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S1070aa........................................................by EDUCATION SCHOOL FACILITY SUPPORT FUND - Amends and adds to existing law to create a "School Facility Support Fund"; to provide for allocation of money to the fund, including lottery money, school support funds which remain following distributions and school district employers share of the Public Employee Retirement System extraordinary gains; and to govern the uses of the moneys in the fund. 02/07 Senate intro - 1st rdg - to printing 02/08 Rpt prt - to Educ 02/23 Rpt out - to 14th Ord 03/01 Rpt out amen - to engros 03/02 Rpt engros - 1st rdg - to 2nd rdg as amen 03/05 2nd rdg - to 3rd rdg as amen 03/08 3rd rdg as amen - PASSED - 27-8-0 AYES -- Andreason, Brandt, Bunderson, Burtenshaw, Danielson, Darrington, Davis, Deide, Dunklin, Frasure, Geddes, Goedde, Ingram, Ipsen, Keough, King-Barrutia, Lee, Lodge, Noh, Risch, Sandy, Schroeder, Sims, Sorensen, Stegner, Wheeler, Williams, NAYS -- Boatright, Branch(Bartlett), Cameron, Hawkins, Richardson, Stennett, Thorne, Whitworth Absent and excused -- None Floor Sponsor -- Deide Title apvd - to House 03/09 House intro - 1st rdg - to Educ
|||| LEGISLATURE OF THE STATE OF IDAHO |||| Fifty-sixth Legislature First Regular Session - 2001IN THE SENATE SENATE BILL NO. 1070 BY EDUCATION COMMITTEE 1 AN ACT 2 RELATING TO STATE SUPPORT OF SCHOOL FACILITIES; PROVIDING A STATEMENT OF LEG- 3 ISLATIVE PURPOSE; AMENDING SECTION 33-905, IDAHO CODE, TO STRIKE REFER- 4 ENCES TO LOTTERY DIVIDENDS AND GOVERN USE OF FUNDS DISTRIBUTED; AMENDING 5 CHAPTER 9, TITLE 33, IDAHO CODE, BY THE ADDITION OF A NEW SECTION 33-906, 6 IDAHO CODE, TO CREATE THE SCHOOL FACILITY SUPPORT FUND AND TO GOVERN THE 7 USES OF THE MONEYS IN THE FUND; AMENDING CHAPTER 9, TITLE 33, IDAHO CODE, 8 BY THE ADDITION OF A NEW SECTION 33-907, IDAHO CODE, TO GOVERN THE ALLOCA- 9 TION AND USE OF EXISTING RESOURCES; AMENDING CHAPTER 9, TITLE 33, IDAHO 10 CODE, BY THE ADDITION OF A NEW SECTION 33-908, IDAHO CODE, TO GOVERN DIS- 11 TRIBUTION OF CERTAIN EXISTING RESOURCES; AMENDING SECTION 33-1009, IDAHO 12 CODE, TO PROVIDE TRANSFER OF A CERTAIN REMAINING BALANCE IN THE PUBLIC 13 SCHOOL INCOME FUND; AND AMENDING SECTION 67-7434, IDAHO CODE, TO PROVIDE 14 THE DISTRIBUTION OF LOTTERY DIVIDENDS. 15 Be It Enacted by the Legislature of the State of Idaho: 16 SECTION 1. LEGISLATIVE PURPOSE. It is the purpose of the Legislature, 17 through the establishment of the School Facility Support Fund, to advance the 18 efforts of local school patrons to provide school facilities which meet educa- 19 tional needs of children in Idaho. The fund will constitute an ongoing commit- 20 ment of state appropriations to school facilities. Because the fund will pro- 21 vide property tax reduction, it will serve as an incentive to continue to 22 build and expand the school infrastructure. Through the operation of the fund, 23 greater uniformity, equity and stability is provided in the distribution of 24 the moneys, including the appropriated money, the lottery funds, the end of 25 year funds in the foundation program and the proceeds of an extraordinary gain 26 in the public school retirement system employer's gain share. 27 SECTION 2. That Section 33-905, Idaho Code, be, and the same is hereby 28 amended to read as follows: 29 33-905. SCHOOL DISTRICT BUILDING ACCOUNT -- PAYMENTS TO ACCOUNT -- MONEYS 30 APPROPRIATED TO STATE BOARD -- APPLICATION FOR MONEYS -- PAYMENTS TO DISTRICTS 31 -- REPORTS ON APPLICATIONS -- USES OF MONEYS. 1. The state of Idaho, recogniz- 32 ing its responsibility to establish and maintain a general, uniform and thor- 33 ough system of public, free common schools, in an effort to partially fulfill 34 this responsibility, hereby creates and establishes the school district build- 35 ing account in the state treasury. The school district building account shall 36 have paid into it such appropriations or revenues as may be provided by law. 37 2. Moneys in the school district building account are hereby appropriated 38 to and may be expended by the state board of education at any time for the 39 purposes provided in this section, any provision of chapter 35, title 67, 40 Idaho Code, or chapter 36, title 67, Idaho Code, notwithstanding. 41 3. (a)As to any moneys in the account other than lottery dividends dis-42tributed pursuant to subsection 4. of this section, tThe board of trustees 2 1 of any school district may apply to the state board of education to 2 receive a payment or payments from the school district building account; 3 provided, a district demonstrates to the state board of education that it 4 has a substantial and serious need based upon the district's classroom 5 student-teacher ratios, past efforts to levy for such construction, physi- 6 cal condition of existing structures, and the total assessed market value 7 of the district, all of which shall be further defined by actual need 8 criteria established by the state board of education. 9 (b) When an application for moneys from the account is approved by the 10 state board of education, the state board shall inform the school district 11 that the application has been approved, citing the amount approved for 12 payment and an estimate of the time when the payment can actually be made 13 to the school district. 14 4.By not later than August 31, moneys in the account pursuant to distri-15bution from section 67-7434, Idaho Code, the lottery dividends and interest16earned thereon, shall be distributed to each of the several school districts,17in the proportion that the average daily attendance of that district for the18previous school year bears to the total average daily attendance of the state19during the previous school year. For the purposes of this subsection 4. only,20the Idaho school for the deaf and blind shall be considered a school district,21and shall receive a distribution based upon the average daily attendance of22the school. Average daily attendance shall be calculated as provided in sec-23tion 33-1002 4., Idaho Code.245.All payments from the school district building account shall be paid 25 out directly to the school district in warrants drawn by the state controller 26 upon presentation of proper vouchers from the state board of education. Pend- 27 ing payments out of the school district building account, the moneys in the 28 account shall be invested by the state treasurer in the same manner as pro- 29 vided under section 67-1210, Idaho Code, with respect to other idle moneys in 30 the state treasury. Interest earned on the investments shall be returned to 31 the school district building account. 3265. Payments from the school district building account received by a 33 school districtmayshall be usedby the school district for the purposes34authorized in section 33-1102, Idaho Codefor purposes described by the dis- 35 trict in the application. 3676. (a) By not later than December 1, each school district shall report 37 to the state department of education the projects on which moneys received 38 from the school district building account were expended. The state depart- 39 ment of education shall transmit a summary of such reports to the legisla- 40 ture by not later than January 15 of the following year. 41 (b) By not later than December 1, each school district shall report to 42 the state department of education the planned uses for the moneys received 43 from the school district building account. The state department of educa- 44 tion shall transmit a summary of the reports to the legislature by not 45 later than January 15 of the following year. 46 SECTION 3. That Chapter 9, Title 33, Idaho Code, be, and the same is 47 hereby amended by the addition thereto of a NEW SECTION, to be known and des- 48 ignated as Section 33-906, Idaho Code, and to read as follows: 49 33-906. SCHOOL FACILITY SUPPORT FUND. There is hereby created and estab- 50 lished the "School Facility Support Fund." The fund shall have paid into it 51 such appropriations or revenues as may be provided by law. 52 Moneys in the school facility support fund are hereby appropriated to and 53 may be expended by the state department of education at any time for the pur- 3 1 poses provided in this section, the provisions of chapter 35 or 36, title 67, 2 Idaho Code, notwithstanding. Payments from the school facility support fund 3 shall be paid out directly to school districts in warrants drawn by the state 4 controller upon presentation of proper vouchers from the department of educa- 5 tion. Pending payments out of the fund, the moneys in the fund shall be 6 invested by the state treasurer in the same manner as provided under section 7 67-1210, Idaho Code, with respect to other idle moneys in the state treasury. 8 Interest earned on the investment shall be returned to the school facility 9 support fund. 10 By not later than July 15 of each year, moneys in the fund shall be dis- 11 tributed to the school district in the same proportion that funds were dis- 12 tributed to that district for the previous school year from the state school 13 foundation program. 14 Moneys received by a school district from a distribution of the moneys in 15 the school facility support fund by appropriation shall be used by the school 16 district as follows: 17 (1) If the district has bonded indebtedness or has a school plant facili- 18 ties levy, the moneys shall be used by the district to reduce the dollar cer- 19 tification for bond interest and redemption for the ensuing year to the extent 20 of the funds available and then to reduce the dollar certification for school 21 plant facilities levy. If the amount received by the district exceeds the 22 annual bond interest and redemption certification and school plant facilities 23 levy certification, the balance shall be used to reduce principal, if possi- 24 ble. If principal reduction is not possible, the excess shall revert to the 25 fund and accumulate in a line of credit account as provided in subsection (2) 26 of this section. 27 (2) If the school district has no bonded indebtedness nor school plant 28 facilities levy, or if there is money returned as provided in subsection (1) 29 of this section, the amount due the district shall be retained in the fund and 30 shall accumulate to the credit of that district to be applied to bonded 31 indebtedness or school plant facilities levy reduction as they may be subse- 32 quently incurred. After the fifth year of accumulation, the amount retained in 33 the first year shall be returned to the fund for distribution to other school 34 districts, and thereafter, the initial year of accumulation shall annually be 35 returned so that the amount retained on behalf of a school district shall 36 total an accumulation of five (5) years' distribution. 37 SECTION 4. That Chapter 9, Title 33, Idaho Code, be, and the same is 38 hereby amended by the addition thereto of a NEW SECTION, to be known and des- 39 ignated as Section 33-907, Idaho Code, and to read as follows: 40 33-907. ALLOCATION OF EXISTING RESOURCES. In addition to moneys in the 41 school facility support fund from appropriation, the fund shall also provide 42 for allocation of existing resources as follows: 43 (1) One-half (1/2) of the lottery dividends distributed pursuant to sec- 44 tion 67-7434, Idaho Code; 45 (2) That portion of foundation support moneys, if any, existing as a 46 result of the difference between the calculation of per unit support based 47 upon November average daily attendance and the calculation based upon final 48 average daily attendance and subsequently available as a residual in the foun- 49 dation support fund. 50 (3) In any fiscal year beginning 2003 or thereafter, in which the exis- 51 tence of extraordinary gains causes the board of the public employee retire- 52 ment system to order an allocation of extraordinary gains, the school dis- 53 tricts' employer's share shall be transferred by the public employee retire- 4 1 ment system to the fund created by this section. 2 SECTION 5. That Chapter 9, Title 33, Idaho Code, be, and the same is 3 hereby amended by the addition thereto of a NEW SECTION, to be known and des- 4 ignated as Section 33-908, Idaho Code, and to read as follows: 5 33-908. ADDITIONAL DISTRIBUTIONS. By not later than July 15 of each year, 6 moneys in the fund pursuant to section 33-907, Idaho Code, shall be distrib- 7 uted to the school district in the same proportion that funds were distributed 8 to that district for the previous school year from the state school foundation 9 program. These moneys shall be used by the district first to address any 10 existing health or safety issue, and thereafter may be used for any purpose 11 consistent with the provisions of section 33-1102, Idaho Code. 12 SECTION 6. That Section 33-1009, Idaho Code, be, and the same is hereby 13 amended to read as follows: 14 33-1009. PAYMENTS FROM THE PUBLIC SCHOOL INCOME FUND. 15 1. a. Payments of the state general account appropriation for public 16 school support shall be made each year by the state board of education to 17 the public school districts of the state in five (5) payments. Payments to 18 the districts shall be made not later than the fifteenth day of August, 19 the first day of October, the fifteenth day of November, the fifteenth day 20 of February, and the fifteenth day of May each year. Each payment by the 21 state board of education shall be approximately twenty percent (20%) of 22 the total general account appropriation for the fiscal year. Amounts 23 apportioned due to a special transfer to the public school income fund to 24 restore or reduce a deficiency in the prior year's transfer pursuant to 25 subsection 4. of this section shall not be subject to this limitation. 26 b. Payments of moneys, other than the state general account appropria- 27 tion, that accrue to the public school income fund shall be made by the 28 state board of education to the school districts of the state on the fif- 29 teenth day of November, February, May and July each year. The total amount 30 of such payments shall be determined by the state department of education 31 and shall not exceed the amount of moneys available and on deposit in the 32 public school income fund at the time such payment is made. 33 c. Amounts apportioned due to a special transfer to the public school 34 income fund to restore or reduce a deficiency in the prior year's transfer 35 pursuant to subsection 4. of this section shall not be subject to the lim- 36 itation imposed by paragraphs a. and b. 37 2. Payments made to the school districts in August, October and November 38 are advance payments for the current year and will be based upon payments from 39 the public school income fund for the preceding school year. Each school dis- 40 trict shall receive its proportionate share of the advance payments in the 41 same ratio that its total payment for the preceding year was to the total pay- 42 ments to all school districts for the preceding year. 43 3. No later than the fifteenth day of February in each year, the state 44 department of education shall compute the state distribution factor based on 45 the total average daily attendance through the first Friday in November. The 46 factor will be used in payments of state funds in February and May. Attendance 47 shall be reported in a format and at a time specified by the state department 48 of education. 49 As of the thirtieth day of June of each year the state department of edu- 50 cation shall determine final payments to be made on July fifteenth next suc- 51 ceeding to the several school districts from the public school income fund for 5 1 the school year ended June 30. The July payments shall take into consider- 2 ation: 3 a. the average daily attendance of the several school districts for the 4 twenty-eight (28) best weeks of the school year completed not later than 5 the thirtieth of June, 6 b.all funds available in the public school income fund for the fiscal7year ending on the thirtieth of Junethe amount of the state distribution 8 factor as determined pursuant to this subsection, 9 c. all payments distributed for the current fiscal year to the several 10 school districts, 11 d. payments made or due for the transportation support program and the 12 exceptional education support program. The state department of education 13 shall apportion and direct the payment to the several school districts so 14 much of the moneys in the public school income fund in each year, taking 15 into account the advance made under subsection 2. of this section, in such 16 amounts as will provide in full for each district its support program, and 17 not more than therefor required, and no school district shall receive less 18 than fifty dollars ($50.00). 19 4. If the full amount appropriated from the general account by the legis- 20 lature is not transferred to the public school income fund by the end of the 21 fiscal year, the deficiency resulting therefrom shall either be restored or 22 reduced through a special transfer from the general account in the first sixty 23 (60) days of the following fiscal year, or shall be calculated in computing 24 district levies, and any additional levy shall be certified by the state 25 superintendent of public instruction to the board of county commissioners and 26 added to the district's maintenance and operation levy. If the deficiency is 27 restored or reduced by special transfer, the amount so transferred shall be in 28 addition to the amount appropriated to be transferred in such following fiscal 29 year, and shall be apportioned to each school district in the same amount as 30 each would have received had the transfer been made in the year the deficiency 31 occurred. The state department of education shall distribute to the school 32 district the full amount of the special transfer as soon as practical after 33 such transfer is made. In making the levy computations required by this sub- 34 section the state department of education shall take into account and consider 35 the full amount of money receipted into the public school income fund from all 36 sources for the given fiscal year. Deficits in the transfer of the appropri- 37 ated amount of general account revenue to the public school income fund shall 38 be reduced by the amount, if any, that the total amount receipted from other 39 sources into the public school income fund exceeds the official estimated 40 amount from those sources. The official estimate of receipts from other 41 sources shall be the total amount stated by the legislature in the appropria- 42 tion bill. 43 5. Any amount remaining in the public school income fund after distribu- 44 tion as provided in subsection 3. of this section shall be transferred to the 45 school facility support fund as provided in section 33-907, Idaho Code. 46 6. Any apportionments in any year, made to any school district, which may 47 within the succeeding three (3) year period be found to have been in error 48 either of computation or transmittal, may be corrected during the three (3) 49 year period by reduction of apportionments to any school district to which 50 over-apportionments may have been made or received, and corresponding addition 51 to apportionments to any school district to which under-apportionments may 52 have been made or received. 53 SECTION 7. That Section 67-7434, Idaho Code, be, and the same is hereby 54 amended to read as follows: 6 1 67-7434. LOTTERY DIVIDENDS. Annually, on July 1, the lottery shall trans- 2 fer one-half (1/2) of its net income to the permanent building account and 3 one-half (1/2) of its net income to the schooldistrict building account4 facility support fund created in section 33-906, Idaho Code, after reserving 5 sufficient moneys to ensure the continuation of the lottery, as determined by 6 the director and commission. 7 A one (1) time allotment of two hundred thousand dollars ($200,000) of the 8 lottery's first year dividends shall be allocated and used by the permanent 9 building fund advisory council for the construction of a Vietnam veterans 10 memorial in the state.
|||| LEGISLATURE OF THE STATE OF IDAHO |||| Fifty-sixth Legislature First Regular Session - 2001Moved by Schroeder Seconded by Andreason IN THE SENATE SENATE AMENDMENT TO S.B. NO. 1070 1 AMENDMENT TO SECTION 3 2 On page 3 of the printed bill, in line 5, following "tion." insert: "For 3 the purposes of this section only, each charter school duly organized in this 4 state shall be considered a school district, and shall receive a distribution 5 in the same manner as a school district; provided that a charter school may 6 apply the distribution to any project for which bonds could be issued by a 7 school district as provided in section 33-1102, Idaho Code.". Moved by Schroeder Seconded by Deide IN THE SENATE SENATE AMENDMENT TO S.B. NO. 1070 8 AMENDMENTS TO SECTION 3 9 On page 3 of the printed bill, in line 32, delete "fifth" and insert: 10 "tenth"; and in line 36, delete "five (5)" and insert: "ten (10)". Moved by Deide Seconded by Schroeder IN THE SENATE SENATE AMENDMENT TO S.B. NO. 1070 11 AMENDMENTS TO SECTION 4 12 On page 3 of the printed bill, in line 52, following "gains," insert: "an 13 amount equal to"; and in line 53, following "transferred" delete "by the pub- 14 lic employee retire"; and on page 4, in line 1, delete: "ment system" and 15 insert: "from the existing state appropriation for public schools".
|||| LEGISLATURE OF THE STATE OF IDAHO |||| Fifty-sixth Legislature First Regular Session - 2001IN THE SENATE SENATE BILL NO. 1070, As Amended BY EDUCATION COMMITTEE 1 AN ACT 2 RELATING TO STATE SUPPORT OF SCHOOL FACILITIES; PROVIDING A STATEMENT OF LEG- 3 ISLATIVE PURPOSE; AMENDING SECTION 33-905, IDAHO CODE, TO STRIKE REFER- 4 ENCES TO LOTTERY DIVIDENDS AND GOVERN USE OF FUNDS DISTRIBUTED; AMENDING 5 CHAPTER 9, TITLE 33, IDAHO CODE, BY THE ADDITION OF A NEW SECTION 33-906, 6 IDAHO CODE, TO CREATE THE SCHOOL FACILITY SUPPORT FUND AND TO GOVERN THE 7 USES OF THE MONEYS IN THE FUND; AMENDING CHAPTER 9, TITLE 33, IDAHO CODE, 8 BY THE ADDITION OF A NEW SECTION 33-907, IDAHO CODE, TO GOVERN THE ALLOCA- 9 TION AND USE OF EXISTING RESOURCES; AMENDING CHAPTER 9, TITLE 33, IDAHO 10 CODE, BY THE ADDITION OF A NEW SECTION 33-908, IDAHO CODE, TO GOVERN DIS- 11 TRIBUTION OF CERTAIN EXISTING RESOURCES; AMENDING SECTION 33-1009, IDAHO 12 CODE, TO PROVIDE TRANSFER OF A CERTAIN REMAINING BALANCE IN THE PUBLIC 13 SCHOOL INCOME FUND; AND AMENDING SECTION 67-7434, IDAHO CODE, TO PROVIDE 14 THE DISTRIBUTION OF LOTTERY DIVIDENDS. 15 Be It Enacted by the Legislature of the State of Idaho: 16 SECTION 1. LEGISLATIVE PURPOSE. It is the purpose of the Legislature, 17 through the establishment of the School Facility Support Fund, to advance the 18 efforts of local school patrons to provide school facilities which meet educa- 19 tional needs of children in Idaho. The fund will constitute an ongoing commit- 20 ment of state appropriations to school facilities. Because the fund will pro- 21 vide property tax reduction, it will serve as an incentive to continue to 22 build and expand the school infrastructure. Through the operation of the fund, 23 greater uniformity, equity and stability is provided in the distribution of 24 the moneys, including the appropriated money, the lottery funds, the end of 25 year funds in the foundation program and the proceeds of an extraordinary gain 26 in the public school retirement system employer's gain share. 27 SECTION 2. That Section 33-905, Idaho Code, be, and the same is hereby 28 amended to read as follows: 29 33-905. SCHOOL DISTRICT BUILDING ACCOUNT -- PAYMENTS TO ACCOUNT -- MONEYS 30 APPROPRIATED TO STATE BOARD -- APPLICATION FOR MONEYS -- PAYMENTS TO DISTRICTS 31 -- REPORTS ON APPLICATIONS -- USES OF MONEYS. 1. The state of Idaho, recogniz- 32 ing its responsibility to establish and maintain a general, uniform and thor- 33 ough system of public, free common schools, in an effort to partially fulfill 34 this responsibility, hereby creates and establishes the school district build- 35 ing account in the state treasury. The school district building account shall 36 have paid into it such appropriations or revenues as may be provided by law. 37 2. Moneys in the school district building account are hereby appropriated 38 to and may be expended by the state board of education at any time for the 39 purposes provided in this section, any provision of chapter 35, title 67, 40 Idaho Code, or chapter 36, title 67, Idaho Code, notwithstanding. 41 3. (a)As to any moneys in the account other than lottery dividends dis-42tributed pursuant to subsection 4. of this section, tThe board of trustees 2 1 of any school district may apply to the state board of education to 2 receive a payment or payments from the school district building account; 3 provided, a district demonstrates to the state board of education that it 4 has a substantial and serious need based upon the district's classroom 5 student-teacher ratios, past efforts to levy for such construction, physi- 6 cal condition of existing structures, and the total assessed market value 7 of the district, all of which shall be further defined by actual need 8 criteria established by the state board of education. 9 (b) When an application for moneys from the account is approved by the 10 state board of education, the state board shall inform the school district 11 that the application has been approved, citing the amount approved for 12 payment and an estimate of the time when the payment can actually be made 13 to the school district. 14 4.By not later than August 31, moneys in the account pursuant to distri-15bution from section 67-7434, Idaho Code, the lottery dividends and interest16earned thereon, shall be distributed to each of the several school districts,17in the proportion that the average daily attendance of that district for the18previous school year bears to the total average daily attendance of the state19during the previous school year. For the purposes of this subsection 4. only,20the Idaho school for the deaf and blind shall be considered a school district,21and shall receive a distribution based upon the average daily attendance of22the school. Average daily attendance shall be calculated as provided in sec-23tion 33-1002 4., Idaho Code.245.All payments from the school district building account shall be paid 25 out directly to the school district in warrants drawn by the state controller 26 upon presentation of proper vouchers from the state board of education. Pend- 27 ing payments out of the school district building account, the moneys in the 28 account shall be invested by the state treasurer in the same manner as pro- 29 vided under section 67-1210, Idaho Code, with respect to other idle moneys in 30 the state treasury. Interest earned on the investments shall be returned to 31 the school district building account. 3265. Payments from the school district building account received by a 33 school districtmayshall be usedby the school district for the purposes34authorized in section 33-1102, Idaho Codefor purposes described by the dis- 35 trict in the application. 3676. (a) By not later than December 1, each school district shall report 37 to the state department of education the projects on which moneys received 38 from the school district building account were expended. The state depart- 39 ment of education shall transmit a summary of such reports to the legisla- 40 ture by not later than January 15 of the following year. 41 (b) By not later than December 1, each school district shall report to 42 the state department of education the planned uses for the moneys received 43 from the school district building account. The state department of educa- 44 tion shall transmit a summary of the reports to the legislature by not 45 later than January 15 of the following year. 46 SECTION 3. That Chapter 9, Title 33, Idaho Code, be, and the same is 47 hereby amended by the addition thereto of a NEW SECTION, to be known and des- 48 ignated as Section 33-906, Idaho Code, and to read as follows: 49 33-906. SCHOOL FACILITY SUPPORT FUND. There is hereby created and estab- 50 lished the "School Facility Support Fund." The fund shall have paid into it 51 such appropriations or revenues as may be provided by law. 52 Moneys in the school facility support fund are hereby appropriated to and 53 may be expended by the state department of education at any time for the pur- 3 1 poses provided in this section, the provisions of chapter 35 or 36, title 67, 2 Idaho Code, notwithstanding. Payments from the school facility support fund 3 shall be paid out directly to school districts in warrants drawn by the state 4 controller upon presentation of proper vouchers from the department of educa- 5 tion. For the purposes of this section only, each charter school duly orga- 6 nized in this state shall be considered a school district, and shall receive a 7 distribution in the same manner as a school district; provided that a charter 8 school may apply the distribution to any project for which bonds could be 9 issued by a school district as provided in section 33-1102, Idaho Code. Pend- 10 ing payments out of the fund, the moneys in the fund shall be invested by the 11 state treasurer in the same manner as provided under section 67-1210, Idaho 12 Code, with respect to other idle moneys in the state treasury. Interest earned 13 on the investment shall be returned to the school facility support fund. 14 By not later than July 15 of each year, moneys in the fund shall be dis- 15 tributed to the school district in the same proportion that funds were dis- 16 tributed to that district for the previous school year from the state school 17 foundation program. 18 Moneys received by a school district from a distribution of the moneys in 19 the school facility support fund by appropriation shall be used by the school 20 district as follows: 21 (1) If the district has bonded indebtedness or has a school plant facili- 22 ties levy, the moneys shall be used by the district to reduce the dollar cer- 23 tification for bond interest and redemption for the ensuing year to the extent 24 of the funds available and then to reduce the dollar certification for school 25 plant facilities levy. If the amount received by the district exceeds the 26 annual bond interest and redemption certification and school plant facilities 27 levy certification, the balance shall be used to reduce principal, if possi- 28 ble. If principal reduction is not possible, the excess shall revert to the 29 fund and accumulate in a line of credit account as provided in subsection (2) 30 of this section. 31 (2) If the school district has no bonded indebtedness nor school plant 32 facilities levy, or if there is money returned as provided in subsection (1) 33 of this section, the amount due the district shall be retained in the fund and 34 shall accumulate to the credit of that district to be applied to bonded 35 indebtedness or school plant facilities levy reduction as they may be subse- 36 quently incurred. After the tenth year of accumulation, the amount retained in 37 the first year shall be returned to the fund for distribution to other school 38 districts, and thereafter, the initial year of accumulation shall annually be 39 returned so that the amount retained on behalf of a school district shall 40 total an accumulation of ten (10) years' distribution. 41 SECTION 4. That Chapter 9, Title 33, Idaho Code, be, and the same is 42 hereby amended by the addition thereto of a NEW SECTION, to be known and des- 43 ignated as Section 33-907, Idaho Code, and to read as follows: 44 33-907. ALLOCATION OF EXISTING RESOURCES. In addition to moneys in the 45 school facility support fund from appropriation, the fund shall also provide 46 for allocation of existing resources as follows: 47 (1) One-half (1/2) of the lottery dividends distributed pursuant to sec- 48 tion 67-7434, Idaho Code; 49 (2) That portion of foundation support moneys, if any, existing as a 50 result of the difference between the calculation of per unit support based 51 upon November average daily attendance and the calculation based upon final 52 average daily attendance and subsequently available as a residual in the foun- 53 dation support fund. 4 1 (3) In any fiscal year beginning 2003 or thereafter, in which the exis- 2 tence of extraordinary gains causes the board of the public employee retire- 3 ment system to order an allocation of extraordinary gains, an amount equal to 4 the school districts' employer's share shall be transferred from the existing 5 state appropriation for public schools to the fund created by this section. 6 SECTION 5. That Chapter 9, Title 33, Idaho Code, be, and the same is 7 hereby amended by the addition thereto of a NEW SECTION, to be known and des- 8 ignated as Section 33-908, Idaho Code, and to read as follows: 9 33-908. ADDITIONAL DISTRIBUTIONS. By not later than July 15 of each year, 10 moneys in the fund pursuant to section 33-907, Idaho Code, shall be distrib- 11 uted to the school district in the same proportion that funds were distributed 12 to that district for the previous school year from the state school foundation 13 program. These moneys shall be used by the district first to address any 14 existing health or safety issue, and thereafter may be used for any purpose 15 consistent with the provisions of section 33-1102, Idaho Code. 16 SECTION 6. That Section 33-1009, Idaho Code, be, and the same is hereby 17 amended to read as follows: 18 33-1009. PAYMENTS FROM THE PUBLIC SCHOOL INCOME FUND. 19 1. a. Payments of the state general account appropriation for public 20 school support shall be made each year by the state board of education to 21 the public school districts of the state in five (5) payments. Payments to 22 the districts shall be made not later than the fifteenth day of August, 23 the first day of October, the fifteenth day of November, the fifteenth day 24 of February, and the fifteenth day of May each year. Each payment by the 25 state board of education shall be approximately twenty percent (20%) of 26 the total general account appropriation for the fiscal year. Amounts 27 apportioned due to a special transfer to the public school income fund to 28 restore or reduce a deficiency in the prior year's transfer pursuant to 29 subsection 4. of this section shall not be subject to this limitation. 30 b. Payments of moneys, other than the state general account appropria- 31 tion, that accrue to the public school income fund shall be made by the 32 state board of education to the school districts of the state on the fif- 33 teenth day of November, February, May and July each year. The total amount 34 of such payments shall be determined by the state department of education 35 and shall not exceed the amount of moneys available and on deposit in the 36 public school income fund at the time such payment is made. 37 c. Amounts apportioned due to a special transfer to the public school 38 income fund to restore or reduce a deficiency in the prior year's transfer 39 pursuant to subsection 4. of this section shall not be subject to the lim- 40 itation imposed by paragraphs a. and b. 41 2. Payments made to the school districts in August, October and November 42 are advance payments for the current year and will be based upon payments from 43 the public school income fund for the preceding school year. Each school dis- 44 trict shall receive its proportionate share of the advance payments in the 45 same ratio that its total payment for the preceding year was to the total pay- 46 ments to all school districts for the preceding year. 47 3. No later than the fifteenth day of February in each year, the state 48 department of education shall compute the state distribution factor based on 49 the total average daily attendance through the first Friday in November. The 50 factor will be used in payments of state funds in February and May. Attendance 51 shall be reported in a format and at a time specified by the state department 5 1 of education. 2 As of the thirtieth day of June of each year the state department of edu- 3 cation shall determine final payments to be made on July fifteenth next suc- 4 ceeding to the several school districts from the public school income fund for 5 the school year ended June 30. The July payments shall take into consider- 6 ation: 7 a. the average daily attendance of the several school districts for the 8 twenty-eight (28) best weeks of the school year completed not later than 9 the thirtieth of June, 10 b.all funds available in the public school income fund for the fiscal11year ending on the thirtieth of Junethe amount of the state distribution 12 factor as determined pursuant to this subsection, 13 c. all payments distributed for the current fiscal year to the several 14 school districts, 15 d. payments made or due for the transportation support program and the 16 exceptional education support program. The state department of education 17 shall apportion and direct the payment to the several school districts so 18 much of the moneys in the public school income fund in each year, taking 19 into account the advance made under subsection 2. of this section, in such 20 amounts as will provide in full for each district its support program, and 21 not more than therefor required, and no school district shall receive less 22 than fifty dollars ($50.00). 23 4. If the full amount appropriated from the general account by the legis- 24 lature is not transferred to the public school income fund by the end of the 25 fiscal year, the deficiency resulting therefrom shall either be restored or 26 reduced through a special transfer from the general account in the first sixty 27 (60) days of the following fiscal year, or shall be calculated in computing 28 district levies, and any additional levy shall be certified by the state 29 superintendent of public instruction to the board of county commissioners and 30 added to the district's maintenance and operation levy. If the deficiency is 31 restored or reduced by special transfer, the amount so transferred shall be in 32 addition to the amount appropriated to be transferred in such following fiscal 33 year, and shall be apportioned to each school district in the same amount as 34 each would have received had the transfer been made in the year the deficiency 35 occurred. The state department of education shall distribute to the school 36 district the full amount of the special transfer as soon as practical after 37 such transfer is made. In making the levy computations required by this sub- 38 section the state department of education shall take into account and consider 39 the full amount of money receipted into the public school income fund from all 40 sources for the given fiscal year. Deficits in the transfer of the appropri- 41 ated amount of general account revenue to the public school income fund shall 42 be reduced by the amount, if any, that the total amount receipted from other 43 sources into the public school income fund exceeds the official estimated 44 amount from those sources. The official estimate of receipts from other 45 sources shall be the total amount stated by the legislature in the appropria- 46 tion bill. 47 5. Any amount remaining in the public school income fund after distribu- 48 tion as provided in subsection 3. of this section shall be transferred to the 49 school facility support fund as provided in section 33-907, Idaho Code. 50 6. Any apportionments in any year, made to any school district, which may 51 within the succeeding three (3) year period be found to have been in error 52 either of computation or transmittal, may be corrected during the three (3) 53 year period by reduction of apportionments to any school district to which 54 over-apportionments may have been made or received, and corresponding addition 55 to apportionments to any school district to which under-apportionments may 6 1 have been made or received. 2 SECTION 7. That Section 67-7434, Idaho Code, be, and the same is hereby 3 amended to read as follows: 4 67-7434. LOTTERY DIVIDENDS. Annually, on July 1, the lottery shall trans- 5 fer one-half (1/2) of its net income to the permanent building account and 6 one-half (1/2) of its net income to the schooldistrict building account7 facility support fund created in section 33-906, Idaho Code, after reserving 8 sufficient moneys to ensure the continuation of the lottery, as determined by 9 the director and commission. 10 A one (1) time allotment of two hundred thousand dollars ($200,000) of the 11 lottery's first year dividends shall be allocated and used by the permanent 12 building fund advisory council for the construction of a Vietnam veterans 13 memorial in the state.
STATEMENT OF PURPOSE 10912 The constitution of the State of Idaho in Article IX, Section 1, states in part ". . . it shall be the duty of the legislature of Idaho, to establish and maintain a general, uniform and thorough system of public, free common schools." Since school facilities are as integral to a thorough education system as are teachers and books, and in order to more adequately comply with this constitutional mandate, this legislation is proposed. While the legislature has provided various means for local school districts to construct and maintain adequate school facilities, through various legislative action, there still remains many school facility inadequacies in Idaho. In 1974 the legislature came to the rescue of a few school districts by passing and funding the Public School Building Account Law. It was done because a few school districts were experiencing very rapid growth and needed help from the State. Today we have a problem of a larger scale. Many Idaho school districts were recipients of Federal Forest funds and used those funds to build school buildings. These funds have diminished almost to the point of nonexistence. In addition, the farm economy is as bad as we have ever seen it. Also, there are still school districts that are growing rapidly and require a new bond issue every year or two. In many instances, and for many of the reasons afore mentioned, the property tax is too great a burden and the bond issue elections fail. This legislation will remedy that problem by creating an ongoing school facility support fund of $30,000,000. In addition, in many instances school districts fail to appropriately prioritize the funding that they presently have available. The lottery proceeds have been used for projects while health & safety issues remained unmet. Each year school districts receive unanticipated funds from the foundation support program which are a result of the difference between the estimated calculated support unit amount and the actual amount based on final average daily attendance. Currently these funds are used for various purposes and in many instances are not used for the highest priority, health and safety of students. Additionally should we experience extraordinary gains in the Public Employee Retirement fund, effective in 2003 these funds will also accrue to the school facilities support fund. This legislation focuses those funds first on health and safety issues and then on other capital projects. School personnel are often expressing concern about the lack of funding to repair roofs, light parking lots, replace worn- out furniture, purchase computers, and fix assorted problems in their schools. This legislation will remedy these situations. FISCAL IMPACT $30, 000, 000 Contact Name: Darrel Deide Phone:332-1345 STATEMENT OF PURPOSE/FISCAL NOTE S 1070