2008 Legislation
Print Friendly

SENATE BILL NO. 1457<br /> – Approp, H&W, Public hlth serv/add’l

SENATE BILL NO. 1457

View Bill Status

View Bill Text

View Statement of Purpose / Fiscal Impact



Text to be added within a bill has been marked with Bold and
Underline. Text to be removed has been marked with
Strikethrough and Italic. How these codes are actually displayed will
vary based on the browser software you are using.

This sentence is marked with bold and underline to show added text.

This sentence is marked with strikethrough and italic, indicating
text to be removed.

Bill Status



S1457............................................................by FINANCE
APPROPRIATIONS - HEALTH AND WELFARE DEPARTMENT - Amends existing law to
revise the appropriation to the Department of Health and Welfare for Public
Health Services in the Physical Health Services Program and Emergency
Medical Services Program for fiscal year 2008.

03/03    Senate intro - 1st rdg - to printing
03/04    Rpt prt - to Fin
    Rpt out - rec d/p - to 2nd rdg
03/05    2nd rdg - to 3rd rdg
03/06    3rd rdg - PASSED - 34-0-1
      AYES -- Andreason, Bair, Bastian, Bilyeu, Broadsword, Burkett,
      Cameron, Coiner, Corder, Darrington, Fulcher, Gannon, Geddes, Goedde,
      Hammond, Heinrich, Hill, Jorgenson, Kelly, Keough, Langhorst, Little,
      Lodge, Malepeai(Sagness), McGee, McKague, McKenzie, Pearce,
      Richardson, Schroeder, Siddoway, Stegner, Stennett, Werk
      NAYS -- None
      Absent and excused -- Davis
    Floor Sponsor - Broadsword
    Title apvd - to House
03/07    House intro - 1st rdg - to 2nd rdg
03/10    2nd rdg - to 3rd rdg
03/11    3rd rdg - PASSED - 70-0-0
      AYES -- Anderson, Andrus, Barrett, Bayer, Bedke, Bell, Bilbao, Black,
      Block, Bock, Boe, Bolz, Bowers, Brackett, Bradford, Chadderdon,
      Chavez, Chew, Clark, Collins, Crane, Durst, Eskridge, Hagedorn, Hart,
      Harwood, Henbest, Henderson, Jaquet, Killen, King, Kren, Labrador,
      Lake, LeFavour, Loertscher, Luker, Marriott, Mathews, McGeachin,
      Mortimer, Moyle, Nielsen, Nonini, Pasley-Stuart, Patrick, Pence,
      Raybould, Ringo, Roberts, Ruchti, Rusche, Sayler, Schaefer,
      Shepherd(02), Shepherd(08), Shirley, Shively, Smith(30), Smith(24),
      Snodgrass, Stevenson, Thayn, Thomas, Trail, Vander Woude, Wills,
      Wood(27), Wood(35), Mr. Speaker
      NAYS -- None
      Absent and excused -- None
    Floor Sponsor - Henbest
    Title apvd - to Senate
03/12    To enrol
03/13    Rpt enrol - Pres signed - Sp signed
03/14    To Governor
03/17    Governor signed
         Session Law Chapter 168
         Effective: 03/17/08

Bill Text




                                                                       
  ]]]]              LEGISLATURE OF THE STATE OF IDAHO             ]]]]
 Fifty-ninth Legislature                  Second Regular Session - 2008

                                                                       

                                       IN THE SENATE

                                    SENATE BILL NO. 1457

                                    BY FINANCE COMMITTEE

  1                                        AN ACT
  2    RELATING TO THE APPROPRIATION TO THE DEPARTMENT OF HEALTH AND WELFARE;  AMEND-
  3        ING  SECTION  1, CHAPTER 236, LAWS OF 2007, TO REVISE THE APPROPRIATION TO
  4        THE DEPARTMENT OF HEALTH AND WELFARE FOR PUBLIC  HEALTH  SERVICES  IN  THE
  5        PHYSICAL HEALTH SERVICES PROGRAM; AMENDING SECTION 3, CHAPTER 236, LAWS OF
  6        2007,  TO REVISE THE APPROPRIATION TO THE DEPARTMENT OF HEALTH AND WELFARE
  7        FOR PUBLIC HEALTH SERVICES IN THE EMERGENCY MEDICAL SERVICES PROGRAM;  AND
  8        DECLARING AN EMERGENCY.

  9    Be It Enacted by the Legislature of the State of Idaho:

 10        SECTION  1.  That Section 1, Chapter 236, Laws of 2007, is amended to read
 11    as follows:

 12        SECTION 1.  There is hereby appropriated to the Department of  Health  and
 13    Welfare for public health services in the Physical Health Services Program the
 14    following  amounts  to be expended according to the designated expense classes
 15    from the listed funds for the period July 1, 2007, through June 30, 2008:
 16                                                       FOR
 17                     FOR        FOR         FOR    TRUSTEE AND
 18                  PERSONNEL  OPERATING    CAPITAL    BENEFIT
 19                    COSTS   EXPENDITURES  OUTLAY    PAYMENTS        TOTAL
 20    FROM:
 21    General Fund $1,841,400 $ 4,617,900   $55,600  $ 1,287,700   $ 7,802,600
 22                  1,462,200                                        7,423,400
 23    Cancer Control
 24     Fund            50,100     153,200                198,400       401,700
 25                                228,200                123,400
 26    Central Tumor
 27     Registry
 28     Fund                                              182,700       182,700
 29    Food Safety Fund                                   638,000       638,000
 30    Cooperative Welfare
 31     Fund
 32     (Federal)    5,211,000   7,631,200    38,700   39,635,100    52,516,000
 33    Cooperative Welfare
 34     Fund
 35     (Dedicated)                                     8,369,000    10,612,200
 36                  1,473,900     769,300              9,569,000    11,812,200
 37      TOTAL      $8,576,400 $13,171,600   $94,300  $50,310,900   $72,153,200
 38                  8,197,200  13,246,600             51,435,900    72,974,000

 39        SECTION 2.  That Section 3, Chapter 236, Laws of 2007, is  hereby  amended
 40    to read as follows:

 41        SECTION  3.  There  is hereby appropriated to the Department of Health and

                                       2

  1    Welfare for public health services in the Emergency Medical  Services  Program
  2    the  following  amounts  to  be  expended  according to the designated expense
  3    classes from the listed funds for the period July 1, 2007,  through  June  30,
  4    2008:
  5                                                        FOR
  6                            FOR          FOR        TRUSTEE AND
  7                         PERSONNEL    OPERATING       BENEFIT
  8                           COSTS     EXPENDITURES    PAYMENTS        TOTAL
  9    FROM:
 10    General Fund        $  246,800    $   12,000    $   64,300    $  323,100
 11    Emergency Medical
 12     Services
 13     Fund I & II         1,302,000     1,080,800       370,200     2,753,000
 14                                         993,400                   2,665,600
 15    Emergency Medical
 16     Services
 17     Fund III                                        1,400,000     1,400,000
 18    Cooperative Welfare
 19     Fund
 20     (Dedicated)           179,500        33,500       150,000       363,000
 21                           238,100       120,900                     509,000
 22    Cooperative Welfare
 23     Fund
 24     (Federal)             283,200                                 1,720,600
 25                           224,600     1,075,100       362,300     1,662,000
 26      TOTAL             $2,011,500    $2,201,400    $2,346,800    $6,559,700

 27        SECTION  3.  An  emergency  existing  therefor,  which emergency is hereby
 28    declared to exist, this act shall be in full force and effect on and after its
 29    passage and approval.

Statement of Purpose / Fiscal Impact


Statement of Purpose
RS18020

This is a fiscal year 2008 supplemental appropriation to the Department of Health and Welfare for public health services in the Physical Health Services program and the Emergency Medical Services program.

Section 1 of the bill provides additional dedicated funding spending authority to the Physical Health Services program. The dedicated receipts are generated from rebates received on purchases of formula for the Women, Infants, and Children (WIC) program; and transfers appropriations from the trustee and benefits payments expenditure category for the contract costs of the Idaho Quitnet program to the operating expenditure category.

Section 2 of the bill provides additional dedicated fund spending authority for the Statewide Communications center due to increased contract funding. The bill also reduces unused spending authority in federal funds as well as the Emergency Medical Services fund.

.

&nbsp

Fiscal Note

This FY 2008 supplemental appropriation has a net fiscal impact of $1,200,000 increase in dedicated receipts authority and a reduction of $379,200 in General Fund monies.

.

Contact: Amy Castro 334-4745

Legislative Services Office, Budget & Policy Analysis

Statement of Purpose/Fiscal Note Bill No. S1457