the Kansas bureau of investigation to the director of
personnel services of the department of administration and shall transmit
a copy of each such certification to the legislative research department
and the division of the budget.

 Sec. 166. Kansas savings incentive program. (a) In addition to other
expenditures authorized by law, expenditures may be made from any
account of the state general fund reappropriated by this act for the fiscal
year ending June 30, 2002, for any state agency named in this act for the
following purposes: (1) Salary bonus payments to permanent full-time or
regular part-time employees of the state agency at the discretion of the
agency head, (2) purchase or other acquisition of technology equipment
which was included in the budget estimates for fiscal year 2002 submitted
by the state agency pursuant to K.S.A. 75-3717 and amendments thereto,
and (3) professional development training including official hospitality:
Provided, however, That the total of all such expenditures from such
account of the state general fund for the fiscal year 2002 shall not exceed
the amount equal to 50% of the amount of the unencumbered balance
as of June 30, 2001, in such account of the state general fund that is
reappropriated for fiscal year 2002 and that is in excess of the amount
authorized to be expended for fiscal year 2002 from such reappropriated
balance, as determined by the director of accounts and reports: Provided
further, That the total net amount of any such salary bonus payments to
any individual employee during fiscal year 2002 that are paid under sub-
section (b) or this subsection shall not exceed $1,000: And provided fur-
ther, That the provisions of this subsection shall apply only to that portion
of any such account from which expenditures may be made for state
operations: And provided further, That all such expenditures from the
reappropriated balance in any such account for the fiscal year 2002 shall
be in addition to any expenditure limitation imposed on expenditures
from the reappropriated balance in any such account for fiscal year 2002.

 (b) In addition to other expenditures authorized by law, expenditures
may be made from any special revenue fund appropriated by this act for
the fiscal year ending June 30, 2002, for a state agency named in this act
for the following purposes: (1) Salary bonus payments to permanent full-
time or regular part-time employees of the state agency at the discretion
of the agency head, (2) purchase or other acquisition of technology equip-
ment which was included in the budget estimates for fiscal year 2002
submitted by the state agency pursuant to K.S.A. 75-3717 and amend-
ments thereto, and (3) professional development training including offi-
cial hospitality: Provided, That all such expenditures from such fund for
the fiscal year 2002 shall be in addition to any expenditure limitation
imposed on such fund or any account thereof for fiscal year 2002: Pro-
vided, however, That the total amount of such expenditures from such
fund for fiscal year 2002 shall not exceed the amount equal to 50% of the
unexpended portion of the amount authorized to be expended from such
fund for fiscal year 2001 for state operations, as determined by the di-
rector of accounts and reports, or, in the case of no limit appropriations,
as determined by the director of the budget: Provided further, That the
total net amount of any such salary bonus payments to any individual
employee during fiscal year 2002 that are paid under subsection (a) or
this subsection shall not exceed $1,000: And provided further, That the
provisions of this subsection shall apply only to: (1) That portion of the
moneys in each account of a special revenue fund from which portion
expenditures may be made for state operations, and (2) that portion of
the moneys in a special revenue fund, that does not have any such ac-
counts specified in this or other appropriation act, from which portion
expenditures may be made for state operations.

 (c) (1) Any unencumbered balance in excess of $100 as of June 30,
2001, in any account of the state general fund of any state agency named
in this act, which was reappropriated by subsection (c)(1) of section 70
of chapter 130 of the 2000 Session Laws of Kansas and which is not
otherwise specifically appropriated or limited by this or other appropri-
ation act of the 2001 regular session of the legislature, is hereby reappro-
priated for the fiscal year ending June 30, 2002, and may be expended
for the purposes authorized in subsections (a) and (b).

 (2) Any unencumbered balance in excess of $100 as of June 30, 2001,
in any account of any special revenue fund of any state agency named in
this act, which was appropriated by subsection (c)(2) of section 70 of
chapter 130 of the 2000 Session Laws of Kansas and which is not other-
wise specifically appropriated or limited by this or other appropriation act
of the 2001 regular session of the legislature, is hereby appropriated for
the fiscal year ending June 30, 2002, and may be expended for the pur-
poses authorized in subsections (a) and (b). All expenditures from any
such account of any such special revenue fund shall be in addition to any
expenditure limitation imposed on such special revenue fund for fiscal
year 2002.

 (d) No salary bonus payment paid pursuant to this section during fiscal
year 2002 shall be compensation, within the meaning of K.S.A. 74-4901
et seq., and amendments thereto, for any purpose under the Kansas public
employees retirement system and shall not be subject to deductions for
employee contributions thereunder. Each salary bonus payment paid un-
der this section shall be a bonus, as defined by 29 C.F.R. 778, and shall
be in addition to the regular earnings which that employee may be enti-
tled or for which the employee may become eligible.

 (e) The provisions of this section shall not apply to any state agency
named in section 99 of this act or to the department of transportation.

 Sec. 167. On July 1, 2001, K.S.A. 2000 Supp. 79-2959 is hereby
amended to read as follows: 79-2959. (a) There is hereby created the local
ad valorem tax reduction fund. All moneys transferred or credited to such
fund under the provisions of this act or any other law shall be apportioned
and distributed in the manner provided herein.

 (b) On January 15 and on July 15 of each year, the director of accounts
and reports shall make transfers in equal amounts which in the aggregate
equal 4.5% of the total retail sales and compensating taxes credited to
the state general fund pursuant to articles 36 and 37 of chapter 79 of
Kansas Statutes Annotated and acts amendatory thereof and supplemen-
tal thereto during the preceding calendar year from the state general fund
to the local ad valorem tax reduction fund, except that: (1) The transfers
on January 15 and July 15 of each year shall be in equal amounts which
in the aggregate equal 3.630% of such taxes credited to the state general
fund during the preceding calendar year; and (2) the amount of the trans-
fer on each such date during state fiscal year 2001 2002 shall be equal to
93.5% of the amount transferred on the same date during state fiscal year
2000 $28,951,485.50. All such transfers are subject to reduction under
K.S.A. 75-6704 and amendments thereto. All transfers made in accord-
ance with the provisions of this section shall be considered to be demand
transfers from the state general fund.

 (c) The state treasurer shall apportion and pay the amounts transferred
under subsection (b) to the several county treasurers on January 15 and
on July 15 in each year as follows: (1) Sixty-five percent of the amount to
be distributed shall be apportioned on the basis of the population figures
of the counties certified to the secretary of state pursuant to K.S.A. 11-
201 and amendments thereto on July 1 of the preceding year; and (2)
thirty-five percent of such amount shall be apportioned on the basis of
the equalized assessed tangible valuations on the tax rolls of the counties
on November 1 of the preceding year as certified by the director of prop-
erty valuation.

 Sec. 168. On July 1, 2001, K.S.A. 2000 Supp. 79-2964 is hereby
amended to read as follows: 79-2964. There is hereby created the county
and city revenue sharing fund. All moneys transferred or credited to such
fund under the provisions of this act or any other law shall be allocated
and distributed in the manner provided herein. The director of accounts
and reports in each year on July 15 and December 10, shall make transfers
in equal amounts which in the aggregate equal 3.5% of the total retail
sales and compensating taxes credited to the state general fund pursuant
to articles 36 and 37 of chapter 79 of the Kansas Statutes Annotated and
acts amendatory thereof and supplemental thereto during the preceding
calendar year from the state general fund to the county and city revenue
sharing fund, except that: (a) The transfers on July 15 and December 10
of each year shall be in equal amounts which in the aggregate equal
2.823% of such taxes credited to the state general fund during the pre-
ceding calendar year; and (b) the amount of the transfer on each such
date during state fiscal year 2001 2002 shall be equal to 93.5% of the
amount transferred on the same date during state fiscal year 2000
$18,465,844. All such transfers are subject to reduction under K.S.A. 75-
6704 and amendments thereto. All transfers made in accordance with the
provisions of this section shall be considered to be demand transfers from
the state general fund.



 Sec. 169. On July 1, 2001, K.S.A. 2000 Supp. 79-3425i is hereby
amended to read as follows: 79-3425i. On January 15 and July 15 of each
year, the director of accounts and reports shall transfer a sum equal to
the total taxes collected under the provisions of K.S.A. 79-6a04 and 79-
6a10, and amendments thereto, and credited to the state general fund
during the six months next preceding the date of transfer, from the state
general fund to the special city and county highway fund, created by
K.S.A. 79-3425, and amendments thereto, except that: (1) Such transfers
are subject to reduction under K.S.A. 75-6704, and amendments thereto;
and (2) the amount of the transfer on each such date during state fiscal
year 2000 shall not exceed the amount equal to 101.7% of the amount
transferred on the same date during state fiscal year 1999, and the amount
of the transfer on each such date during state fiscal year 2001 2002 shall
not exceed $5,171,594.50 $5,590,913. All transfers under this section shall
be considered to be demand transfers from the state general fund.

 Sec. 170. On July 1, 2001, K.S.A. 2000 Supp. 79-34,147 is hereby
amended to read as follows: 79-34,147. (a) (1) On July 1, 1999, and quar-
terly thereafter the secretary of revenue shall certify to the director of
accounts and reports the amount equal to 7.628% of the total revenues
received by the secretary from the taxes imposed under the Kansas re-
tailers' sales tax act and deposited in the state treasury and credited to
the state general fund during the preceding three calendar months.

 (2) On July 1, 2001, and quarterly thereafter, the secretary of revenue
shall certify to the director of accounts and reports the amount equal to
9.5% of the total revenues received by the secretary from the taxes im-
posed under the Kansas retailers' sales tax act and deposited in the state
treasury and credited to the state general fund during the preceding three
calendar months.

 (3) On July 1, 2002, and quarterly thereafter, the secretary of revenue
shall certify to the director of accounts and reports the amount equal to
11% of the total revenues received by the secretary from the taxes im-
posed under the Kansas retailers' sales tax act and deposited in the state
treasury and credited to the state general fund during the preceding three
calendar months.

 (4) On July 1, 2003, and quarterly thereafter, the secretary of revenue
shall certify to the director of accounts and reports the amount equal to
11.25% of the total revenues received by the secretary from the taxes
imposed under the Kansas retailers' sales tax act and deposited in the
state treasury and credited to the state general fund during the preceding
three calendar months.

 (5) On July 1, 2004, and quarterly thereafter, the secretary of revenue
shall certify to the director of accounts and reports the amount equal to
12% of the total revenues received by the secretary from the taxes im-
posed under the Kansas retailers' sales tax act and deposited in the state
treasury and credited to the state general fund during the preceding three
calendar months.

 (b) Upon receipt of each certification under subsection (a), the director
of accounts and reports shall transfer from the state general fund to the
state highway fund an amount equal to the amount so certified, on each
July 1, October 1, January 1 and April 1, except that (1)(A) the amount
of the transfer on each such date during state fiscal year 2000 shall not
exceed the amount equal to 101.7% of the amount of the transfer on each
such date during state fiscal year 1999 and (B) the aggregate amount of
all such transfers during state fiscal year 2000 shall not exceed
$62,240,428; and (2) the amount of the transfer on each such date during
state fiscal year 2001 2002 shall not exceed $12,927,149.75 $30,277,162.
All transfers made pursuant to this section are subject to reduction under
K.S.A. 75-6704, and amendments thereto.

 (c) All transfers made in accordance with the provisions of this section
shall be considered to be demand transfers from the state general fund.

 Sec. 171. (a) In addition to the other purposes for which expenditures
may be made by the governor's department from the governor's depart-
ment account of the state general fund for the fiscal year ending June 30,
2002, expenditures shall be made by the governor's department from the
governor's department account of the state general fund for fiscal year
2002:

 (1) For an additional amount of biweekly compensation for the gov-
ernor equal to the amount required to provide, along with the amount of
biweekly compensation otherwise payable, an aggregate amount of com-
pensation of $3,671.00 per biweekly pay period for each biweekly pay
period commencing on or after June 10, 2001, and ending before De-
cember 9, 2001, and

 (2) for an additional amount of biweekly compensation for the governor
equal to the amount required to provide, along with the amount of bi-
weekly compensation otherwise payable, an aggregate amount of com-
pensation of $3,726.07 per biweekly pay period for each biweekly pay
period commencing on or after December 9, 2001, which is chargeable
to fiscal year 2002: Provided, That all expenditures under this subsection
(a) for such purposes shall be made in the same manner and at the same
times that biweekly compensation is payable to the governor for the bi-
weekly pay periods which commence on or after June 10, 2001 and which
are chargeable to fiscal year 2002.

 (b) In addition to the other purposes for which expenditures may be
made by the lieutenant governor from the operations account of the state
general fund for the fiscal year ending June 30, 2002, expenditures shall
be made by the lieutenant governor from the operations account of the
state general fund for fiscal year 2002:

 (1) For an additional amount of biweekly compensation for the lieu-
tenant governor equal to the amount required to provide, along with the
amount of biweekly compensation otherwise payable, an aggregate
amount of compensation of $1,038.33 per biweekly pay period for each
biweekly pay period commencing on or after June 10, 2001, and ending
before December 9, 2001, and

 (2) for an additional amount of biweekly compensation for the lieuten-
ant governor equal to the amount required to provide, along with the
amount of biweekly compensation otherwise payable, an aggregate
amount of compensation of $1,053.91 per biweekly pay period for each
biweekly pay period commencing on or after December 9, 2001, which
is chargeable to fiscal year 2002: Provided, That all expenditures under
this subsection (b) for such purposes shall be made in the same manner
and at the same times that biweekly compensation is payable to the lieu-
tenant governor for the biweekly pay periods which commence on or after
June 10, 2001, and which are chargeable to fiscal year 2002.

 (c) In addition to the other purposes for which expenditures may be
made by the secretary of state from the operating expenditures account
of the state general fund for the fiscal year ending June 30, 2002 ex-
penditures shall be made by the secretary of state from the operating
expenditures account of the state general fund for fiscal year 2002:

 (1) For an additional amount of biweekly compensation for the secre-
tary of state equal to the amount required to provide, along with the
amount of biweekly compensation otherwise payable, an aggregate
amount of compensation of $2,851.83 per biweekly pay period for each
biweekly pay period commencing on or after June 10, 2001, and ending
before December 9, 2001, and

 (2) for an additional amount of biweekly compensation for the secretary
of state equal to the amount required to provide, along with the amount
of biweekly compensation otherwise payable, an aggregate amount of
compensation of $2,894.60 per biweekly pay period for each biweekly pay
period commencing on or after December 9, 2001, which is chargeable
to fiscal year 2002: Provided, That all expenditures under this subsection
(c) for such purposes shall be made in the same manner and at the same
times that biweekly compensation is payable to the secretary of state for
the biweekly pay periods which commence on or after June 10, 2001, and
which are chargeable to fiscal year 2002.

 (d) In addition to the other purposes for which expenditures may be
made by the attorney general from the operating expenditures account
of the state general fund for the fiscal year ending June 30, 2002, ex-
penditures shall be made by the attorney general from the operating
expenditures account of the state general fund for fiscal year 2002:

 (1) For an additional amount of biweekly compensation for the attorney
general equal to the amount required to provide, along with the amount
of biweekly compensation otherwise payable, an aggregate amount of
compensation of $3,279.52 per biweekly pay period for each biweekly pay
period commencing on or after June 10, 2001, and ending before De-
cember 9, 2001, and

 (2) for an additional amount of biweekly compensation for the attorney
general equal to the amount required to provide, along with the amount
of biweekly compensation otherwise payable, an aggregate amount of
compensation of $3,328.71 per biweekly pay period for each biweekly pay
period commencing on or after December 9, 2001, which is chargeable
to fiscal year 2002: Provided, That all expenditures under this subsection
(d) for such purposes shall be made in the same manner and at the same
times that biweekly compensation is payable to the attorney general for
the biweekly pay periods which commence on or after June 10, 2001, and
which are chargeable to fiscal year 2002.

 (e) In addition to the other purposes for which expenditures may be
made by the state treasurer from the operating expenditures account of
the state general fund for the fiscal year ending June 30, 2002, expendi-
tures shall be made by the state treasurer from the operating expenditures
account of the state general fund for fiscal year 2002:

 (1) For an additional amount of biweekly compensation for the state
treasurer equal to the amount required to provide, along with the amount
of biweekly compensation otherwise payable, an aggregate amount of
compensation of $2,851.83 per biweekly pay period for each biweekly pay
period commencing on or after June 10, 2001, and ending before De-
cember 9, 2001, and

 (2) for an additional amount of biweekly compensation for the state
treasurer equal to the amount required to provide, along with the amount
of biweekly compensation otherwise payable, an aggregate amount of
compensation of $2,894.60 per biweekly pay period for each biweekly pay
period commencing on or after December 9, 2001, which is chargeable
to fiscal year 2002: Provided, That all expenditures under this subsection
(e) for such purposes shall be made in the same manner and at the same
times that biweekly compensation is payable to the state treasurer for the
biweekly pay periods which commence on or after June 10, 2001, and
which are chargeable to fiscal year 2002.

 (f) In addition to the other purposes for which expenditures may be
made by the insurance department from the insurance department serv-
ice regulation fund for the fiscal year ending June 30, 2002, expenditures
shall be made by the insurance department from the insurance depart-
ment service regulation fund for fiscal year 2002:

 (1) For an additional amount of biweekly compensation for the com-
missioner of insurance equal to the amount required to provide, along
with the amount of biweekly compensation otherwise payable, an aggre-
gate amount of compensation of $2,851.83 per biweekly pay period for
each biweekly pay period commencing on or after June 10, 2001, and
ending before December 9, 2001, and

 (2) for an additional amount of biweekly compensation for the com-
missioner of insurance equal to the amount required to provide, along
with the amount of biweekly compensation otherwise payable, an aggre-
gate amount of compensation of $2,894.60 per biweekly pay period for
each biweekly pay period commencing on or after December 9, 2001,
which is chargeable to fiscal year 2002: Provided, That all expenditures
under this subsection (f) for such purposes shall be made in the same
manner and at the same times that biweekly compensation is payable to
the commissioner of insurance for the biweekly pay periods which com-
mence on or after June 10, 2001, and which are chargeable to fiscal year
2002.

 (g) (1) In addition to the other purposes for which expenditures may
be made by each state agency from appropriations made for the fiscal
year ending June 30, 2002, expenditures shall be made by each state
agency from the appropriations made for fiscal year 2002:

 (A) For an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$77.59 per calendar day for each member of a board for any calendar day
occurring on or after June 10, 2000, and before December 9, 2001, for
which per diem compensation is payable to such member of a board
under K.S.A. 75-3212 or 75-3223 and amendments thereto at the rate
prescribed by subsection (a) of K.S.A. 46-137a and amendments thereto
and is chargeable to fiscal year 2002 and

 (B) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$78.75 per calendar day for each member of a board for any calendar day
occurring on or after December 9, 2001, for which per diem compen-
sation is payable to such member of a board under K.S.A. 75-3212 or 75-
3223 and amendments thereto at the rate prescribed by subsection (a) of
K.S.A. 46-137a and amendments thereto and is chargeable to fiscal year
2002: Provided, That all expenditures under this subsection (g) for such
purposes shall be made in the same manner and at the same times that
per diem compensation is payable to such member of a board for the
biweekly pay periods for which such per diem compensation for calendar
days occurring on or after June 10, 2001, is payable and which are charge-
able to fiscal year 2002.

 (2) As used in this subsection (g), (A) ``state agency'' means any state
agency of the executive branch of state government (i) which has appro-
priations made for the fiscal year ending June 30, 2002, by this act or any
other appropriation act of the 2001 regular session of the legislature, and
(ii) which is, or which makes expenditures for, any board; and

 (B) ``board'' means any board, commission, committee, task force,
panel or other body in the executive branch of state government, includ-
ing any advisory body, having one or more members who are entitled to
receive per diem compensation for attendance at meetings of such body,
or attendance at meetings authorized by such body of a subcommittee or
other subsidiary group of such body, as provided in K.S.A. 75-3212 or
75-3223 and amendments thereto at the rate prescribed by subsection (a)
of K.S.A. 46-137a and amendments thereto.

 (h) In addition to the other purposes for which expenditures may be
made by the Kansas turnpike authority for the period commencing June
10, 2001, and ending June 30, 2002, expenditures shall be made by the
Kansas turnpike authority for such period:

 (1) For an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$77.59 per calendar day for each member of the Kansas turnpike au-
thority for any calendar day occurring on or after June 10, 2000, and
before December 9, 2001, for which per diem compensation is payable
to such member of the Kansas turnpike authority under K.S.A. 68-2003
and amendments thereto who is entitled, in accordance with K.S.A. 75-
3223 and amendments thereto, to receive such per diem compensation
as provided in K.S.A. 75-3212 and amendments thereto at the rate pre-
scribed by subsection (a) of K.S.A. 46-137a and amendments thereto and

 (2) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$78.75 per calendar day for each member of the Kansas turnpike au-
thority for any calendar day occurring on or after December 9, 2001, for
which per diem compensation is payable to such member of the Kansas
turnpike authority under K.S.A. 68-2003 and amendments thereto who
is entitled, in accordance with K.S.A. 75-3223 and amendments thereto,
to receive such per diem compensation as provided in K.S.A. 75-3212
and amendments thereto at the rate prescribed by subsection (a) of K.S.A.
46-137a and amendments thereto and is chargeable to fiscal year 2002:
Provided, That all expenditures under this subsection (h) for such pur-
poses shall be made in the same manner and at the same times that per
diem compensation is payable to such member of the Kansas turnpike
authority for the appropriate pay periods for which such per diem com-
pensation for calendar days occurring on or after June 10, 2001, and prior
to July 1, 2002, is payable by the Kansas turnpike authority.

 (i) In addition to the other purposes for which expenditures may be
made by the legislature from the operations (including official hospitality)
account of the state general fund for the fiscal year ending June 30, 2002,
expenditures shall be made by the legislature from the operations (in-
cluding official hospitality) account of the state general fund for fiscal year
2002:

 (1) (A) For an additional amount of per diem compensation equal to
the amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$77.59 per calendar day for each member of the legislature for service at
the regular session or any special session of the legislature for any calendar
day occurring on or after June 10, 2001, and before December 9, 2001;
and

 (B) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$78.75 per calendar day for each member of the legislature for service at
the regular session or any special session of the legislature for any calendar
day occurring on or after December 9, 2001, which is chargeable to fiscal
year 2002; and

 (2) (A) for an additional amount of per diem compensation equal to
the amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$77.59 per calendar day for each member of the legislature and for any
other public officer or person for any calendar day occurring on or after
June 10, 2001, and before December 9, 2001, for which per diem com-
pensation is payable from appropriations for the legislature to such mem-
ber of the legislature, public officer or person under K.S.A. 75-3212 or
75-3223 and amendments thereto at the rate prescribed by subsection (a)
of K.S.A. 46-137a and amendments thereto and is chargeable to fiscal
year 2002; and

 (B) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$78.75 per calendar day for each member of the legislature and for any
other public officer or person for any calendar day occurring on or after
December 9, 2001, for which per diem compensation is payable from
appropriations for the legislature to such member of the legislature, pub-
lic officer or person under K.S.A. 75-3212 or 75-3223 and amendments
thereto at the rate prescribed by subsection (a) of K.S.A. 46-137a and
amendments thereto and is chargeable to fiscal year 2002: Provided, That
all expenditures under this subsection (i) for such purposes shall be made
in the same manner and at the same times that per diem compensation
is payable to such members of the legislature, public officials and persons
for the biweekly pay periods for which such per diem compensation for
calendar days occurring on or after June 10, 2001, is payable and which
are chargeable to fiscal year 2002.

 (j) In addition to the other purposes for which expenditures may be
made by the legislature from the operations (including official hospitality)
account of the state general fund for the fiscal year ending June 30, 2002,
expenditures shall be made by the legislature from the operations (in-
cluding official hospitality) account of the state general fund for fiscal year
2002 for an additional amount of biweekly compensation for the following
legislative officers equal to the amount required to provide, along with
the amount of biweekly compensation otherwise payable, an aggregate
amount of compensation per biweekly pay period for such legislative of-
ficers as follows:

 (1) For the president of the senate and the speaker of the house of
representatives equal to the amount required to provide (A) an aggregate
amount of $472.51 per biweekly pay period for services performed in
connection with discharging the duties assigned to the respective posi-
tions for each biweekly pay period commencing on or after June 10, 2001,
and ending before December 9, 2001, and (B) an aggregate amount of
$479.60 per biweekly pay period for services performed in connection
with discharging the duties assigned to the respective positions for each
biweekly pay period commencing on or after December 9, 2001, which
is chargeable to fiscal year 2002;

 (2) for the speaker pro tem of the house of representatives, the vice
president of the senate, the assistant majority leaders of the senate and
house of representatives, and the assistant minority leaders of the senate
and house of representatives equal to the amount required to provide (A)
an aggregate amount of $241.17 per biweekly pay period for services
performed in connection with discharging the duties assigned to the re-
spective positions for each biweekly pay period commencing on or after
June 10, 2001, and ending before December 9, 2001, and (B) an aggre-
gate amount of $244.79 per biweekly pay period for services performed
in connection with discharging the duties assigned to the respective po-
sitions for each biweekly pay period commencing on or after December
9, 2001, which is chargeable to fiscal year 2002;

 (3) for the chairperson of the senate committee on ways and means
and the chairperson of the house of representatives committee on appro-
priations equal to the amount required to provide (A) an aggregate
amount of $379.99 per biweekly pay period for services performed in
connection with discharging the duties assigned to the respective posi-
tions for each biweekly pay period commencing on or after June 10, 2001,
and ending before December 9, 2001, and (B) an aggregate amount of
$385.69 per biweekly pay period for services performed in connection
with discharging the duties assigned to the respective positions for each
biweekly pay period commencing on or after December 9, 2001, which
is chargeable to fiscal year 2002;

 (4) for the majority leaders of the senate and house of representatives
equal to the amount required to provide (A) an aggregate amount of
$426.29 per biweekly pay period for services performed in connection
with discharging the duties assigned to the respective positions for each
biweekly pay period commencing on or after June 10, 2001, and ending
before December 9, 2001, and (B) an aggregate amount of $432.68 per
biweekly pay period for services performed in connection with discharg-
ing the duties assigned to the respective positions for each biweekly pay
period commencing on or after December 9, 2001, which is chargeable
to fiscal year 2002; and

 (5) for the minority leaders of the senate and house of representatives
equal to the amount required to provide (A) an aggregate amount of
$426.29 per biweekly pay period for services performed in connection
with discharging the duties assigned to the respective positions for each
biweekly pay period commencing on or after June 10, 2001, and ending
before December 9, 2001, and (B) an aggregate amount of $432.68 per
biweekly pay period for services performed in connection with discharg-
ing the duties assigned to the respective positions for each biweekly pay
period commencing on or after December 9, 2001, which is chargeable
to fiscal year 2002: Provided, That all expenditures under this subsection
(j) for such purposes shall be made in the same manner and at the same
times that biweekly compensation is payable to such legislative officers
under K.S.A. 46-137b and amendments thereto for the biweekly pay per-
iods which commence on or after June 10, 2001, and which are chargeable
to fiscal year 2002.

 (k) In addition to the other purposes for which expenditures may be
made by the legislative coordinating council from the legislative coordi-
nating council -- operations account of the state general fund for the
fiscal year ending June 30, 2002, expenditures shall be made by the leg-
islative coordinating council from the legislative coordinating council --
operations account of the state general fund for fiscal year 2002 for an
additional amount of per diem compensation equal to the amount re-
quired to provide, along with the amount of per diem compensation oth-
erwise payable, (1) an aggregate amount of compensation of $77.59 per
calendar day for each member of the legislative coordinating council for
any calendar day occurring on or after June 10, 2001, and before Decem-
ber 9, 2001, for which per diem compensation is payable from appropri-
ations for the legislative coordinating council under K.S.A. 46-1209 and
amendments thereto to such member as provided in K.S.A. 75-3212 and
amendments thereto at the rate prescribed by subsection (a) of K.S.A.
46-137a and amendments thereto, and (2) an aggregate amount of com-
pensation of $78.75 per calendar day for each member of the legislative
coordinating council for any calendar day occurring on or after December
9, 2001, for which per diem compensation is payable from appropriations
for the legislative coordinating council under K.S.A. 46-1209 and amend-
ments thereto to such member as provided in K.S.A. 75-3212 and amend-
ments thereto at the rate prescribed by subsection (a) of K.S.A. 46-137a
and amendments thereto, and which is chargeable to fiscal year 2001:
Provided, That all expenditures under this subsection (k) for such pur-
poses shall be made in the same manner and at the same times that per
diem compensation is payable to such members of the legislative coor-
dinating council for the biweekly pay periods for which such per diem
compensation is payable for calendar days occurring on or after June 10,
2001, and which are chargeable to fiscal year 2002.

 (l) In addition to the other purposes for which expenditures may be
made by the division of post audit from the operations (including legis-
lative post audit committee) account of the state general fund for the
fiscal year ending June 30, 2001, expenditures shall be made by the di-
vision of post audit from the operations (including legislative post audit
committee) account of the state general fund for fiscal year 2001:

 (1) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, (A) an aggregate amount of compensation
of $77.59 per calendar day for each member of the legislative post audit
committee for any calendar day occurring on or after June 10, 2001, and
before December 9, 2001, for which per diem compensation is payable
from appropriations for the division of post audit under K.S.A. 46-1104
and amendments thereto to such member as provided in K.S.A. 75-3212
and amendments thereto at the rate prescribed by subsection (a) of K.S.A.
46-137a and amendments thereto, and (B) an aggregate amount of com-
pensation of $78.75 per calendar day for each member of the legislative
post audit committee for any calendar day occurring on or after Decem-
ber 9, 2001, for which per diem compensation is payable from appropri-
ations for the division of post audit under K.S.A. 46-1104 and amend-
ments thereto to such member as provided in K.S.A. 75-3212 and
amendments thereto at the rate prescribed by subsection (a) of K.S.A.
46-137a and amendments thereto, and which is chargeable to fiscal year
2002; and

 (2) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, (A) an aggregate amount of compensation
of $77.59 per calendar day for each member of the contract audit com-
mittee for any calendar day occurring on or after June 10, 2001, and
before December 9, 2001, for which per diem compensation is payable
from appropriations for the division of post audit under K.S.A. 46-1120
and amendments thereto to such member as provided in K.S.A. 75-3223
and amendments thereto at the rate prescribed by subsection (a) of K.S.A.
46-137a and amendments thereto, and (B) an aggregate amount of com-
pensation of $78.75 per calendar day for each member of the contract
audit committee for any calendar day occurring on or after December 9,
2001, for which per diem compensation is payable from appropriations
for the division of post audit under K.S.A. 46-1120 and amendments
thereto to such member as provided in K.S.A. 75-3223 and amendments
thereto at the rate prescribed by subsection (a) of K.S.A. 46-137a and
amendments thereto, and which is chargeable to fiscal year 2002: Pro-
vided, That all expenditures under this subsection (l) for such purposes
shall be made in the same manner and at the same times that per diem
compensation is payable to such members of the legislative post audit
committee or contract audit committee for the biweekly pay periods for
which such per diem compensation is payable for calendar days occurring
on or after June 10, 2001, and which are chargeable to fiscal year 2002.

 (m) In addition to the other purposes for which expenditures may be
made by the judicial branch from the judiciary operations account of the
state general fund for the fiscal year ending June 30, 2002, expenditures
shall be made by the judicial branch from the judiciary operations account
of the state general fund for fiscal year 2002:

 (1) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, (A) an aggregate amount of compensation
of $77.59 per calendar day for each member of the advisory council on
dispute resolution for any calendar day occurring on or after June 10,
2001, and before December 9, 2001, for which per diem compensation
is payable to such member of the advisory council on dispute resolution
under K.S.A. 5-505 and amendments thereto who is entitled, in accord-
ance with subsection (e) of K.S.A. 75-3223 and amendments thereto, to
receive such per diem compensation as provided in K.S.A. 75-3212 and
amendments thereto at the rate prescribed by subsection (a) of K.S.A.
46-137a and amendments thereto, and (B) an aggregate amount of com-
pensation of $78.75 per calendar day for each member of the advisory
council on dispute resolution for any calendar day occurring on or after
December 9, 2001, for which per diem compensation is payable to such
member of the advisory council on dispute resolution under K.S.A. 5-505
and amendments thereto who is entitled, in accordance with subsection
(e) of K.S.A. 75-3223 and amendments thereto, to receive such per diem
compensation as provided in K.S.A. 75-3212 and amendments thereto at
the rate prescribed by subsection (a) of K.S.A. 46-137a and amendments
thereto, and which is chargeable to fiscal year 2002; and

 (2) for an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, (A) an aggregate amount of compensation
of $77.59 per calendar day for each retired justice or judge who performs
judicial service or duties under K.S.A. 20-2616 and amendments thereto
for each calendar day occurring on or after June 10, 2001, and before
December 9, 2001, for which per diem compensation is payable to such
retired justice or judge under K.S.A. 20-2616 and amendments thereto,
and (B) an aggregate amount of compensation of $78.75 per calendar day
for each retired justice or judge who performs judicial service or duties
under K.S.A. 20-2616 and amendments thereto for each calendar day
occurring on or after December 9, 2001, for which per diem compen-
sation is payable to such retired justice or judge under K.S.A. 20-2616
and amendments thereto, and is chargeable to fiscal year 2002: Provided,
That all expenditures under this subsection (m) for such purposes shall
be made in the same manner and at the same times that per diem com-
pensation is payable to such members of the advisory council on dispute
resolution or to such retired justices or judges for the biweekly pay per-
iods for which such per diem compensation for calendar days occurring
on or after June 10, 2001, is payable and which are chargeable to fiscal
year 2002.

 (n) In addition to the other purposes for which expenditures may be
made by the judicial council from the operating expenditures account of
the state general fund for the fiscal year ending June 30, 2002, expendi-
tures shall be made by the judicial council from the operating expendi-
tures account of the state general fund for fiscal year 2001 for:

 (1) an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$77.59 per calendar day for each member of the judicial council and for
each regularly appointed member of a special committee of the judicial
council who is not a member of the judicial council for any calendar day
occurring on or after June 10, 2000, and before December 9, 2001, for
which per diem compensation is payable to such member of the judicial
council or a special committee thereof under K.S.A. 20-2206 and amend-
ments thereto at the rate of compensation in accordance with K.S.A. 75-
3212 and amendments thereto at the rate prescribed by subsection (a) of
K.S.A. 46-137a and amendments thereto; and

 (2) an additional amount of per diem compensation equal to the
amount required to provide, along with the amount of per diem com-
pensation otherwise payable, an aggregate amount of compensation of
$78.75 per calendar day for each member of the judicial council and for
each regularly appointed member of a special committee of the judicial
council who is not a member of the judicial council for any calendar day
occurring on or after December 9, 2001, for which per diem compen-
sation is payable to such member of the judicial council or a special com-
mittee thereof under K.S.A. 20-2206 and amendments thereto at the rate
of compensation in accordance with K.S.A. 75-3212 and amendments
thereto at the rate prescribed by subsection (a) of K.S.A. 46-137a and
amendments thereto, and is chargeable to fiscal year 2001: Provided, That
all expenditures under this subsection (n) for such purposes shall be made
in the same manner and at the same times that per diem compensation
is payable to such members of the judicial council or special committees
thereof for the biweekly pay periods for which such per diem compen-
sation for calendar days occurring on or after June 10, 2001, is payable
and which are chargeable to fiscal year 2002.

 Sec. 172. (a) The governor is hereby authorized and directed to modify
the pay plan for fiscal year 2001 in accordance with this subsection and
to adopt such pay plan as so modified. The existing pay plan for fiscal
year 2001 shall be modified to provide for base salary increases for troop-
ers and other sworn officers and employees of the Kansas highway patrol,
excluding the colonel, lieutenant colonel, capital police officer, capital
police sergeant, capital police lieutenant and MCI inspector I job classes,
in accordance with the recommendations of the director of personnel
services (1) which are developed after receiving the results of the classi-
fication and job rate study conducted by the director of personnel services
comparing the salaries paid to Kansas highway patrol troopers to the sal-
aries paid to law enforcement officers of other law enforcement agencies
in Kansas and in other states pursuant to subsection (e), (2) which are in
addition to the base pay increases recommended and provided for by the
governor in the governor's budget report submitted to the legislature
during the 2001 regular session, and (3) which are funded, with associated
employer contributions, within the aggregate amount that is authorized
to be transferred to the highway patrol salary increase fund established
by this section, to be effective for biweekly pay periods commencing on
or after December 10, 2001. The pay plan adopted by the governor under
this subsection shall be the pay plan for the classified service under the
Kansas civil service act. Such pay plan shall be subject to modification
and approval as provided under K.S.A. 75-2938 and amendments thereto.

 (b) There is appropriated for the Kansas highway patrol from the fol-
lowing special revenue fund or funds for the fiscal year ending June 30,
2002, all moneys now or hereafter lawfully credited to and available in
such fund or funds, except that expenditures shall not exceed the
following:

Highway patrol salary increase fund $294,315
Provided, That all expenditures from the highway patrol salary increase
fund shall be for the base salary increases of officers and employees of
the Kansas highway patrol provided for by the pay plan modifications
prescribed by subsection (a), including associated employer contributions.

 (c) Upon recommendation of the director of the budget, to pay the
costs of the base salary increases of officers and employees of the Kansas
highway patrol provided for by the pay plan modifications prescribed by
subsection (a), including associated employer contributions, for the fiscal
year ending June 30, 2002, the state finance council, acting on this matter
which is hereby characterized as a matter of legislative delegation and
subject to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c
and amendments thereto, except paragraph (3) of such subsection (c), is
hereby authorized and directed to approve the transfer of moneys by
revenue transfer from the amounts appropriated by this or other appro-
priation act of the 2001 regular session of the legislature for the Kansas
highway patrol for fiscal year 2002 from the state general fund and from
other special revenue funds to the highway patrol salary increase fund:
Provided, That the aggregate of all such amounts transferred to the high-
way patrol salary increase fund pursuant to this section shall not exceed
$294,315.

 (d) The superintendent of the Kansas highway patrol shall prepare and
submit a budget estimate for such salary increases specified in subsection
(c), and all amendments and revisions of such estimates, to the director
of the budget on forms prescribed by the director of the budget. At the
same time as the superintendent submits such estimate, and all amend-
ments and revisions thereof, each state agency shall submit a copy of such
estimate, and all amendments and revisions thereof, directly to the leg-
islative research department.

 (e) In addition to the other purposes for which expenditures may be
made by the department of administration from moneys appropriated
from the state general fund or any special revenue fund for fiscal year
2002 as authorized by this or other appropriation act of the 2001 regular
session of the legislature, expenditures shall be made by the department
of administration for fiscal year 2002 from the moneys appropriated from
the state general fund or any special revenue fund for a classification and
job rate study by the director of personnel services comparing the salaries
paid to Kansas highway patrol troopers and other sworn officers and em-
ployees of the Kansas highway patrol to the salaries paid to law enforce-
ment officers of other law enforcement agencies in Kansas and in other
states: Provided, That the director of personnel services shall submit the
report of such study to the governor and to the legislative budget com-
mittee on or before October 1, 2001.

 Sec. 173. Appeals to exceed position limitations. (a) The limitations
imposed by this act on the number of full-time and regular part-time
positions equated to full-time, excluding seasonal and temporary posi-
tions, paid from appropriations for the fiscal year ending June 30, 2002,
made in this act or in any other appropriation act of the 2001 regular
session of the legislature may be exceeded upon approval of the state
finance council.

 (b) The limitations imposed by this act on the number of full-time and
regular part-time positions equated to full-time, excluding seasonal and
temporary positions, paid from appropriations for the fiscal year ending
June 30, 2003, made in this act or in any other appropriation act of the
2001 regular session of the legislature may be exceeded upon approval of
the state finance council.

 Sec. 174. Appeals to exceed expenditure limitations. (a) Upon written
application to the governor and approval of the state finance council,
expenditures from special revenue funds may exceed the amounts spec-
ified in this act.

 (b) This section shall not apply to the state economic development
initiatives fund, the children's initiatives fund or the state water plan fund
or to any account thereof.

 Sec. 175. Savings. (a) Any unencumbered balance as of June 30, 2001,
in any special revenue fund, or account thereof, of any state agency named
in this act which is not otherwise specifically appropriated or limited by
this or other appropriation act of the 2001 regular session of the legisla-
ture, is hereby appropriated for the fiscal year ending June 30, 2002, for
the same use and purpose as the same was heretofore appropriated.

 (b) Any unencumbered balance as of June 30, 2002, in any special
revenue fund, or account thereof, of any state agency named in section
99 of this act which is not otherwise specifically appropriated or limited
for fiscal year 2003 by this or other appropriation act of the 2001 or 2002
regular session of the legislature, is hereby appropriated for fiscal year
2003 for the same use and purpose as the same was heretofore appro-
priated.

 (c) This section shall not apply to the state economic development
initiatives fund, the children's initiatives fund or the state water plan fund
or any account of any of such funds.

 Sec. 176. Federal grants. (a) During the fiscal year ending June 30,
2002, each federal grant or other federal receipt which is received by a
state agency named in this act and which is not otherwise appropriated
to that state agency by this or other appropriation act of the 2001 regular
session of the legislature, is hereby appropriated for the fiscal year ending
June 30, 2002, for that state agency for the purpose set forth in such
federal grant or receipt, except that no expenditure shall be made from
and no obligation shall be incurred against any such federal grant or other
federal receipt, which has not been previously appropriated or reappro-
priated or approved for expenditure by the governor, until the governor
has authorized the state agency to make expenditures therefrom.

 (b) During the fiscal year ending June 30, 2003, each federal grant or
other federal receipt which is received by a state agency named in section
99 of this act and which is not otherwise appropriated to that state agency
for fiscal year 2003 by this or other appropriation act of the 2001 or 2003
regular session of the legislature, is hereby appropriated for fiscal year
2003 for that state agency for the purpose set forth in such federal grant
or receipt, except that no expenditure shall be made from and no obli-
gation shall be incurred against any such federal grant or other federal
receipt, which has not been previously appropriated or reappropriated or
approved for expenditure by the governor, for fiscal year 2003, until the
governor has authorized the state agency to make expenditures from such
federal grant or other federal receipt for fiscal year 2003.

 (c) (1) In addition to the other purposes for which expenditures may
be made by any state agency which is named in this act and which is not
otherwise authorized by law to apply for and receive federal grants, ex-
penditures may be made by such state agency from moneys appropriated
for fiscal year 2001 by chapter 130 or chapter 183 of the 2000 Session
Laws of Kansas or by this or other appropriation act of the 2001 regular
session of the legislature to apply for and receive federal grants during
fiscal year 2001, which federal grants are hereby authorized to be applied
for and received by such state agencies: Provided, That no expenditure
shall be made from and no obligation shall be incurred against any such
federal grant or other federal receipt, which has not been previously ap-
propriated or reappropriated or approved for expenditure by the gover-
nor, until the governor has authorized the state agency to make expend-
itures therefrom.

 (2) In addition to the other purposes for which expenditures may be
made by any state agency which is named in this act and which is not
otherwise authorized by law to apply for and receive federal grants, ex-
penditures may be made by such state agency from moneys appropriated
for fiscal year 2002 by this or other appropriation act of the 2001 regular
session of the legislature to apply for and receive federal grants during
fiscal year 2002, which federal grants are hereby authorized to be applied
for and received by such state agencies: Provided, That no expenditure
shall be made from and no obligation shall be incurred against any such
federal grant or other federal receipt, which has not been previously ap-
propriated or reappropriated or approved for expenditure by the gover-
nor, until the governor has authorized the state agency to make expend-
itures therefrom.

 Sec. 177. Any correctional institutions building fund appropriation
heretofore appropriated to any state agency named in this or other ap-
propriation act of the 2001 regular session of the legislature, and having
an unencumbered balance as of June 30, 2001, in excess of $100 is hereby
reappropriated for the fiscal year ending June 30, 2002, for the same uses
and purposes as originally appropriated unless specific provision is made
for lapsing such appropriation.

 Sec. 178. Any Kansas educational building fund appropriation hereto-
fore appropriated to any institution named in this or other appropriation
act of the 2001 regular session of the legislature and having an unencum-
bered balance as of June 30, 2001, in excess of $100 is hereby reappro-
priated for the fiscal year ending June 30, 2002, for the same use and
purpose as originally appropriated, unless specific provision is made for
lapsing such appropriation.

 Sec. 179. Any state institutions building fund appropriation heretofore
appropriated to any state agency named in this or other appropriation act
of the 2001 regular session of the legislature and having an unencumbered
balance as of June 30, 2001, in excess of $100 is hereby reappropriated
for the fiscal year ending June 30, 2002, for the same use and purpose as
originally appropriated, unless specific provision is made for lapsing such
appropriation.

 Sec. 180. Any transfers of money during the fiscal year ending June 30,
2002, from any special revenue fund of any state agency named in this
act to the audit services fund of the division of post audit under K.S.A.
46-1121 and amendments thereto shall be in addition to any expenditure
limitation imposed on any such fund for the fiscal year ending June 30,
2002.

 Sec. 181. On July 1, 2001, K.S.A. 2000 Supp. 79-2959, 79-2964, 79-
3425i and 79-34,147 are hereby repealed.

 Sec. 182. This act shall take effect and be in force from and after its
publication in the Kansas register.

Approved April 23, 2001.
 Published in the Kansas Register May 3, 2001.
__________