BILL NUMBER: SB 97	AMENDED
	BILL TEXT

	AMENDED IN ASSEMBLY  JUNE 16, 2015

INTRODUCED BY   Committee on Budget and Fiscal Review

                        JANUARY 9, 2015

    An act relating to the Budget Act of 2015.  
An act to amend the Budget Act of 2015 by amending Items
0250-101-0932,   0250-102-0932, 0250-111-0001,
0250-114-0001, 0530-001-0001, 0540-001-0001, 0540-001-0140,
0540-001-6076, 0552-001-0001, 0690-101-0001, 2240-104-0001,
3540-001-0001, 3600-001-0001, 3640-311-0001, 3790-001-0392,
3790-301-0392, 3860-001-6052, 3940-001-0890, 4170-101-0001,
4260-001-0001, 4260-101-0001, 4260-101-0890, 4260-115-0001,
4260-116-0001, 4265-001-0001, 4265-111-0001, 4300-101-0001,
4440-011-0001, 5160-001-0001, 5180-001-0001, 5180-101-0001,
5180-101-0890 5180-111-0001, 5180-141-0001, 5180-141-0890,
5180-151-0001, 5180-151-0890, 5180-153-0001, 5225-001-0001,
5225-001-3259, 5227-101-0214, 5227-101-3259, 5227-109-0001,
5227-110-0001,   6100-001-0001, 6100-113-0001,
6100-113-0890, 6100-119-0001, 6100-161-0001, 6100-194-0001,
6100-194-0890, 6100-195-0890, 6100-196-0001, 6120-211-0001,
6120-213-0001, 6440-001-0001, 6440-004-0001, 6610-001-0001,
6870-101-0001, 6870-107-0001, 6980-101-0001, 7100-001-0869,
7100-001-3259, 7320-001-0001, 7350-001-3152, 8570-001-0001, and
8820-001-0001 of, by adding Items 0500-001-9750, 0540-490,
0650-101-0001, 0690-101-3034, 3110-001-0286, 3640-401, 3640-402,
3640-494, 3790-001-0942, 3900-001-0462, 4260-118-0313, and
5227-102-0001 to, and by repealing Items 0521-101-3228,
0650-001-9750, 2660-101-3228, 2660-108-3228, 2660-301-3228,
2665-001-3228, 3110-001-0001, 3720-001-8029, 3760-001-8029,
3760-101-8029, 3820-001-8029, 3900-101-3228, 3970-101-3228,
5227-108-0001, 6100-111-0001, 6100-249-0001, 6980-401, and
7350-001-0001 of, Section 2.00 of, and by amending Sections 3.61,
4.11, 6.10, 12.32, 35.50, and 39.00 of, that act, relating to the
State Budget, and making an appropriation therefor, to take effect
immediately,   budget bill. 


	LEGISLATIVE COUNSEL'S DIGEST


   SB 97, as amended, Committee on Budget and Fiscal Review. Budget
Act of 2015. 
   The Budget Act of 2015 made appropriations for the support of
state government for the 2015-16 fiscal year.  
   This bill would amend the Budget Act of 2015 by revising items of
appropriation and making other changes.  
   This bill would declare that it is to take effect immediately as a
Budget Bill.  
   This bill would express the intent of the Legislature to enact
statutory changes relating to the Budget Act of 2015. 
   Vote: majority. Appropriation:  no   yes
 . Fiscal committee:  no   yes  .
State-mandated local program: no.


THE PEOPLE OF THE STATE OF CALIFORNIA DO ENACT AS FOLLOWS:

   SECTION 1.    Item 0250-101-0932 of Section 2.00 of
the   Budget Act of 2015   is amended to read:

0250-101-0932--For local assistance,
Judicial Branch, payable from the Trial
Court Trust Fund..........................  2,345,378,000

                                             2,337,627,000
    Schedule:
    (1)   0150010-Support for
          Operation of Trial    1,888,045,00 
          Courts..............             
1,883,879,0  0
                                           0 
    (2)   0150019-
          Compensation of
          Superior Court
          Judges..............   326,781,000 
                                 323,784,000 
    (3)   0150028-Assigned
          Judges..............   26,047,000
    (4)   0150037-Court
          Interpreters........    94,677,000 
                                  94,089,000 
    (5)   0150067-Court
          Appointed Special
          Advocate (CASA)
          program.............    2,213,000
    (6)   0150071-Model Self-
          Help Program........      957,000
    (7)   0150083-Equal
          Access Fund.........    5,482,000
    (8)   0150087-Family Law
          Information Centers.      345,000
    (9)   0150091-Civil Case
          Coordination........      832,000
    (10)  Reimbursements to
          0150010-Support for
          Operation of Trial
          Courts..............       -1,000
    Provisions:
    1.    The funds appropriated in
          Schedule (2) shall be made
          available for costs of the
          workers' compensation program
          for trial court judges.
    2.    The amount appropriated in
          Schedule (3) shall be made
          available for all judicial
          assignments. Schedule (3)
          expenditures for       necessary
          support staff may not exceed the
          staffing level that is necessary
          to support the equivalent of
          three judicial officers sitting
          on assignments. Prior to
          utilizing funds appropriated in
          Schedule (3), trial courts shall
          maximize the use of judicial
          officers who may be available
          due to reductions in court
          services or court closures.
    3.    The funds appropriated in
          Schedule (4) shall be for
          payments to contractual court
          interpreters, and certified or
          registered court interpreters
          employed by the courts for
          services provided during court
          proceedings and other services
          related to pending court
          proceedings, including services
          provided outside a courtroom,
          and the following court
          interpreter coordinators: 1.0
          each in counties of the 1st
          through the 15th classes, 0.5
          each in counties of the 16th
          through the 31st classes, and
          0.25 each in       counties of
          the 32nd through the 58th
          classes. For the purposes of
          this provision, ""court
          interpreter coordinators'' may
          be full- or part-time court
          employees, and shall be
          certified or registered court
          interpreters in good standing
          under existing law.
           The Judicial Council shall set
          statewide or regional rates and
          policies for payment of court
          interpreters, not to exceed the
          rate paid to certified
          interpreters in the federal
          court system.
           The Judicial Council shall
          adopt appropriate rules and
          procedures for the
          administration of these funds.
          The Judicial Council shall
          report to the Legislature and
          the Director of Finance
          annually regarding expenditures
          from Schedule (4).
    4.    Upon order of the Director of
          Finance, the amount available
          for expenditure in this item may
          be augmented by the amount of
          any additional resources
          available in the Trial Court
          Trust Fund, which is in addition
          to the amount appropriated in
          this item. Any augmentation must
          be approved in joint
          determination with the
          Chairperson of the Joint
          Legislative Budget Committee and
          shall be authorized not sooner
          than 30 days after notification
          in writing to the chairpersons
          of the committees in each house
          of the Legislature that consider
          appropriations, the chairpersons
          of the committees and
          appropriate subcommittees that
          consider the State Budget, and
          the chairperson of the joint
          committee, or not sooner than
          whatever lesser time the
          chairperson of the joint
          committee, or his or her
          designee, may determine. When a
          request to augment this item is
          submitted to the Director of
          Finance, a copy of that request
          shall be delivered to the
          chairpersons of the committees
          and appropriate subcommittees
          that consider the State Budget.
          Delivery of a copy of that
          request shall not be deemed to
          be notification in writing for
          purposes of this provision.
    5.    Notwithstanding any other
          provision of law, upon approval
          and order of the Director of
          Finance, the amount appropriated
          in this item shall be reduced by
          the amount transferred in Item
          0250-115-0932 to provide
          adequate resources to the
          Judicial Branch Workers'
          Compensation Fund to pay
          workers' compensation claims for
          judicial branch employees and
          judges, and administrative costs
          pursuant to Section 68114.10 of
          the Government Code.
    6.    Upon approval by the
          Administrative Director, the
          Controller shall transfer up to
          $11,274,000 to Item 0250-001-
          0932 for recovery of costs for
          administrative services provided
          to the trial courts by the
          Judicial Council.
    7.    In order to improve equal access
          and the fair administration of
          justice, the funds appropriated
          in Schedule (7) are available
          for distribution by the Judicial
          Council through the Legal
          Services Trust Fund Commission
          in support of the Equal Access
          Fund Program to qualified legal
          services projects and support
          centers as defined in Sections
          6213 to 6215, inclusive, of the
          Business and Professions Code,
          to be used for legal services in
          civil matters for indigent
          persons. The Judicial
          Council shall approve awards
          made by the commission if the
          council determines that the
          awards comply with statutory and
          other relevant guidelines. Upon
          approval by the Administrative
          Director, the Controller shall
          transfer up to 5 percent of the
          funding appropriated in Schedule
          (7) to Item 0250-001-0932 for
          administrative expenses. Ten
          percent of the funds remaining
          after administrative costs shall
          be for joint projects of courts
          and legal services programs to
          make legal assistance available
          to pro per litigants and 90
          percent of the funds remaining
          after administrative costs shall
          be distributed consistent with
          Sections 6216 to 6223,
          inclusive, of the Business and
          Professions Code. The Judicial
          Council may establish additional
          reporting or quality control
          requirements consistent with
          Sections 6213 to 6223,
          inclusive, of the Business and
          Professions Code.
    8.    Funds available for expenditure
          in Schedule (7) may be augmented
          by order of the Director of
          Finance by the amount of any
          additional resources deposited
          for distribution to the Equal
          Access Fund Program in
          accordance with Sections 68085.3
          and 68085.4 of the Government
          Code. Any augmentation under
          this provision shall be
          authorized not sooner than 30
          days after notification in
          writing to the chairpersons of
          the committees in each house of
          the Legislature that consider
          appropriations, the chairpersons
          of the committees and
          appropriate subcommittees that
          consider the State Budget, and
          the Chairperson of the Joint
          Legislative Budget Committee, or
          not sooner than whatever lesser
          time the chairperson of the
          joint committee, or his or her
          designee, may determine.
    9.    Sixteen (16.0) subordinate
          judicial officer       positions
          are authorized to be converted
          to judgeships in the 2015-16
          fiscal year in the manner and
          pursuant to the authority
          described in subparagraph (B) of
          paragraph (1) of subdivision (c)
          of Section 69615 of the
          Government Code, as described in
          the notice filed by the Judicial
          Council under subparagraph (B)
          of paragraph (3) of subdivision
          (c) of Section 69615 of the
          Government Code.
    12.   Of the amounts appropriated in
          Schedule (1), $325,000 shall be
          allocated by the Judicial
          Council in order to reimburse
          the California State Auditor's
          Office for the costs of trial
          court audits incurred by the
          California State Auditor's
          Office pursuant to Section 19210
          of the Public Contract Code.
    14.   Notwithstanding any other
          provision of law, of the amount
          appropriated in Schedule (1),
          $26,900,000 is available for
          expenditure or encumbrance until
          June 30, 2017.
     15.     Of the amount appropriated
  in 
           Schedule (1), $4,166,000 will be 
           available to support staff 
           associated with up to 12 new 
           judgeships. Of the amount 
           appropriated in Schedule (2), 
           $2,997,000 will be available for 
           judicial compensation for the 
           new judgeships. Of the amount 
           appropriated in Schedule (4), 
           $588,000 will     be available 
           to support court interpreters 
           associated with the new 
           judgeships. Funding for new 
           judgeships identified in this 
           provision shall be made 
           available only after the 
           Judicial Council submits a 
           funding request to the 
           Department of Finance by October 
           1, 2015. The funding request 
           shall propose an allocation of 
           judgeships based on the judicial 
           workloads needs assessment, and 
           may only propose judgeships for 
           courts reopening courtrooms 
           closed after the 2011 trial 
           court security realignment, 
           thereby not increasing the need 
           for court security beyond the 
           level already funded through the 
           2011 realignment. The Department
           of Finance shall notify the 
           Chairperson of the Joint 
           Legislative Budget Committee of 
           its intent to approve the 
           funding request 30 days before 
           notifying the judicial branch of 
           its decision. 


   SEC. 2.    Item 0250-102-0932 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0250-102-0932--For local assistance,
Judicial Branch, payable from the Trial
Court Trust Fund..........................  136,800,000

                                             114,700,000 
    Schedule:
    (1)   0150011-Court
          Appointed
          Dependency Counsel..  1  36   14 
,  8   7  00,000
    Provisions:
    1.    Notwithstanding any other
          provision of law, and upon
          approval of the Director of
          Finance, the amount available
          for expenditure in Schedule (1)
          may be increased by the amount
          of any additional resources
          collected for the recovery of
          costs for court-appointed
          dependency counsel services.
    2.    Upon approval of the
          Administrative Director, the
          Controller shall transfer up to
          $556,000 to Item 0250-001-0932
          for administrative services
          provided to the trial courts in
          support of the court appointed
          dependency counsel program.


   SEC. 3.    Item 0250-111-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0250-111-0001--For transfer by the
Controller to the Trial Court Trust Fund..  943,160,000

                                             935,409,000 


   SEC. 4.    Item 0250-114-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0250-114-0001--For transfer by the
Controller to the Trial Court Trust Fund..  136,800,000

                                             114,700,000 


   SEC. 5.    Item 0500-001-9750 is added to Section
2.00 of the   Budget Act of 2015  , to read: 
 
 0500-001-9750--For support of Governor's 
 Office, payable from the Immigrant 
 Integration Fund .............................      1,000 

      Schedule: 
      (1) 0210-Governor's Office.......    1,000 
      Provisions: 
      1.  Upon receipt of donations in 
          accordance with Sections 65050 and 
          65051 of the Government Code, the 
          Director of Finance may authorize the 
          augmentation of this item in excess 
          of the amount appropriated consistent 
          with the purposes of furthering 
          immigrant integration. The Director 
          of Finance shall not approve any 
         expenditure unless the approval is 
          made in writing and filed with the 
          Chairperson of the Joint Legislative 
          Budget Committee and the chairpersons 
          of the committees in each house of 
          the Legislature that consider 
          appropriations no later than 30 days 
          prior to the effective date of 
          approval, or prior to whatever lesser 
          time the Chairperson of the Joint 
          Legislative Budget Committee, or his 
          or her designee, may determine. 
 

   SEC. 6.    Item 0521-101-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

0521-101-3228--For local assistance,
Secretary of Transportation, payable from
the Greenhouse Gas Reduction Fund............ 25,000,000
     Schedule:
     (1)    0276-Local Assistance
            Grant Program.........  25,000,000
     Provision:
     1.     Funds appropriated in this item
            shall be available for the
            transit pass expansion grant
            program.


   SEC. 7.    Item 0530-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0530-001-0001--For support of Secretary of
California Health and Human Services..........  2,399,000

                                                 3,652,000 
     Schedule:
     (1)   0280-Secretary of
           California Health and
           Human Services.........     4,291,000 
                                       6,144,000 
     (2)   Reimbursements to 0280-
           Secretary of
           California Health and
           Human Services.........    -1,892,000 
                                      -2,492,000 


   SEC. 8.    Item 0540-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0540-001-0001--For support of Secretary of
the Natural Resources Agency................. 2,655,000
     Schedule:
     (1) 0320-Administration of
         Natural Resources Agency... 2,655,000
      Provisions: 
      1.  Of the funds appropriated in this 
          item, $2,500,000 shall be available 
          for a contract or grant to support 
          monitoring of marine protected areas. 


   SEC. 9.    Item 0540-001-0140 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0540-001-0140--For support of Secretary of
the Natural Resources Agency, payable from
the California Environmental License Plate
Fund..........................................  2,903,000

                                                 4,203,000 
     Schedule:
     (1) 0320-Administration of
         Natural Resources Agency....  3,501,000 
                                       4,801,000 
     (2) Reimbursements to 0320-
         Administration of Natural
         Resources Agency............  -598,000


   SEC. 10.    Item 0540-001-6076 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0540-001-6076--For support of Secretary of
the Natural Resources Agency, payable from
the California Ocean Protection Trust Fund...   9,555,000

                                                   600,000 
     Schedule:
     (1) 0320-Administration of
         Natural Resources Agency...  9,555,000 
                                        600,000 
      Provisions: 
      2.  Notwithstanding any other provision 
          of law, the funds appropriated in 
          this item shall be available for 
          allocation until June 30, 2017, and 
          available for encumbrance and 
          liquidation by the recipient local 
          agency until June 30, 2020. 


   SEC. 11.    Item 0540-490 is added to Section 2.00 of
the   Budget Act of 2015   , to read:  

 0540-490--Reappropriation, Secretary of the 
 Natural Resources Agency. The amount specified 
 in the following citation is reappropriated 
 for the purposes provided for in that 
 appropriation and shall be available for 
 encumbrance or expenditure until June 30, 2017: 
      0140--California Environmental License 
      Plate Fund 
      (1) $2,500,000 in Item 0540-001-0140, 
          Budget Act of 2014 (Chs. 25 and 663, 
          Stats. 2014) 
 

   SEC. 12.    Item 0552-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0552-001-0001--For support of Office of the
Inspector General.............................  22,736,000

                                                 21,568,000 

     Schedule:
     (1)   0330-Office of the
           Inspector General......    22,736,000
                                      21,568,000 


   SEC. 13.    Item 0650-001-9750 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

0650-001-9750--For support of Office of
Planning and Research, payable form the
Office of New Americans Fund................      1,000
     Schedule:
     (1) 0360-State Planning and
         Policy Development.........    1,000


   SEC. 14.    Item 0650-101-0001 is added to Section
2.00 of the   Budget Act of 2015   , to read: 
 
 0650-101-0001--For local assistance, Office 
 of Planning and Research ..................... 5,000,000 
      Schedule: 
      (1) 0360-State Planning and 
          Policy Development.......... 5,000,000 
 

   SEC. 15.    Item 0690-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
0690-101-0001--For local assistance, Office
of Emergency Services.........................  23,671,000

                                                 21,671,000 

     Schedule:
     (1)   0385-Special Programs
           and Grant Management...    23,671,000 
                                      21,671,000 
     Provisions:
     1.    Notwithstanding any other provision
           of law, the Office of Emergency
           Services may provide advance
           payment of up to 25 percent of
           grant funds awarded to community-
           based, nonprofit organizations,
           cities, school districts, counties,
           and other units of local government
           that have demonstrated cashflow
           problems according to the criteria
           set forth by the Office of
           Emergency Services.


   SEC. 16.    Item 0690-101-3034 is added to Section
2.00 of the   Budget Act of 2015   , to read: 
 
 0690-101-3034--For local assistance, Office 
 of Emergency Services, payable from the 
 Antiterrorism Fund ........................... 2,000,000 
      Schedule: 
      (1) 0385-Special Programs and 
          Grant Management............ 2,000,000 
 

   SEC. 17.    Item 2240-104-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
2240-104-0001--For local assistance,
Department of Housing and Community            19,975,00

Development .................................          0
  
                                                3,500,000 
     Schedule:
     (1) 1665-Financial Assistance    19,975,00 
 
         Program....................          
3,500,00  0
     Provisions:
      1.    Of   the funds
appropriated in this 
          item, $12,000,000 shall be expended 
          for the Joe Serna, Jr. Farmworker 
          Housing Grant Program (Chapter 3.2 
          (commencing with Section 50515.2) of 
          Part 2 of Division 31 of the Health 
          and Safety Code). 
     2.   Of t   T he funds appropriated in
this    item
          item, $3,750,000  shall be expended
 for the Office of
          for the Office of  Migrant Services
 (Chapter 8.5
          (Chapter 8.5 (commencing with 
          (commencing with  Section 50710) of  Part
2 of 
 Division 
          31 of the Health and Safety Code). 
      3.  Of the funds     appropriated in 
          this item, $4,000,000 shall be 
          expended for the California Self- 
          Help Housing Program (Chapter 7.5 
          (commencing with Section 50690) of 
         Part 2 of Division 31 of the Health
         and Safety Code).
      4.    Of   the funds
appropriated in this 
          item, $225,000 is for distribution 
          to   the Napa County Farmworker

          Housing Center. 


   SEC. 18.    Item 2660-101-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

2660-101-3228--For local assistance,
Department of Transportation, payable from
the Greenhouse Gas Reduction Fund............ 64,999,000
     Schedule:
     (1)    1840019-State and
            Federal Mass Transit..  64,999,000
     Provisions:
     1.     Funds appropriated in this item
            shall be available for the
            Transit and Intercity Rail
            Capital Program for allocation by
            the California Transportation
            Commission until June 30, 2017,
            and available for encumbrance and
            liquidation until June 30, 2021.
     2.     Notwithstanding any other law,
            funds appropriated in this item
            may be transferred to Item 2660-
            301-3228. These transfers shall
            require the prior approval of the
            Department of Finance.


   SEC. 19.    Item 2660-108-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

2660-108-3228--For local assistance,
Department of Transportation, Active
Transportation Program (ATP), payable from
the Greenhouse Gas Reduction Fund............ 25,000,000
     Schedule:
     (1)    1835020-Local
            Assistance............  25,000,000
     Provisions:
     1.     Funds appropriated in this item
            shall be available for allocation
            by the California Transportation
            Commission until June 30, 2018,
            and available for encumbrance and
            liquidation until June 30, 2022.
     2.     Notwithstanding any other
            provision of law, funds
            appropriated in this item shall
            be distributed to projects
            competitively awarded by the
            California Transportation
            Commission on a statewide basis.


   SEC. 20.    Item 2660-301-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

2660-301-3228--For capital outlay, Department
of Transportation, payable from the
Greenhouse Gas Reduction Fund.................      1,000
     Schedule:
     (1) 1840019-State and Federal
         Mass Transit.................    1,000
     Provisions:
     1.  Funds appropriated in this item shall
         be available for the Transit and
         Intercity Rail Capital Program for
         allocation by the California
         Transportation Commission until June
         30, 2017, and available for
         encumbrance and liquidation until
         June 30, 2021.
     2.  Notwithstanding any other law, funds
         appropriated in this item may be
         transferred to Item 2660-101-3228.
         These transfers shall require the
         prior approval of the Department of
         Finance.


   SEC. 21.    Item 2665-001-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

2665-001-3228--For support of High-Speed Rail
Authority, payable from the Greenhouse Gas
Reduction Fund................................    103,000
     Schedule:
     (1) 1970-Administration..........  103,000
     Provisions:
     1.  Funds appropriated in this item shall
         count toward the share of annual
         proceeds continuously appropriated to
         the High-Speed Rail Authority, as
         specified in paragraph (2) of
         subdivision (b) of Section 39719 of
                                                      the Health and
Safety Code.


   SEC. 22.    Item 3110-001-0001 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

3110-001-0001--For support of Special
Resources Program...........................    325,000
     Schedule:
     (1) 2320-Tahoe Regional
         Planning Agency............  325,000


   SEC. 23.    Item 3110-001-0286 is added to Section
2.00 of the   Budget Act of 2015   , to read: 
 
 3110-001-0286--For support of Special 
 Resources Program, payable from the Lake 
 Tahoe Conservancy Account ....................    325,000 

     Schedule: 
      (1) 2320-California Tahoe 
          Regional Planning Agency.....  325,000 
      Provisions: 
      1.  Notwithstanding any other provision 
          of law, funds appropriated in this 
          item shall be used for monitoring, 
          analysis, and preparation of the 
          Threshold Evaluation Report by the 
          California Tahoe Regional Planning 
          Agency. 
 

   SEC. 24.    Item 3540-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
3540-001-0001--For support of Department
of Forestry and Fire Protection............  688,925,000

                                              687,950,000 
    Schedule:
    (1)   2460-Office of the
          State Fire Marshal...   12,310,000
    (2)   2465-Fire Protection.  1,099,788,00 
                                 1,098,813,00 
                                           0
    (3)   2470-Resource
          Management...........   12,677,000
    (4)   2475-Board of
          Forestry and Fire
          Protection...........      468,000
    (5)   2480-Department of
          Justice Legal
          Services.............    5,429,000
    (6)   9900100-
          Administration.......   82,394,000
    (7)   9900200-
          Administration--
          Distributed..........  -82,394,000
    (8)   Reimbursements to
          2460-Office of the
          State Fire Marshal...   -9,956,000
    (9)   Reimbursements to
          2465-Fire Protection. -430,464,000
    (10)  Reimbursements to
          2470-Resource
          Management...........   -1,327,000
    (11)  Reimbursements to
          9900100-
          Administration.......    1,583,000
    (12)  Reimbursements to
          9900200-
          Administration-
          -Distributed.........   -1,583,000
    Provisions:
    1.    Notwithstanding any other
          provision of law, the Director of
          Finance may authorize the
          temporary or permanent
          redirection of funds from this
          item for purposes of emergency
          fire suppression and detection
          costs and related emergency
          refutation costs.
    2.    Notwithstanding any other
          provision of law, the Director of
          Finance may authorize a loan from
          the General Fund, in an amount
          not to exceed 45 percent of
          reimbursements appropriated in
          this item, to the Department of
          Forestry and Fire Protection,
          provided that:
          (a)     The loan is to meet cash
                  needs resulting from the
                  delay in receipt of
                  reimbursements for
                  services provided.
          (b)     The loan is for a short
                  term and shall be repaid
                  by September 30 of the
                  fiscal year following
                  that in which the loan
                  was authorized.
          (c)     Interest charges may be
                  waived pursuant to
                  subdivision (e) of
                  Section 16314 of the
                  Government Code.
          (d)     Within 10 days after
                  approval, the Director of
                  Finance shall notify the
                  Joint Legislative Budget
                  Committee of the loan
                  approved pursuant to this
                  provision.
    3.    The Director of Finance may
          adjust amounts in Schedule (2) to
          provide equivalent fire
          protection base funding changes
          to contract counties in
          accordance with Section 4130 of
          the Public Resources Code.
    4.    Notwithstanding any other
          provision of law, the Director of
          Finance may authorize a loan from
          the General Fund to the
          Department of Forestry and Fire
          Protection to meet cash needs
          resulting from the delay in
          receipt of revenues into the
          State Responsibility Area Fire
          Prevention Fund, provided that:
          (a)     The loan is for a short
                  term and shall be repaid
                  by December 31 of the
                  fiscal year following
                  that in which the loan
                  was authorized.
          (b)     Interest charges may be
                  waived pursuant to
                  subdivision (e) of
                  Section 16314 of the
                  Government Code.
          (c)     The Director of Finance
                  shall not approve the
                  loan unless the approval
                  is made in writing and
                  filed with the
                  Chairperson of the Joint
                  Legislative Budget
                  Committee and the
                  chairpersons of       the
                  committees in each house
                  of the Legislature that
                  consider appropriations
                  not later than 30 days
                  prior to the effective
                  date of the approval, or
                  not later than whatever
                  lesser time prior to that
                  date the chairperson of
                  the joint committee, or
                  his or her designee, may
                  determine.
    5.    The Department of General
          Services, with the consent of the
          Department of Forestry and Fire
          Protection, may enter into a
          lease, lease-purchase agreement,
          or lease with a purchase option,
          with Riverside County for build-
          to-suit facilities to replace the
          Hemet-Ryan Air Attack Base,
          subject to Department of Finance
          approval. The agreement may
          contain one or more purchase
          options during the term of the
          agreement. Thirty days prior to
          approving any agreement pursuant
          to this provision, the Department
          of Finance shall notify the
          chairpersons of the committees
          in each house of the Legislature
          that consider appropriations and
          the Joint Legislative Budget
          Committee of the terms and
          conditions of the agreement.
    6.    Notwithstanding any other
          provision of law, the funds
          appropriated in this item for
          purposes of Division 10.5
          (commencing with Section 12200)
          of the Public Resources Code
          shall be available for purposes
          of support or capital outlay.
    7.    Notwithstanding any other
          provision of law, the Director of
          Finance may adjust this item for
          the direct and indirect cost
          reimbursements received pursuant
          to Sections 4142 and 4144 of the
          Public Resources Code. Any
          increase shall occur no sooner
          than 30 days after notification
          in writing of the necessity of
          the increase to the Joint
          Legislative Budget Committee, or
          not sooner than whatever lesser
          time after notification the
          Chairperson of the Joint
          Legislative Budget Committee, or
          his or her designee, may in each
          instance determine.
    8.    Notwithstanding any other
          provision of law, the Department
          of Forestry and Fire Protection
          may provide contractual services
          pursuant to Sections 4142 and
          4144 of the Public Resources Code
          without an executed agreement
          from July to September of each
          fiscal year to better align
          contract start times with the
          budget process and to finalize
          staff benefit rates that are
          dependent upon actions by the
          Public Employees' Retirement
          System and passage of the annual
          Budget Act.
    9.    The Department of Forestry and
          Fire Protection may contract with
          the Department of General
          Services for environmental
          consultation or planning.
    10.   The Department of Finance may
          authorize the transfer of an
          amount from this item to Item
          3540-101-3228 in order to
          implement fire risk reductions,
          forest health activities, and
          urban forestry projects. Within
          10 days after approval, the
          Director of Finance shall notify
          the Joint Legislative Budget
          Committee of the transfer
          approved pursuant to this
          provision and shall include a
          detail of the change in program
          delivery and the conditions
          necessitating the change.
    12.   The amount appropriated in this
          item includes revenues derived
          from the assessment of fines and
          penalties imposed as specified in
          Section 13332.18 of the
          Government Code.
    13.   Notwithstanding any other
          provision of law or
          administrative procedure, the
          Department of Forestry and Fire
          Protection may use up to $1.7
          million for any mandated or
          required building code
          compliance, including, but not
          limited to, fire and life safety
          maintenance activities necessary
          to make the Magalia Conservation
          Camp facility habitable for
          California Conservation Corps
          members. This amount is available
          for encumbrance until June 30,
          2017.


   SEC. 25.    Item 3600-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
3600-001-0001--For support of Department of
Fish and Wildlife.............................  75,193,000

                                                 67,193,000 

     Schedule:
     (1)   2590-Biodiversity
           Conservation Program...   28,258,000
     (2)   2595-Hunting, Fishing,
           and Public Use Program.    8,963,000
     (3)   2600-Management of
           Department Lands and
           Facilities.............     9,777,000 
                                       1,777,000 
     (4)   2605-Enforcement.......   26,917,000
     (5)   2610-Communications,
           Education and Outreach.      347,000
     (6)   2615-Spill Prevention
           and Response...........      265,000
     (7)   2620-Fish and Game
           Commission.............      666,000


   SEC. 26.    Item 3640-311-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
3640-311-0001--For transfer by the
Controller from the General Fund to the
Habitat Conservation Fund.................. 16,773,000
      Provisions:
      1.     The funds transferred in this
             item shall be used for
             purposes consistent with the
             requirements of the Habitat
             Conservation Fund.
      2.     Upon approval by the
             Department of Finance, the
             amount transferred by this
             item may be adjusted to
             reflect the requirements of
             subdivision (a) of Section
             2796 of the Fish and Game Code.
       3.     Of the amount appropriated in 
              this item, $3,000,000 shall be 
              used for riparian restoration 
              projects along Chollas Creek. 


   SEC. 27.    Item 3640-401 is added to Section 2.00 of
the   Budget Act of 2015   , to read:  

 3640-401--Of the amount appropriated 
 pursuant to paragraph (1) of subdivision 
 (b) of Section 75055 of the Public 
 Resources Code, $5,000,000 shall be used 
 for restoration of riparian habitat and 
 wetlands projects along the Los Angeles 
 River. 
 

   SEC. 28.    Item 3640-402 is added to Section 2.00 of
the   Budget Act of 2015   , to read:  

 3640-402--Of the amount appropriated 
 pursuant to subdivision (a) of Section 
 79572 of the Water Code, $20,000,000 
 shall be used for restoration of riparian 
habitat and wetlands projects along the 
 Los Angeles River. 
 

   SEC. 29.    Item 3640-494 is added to Section 2.00 of
the   Budget Act of 2015   , to read:  

 3640-494--Reappropriation, Wildlife 
 Conservation Board. The amount specified in 
 the following citation is reappropriated for 
 the purposes provided for in those 
 appropriations and shall be available for 
 transfer upon the order of the Director of 
 Finance until June 30, 2020. 
      0001--General Fund 
      (1) Item 3640-311-0001, Budget 
          Act of 2014 (Chs. 25 and 
          663, Stats. 2014).......... 3,000,000 
      Provisions: 
      1.  The funds reappropriated in this 
          item shall be used to fund the 
          restoration of riparian habitat 
          along Chollas Creek. 
 

   SEC. 30.    Item 3720-001-8029 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

3720-001-8029--For support of California
Coastal Commission, payable from the
Coastal Trust Fund..........................    500,000
     Schedule:
     (1) 2730-Coastal Management
         Program....................  500,000


   SEC. 31.    Item 3760-001-8029 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

3760-001-8029--For support of State Coastal
Conservancy, payable from the Coastal Trust
Fund........................................    200,000
     Schedule:
     (1) 2790-Coastal Conservancy
         Programs...................  200,000


   SEC. 32.    Item 3760-101-8029 of Section 2.00 of the
 Budget Act of 2015   is repealed. 

3760-101-8029--For local assistance, State
Coastal Conservancy, payable from the Coastal
Trust Fund.................................... 1,300,000
     Schedule:
     (1) 2805032-Conservancy
         Programs.................... 1,300,000


   SEC. 33.    Item 3790-001-0392 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
3790-001-0392--For support of Department of
Parks and Recreation, payable from the
State Parks and Recreation Fund.............  168,560,000

                                               171,867,000 
    Schedule:
    (1)   2840-Support of the
          Department of Parks
          and Recreation........   196,525,000 
                                   199,832,000 
    (2)   Reimbursements to
          2840-Support of the
          Department of Parks
          and Recreation........  -27,965,000
    Provisions:
    1.    It is the intent of the
          Legislature that salaries, wages,
          operating expenses, and positions
          associated with implementing
          specific Department of Parks and
          Recreation capital outlay projects
          continue to be funded through
          capital outlay appropriations, and
          that these funds should also be
          reflected in the
          department's state operations
          budget in the Governor's Budget as
          a special item of expense
          reflecting the funding provided
          from the capital outlay
          appropriations.
    2.    Notwithstanding any other
          provision of law, the Director of
          Finance may authorize a loan from
          the General Fund, in an amount not
          to exceed 35 percent of
          reimbursements appropriated in
          this item to the Department of
          Parks and Recreation, provided
          that:
          (a)     The loan is to meet cash
                  needs resulting from the
                  delay in receipt of
                  reimbursements for
                  services provided.
          (b)     The loan is for a short
                  term and shall be repaid
                  by September 30, 2016.
          (c)     Interest charges may be
                  waived pursuant to
                  subdivision (e) of Section
                  16314 of the Government
                  Code.
          (d)     The Director of Finance
                  may not approve the loan
                  unless the approval is
                  made in writing and filed
                  with the Chairperson of
                  the Joint Legislative
                  Budget Committee and the
                  chairpersons of the
                  committees in each house
                  of the Legislature that
                  consider appropriations
                  not later than 30 days
                  prior to the effective
                  date of the approval, or
                  not later than whatever
                  lesser time prior to that
                  effective date that the
                  chairperson of the joint
                  committee, or his or her
                  designee, may determine.
    3.    The Department of Parks and
          Recreation is authorized to enter
          into a contract for fee collection
          and other services required by the
          department with a cooperative
          association that has and will
          continue to fund state employees
          on an ongoing basis.


   SEC. 34.    Item 3790-001-0942 is added to Section
2.00 of the   Budget Act of 2015   , to read: 
 
 3790-001-0942--For Support, Department of 
 Parks and Recreation, payable from the Special 
 Deposit Fund ..................................  1,600,000

      Provisions: 
      1.  Funds appropriated in this item shall 
          be for making necessary renovations to 
          the Historic Governor's Mansion in 
          Sacramento pursuant to Section 8174 of 
          the Government Code and are available 
          for encumbrance until June 30, 2018. 
 

   SEC. 35.    Item 3790-301-0392 of Section 2.00 of the
  Budget Act of 2015  is amended to read: 
3790-301-0392--For capital outlay, Department
of Parks and Recreation, payable from the State   5,950,0

Parks and Recreation Fund.......................       00
  
                                                   678,000 
    Schedule:
    (0.5)   0000225-Leo Carrillo
            SP: Steelhead Trout
            Barrier Removal-
            -Construction...........      351,000
    (0.8)   0000764-Border Field
            SP: Public Use
            Improvements-
            -Preliminary plans,
            working drawings, and
            construction............     5,950  
  678  ,000
    (1)     0000698-Mendocino
            Headlands SP: Big River
            Watershed Restoration--
            Preliminary plans,
            working drawings, and
            construction............    1,741,000
    (1.5)   Reimbursements to
            0000225-Leo Carrillo
            SP: Steelhead Trout
            Barrier Removal-
            -Construction...........     -351,000
    (2)     Reimbursements to
            0000698-Mendocino
            Headlands SP: Big River
            Watershed Restoration--
            Preliminary plans,
            working drawings, and
            construction............   -1,741,000
    Provisions:
     1.      Notwithstanding any other provision 
             of law, the funds appropriated in 
             Schedule (0.8) shall be available 
             for expenditure until June 30, 2020. 
     1.      It is the intent of the Legislature 
             that the future phases of the 
             project in Schedule (0.8) be funded 
             with the balance of the funds 
             received from the settlement of the
             federal condemnation of property at 
             the Border Field State Park. 


   SEC. 36.    Item 3820-001-8029 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

3820-001-8029--For support of San Francisco
Bay Conservation and Development
Commission, payable from the Coastal Trust
Fund........................................    500,000
     Schedule:
     (1) 2980-Bay Conservation and
         Development................  500,000


   SEC. 37.    Item 3860-001-6052 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
3860-001-6052--For support of Department
of Water Resources, payable from the
Disaster Preparedness and Flood
Prevention Bond Fund of 2006.............. 192,795,000
    Schedule:
    (1)   3230-Continuing
          Formulation of the
          California Water
          Plan................    6,929,000
    (2)   3245-Public Safety
          and Prevention of
          Damage..............  182,054,000
    (3)   3250-Central Valley
          Flood Protection
          Board...............    3,812,000
    Provisions:
    1.    The amounts appropriated in this
          item shall be transferred to the
          Water Resources Revolving Fund
          (0691) for direct expenditure in
          such amounts as the Department
          of Finance may authorize,
          including cooperative work with
          other agencies.
    2.    The amounts appropriated in this
          item shall be available for
          encumbrance or expenditure until
          June 30, 2020, and available for
          liquidation until June 30, 2023.
    3.    The Department of Water
          Resources may transfer amounts
          appropriated in this item to
          other Department of Water
          Resources flood protection-
          related major capital outlay
          projects and local assistance
          items with an active
          appropriation, as necessary for
          the FloodSAFE initiative.
     4.    Of the funds appropriated by 
           this item, $30,000,000 shall be 
           transferred from the Department 
           of Water Resources to the Santa 
           Monica Mountains Conservancy for 
           acquisition and improvement of a 
           multi-benefit flood protection 
           project on the Lost Angeles 
           River contiguous to existing 
           public land and identified in 
           the plan for the upper Los 
           Angeles River Watershed pursuant 
           to Section 79508 of the Water 
           Code. 
     5.    Prior to expending funds 
           pursuant to Provision 4 on a 
           project to be jointly funded by 
           two or more public agencies, a 
           memorandum of understanding or 
           other agreement, including an 
           agreement pursuant to Section 
           6502 of the Government Code, 
           shall be entered into by the 
           respective parties concerning: 
           (a) provision for immediate 
           flood protection and 
           environmental enhancement of 
           lands adjoining the river; (b) a 
           joint planning process for the 
           long-term restoration and 
           improvement of the property, and 
           (c) provision that the State 
           shall have no liability for 
           environmental remediation. 
     6.    The executive director of the 
           Santa Monica Mountains 
           Conservancy shall give not less 
           than 30 days notice to the 
           chairperson of the Joint 
           Legislative Budget Committee and
           the chairpersons of the policy 
           committees of     each house of 
           the Legislature of the terms and 
           conditions of any grant proposed 
           to be awarded pursuant to 
           Provision 4. 
     7.    Of the funds appropriated in 
           this item, $6,000,000 is 
           available for allocation to a 
           city for the restoration of 
           Chollas Creek. 


   SEC. 38.    Item 3900-001-0462 is added to Section
2.00 of the   Budget Act of 2015   , to read: 
 
 3900-001-0462--For support of State Air 
 Resources Board, payable from the Public 
 Utilities Commission Utilities 
 Reimbursement Account ......................    335,000 
      Schedule: 
      (1) 3510-Climate Change........  335,000 
 

   SEC. 39.    Item 3900-101-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

3900-101-3228--For local assistance,
State Air Resources Board, payable from
the Greenhouse Gas Reduction Fund......... 197,266,000
    Schedule:
    (1)   3510-Climate Change.  197,266,000
    Provisions:
    1.    Notwithstanding Section 16304.1
          of the Government Code, the
          funds appropriated in this item
          shall be available for
          encumbrance until June 30, 2018,
          and be available for liquidation
          of encumbrances until June 30,
          2021.


   SEC. 40.    Item 3940-001-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
3940-001-0890--For support of State Water
Resources Control Board, payable from the
Federal Trust Fund............................  47,155,000

                                                 48,655,000 

     Schedule:
     (1)   3560-Water Quality.....   41,005,000
     (2)   3565-Drinking Water
           Quality................     5,912,000 
                                       7,412,000 
     (3)   3570-Water Rights......      238,000
     (4)   9900100-Administration.    2,876,000
     (5)   9900200-Administration-
           -Distributed...........   -2,876,000


   SEC. 41.    Item 3970-101-3228 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

3970-101-3228--For local assistance,
Department of Resources Recycling and
                                                         Recovery,
payable from the Greenhouse Gas
Reduction Fund................................ 19,416,000
     Schedule:
     (1)   3700-Waste
           Reduction and
           Management.............   19,416,000
     Provisions:
     1.    Notwithstanding subdivision (a) of
           Section 1.80, funds appropriated in
           this item shall be available for
           expenditure until June 30, 2018.
     2.    Notwithstanding Section 16304.1 of
           the Government Code, funds
           appropriated in this item shall be
           available for liquidation of
           encumbrances until June 30, 2020.


   SEC. 42.    Item 4170-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4170-101-0001--For local assistance,
California Department of Aging................  31,652,000

                                                 27,652,000 

     Schedule:
     (1)   3890-Nutrition.........    7,068,000
     (2)   3900-Supportive
           Services...............     5,066,000 
                                       1,066,000 
     (3)   3905-Community-Based
           Programs and Projects..    4,493,000
     (4)   3910-Medi-Cal Programs.   20,232,000
     (5)   Reimbursements to 3900-
           Supportive Services....      -66,000
     (6)   Reimbursements to 3905-
           Community-Based
           Programs and Projects..   -4,493,000
     (7)   Reimbursements to 3890-
           Nutrition..............     -648,000
     Provisions:
     1.    Notwithstanding Section 26.00, the
           Department of Finance, upon
           notification by the California
           Department of Aging, may authorize
           transfers between Program 3890-
           Nutrition and Program 3900-
           Supportive Services in response to
           budget revisions submitted by the
           area agencies on aging.
     2.    Of the funds appropriated in this
           item, the Controller shall, upon
           enactment of this act, reimburse
           the amount specified in Program
           3910-Medi-Cal Programs to the State
           Department of Health Care Services
           for support of the Multipurpose
           Senior Services Program.


   SEC. 43.    Item 4260-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4260-001-0001--For support of State
Department of Health Care Services..........  178,077,000

                                               176,877,000 
    Schedule:
    (1)   3960-Health Care
          Services..............   206,133,000 
                                   204,933,000 
    (2)   9900100-
          Administration........   37,941,000
    (3)   9900200-
          Administration--
          Distributed...........  -37,941,000
    (4)   Reimbursements to
          3960-Health Care
          Services..............  -28,056,000
    Provisions:
    1.    Effective February 1, 2009, the
          State Department of Health Care
          Services shall report biennially
          in writing on the results of the
          additional positions established
          under the 2003 Medi-Cal Anti-Fraud
          Initiative to the chairpersons of
          the committees in each house of
          the Legislature that consider
          appropriations and the Chairperson
          of the Joint Legislative Budget
          Committee. The report shall
          include the results of the most
          recently completed biennial error
          rate study and random claim
          sampling process, the number of
          positions filled by division, and,
          for each of the components of the
          initiative, the amount of savings
          and cost avoidance achieved and
          estimated, the number       of
          providers sanctioned, and the
          number of claims and beneficiary
          records reviewed.
    2.    The State Department of Health
          Care Services shall provide a
          quarterly accounting of
          expenditures associated with the
          8.0 audit positions for the
          Targeted Case Management Program
          identified in the Budget Act of
          2010 (Ch. 712, Stats. 2010). The
          department shall make the
          quarterly accounting of
          expenditures available to
          designated representatives of the
          local government agencies not
          later than the last day of the
          third quarter of the 2010-11
          fiscal year, and on the last day
          of each subsequent quarter
          thereafter.
    3.    (a)     The State Department of
                  Health Care Services shall
                  withhold 1 percent of
                  reimbursements to local
                  educational agencies
                  (LEAs) for the purpose of
                  funding the work and
                  related administrative
                  costs associated with the
                  audit resources approved
                  in the Budget Act of 2010
                  (Ch. 712, Stats. 2010) to
                  ensure fiscal
                  accountability of the LEA
                  Medi-Cal Billing Option
                  Program and to comply with
                  the California Medi-Cal
                  State Plan. The withhold
                  percentage shall be
                  applied to funds paid to
                  LEAs for health services
                  based upon the date of
                  payment, and excluding
                  cost settlement payments.
                  Moneys collected as a
                  result of the reduction in
                  federal Medicaid payments
                  allocable to LEAs shall be
                  deposited into a special
                  deposit fund account,
                  which shall be established
                  by the department. The
                  department shall return
                  all unexpended funds in
                  the special deposit fund
                  account proportionately to
                  all LEAs that contributed
                  to the account, during the
                  second quarter of the
                  subsequent fiscal year.
                  The annual amount withheld
                  shall not exceed $650,000,
                  but may be adjusted
                  with approval of the LEA
                  Medi-Cal billing entities.
          (b)     The department shall
                  provide a quarterly
                  accounting of expenditures
                  made from the special
                  deposit fund account. The
                  department shall make the
                  quarterly accounting of
                  expenditures available to
                  the public not later than
                  the last day of the third
                  quarter of the 2010-11
                  fiscal year, and on the
                  last day of each
                  subsequent quarter
                  thereafter.
    4.    Of the funds appropriated in this
          item, $224,000 shall be used to
          support the system changes
          necessary to implement federal
          health care reform. These funds
          are not authorized for expenditure
          until approved by the Director of
          Finance. The       Director of
          Finance shall provide notification
          in writing to the Joint
          Legislative Budget Committee of
          any expenditure approved under
          this provision not less than 30
          days prior to the effective date
          of the approval. This 30-day
          notification shall include a plan
          for the system changes necessary
          to implement the requirements of
          the federal Patient Protection and
          Affordable Care Act (P.L. 111-148).
    5.    Of the funds appropriated in
          Schedule (1), $1,162,000 may not
          be expended until the Centers for
          Medicare and Medicaid Services
          approval is received for the Drug
          Medi-Cal Organized Delivery System
          1115 Demonstration Waiver.
     6.    Of the funds appropriated in this 
           item, up to $1,000,000 shall be 
           used for research to determine the 
           feasibility of a capped program 
           that would provide medical 
           assistance to individuals 19 years 
           of age or older who do not have 
           satisfactory immigration status or 
           are unable to establish 
           satisfactory immigration status, 
           as required by Section 14011.2 of 
           the Welfare and Institutions Code. 


   SEC. 44.    Item 4260-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4260-101-0001--For local assistance,
State Department of Health Care
Services, California Medical Assistance
Program, payable from the Health Care
Deposit Fund after transfer from the
General Fund.............................  17,328,587,000

                                            17,216,506,000 
    Schedule:
    (1)  3960014-Eligibility
         (County
         Administration).....  772,801,000
    (2)  3960018-Fiscal
         Intermediary
         Management..........  151,826,000
    (3)  3960022-Benefits
         (Medical Care and     21,645,897,0 
         Services)...........           0  
21,533,816,  0
                                         00 
    (4)  Reimbursements to
         3960014-Eligibility
         (County
         Administration).....   -3,217,000
    (5)  Reimbursements to
         3960018-Fiscal
         Intermediary
         Management..........            0
    (6)  Reimbursements to
         3960022-Benefits
         (Medical Care and    -5,238,720,0
         Services)...........           00
    Provisions:
    1.   The aggregate principal amount
         of disproportionate share
         hospital general obligation debt
         that may be issued in the
         current fiscal year pursuant to
         subparagraph (A) of paragraph
         (2) of subdivision (f) of
         Section 14085.5 of the Welfare
         and Institutions Code shall be
         $0.
    2.   Notwithstanding any other
         provision of law, both the
         federal and nonfederal shares of
         any moneys recovered for
         previously paid health care
         services, provided pursuant to
         Chapter 7 (commencing with
         Section       14000) of Part 3
         of Division 9 of the Welfare and
         Institutions Code, are hereby
         appropriated and shall be
         expended as soon as practicable
         for medical care and services as
         defined in the Welfare and
         Institutions Code.
    3.   Notwithstanding any other
         provision of law, accounts
         receivable for recoveries as
         described in Provision 2 shall
         have no effect upon the positive
         balance of the General Fund or
         the Health Care Deposit Fund.
         Notwithstanding any other
         provision of law, moneys
         recovered as described in this
         item that are required to be
         transferred from the Health Care
         Deposit Fund to the General Fund
         shall be credited by the
         Controller to the General Fund
         without regard to the
         appropriation from which it was
         drawn.
    4.   Without regard to fiscal year,
         the General Fund shall make one
         or more loans available not to
         exceed a cumulative total of
         $45,000,000 to be transferred as
         needed to the Health Care
         Deposit Fund to meet cash needs.
         All moneys so transferred shall
         be repaid as soon as sufficient
         reimbursements have been
         collected to meet immediate cash
         needs and in installments as
         reimbursements accumulate if the
         loan is outstanding for more
         than one year.
    5.   Notwithstanding any other
         provision of law, the State
         Department of Health Care
         Services may give public notice
         relative to proposing or
         amending any rule or regulation
         that could result in increased
         costs in the Medi-Cal program
         only after approval by the
         Department of Finance.
         Additionally, any rule or
         regulation adopted by the State
         Department of Health Care
         Services and any communication
         that increases costs in the Medi-
         Cal program shall be effective
         only after the date upon which
         it is approved by the Department
         of Finance.
    6.   Of the funds appropriated in
         this item, up to $50,000 may be
         allocated for attorney's fees
         awarded pursuant to state or
         federal law without prior
         notification to the Legislature.
         Individual settlements
         authorized under this provision
         shall not exceed $5,000. The
         semiannual estimates of Medi-Cal
         expenditures due to the
         Legislature in January and May
         shall reflect attorney's fees
         paid 15 or more days prior to
         the transmittal of the estimate.
         The semiannual estimates of Medi-
         Cal expenditures provided to the
         Legislature in January and May
         may constitute the notification
         required by this provision.
    7.   Change orders to the medical or
         the dental fiscal intermediary
         contract for amounts exceeding a
         total cost of $250,000 shall be
         approved by the Department of
         Finance not sooner than 30 days
         after written notification of
         the change order is provided to
         the chairpersons of the fiscal
         and policy committees in each
         house of the Legislature and to
         the Chairperson of the Joint
         Legislative Budget Committee, or
         not sooner than whatever lesser
         time after that notification as
         the chairperson of the joint
         committee, or his or her
         designee, may determine. The
         semiannual estimates of Medi-Cal
         expenditures provided to the
         Legislature in January and May
         may constitute the notification
         required by this provision.
    8.   Recoveries of advances made to
         counties in prior years pursuant
         to Section 14153 of the Welfare
         and Institutions Code are
         reappropriated to the Health
         Care Deposit Fund for
         reimbursement of those counties
         where allowable costs exceeded
         the amounts advanced. Recoveries
         in excess of the amounts
         required to fully reimburse
         allowable costs shall be
         transferred to the General Fund.
         When a projected deficiency
         exists in the California Medical
         Assistance Program, these funds,
         subject to notification to the
         Chairperson of the Joint
         Legislative Budget Committee,
         are appropriated and shall be
         expended as soon as practicable
         for the state's share of
         payments for medical care and
         services, county administration,
         and fiscal intermediary services.
    9.   The Department of Finance may
         transfer funds representing all
         or any portion       of any
         estimated savings that are a
         result of improvements in the
         Medi-Cal claims processing
         procedures from the Medi-Cal
         services budget or the support
         budget of the State Department
         of Health Care Services (Item
         4260-001-0001) to the fiscal
         intermediary budget item for
         purposes of making improvements
         to the Medi-Cal claims system.
    10.  Notwithstanding any other
         provision of law, the Department
         of Finance may authorize the
         transfer of expenditure
         authority between Schedules (1),
         (2), and (3) of this item and
         between this item and Items 4260-
         102-0001, 4260-111-0001, 4260-
         113-0001, and 4260-117-0001 in
         order to effectively administer
         the programs funded in these
         items. The Department of Finance
         shall notify the Legislature
         within 10 days of authorizing
         such a transfer unless prior
         notification of the transfer has
         been included in the       Medi-
         Cal estimates submitted pursuant
         to Section 14100.5 of the
         Welfare and Institutions Code.
         The 10-day notification to the
         Legislature shall include the
         reasons for the transfer, the
         fiscal assumptions used in
         calculating the transfer amount,
         and any potential fiscal effects
         on the program from which funds
         are being transferred or for
         which funds are being reduced.
    11.  If a federal grant that provides
         75 percent federal financial
         participation to allow
         individuals in nursing homes to
         voluntarily move into a
         community setting and still
         receive the same amount of
         funding for services is awarded
         to the State Department of
         Health Care Services during the
         current fiscal year, then,
         notwithstanding any other
         provision of law, the department
         may count expenditures from the
         appropriation made to this item
         as state matching funds for that
         grant.
    12.  Notwithstanding any other
         provision of law, the Director
         of Finance may authorize an
         increase to this appropriation
         to address costs resulting from
         adverse court rulings. The
         Department of Finance shall
         provide a 30-day notice of any
         proposed increase to the
         Legislature. The notification
         shall include the specifics of
         any cases with adverse rulings
         and the overall fiscal impact.
         Submission of the semiannual
         Medi-Cal estimate provided to
         the Legislature in January and
         May shall be considered meeting
         the notification requirement of
         this provision if the required
         information is included in the
         estimate.
    13.  The Department of Finance may
         authorize the transfer of
         expenditure       authority from
         Schedule (2) of Item 4300-101-
         0001 to this item to support the
         transition of current Medi-Cal
         eligible regional center clients
         receiving behavioral health
         treatment services pursuant to
         Section 14132.56 of the Welfare
         and Institutions Code upon
         completion of the statewide
         transition plan.
         The Director of Finance shall
         provide notification to the
         Joint Legislative Budget
         Committee of any transfer of
         expenditure authority approved
         under this provision not less
         than 30 days prior to the
         effective date of the approval.
         The 30-day notification shall
         include a description of the
         transfer, including the number
         of children per regional center
         affected, the average cost of
         behavioral health treatment
         services for a regional center
         consumer, and the average cost
         of behavioral health treatment
         services for a Medi-Cal
         enrollee, and assumptions used
         in calculating the amount of
         expenditure authority to be
         transferred.
    14.  Notwithstanding any other law,
         the Department of Finance may
         authorize the transfer of
         expenditure authority from
         Schedules (2) and (3) of this
         item and Items 4260-102-0001,
         4260-113-0001, and 4260-117-
         0001, to Schedule (1) of this
         item if additional savings are
         identified. The Department of
         Finance shall notify the Joint
         Legislative Budget Committee
         within 10 days of authorizing
         such a transfer.


   SEC. 45.    Item 4260-101-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4260-101-0890--For local assistance,
State Department of Health Care
Services, payable from the Federal Trust
Fund.....................................  50,287,356,000

                                            50,169,721,000 
    Schedule:
    (1)  3960014-Eligibility
         (County              2,964,301,00
         Administration).....            0
    (2)  3960018-Fiscal
         Intermediary
         Management..........  303,590,000
    (3)  3960022-Benefits
         (Medical Care and     47,019,465,0 
          Services)........... 46,901,830,0 
          Services)........... 
  00
    Provisions:
    1.   Notwithstanding any other law,
         the Department of Finance may
         authorize the transfer of
         expenditure authority between
         this item and Items 4260-102-
         0890, 4260-106-0890, 4260-111-
         0890, 4260-113-0890, and 4260-
         117-0890 in order to effectively
         administer the programs funded
         in these items. The Department
         of Finance shall notify the
         Legislature within 10 days of
         authorizing such a transfer
         unless prior notification of the
         transfer has been included in
         the Medi-Cal estimates submitted
         pursuant to Section 14100.5 of
         the Welfare and Institutions
         Code. The 10-day notification to
         the Legislature shall include
         the reasons for the transfer,
         the fiscal assumptions used in
         calculating the transfer amount,
         and any potential fiscal effects
         on the program from which funds
         are being transferred or for
         which funds are being reduced.
    2.   (a)    The Department of Finance
                is authorized to approve
                expenditures payable from
                the Federal Trust Fund
                (Item 4260-101-0890) in
                those amounts made
                necessary by changes in
                either caseload or
                payments.
         (b)    If the Department of
                Finance determines that
                the estimate of
                expenditures will exceed
                the expenditures
                authorized for this item,
                the department shall so
                report to the
                Legislature. At the time
                the report is made, the
                amount of the
                appropriation made in
                this item shall be
                increased by the amount
                of the excess unless and
                until otherwise provided
                by law.


   SEC. 46.    Item 4260-115-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4260-115-0001--For local assistance, State
Department of Health Care Services............  6,418,000

                                                 5,418,000 
     Schedule:
     (1) 3960050-Other Care Services.  6,418,000 
 
                                       5,418,000 


   SEC. 47.    Item 4260-116-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4260-116-0001--For local assistance, State
Department of Health Care Services........... 35,700,000

                                                33,900,000 
     Schedule:
     (1)   3960050-Other Care
           Services..............    47,303,000 
                                     45,503,000 
     (2)   Reimbursements to
           3960050-Other Care
           Services..............  -11,603,000


   SEC. 48.    Item 4260-118-0313 is added to Section
2.00 of the  Budget Act of 2015   , to read: 
 
 4260-118-0313--For support of State 
 Department of Health Care Services, payable 
 from the Major Risk Medical Insurance Fund .. 4,500,000 
      Schedule: 
      (1) 3960-Health Care Services.. 4,500,000 
      Provisions: 
      1.  Of the amount appropriated in 
          Schedule (1), up to $2,000,000 may 
          be allocated to Lifelong Medical 
          Care, and up to $2,500,000 may be 
          allocated to the Robert F. Kennedy 
          Health Plan. 
 

   SEC. 49.    Item 4265-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4265-001-0001--For support of State
Department of Public Health................  69,981,000

                                              68,525,000 
    Schedule:
    (19)   4040-Public Health
           Emergency
           Preparedness........      443,000
    (20)   4045-Public and
           Environmental
           Health..............  11  8   7
,  456   000
 ,000
    (21)   4050-Licensing and
           Certification.......   15,274,000
    (22)   9900100-
           Administration......   35,980,000
    (23)   9900200-
           Administration-
           -Distributed........  -35,980,000
    (24)   Reimbursements to
           4045-Public and
           Environmental
           Health..............  -49,051,000
    (25)   Reimbursements to
           4050-Licensing and
           Certification.......  -15,141,000
    Provisions:
    1.     Except as otherwise prohibited
           by law, the State Department of
           Public Health shall promulgate
           emergency regulations to adjust
           the public health fees set by
           regulation to an amount such
           that, if the new fees were
           effective throughout the 2015-16
           fiscal year, the estimated
           revenues would be sufficient to
           offset at least 95 percent of
           the approved program level
           intended to be supported by
           those fees. The General Fund
           fees of the department that are
           subject to the annual fee
           adjustment pursuant to
           subdivision (a) of Section
           100425 of the Health and Safety
           Code shall be increased by 10.46
           percent. The special fund fees
           of the department that are
           subject to the annual fee
           adjustment pursuant to

     subdivision (a) of Section
           100425 of the Health and Safety
           Code may be increased by 10.46
           percent only if the fund
           condition statement for a fund
           projects a reserve less than 10
           percent of estimated
           expenditures and the revenues
           projected for the 2015-16 fiscal
           year are less than the
           appropriation contained in this
           act.
    2.     Notwithstanding subdivision (b)
           of Section 100450 of the Health
           and Safety Code, departmental
           fees that are subject to the
           annual fee adjustment pursuant
           to subdivision (a) of Section
           100450 of the Health and Safety
           Code shall not be increased for
           the 2015-16 fiscal year. This
           adjustment shall not be applied
           to fees established by
           subdivisions (f), (g), (m), and
           (s) of Section 1300 of the
           Business and Professions Code.
    3.     The State Department of Public
           Health shall limit expenditures
           in this item to implement the
           Uniform Anatomical Gift Act (Ch.
           829, Stats. 2000) to the amount
           of actual fees collected from
           tissue       banks.


   SEC. 50.    Item 4265-111-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4265-111-0001--For local assistance, State
Department of Public Health................  48,787,000

                                              45,143,000 
    Schedule:
    (1.5)  4040-Public Health
           Emergency
           Preparedness........    4,960,000
    (2.5)  4045-Public and
           Environmental
           Health..............   186,176,000 
                                  182,532,000 
    (3.5)  Reimbursements to
           4045-Public and
           Environmental
           Health.............. -142,349,000
    Provisions:
    1.     The Office of AIDS in the State
           Department of Public Health, in
           allocating and processing
           contracts and grants, shall
           comply with the same
           requirements that are
           established for contracts and
           grants for other public health
           programs.       Notwithstanding
           any other provision of law, the
           contracts or grants administered
           by the Office of AIDS shall be
           exempt from the Public Contract
           Code and shall be exempt from
           approval by the Department of
           General Services prior to their
           execution.
    2.     The appropriation in this item
           for the Alzheimer's Research
           Centers shall be used for direct
           services, including, but not
           limited to, diagnostic
           screening, case management,
           disease management, support for
           caregivers, and related services
           necessary for positive client
           outcomes.


   SEC. 51.    Item 4300-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4300-101-0001--For local assistance,
State Department of Developmental
Services, for Regional Centers...........  3,204,216,000

                                            3,135,797,000 
    Schedule:
    (1)  4140015-Operations..   626,934,000  

                                615,536,000 
    (2)  4140019-Purchase of   4,740,592,00  

         Services............             
4,643,096,0  0
                                          0 
    (3)  4140027-Early
         Intervention
         Program.............      143,000
    (4)  4140031-Prevention
         Program.............    2,003,000
    (5)  Reimbursements to
         4140015-Operations..  -196,409,000  

                               -192,137,000 
    (6)  Reimbursements to
         4140019-Purchase of   -1,968,904,0  

          Services............ -1,932,701,0 
          Services............ 
  00
    (7)  Reimbursements to
         4140027-Early
         Intervention
         Program.............     -143,000
    Provisions:
    1.   Upon order of the Director of
         Finance, the Controller shall
         transfer such funds as are
         necessary between this item and
         Item 4300-003-0001. Within 10
         working days after approval of a
         transfer as authorized by this
         provision, the Department of
         Finance shall notify the
         chairpersons of the fiscal
         committees in each house of the
         Legislature and the Chairperson
         of the Joint Legislative Budget
         Committee of the       transfer,
         including the amount
         transferred, how the amount
         transferred was determined, and
         how the amount transferred will
         be utilized.
    2.   A loan or loans shall be made
         available from the General Fund
         to the State Department of
         Developmental Services not to
         exceed a cumulative total of
         $395,000,000. The loan funds
         shall be transferred to this
         item as needed to meet cashflow
         needs due to delays in
         collecting reimbursements from
         the Health Care Deposit Fund.
         All moneys so transferred shall
         be repaid as soon as sufficient
         reimbursements have been
         collected to meet immediate cash
         needs and in installments as
         reimbursements accumulate if the
         loan is outstanding for more
         than one year.
    3.   Notwithstanding Section 26.00,
         the Department of Finance may
         authorize transfer of
         expenditure authority between
         Schedules (1) and (2) in order
         to more accurately reflect
         expenditures in the Early
         Intervention Program (Part C of
         the Individuals with
         Disabilities Education Act).
    4.   Notwithstanding Section 26.00,
         the Department of Finance may
         authorize transfer of
         expenditure authority from
         Schedule (4) 4140031-Prevention
         Program to Schedule (2) 4140019-
         Purchase of Services to more
         accurately reflect expenditures
         in the Prevention and Early
         Start Programs.
     5.   Upon order of the Department of 
          Finance, the Controller shall 
     5.   The       Department of Finance 
          may authorize a  transfer  up to
$2,800,000 
          between this item and Item 4300- 
          001-0001 in order to effectively 
          administer the Self- 
          Determination Program. The 
          Department of Finance may 
          authorize a transfer pursuant to 
          pursuant to this provision no 
          this provision no  sooner than 30 
days after 
          days after  notification in  writing
is 
          writing is  provided to the 
  chairpersons 
 of 
          chairpersons of  the fiscal 
committees   in 
 each 
          committees in each  house of the 
Legislature and the 
          Legislature and the  Chairperson  of
the Joint
          of the Joint  Legislative Budget
 Committee of 
          Committee of  the transfer,  including
the 
          amount transferred, how the 
          including the  amount  transferred
  was 
          transferred, how the amount 
          transferred was  determined, and  how
the amount 
          how the amount  transferred will  be
utilized. 
          be utilized. 
    6.   The Department of Finance may
         authorize the transfer of
         expenditure authority from
         Schedule (2) 4140019 Purchase of
         Services to Item 4260-101-0001
         to support the transition of
         current Medi-Cal eligible
         regional center consumers
         receiving behavioral health
         treatment services pursuant to
         Section 14132.56 of the Welfare
         and Institutions Code, upon
         completion of the statewide
         transition plan.
         The Director of Finance shall
         provide notification to the
         Joint Legislative Budget
         Committee of any transfer of
         expenditure authority approved
         under this provision not less
         than 30 days prior to the
         effective date of the approval.
         The 30-day notification shall
         include a description of the
         transfer, including the number
         of children per regional center
         affected, the average cost of
         behavioral health treatment
         services for a regional center
         consumer, the average cost of
         behavioral health treatment
         services for a Medi-Cal
         enrollee, and assumptions used
         in calculating the amount of
         expenditure authority to be
         transferred.
     7.   Utilizing the work of the Health 
          and Human Services Agency's 
          Developmental Services Task 
          Force and the State Department 
          of Developmental Services' Home 
          and Community-Based Services 
          Advisory Group, the department 
          shall report to the committees 
          in the Senate and Assembly that 
          consider the budget during the 
          2016-17 budget process on its 
          evaluation of the existing rate- 
          setting methodologies for 
          community-based services and 
          supports for persons with 
          developmental disabilities and 
          the regional center operations 
          budget core staffing formula. 
          The evaluation shall consider 
          all of the following: 
          (1) Supporting maximum federal 
          funding participation. 
          (2) Meeting the current and 
          future needs of persons with 
          developmental disabilities, 
          including, but not limited to, 
          those moving from developmental 
          centers. 
          (3) Ensuring that services and 
          supports provided are culturally 
          competent. 
          (4) Maximizing consumer choice, 
          including choice of providers 
          within a service category, 
          person-centered planning, and 
          integration in all aspects of 
          community life. 
          (5) Appropriate state and 
          federal law and regulation 
          requirements for caseload 
          ratios, staffing levels, 
          staffing competencies and 
          qualifications, prudent auditing 
          requirements, and other quality 
          control measures. 
          (6) Reasonable costs necessary 
          to sustainably provide quality 
          services and supports, including 
          statutory, regulatory, or 
          contractually required program 
          design components, including, 
          but not limited to, employee 
          wage and benefit requirements. 
          (7) Revised service codes that 
          more accurately reflect service 
          categories and improve the 
          ability of the department to 
          analyze and project expenditure 
          trends. 
          (8) Meeting the current and 
          future needs of consumers 
          through a cost-effective and 
          sustainable approach. 


   SEC. 52.    Item 4440-011-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
4440-011-0001--For support of State
Hospitals, State Department of State
Hospitals................................  1,534,825,000

                                            1,537,001,000 
    Schedule:
    (1)  4380010-Program
         Administration......   32,521,000
    (2)  4380019-In-Patient    1,599,409,00  

         Services............             
1,601,585,0  0
                                          0
    (3)  4380028-Conditional
         Release.............   28,666,000
    (4)  4385-Evaluation and
         Forensic Services...   22,029,000
    (5)  4390-Legal Services.    6,310,000
    (6)  Reimbursements to
         4380019-In-Patient
         Services............ -154,110,000
    Provisions:
    1.   The reimbursements shall include
         amounts received in Schedule (6)
         by the State Department of State
         Hospitals as a result of billing
         state hospital bed day
         expenditures attributable to
         conservatees who are gravely
         disabled as defined in
         subparagraph (B) of paragraph
         (1) of subdivision (h) of
         Section 5008 of the Welfare and
         Institutions Code (Murphy
         Conservatee).
    2.   The Controller shall transfer
         the total amount attributable in
         the 2015-16 fiscal year to
         patient-generated collections
         for Lanterman-Petris-Short (LPS)
         Act patients as revenue to the
         General Fund.
    3.   Notwithstanding any other
         provision of law, funds
         appropriated to accommodate
         projected hospital population
         levels in excess of those that
         actually materialize, if any,
         shall revert to the General
         Fund. However, the Department of
         Finance may approve an increase
         in expenditures that are not
         related to caseload for the
         state hospitals through the
         redirection of funding that is
         reasonably believed not to be
         needed for accommodating
         projected hospital population
         levels if the approval is made
         in writing and filed with the
         Chairperson of the Joint
         Legislative Budget Committee and
         the chairpersons of the
         committees of each house of the
         Legislature that consider
         appropriations not later than 30
         days prior to the effective date
         of the approval, or prior to
         whatever lesser time the
         chairperson of the joint
         committee, or his or her
         designee, may in each instance
         determine. All notifications
         shall include (a) the reason for
         the proposed redirection of
         caseload funding to expenditures
         that are not related to
         caseload, (b) the approved
         amount, and (c) the basis of the
         Director of Finance's
         determination that the funding
         is not needed for accommodating
         projected hospital population
         levels.
    4.   Notwithstanding Section 26.00,
         the Department of Finance may
         authorize the transfer of
         expenditure authority between
         Schedules (1) and (5) in order
         to accurately reflect
         expenditures in these programs.
    5.   Of the amount appropriated in
         this item, $250,000 is to be
         used for candidates
         participating in psychiatric
         technician assistant 20/20
         training programs, subject to
         the terms and conditions in the
         Memorandum of Understanding with
         Bargaining Unit 18 that were
         agreed upon on June 16, 2010.
    6.   The       funds appropriated in
         Schedule (3) shall be used to
         provide community services as
         provided in Section 4360 of the
         Welfare and Institutions Code.
         These funds shall support direct
         community services, as well as
         administrative and ancillary
         services related to the
         provision of direct services.
    7.   The State Department of State
         Hospitals shall provide forensic
         conditional release services
         mandated either in Title 15
         (commencing with Section 1600)
         of Part 2 of the Penal Code or
         in Article 4 (commencing with
         Section 2960) of Chapter 7 of
         Title 1 of Part 3 of the Penal
         Code, through contracts with
         programs which integrate the
         supervision and treatment roles
         and providers selected
         consistent with Section 1615 of
         the Penal Code.
    8.   Of the funds appropriated in
         Schedule (3), it is intended
         that no funds shall be available
         for the payment of treatment
         services to persons on court
         visit from state hospitals to
         the community as designated in
         subdivision (a) of Section 4117
         of the Welfare and Institutions
         Code.
    9.   Funds appropriated in Schedule
         (5) may be used to reimburse the
         Department of Justice for legal
         services provided during the
         2015-16 fiscal year.
    10.  Upon approval of the State
         Department of State Hospitals, a
         portion of the funds
         appropriated in Schedule (2)
         shall be available to reimburse
         counties for the cost of
         treatment and legal services to
         patients in the five state
         hospitals, pursuant to Section
         4117 of the Welfare and
         Institutions Code. Expenditures
         made under this item shall be
         charged to either the fiscal
         year in which the claim is
         received or the fiscal year in
         which the Controller issues the
         warrant. Claims filed by local
         jurisdictions for legal services
         may be scheduled by the
         Controller for payment.
    11.  The Director of the State
         Department of State Hospitals
         shall submit two reports
         contained within the state
         hospital population estimate
         that consider the State Budget,
         comparing each institution's
         expenditures to its approved
         allotments for the fiscal year
         beginning July 1, 2015. The
         first report shall be submitted
         with the 2016-17 Governor's
         Budget and the second report
         shall be submitted with the 2016-
         17 Governor's Budget May
         Revision. If any institution's
         expenditures are trending above
         the allotments provided to it,
         the Director of the State
         Department of State Hospitals
         shall detail the reasons why the
         institution is spending at a
         level above its allotments and
         list the actions the department
         is undertaking in order to align
         expenditures with approved
         allotments. The first report
         shall contain a yearend summary
         and an operating budget for each
         of the institutions under the
         control of the State Department
         of State Hospitals.
         Specifically, the first report
         shall include:
         (a)    The yearend expenditures
                by line item detail for
                each institution in the
                2014-15 fiscal year.
         (b)    The allotments and
                projected expenditures
                for each institution in
                the 2015-16 fiscal year.
         (c)    The number of authorized
                and vacant positions,
                estimated overtime
                budget, estimated
                benefits budget, and
                operating expense and
                equipment budget for each
                institution.
         (d)    The clinical and
                ancillary
                physician/surgeon
                staffing ratios being
                implemented in the 2015-
                16 fiscal year.
         (e)    A list of all capital
                outlay projects occurring
                or projected to occur
                during the 2015-16 fiscal
                year.
         The second report shall include:
         (a)    Current allotments and
                projected expenditures
                for each institution in
                the 2015-16 fiscal year.
    12.  Of the funds appropriated in
          Schedule (2), up to $10,100,000 
          Schedule (2), up to $4,000,000 
         is available for additional
         restoration of competency
         contracts. The Department of
         Finance may authorize these
         expenditures upon completed
         contract negotiations and county
         approval of program expansion.
         The Department of Finance shall
         notify the Legislature within 10
         days of authorizing an
         expenditure for this purpose.
    13.  A cashflow loan or loans shall
         be available from the General
         Fund to the State Department of
         State Hospitals not to exceed
         $17,175,000 upon order of the
         Department of Finance, once the
         Governor's Office of Emergency
         Services has approved projects
         related to the 2014 South Napa
         Earthquake event. The loan funds
         shall be transferred to this
         item as needed to meet cashflow
         needs due to delays in
         collecting federal funding
         reimbursements through the
         Governor's Office of Emergency
         Services. All moneys so
         transferred shall be repaid as
         soon as sufficient
         reimbursements have been
         collected to meet immediate cash
         needs and in installments as
         reimbursements accumulate if the
         loan is outstanding for more
         than one year.


   SEC. 53.    Item 5160-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5160-001-0001--For support of Department of
Rehabilitation................................  58,718,000

                                                 58,586,000 

     Schedule:
     (1)   4210-Vocational
           Rehabilitation
           Services...............    65,844,000 
                                      65,712,000 
     (2)   4215-Independent
           Living Services........      554,000
     (3)   9900100-Administration.    7,276,000
     (4)   9900200-Administration-
           - Distributed..........   -7,276,000
     (5)   Reimbursements to 4210-
           Vocational
           Rehabilitation
           Services...............   -7,680,000
     Provisions:
     1.    Upon order of the Director of
           Finance, the Controller shall
           transfer such funds as are
           necessary between this item and
           Item 4300-101-0001 to provide for
           the transportation costs to and
           from work activity programs
           of clients who are receiving
           vocational rehabilitation services
           through the Vocational
           Rehabilitation/Work Activity
           Program (VR/WAP).
     2.    The Department of Rehabilitation
           shall maximize its use of certified
           time as a match for federal
           vocational rehabilitation funds. To
           the extent that certified time is
           available, it shall be used in lieu
           of the General Fund moneys.


   SEC. 54.    Item 5180-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-001-0001--For support of State
Department of Social Services.............  142,154,000

                                             142,514,000 
    Schedule:
    (1)    4270-Welfare
           Programs............  27,504,000
    (2)    4275-Social
           Services and
           Licensing...........  116,242,000 
                                 116,602,000 
    (3)    4285-Disability
           Evaluation and
           Other Services......  47,267,000
    (4)    9900100-
           Administration......  19,841,000
    (5)    9900200-
           Administration--
           Distributed......... -19,841,000
    (6)    Reimbursements to
           4270-Welfare
           Programs............  -1,110,000
    (7)    Reimbursements to
           4275-Social
           Services and
           Licensing........... -19,492,000
    (8)    Reimbursements to
           4285-Disability
           Evaluation and
           Other Services...... -28,257,000
    (9)    Reimbursements to
           9900100-
           Administration......  -2,441,000
    (10)   Reimbursements to
           9900200-
           Administration -
           -Distributed........   2,441,000
    Provisions:
    1.     The Department of Finance may
           authorize the transfer of funds
           from Schedule (2) of this item
           to Schedule (1), Program
           4275019, of Item 5180-151-0001,
           Children and Adult Services and
           Licensing, in order to allow
           counties to perform the
           facilities evaluation function.
    2.     The Department of Finance may
           authorize the transfer of funds
           from Schedule (2) of this item
           to Schedule (1), Program
           4275019, of Item 5180-151-0001,
           Children and Adult Services and
           Licensing, in order to allow
           counties to perform the
           adoptions program function.
    3.     Nonfederal funds appropriated
           in this item that have been
           budgeted to meet the state's
           Temporary Assistance for Needy
           Families maintenance-of-effort
           requirement established
           pursuant to the federal
           Personal Responsibility and
           Work Opportunity Reconciliation
           Act of 1996 (P.L. 104-193) may
           not be expended in any way that
           would cause their
           disqualification as a federally
           allowable maintenance-of-effort
           expenditure.
    4.     Notwithstanding paragraph (4)
           of subdivision (b) of Section
           1778 of the Health and Safety
           Code, the State Department of
           Social Services       may use
           no more than 20 percent of the
           fees collected pursuant to
           Chapter 10 (commencing with
           Section 1770) of Division 2 of
           the Health and Safety Code for
           overhead costs, facilities
           operation, and indirect
           department costs.
    5.     Upon request of the State
           Department of Social Services
           and the State Department of
           Health Care Services, the
           Director of Finance may
           authorize the transfer of
           amounts from Item 4260-101-
           0001, State Department of
           Health Care Services, to this
           item to fund the cost of the
           administrative hearing process
           associated with changes in aid

                   or service payments in the Medi-
           Cal program. The Department of
           Finance shall report to the
           Legislature the amount to be
           transferred pursuant to this
           provision. The transfer shall
           be authorized at the time the
           report is made.
    6.     Provision 1 of Items 5180-001-
           0270 and 5180-001-0279 also
           apply to this item.
    7.     The Department of Finance and
           Department of Technology shall
           determine the appropriateness
           of maintaining funding for
           permanent positions included in
           this item for the Child Welfare
           Services-New System project
           during the development of the
           budget for the 2019-20 fiscal
           year or after implementation of
           the project is completed,
           whichever is later.


   SEC. 55.    Item 5180-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-101-0001--For local assistance,
Department of Social Services...............  949,076,000

                                               939,153,000 
    Schedule:
    (1)   4270010-CalWORKs......   815,468,000  

                                   808,545,000 
    (2)   4270019-Other
          Assistance Payments...   133,900,000 
                                   130,900,000 
    (3)   Reimbursements to
          4270010-CalWORKs......     -292,000
    Provisions:
    1.    (a)     Funds appropriated in this
                  item shall not be
                  encumbered unless every
                  rule or regulation adopted
                  and every all-county
                  letter issued by the State
                  Department of Social
                  Services that adds to the
                  costs of any program is
                  approved by the Department
                  of Finance as to the
                  availability of funds
                  before it becomes
                  effective. In making the
                  determination as to
                  availability of funds to
                  meet the expenditures of a
                  rule, regulation, or all-
                  county letter that would
                  increase the costs of a
                  program, the Department of
                  Finance shall consider the
                  amount of the proposed
                  increase on an annualized
                  basis, the       effect
                  the change would have on
                  the expenditure
                  limitations for the
                  program set forth in this
                  act, the extent to which
                  the rule, regulation, or
                  all-county letter
                  constitutes a deviation
                  from the premises under
                  which the expenditure
                  limitations were prepared,
                  and any additional factors
                  relating to the fiscal
                  integrity of the program
                  or the state's fiscal
                  situation.
          (b)     Notwithstanding Sections
                  28.00 and 28.50, the
                  availability of funds
                  contained in this item for
                  rules, regulations, or all-
                  county letters that add to
                  program costs funded from
                  the General Fund in excess
                  of $500,000 on an annual
                  basis, including those
                  that are the result of a
                  federal regulation, but
                  excluding those that are
                  (a) specifically required
                  as a result of the
                  enactment of a federal or
                  state law or (b) included
                  in the appropriation made
                  by this act, shall not be
                  approved by the Department
                  of Finance sooner than 30
                  days after notification in
                  writing to the
                  chairpersons of the
                  committees in each house
                  of the Legislature that
                  consider appropriations
                  and the Chairperson of the
                  Joint Legislative Budget
                  Committee, or sooner than
                  such lesser time after
                  notification as the
                  chairperson of the joint
                  committee, or his or her
                  designee, may in each
                  instance determine.
    2.    Notwithstanding Chapter 1
          (commencing with Section 18000) of
          Part 6 of Division 9 of the
          Welfare and Institutions Code, a
          loan not to exceed $500,000,000
          shall be made available from the
          General Fund, from funds not
          otherwise appropriated, to cover
          the costs of a program or programs
          when the federal funds have not
          been received or funds in any
          subaccount within the Local
          Revenue Fund have not been
          deposited prior       to the usual
          time for the state to transmit
          payment to the counties. This loan
          from the General Fund shall be
          repaid when the federal funds or
          the funds for any subaccounts
          within the Local Revenue Fund for
          the program or programs becomes
          available.
    3.    The Department of Finance may
          authorize the transfer of amounts
          from this item to Item 5180-001-
          0001 in order to fund the costs of
          the administrative hearing process
          associated with the CalWORKs
          program.
    4.    (a)     The Department of Finance
                  is authorized to approve
                  expenditures in those
                  amounts made necessary by
                  changes in either caseload
                  or payments, including,
                  but not limited to, the
                  timing of federal
                  payments, or any rule or
                  regulation adopted and any
                  all-county letter issued
                  as a result of the
                  enactment of a federal or
                  state law, the adoption of
                  a federal regulation, or a
                  court action, during the
                  2015-16 fiscal year that
                  are within or in excess of
                  amounts appropriated in
                  this act for that year.
          (b)     If the Department of
                  Finance determines that
                  the estimate of
                  expenditures will exceed
                  the expenditures
                  authorized for this item,
                  the department shall so
                  report to the Legislature.
                  At the time the report is
                  made, the amount of the
                  appropriation made in this
                  item shall be increased by
                  the amount of the excess
                  unless and until otherwise
                  provided by law.
    5.    Nonfederal funds appropriated in
          this item which have been budgeted
          to meet the state's Temporary
          Assistance for Needy Families
          maintenance-of-effort requirement
          established pursuant to the
          federal Personal Responsibility
          and Work Opportunity
          Reconciliation Act of 1996 (P.L.
          104-193) shall not be expended in
          any way that would cause their
          disqualification as a federally
          allowable maintenance-of-effort
          expenditure.
    6.    In the event of declared disaster
          and upon county request, the State
          Department of Social Services may
          act in the place of any county and
          assume direct responsibility for
          the administration of eligibility
          and grant determination. Upon
          recommendation of the Director of
          Social Services, the Department of
          Finance may authorize the transfer
          of funds from this item and Item
          5180-101-0890,       to Items 5180-
          001-0001 and 5180-001-0890, for
          this purpose.
    7.    Pursuant to the Electronic Benefit
          Transfer (EBT) Act (Chapter 3
          (commencing with Section 10065) of
          Part 1 of Division 9 of the
          Welfare and Institutions Code) and
          in accordance with the EBT System
          regulations (Manual of Policies
          and Procedures Section 16-401.15),
          in the event a county fails to
          reimburse the EBT contractor for
          settlement of EBT transactions
          made against the county's cash
          assistance programs, the state is
          required to pay the contractor.
          The State Department of Social
          Services may use funds from this
          item to reimburse the EBT
          contractor for settlement on
          behalf of the county. The county
          shall be required to reimburse the
          department for the county's
          settlement via direct payment or
          administrative offset.
    8.    The Department of Finance is
          authorized to approve expenditures
          for the California Food Assistance
          Program in those amounts made
          necessary by changes in the
          CalFresh Program Standard Utility
          Allowance, including those that
          result from midyear Standard
          Utility Allowance adjustments
          requested by the state. If the
          Department of Finance determines
          that the estimate of expenditures
          will exceed the expenditure
          authority of this item, the
          department shall so report to the
          Legislature. At the time the
          report is made, the amount of the
          appropriation made in this item
          shall be increased by the amount
          of the excess unless and until
          otherwise provided by law.
    10.   Of the amount appropriated in
          Schedule (1), $  3  5  0  ,
000,000 shall be
          available for housing supports for
          those families in receipt of
          CalWORKs for whom homelessness or
          housing instability is a barrier
          to self-sufficiency or child well-
          being pursuant to Section 11330.5
          of the Welfare and Institutions
          Code.


   SEC. 56.    Item 5180-101-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-101-0890--For local assistance,
State Department of Social Services,
payable from the Federal Trust Fund......  3,997,275,000

                                            4,001,275,000 
    Schedule:
    (1)  4270010-CalWORKs....  3,295,856,00  

                               3,299,856,00 
                                         0
    (2)  4270019-Other
         Assistance Payments.  701,419,000
    Provisions:
    1.   Provisions 1, 4, 6, and 7 of
         Item 5180-101-0001 also apply to
         this item.
    2.   The Director of Finance may
         authorize the transfer of
         amounts from this item to Item
         5180-001-0890 in order to fund
         the costs of the
         administrative hearing process
         associated with the CalWORKs
         program.
    3.   For the purpose of broadening
         access to federal Child and
         Adult Care Food Program benefits
         for low-income children in
         proprietary child care centers,
         the State Department of Social
         Services may transfer up to
         $10,000,000 of the funds
         appropriated in this item for
         Program 4270010-CalWORKs, from
         the Temporary Assistance for
         Needy Families (TANF) block
         grant to the Social Services
         Block Grant (Title XX) pursuant
         to authorization in the federal
         Personal Responsibility and Work
         Opportunity Reconciliation Act
         of 1996 (P.L. 104-193). The
         Title XX funds shall be pooled
         with TANF funds appropriated in
         this item for CalWORKs Child
         Care. This transfer shall occur
         only if the Director of Finance
         approves the pooling of Title XX
         funds with Child Care and
         Development Fund or       TANF
         funds, or both.
    4.   Upon request of the State
         Department of Social Services,
         the Director of Finance may
         increase or decrease the
         expenditure authority in this
         item to offset any increases or
         decreases in collections
         deposited in the Child Support
         Collections Recovery Fund and
         appropriated in Item 5180-101-
         8004. The Department of Finance
         shall provide notification of
         the adjustment to the Joint
         Legislative Budget Committee
         within 10 working days from the
         date of Department of Finance
         approval of the adjustment.
    5.   Upon request of the Department
         of Finance, the Controller shall
         transfer funds between this item
         and Item 5180-153-0890 as needed
         to reflect the       estimated
         expenditure amounts for each
         county that opts into the Title
         IV-E Child Welfare Waiver
         Demonstration Project pursuant
         to Section 18260 of the Welfare
         and Institutions Code. The
         Department of Finance shall
         report to the Legislature the
         amount to be transferred
         pursuant to this provision. The
         transfer shall be authorized at
         the time the report is made.


   SEC. 57.    Item 5180-111-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-111-0001--For local assistance,
State Department of Social Services......  5,684,209,000

                                            5,616,929,000 
    Schedule:
    (1)  4270028-SSI/SSP.....  2,877,276,00  

                              2,811,612,00 
                                         0
    (2)  4275010-IHSS........  9,686,757,00  

                               9,680,141,00 
                                         0
    (3)  Reimbursements to     -6,879,824,0 
         4275010-IHSS........           0  
-6,874,824,  0
                                         00 
    Provisions:
    1.   Provisions 1 and 4 of Item 5180-
         101-0001 also apply to this item.
    2.   Notwithstanding Chapter 1
         (commencing with Section 18000)
         of Part 6       of Division 9 of
         the Welfare and Institutions
         Code, a loan not to exceed
         $650,000,000 shall be made
         available from the General Fund
         from funds not otherwise
         appropriated, to cover the
         federal share or reimbursable
         share, or both, of costs of a
         program or programs when the
         federal funds or reimbursements
         (from the Health Care Deposit
         Fund or counties) have not been
         received by this state prior to
         the usual time for transmitting
         payments for the federal or
         reimbursable share of costs for
         this state. That loan from the
         General Fund shall be repaid
         when the federal share of costs
         for the program or programs
         becomes available, or in the
         case of reimbursements, subject
         to Section 16351 of the
         Government Code. County
         reimbursements also shall be
         subject to Section 16314 of the
         Government Code, which specifies
         the rate of interest. The State
         Department of Social Services
         may offset a county's share of
         cost of the In-Home Supportive
         Services (IHSS) program against
         local assistance payments made
         to the county if the
         county fails to reimburse its
         share of cost of the IHSS
         program to the state.
    3.   The State Department of Social
         Services shall provide technical
         assistance to counties to ensure
         that they maximize the receipt
         of federal funds for the IHSS
         program, without compromising
         the quality of the services
         provided to IHSS recipients.
    4.   The Director of Finance may
         authorize the transfer of
         amounts from this item to Item
         5180-001-0001 in order to fund
         increased costs due to workload
         associated with the retroactive
         reimbursement of Medi-Cal
         services for the IHSS program to
         comply with Conlan v. Shewry
         (2005) 131 Cal.App.4th 1354. The
         Department of Finance shall
         report to       the Legislature
         the amount to be transferred
         pursuant to this provision and
         the number of positions to be
         established by the State
         Department of Social Services.
         The transfer shall be authorized
         at the time the report is made.
         The State Department of Social
         Services shall review the
         workload associated with the
         Conlan v. Shewry decision during
         the 2015-16 fiscal year and may
         administratively establish
         positions as the workload
         requires.
    5.   The Director of Finance may
         authorize the transfer of
         amounts from this item to Item
         5180-001-0001 in order to fund
         the cost of the administrative
         hearing process associated with
         changes in aid or service
         payments in the IHSS program.
         The Department of Finance shall
         report to the Legislature the
         amount to be transferred
         pursuant to this provision. The
         transfer shall be authorized at
         the time the       report is
         made.
     6.   Notwithstanding any other 
          provision of law, for the 2015- 
          16 fiscal year only, funds 
          appropriated in this item shall 
          be used to fully offset the 
          reduction in hours of service 
          described in Section 12301.02 of 
          the Welfare and Institutions 
          Code. 


   SEC. 58.    Item 5180-141-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-141-0001--For local assistance,
State Department of Social Services.......  825,128,000

                                             825,112,000 
    Schedule:
    (1)   4270037-County
          Administration and
          Automation Projects.   967,845,000 
                                 967,829,000 
    (2)   Reimbursements to
          4270037-County
          Administration and
          Automation Projects. -142,717,000
    Provisions:
    1.    Notwithstanding Chapter 1
          (commencing with Section 18000)
          of Part 6 of Division 9 of the
          Welfare and Institutions Code, a
          loan not to exceed $140,000,000
          shall be made available from the
          General Fund, from funds not
          otherwise appropriated, to cover
          the federal or reimbursable
          share, or both, of costs of a
          program or programs when the
          federal funds or
          reimbursements have not been
          received by this state prior to
          the usual time for transmitting
          state payments for the federal
          or reimbursable share of costs.
          This loan from the General Fund
          shall be repaid when the federal
          share of costs or the
          reimbursements for the program
          or programs becomes available.
    2.    In the event of declared
          disaster and upon county
          request, the State Department of
          Social Services may act in the
          place of any county and assume
          direct responsibility for the
          administration of eligibility
          and grant determination. Upon
          recommendation of the Director
          of Social Services, the
          Department of Finance may
          authorize the transfer of funds
          from this item and Item 5180-141-
          0890, to Items 5180-001-0001 and
          5180-001-0890, for this purpose.
    3.    Provision 1 of Item 5180-101-
          0001 also applies to this item.
    4.    Pursuant to public assistance
          caseload estimates reflected in
          the annual Governor's Budget,
          the Department of Finance may
          approve expenditures in those
          amounts made necessary by a
          court action or changes in
          caseload that are in excess of
          amounts appropriated in this
          act. If the Department of
          Finance determines that the
          estimate of expenditures will
          exceed the expenditures
          authorized for this item, the
          department shall so report to
          the Legislature. At the time the
          report is made, the amount of
          the appropriation made by this
          item shall be increased by the
          amount of the excess unless and
          until otherwise provided by law.
    5.    Nonfederal funds appropriated in
          this item which have been
          budgeted to meet the state's
          Temporary Assistance for Needy
          Families maintenance-of-effort
          requirement established pursuant
          to the federal Personal
          Responsibility and Work
          Opportunity Reconciliation Act
          of 1996 (P.L. 104-193) shall not
          be expended in any way that
          would cause their
          disqualification as a federally
          allowable maintenance-of-effort
          expenditure.
    6.    This item may be increased by
          order of the Director of Finance
          to address system changes
          necessary to implement the
          requirements of the federal
          Patient Protection and
          Affordable Care Act (P.L. 111-
          148). The Director of Finance
          shall provide notification in
          writing to the       Joint
          Legislative Budget Committee of
          any expenditure approved under
          this provision not less than 30
          days prior to the effective date
          of the approval.
    7.    The Department of Finance may
          increase expenditure authority
          in this item for the State
          Department of Social Services in
          order to fund the administrative
          costs to prepare for and respond
          to a declaration of a major
          disaster by the President of the
          United States and to maximize
          the amount of assistance
          requested and received through
          the federal Disaster
          Supplemental Nutrition
          Assistance Program and other
          federally funded nutrition
          assistance programs.


   SEC. 59.    Item 5180-141-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-141-0890--For local assistance,
State Department of Social Services,
payable from the Federal Trust Fund......  1,151,585,000

                                            1,147,564,000 
    Schedule:
    (1)  4270037-County
         Administration and    1,151,585,00 
         Automation Projects.             
1,147,564,0  0
                                          0 
    Provisions:
    1.   Provisions 2, 3, 4, 6, and 7 of
         Item 5180-141-0001 also apply to
         this item.
    2.   Upon request by the Department
         of Finance, the Controller shall
         transfer funds between this item
         and Item 5180-153-0890 as needed
         to reflect the estimated
         expenditure amounts for each
         county that opts into the Title
         IV-E Child Welfare Waiver
         Demonstration Project pursuant
         to Section 18260 of the Welfare
         and Institutions Code. The
         Department of Finance shall
         report to the Legislature the
         amount to be transferred
         pursuant to this provision. The
         transfer shall be authorized at
         the time the       report is
         made.


   SEC. 60.    Item 5180-151-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-151-0001--For local assistance,
State Department of Social Services.......  135,311,000

                                             116,651,000 
    Schedule:
    (1)   4275019-Children
          and Adult Services
          and Licensing.......   395,552,000 
                                 381,892,000 
    (2)   4275028-Special
          Programs............    25,627,000 
                                  20,627,000 
    (3)   Reimbursements to
          4275019-Children
          and Adult Services
          and Licensing....... -285,868,000
    Provisions:
    1.    Provision 1 of Item 5180-101-
          0001 also applies to this item.
    2.    Notwithstanding Chapter 1
          (commencing with Section 18000)
          of Part 6 of Division 9 of the
          Welfare and Institutions Code
          and pursuant to Section 30029.8
          of the Government Code, a loan
          not to exceed $50,000,000 shall
          be made available from the
          General Fund, from funds not
          otherwise appropriated, to cover
          the federal       share or
          reimbursable share, or both, of
          costs of a program or programs
          when the federal funds or
          reimbursements have not been
          received by this state prior to
          the usual time for transmitting
          state payments for the federal
          or reimbursable share of costs.
          The loan from the General Fund
          shall be repaid when the federal
          or reimbursable share of costs
          for the program or programs
          becomes available.
    3.    The Department of Finance may
          authorize the establishment of
          positions and transfer of
          amounts from this item to Item
          5180-001-0001, in order to allow
          the state to perform the
          facilities evaluation function
          of Community Care Licensing in
          the event the counties fail to
          perform that function.
    4.    Nonfederal funds appropriated in
          this item which have been

                 budgeted to meet the state's
          Temporary Assistance for Needy
          Families maintenance-of-effort
          requirement established pursuant
          to the federal Personal
          Responsibility and Work
          Opportunity Reconciliation Act
          of 1996 (P.L. 104-193) shall not
          be expended in any way that
          would cause their
          disqualification as a federally
          allowable maintenance-of-effort
          expenditure.
    5.    The Department of Finance may
          authorize the establishment of
          positions and transfer of
          amounts from this item to Item
          5180-001-0001 in order to allow
          the state to perform the
          adoptions function in the event
          that a county notifies the State
          Department of Social Services
          that it intends to cease
          performing that function.
    6.    Funds appropriated in this item
          for the Commercially Sexually
          Exploited Children Program
          required by Chapter 5.2
          (commencing with Section
          16524.6) of Part 4 of Division 9
          of the Welfare and Institutions
          Code shall be appropriately
          reduced by the Department of
          Finance to the extent any
          activities for which funding is
          included are also required by
          the Preventing Sex Trafficking
          and Strengthening Families Act
          of 2014 (P.L. 113-183).
    7.    Provision 2 of Item 5180-151-
          0890 also applies to this item.
    8.    Funds appropriated in this item
          available for legal
          services to unaccompanied
          undocumented minors in
          accordance with Chapter 5.6
          (commencing with Section 13300)
          of Part 3 of Division 9 of the
          Welfare and Institutions Code
          shall continue to be available
          for liquidation until June 30,
          2021.
    9.    Of the total amount appropriated
          in this item, up to $4,000,000
          shall be available for a county-
          optional block grant program,
          for allocation to local agencies
          to fund activities the
          Commission on State Mandates
          identified as reimbursable state
          mandates in the Interagency
          Child Abuse and Neglect
          Investigation Reports (CSM-00-TC-
          22) mandate. A local agency that
          receives funding according to
          this item shall not be eligible
          to submit claims to the
          Controller for reimbursement
          under Section 17560 of the
          Government Code for any costs
          related to the reimbursable
          state-mandated activities
          identified in       CSM-00-TC-22
          incurred in the same fiscal year
          during which the local agency
          received funding according to
          this item. The State Department
          of Social Services, in
          consultation with the California
          State Association of Counties,
          shall develop an allocation
          methodology for the purpose of
          distributing these funds to
          participating counties. Block
          grant funding apportioned
          according to this item is
          subject to annual financial and
          compliance audits.
     10.   The department, in consultation 
           with the County Welfare 
           Directors Association, shall 
           develop an estimate of the 
           additional funding needed for 
           the 2016-17 fiscal year to 
           support the implementation of 
           new federal mandates for 
           identifying and serving youth 
           who are victims and youth at 
           risk of commercial sex 
           exploitation, pursuant to Public 
           Law 113-183. The estimate shall 
           include funding as appropriate 
           for: the implementation of 
           policies and procedures to 
           identify and provide appropriate 
           services to trafficked and at 
           risk youth; the development and 
           implementation of protocols to 
           locate and serve youth missing 
           from     foster care as required 
           by Public Law 113-183; the 
           compliance with the new federal 
           reporting requirements related 
           to youth who are victims of or 
           at risk of commercial sex 
           exploitation and runaway youth; 
           and any other requirements of 
           Public Law 113-183. 
    13.   Funds appropriated in this item
          for legal assistance to
          individuals eligible for
          deferred action under the
          President's November 2014
          Immigration Accountability
          Executive Order and for
          naturalization services shall be
          available for liquidation until
          June 30, 2021.
     14.   Of the amount appropriated in 
           this item, $7,250,000 is 
           available (plus associated 
           federal funds appropriated in 
           Item 5180-151-0890) for 
           allocation to counties for the
           purpose of recruiting, 
           retaining, and supporting foster 
           care parents and relative 
           caregivers. This funding is 
           intended to help support the 
           implementation of legislation 
           adopted to improve California's 
           child welfare system and its 
           outcomes by increasing the use 
           of home-based family care and 
           the provision of services and 
           supports to home-based family 
           care, reducing the use of 
           congregate care placement 
           settings, and creating faster 
           paths to permanency resulting in 
           shorter durations of involvement 
           in the child welfare and 
           juvenile justice systems. Funds 
           allocated shall be used for 
           activities and services to 
           recruit, retain, and support 
           licensed foster family homes, 
           approved resource families, and 
           relative caregivers. Allowable 
           expenditures shall include, but 
           not be limited to, all of the 
           following: (1) Staffing to 
           provide and improve direct 
           services and supports to 
           licensed foster family homes, 
           approved resource families, and 
           relative caregivers, and to 
           remove any barriers in those 
           areas defined as priorities in 
           the county implementation plan 
           and subsequent reports on 
           outcomes; (2) Exceptional child 
           needs not covered by the 
           caregiver-specific rate that 
           would normalize the child's 
           experience, stabilize the 
           placement, or enhance the 
           child's well-being; (3) Child 
           care for licensed foster 
           parents, approved resource 
           families, and relative 
           caregivers; (4) Intensive 
           relative finding, engagement, 
           and navigation efforts; and (5) 
           Emerging technological, evidence- 
           informed, or other 
           nontraditional approaches to
           outreach to potential foster 
           family homes, resource families, 
           and relatives. During the 2015- 
           16 fiscal year, the State 
           Department of Social Services 
          shall develop and issue one or 
           more all-county letters, in 
           consultation with the County 
           Welfare Directors Association of 
           California, that provide 
           instructions to counties on 
           allowable expenditures, 
           allocation methodology, and 
           claiming instructions with 
           respect to this funding. The 
           department shall report to the 
           Legislature during the 2016-17 
           budget hearings on the 
           strategies, allocation, and 
           progress. 


   SEC. 61.    Item 5180-151-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-151-0890--For local assistance,
State Department of Social Services,
payable from the Federal Trust Fund......  1,062,701,000

                                            1,060,526,000 
    Schedule:
    (1)  4275019-Children
         and Adult Services    1,038,587,00 
         and Licensing.......             
1,036,412,0  0
                                          0 
    (2)  4275028-Special
         Programs............   24,114,000
    Provisions:
    1.   Provisions 1, 3, and 5 of Item
         5180-151-0001 also apply to this
         item.
    2.   Upon request by the Department
         of Finance, the Controller shall
         transfer funds between this item
         and Item 5180-153-0890 as
         needed to reflect the estimated
         expenditure amounts for each
         county that opts into the Title
         IV-E Child Welfare Waiver
         Demonstration Project pursuant
         to Section 18260 of the Welfare
         and Institutions Code. The
         Department of Finance shall
         report to the Legislature the
         amount to be transferred
         pursuant to this provision. The
         transfer shall be authorized at
         the time the report is made.


   SEC. 62.    Item 5180-153-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5180-153-0001--For local assistance, State
Department of Social Services.................  30,953,000

                                                 24,253,000
     Schedule:
     (1)   4280-Title IV-E Waiver.    30,953,000 
 
                                      24,253,000 
     Provisions:
      1.    Provisions 6, 7, and 10 of Item 
      1.    Provisions 6 and 7 of Item 5180-151- 
            5180-151-  0001 also apply to this 
item. 
            item. 
      3.    Of the amount appropriated in this 
            item, $7,250,000 is available for 
            allocation to counties for the 
            purpose of recruiting, retaining, 
            and supporting foster care parents 
            and relative caregivers. This 
            funding is intended to help support 
            the implementation of legislation 
            adopted to improve California's 
            child welfare system and its 
            outcomes by increasing the use of 
            home-based family care and the 
            provision of services and supports 
            to home-based family care, reducing 
            the use of congregate care 
            placement settings, and creating 
            faster paths to permanency 
            resulting in shorter durations of 
            involvement in the child welfare 
            and juvenile justice systems. Funds 
            allocated shall be used for 
            activities and services to recruit, 
            retain, and support licensed foster 
            family homes, approved resource 
            families, and relative caregivers. 
            Allowable expenditures shall 
            include, but not be limited to, all 
            of the following: (1) Staffing to 
            provide and improve direct services 
            and supports to licensed foster 
            family homes, approved resource 
            families, and relative caregivers, 
            and to remove any barriers in those 
            areas defined as priorities in the 
            county implementation plan and 
            subsequent reports on outcomes; (2) 
            Exceptional child needs not covered 
            by the caregiver-specific rate that 
           would normalize the child's 
            experience, stabilize the 
            placement, or enhance the child's 
            well-being; (3) Child care for 
            licensed foster parents, approved 
            resource families, and relative 
            caregivers; (4) Intensive relative 
            finding, engagement, and navigation 
            efforts; and (5) Emerging 
            technological, evidence-informed, 
            or other nontraditional approaches 
            to outreach to potential foster 
            family homes, resource families, 
            and relatives. During the 2015-16 
            fiscal year, the State Department 
            of Social Services shall develop 
            and issue one or more all-county 
            letters, in consultation with the 
            County Welfare Directors 
            Association of California, that 
            provide instructions to counties on 
            allowable expenditures, allocation 
            methodology, and claiming 
            instructions with respect to this 
            funding. The department shall 
            report to the Legislature during 
            the 2016-17 budget hearings on the 
            strategies, allocation, and 
            progress. 


   SEC. 63.    Item 5225-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5225-001-0001--For support of Department
of Corrections and Rehabilitation........  6,371,315,000

                                            6,381,315,000 
    Schedule:
    (1)   4500-Corrections
          and Rehabilitation
          Administration.....  402,534,000
    (2)   4505-Peace Officer
          Selection and
          Employee
          Development........  115,571,000
    (3)   4510-Department of
          Justice Legal
          Services...........   40,659,000
    (4)   4515-Juvenile
          Operations and
          Juvenile Offender
          Programs...........  134,924,000
    (5)   4520-Juvenile
          Academic and
          Vocational
          Education..........    3,754,000
    (6)   4525-Juvenile
          Health Care
          Services...........   21,514,000
    (7)   4530-Adult
          Corrections and
          Rehabilitation
          Operations--         3,707,606,00 
          General Security...             
3,717,606,0  0
                                          0 
    (8)   4540-Adult
          Corrections and
          Rehabilitation
          Operations--        1,140,625,00
          Inmate Support.....            0
    (9)   4545-Adult
          Corrections and
          Rehabilitation
          Operations--
          Contracted
          Facilities.........   61,142,000
    (10)  4550-Adult
          Corrections and
          Rehabilitation
          Operations--
          Institution
          Administration.....  397,486,000
    (11)  4555-Parole
          Operations-- Adult
          Supervision........  290,013,000
    (12)  4560-Parole
          Operations-- Adult
          Community Based
          Programs...........   72,178,000
    (13)  4565-Parole
          Operations-- Adult
          Administration.....   60,633,000
    (14)  4570-Sex Offender
          Management Board
          and Saratso Review
          Committee..........      869,000
    (15)  Reimbursements to
          4500-Corrections
          and Rehabilitation
          Administration.....   -4,812,000
    (16)  Reimbursements to
          4505-Peace Officer
          Selection and
          Employee
          Development........     -150,000
    (17)  Reimbursements to
          4515-Juvenile
          Operations
          and Juvenile
          Offender Programs..   -3,755,000
    (18)  Reimbursements to
          4520-Juvenile
          Academic and
          Vocational
          Education..........   -1,850,000
    (19)  Reimbursements to
          4530-Adult
          Corrections and
          Rehabilitation
          Operations--
          General Security...  -26,100,000
    (20)  Reimbursements to
          4540-Adult
          Corrections and
          Rehabilitation
          Operations--
          Inmate Support.....  -32,500,000
    (21)  Reimbursements to
          4550-Adult
          Corrections and
          Rehabilitation
          Operations--
          Institution
          Administration.....   -7,961,000
    (22)  Reimbursements to
          4555-Parole
          Operations-- Adult
          Supervision........     -515,000
    (23)  Reimbursements to
          4565-Parole
          Operations-- Adult
          Administration.....     -550,000


   SEC. 64.    Item 5225-001-3259 of Section 2.00 of the
 Budget Act of 2015   is amended to read: 
5225-001-3259--For support of Department of
Corrections and Rehabilitation, payable from
the Recidivism Reduction Fund................   3,300,000

                                                10,377,000 
     Schedule:
     (1)   4590-Rehabilitative
           Programs-- Cognitive
           Behavioral Therapy and
           Reentry Services.......    3,000,000 
                                      9,877,000 
     (2)   4600-Rehabilitative
           Programs--Adult
           Administration.........      300,000 
                                        500,000 
     Provisions:
     2.    Of the amount appropriated in this
           item, $  3   5  00,000 shall be
for an
           independent evaluation of the
           appropriateness and effectiveness
           of the Department of Corrections
           and Rehabilitation's career
           technical education programs. The
           Department of Corrections and
           Rehabilitation shall provide the
           evaluation report to the budget
           committees and the public safety
           policy committees of the
           Legislature by April 1, 201  6  7
 .
      3.    Of the amount appropriated in this 
            item, $3,000,000 shall be for the 
            innovative grant program for 
            additional grant awards. 
      4.    Of the amount appropriated in this 
            item, $6,877,000 shall be for 
            substance use disorder treatment 
            expansion to non-reentry hub 
            institutions. 


   SEC. 65.    Item 5227-101-0214 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5227-101-0214--For local assistance, Board of
State and Community Corrections, payable from
the Restitution Fund........................... 9,215,000
    Schedule:
    (1)  4945-Corrections Planning and   9,215,0
         Grant Programs.................      00
         (a)   Grants to
               the City of
               Los Angeles.  (1,000,000)
         (b)   Competitive
               grants to
               all other
               cities......  (8,215,000)
    Provisions:
    1.   All grantees must provide a dollar-for-
         dollar match to state grant funds
         awarded from Schedules (1)(a) and
         (1)(b).
    2.   The amount appropriated in Schedule
         (1)(b) shall be competitive grants to
          cities. No grant provided from this 
          cities. No grant shall exceed 
          item shall exceed  $500,000, and at 
least two grants
          least two grants provided from this 

          item  shall be awarded to cities with
         populations       of 200,000 or fewer.
         In awarding grants, the Board of State
         and Community Corrections shall give
         preference to applicants that
         incorporate regional approaches to
         antigang activities.
    3.   Each city that receives a grant from
         Schedule (1)(b) shall collaborate and
         coordinate with area jurisdictions and
         agencies, including the existing
         county juvenile justice coordination
         council, with the goal of reducing
         gang activity in the city and adjacent
         areas. Each grantee shall establish a
         coordinating and advisory council to
         prioritize the use of the funds.
         Membership shall include city
         officials, local law enforcement,
         including the county sheriff, chief
         probation officer, and district
         attorney, local educational agencies,
         including school districts and the
         county office of education, and
         community-based organizations.
    4.   Each city that receives a grant from
         Schedule (1)(a) or (1)(b) shall
         distribute at least 20 percent of the
         grant funds it receives to one or more
         community-based organizations pursuant
         to the city's application.


   SEC. 66.    Item 5227-101-3259 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5227-101-3259--For local assistance, Board     13,000,00

of State and Community Corrections...........          0
  
                                                5,700,000 
     Schedule:
     (1) 4945-Corrections Planning    13,000,00 
 
         and Grant Programs.........          
5,700,00  0
     Provisions:
      1.    Of   the funds
appropriated in this 
         item, $2,000,000 shall be made 
          available for the Law Enforcement 
          Assisted Diversion grant pilot 
          program. 
     2.  Of the funds appropriated in this
         item, $  3   1  ,  7  00
 0  ,000 shall be made
         available for the mentally ill
         offender crime reduction grant
         program.
     3.  Of the funds appropriated in this
         item, $ 8   4  ,000,000 shall be
made
         available for the community
         recidivism reduction grant program.


   SEC. 67.    Item 5227-102-0001 is added to Section
2.00 of the   Budget Act of 2015   , to read: 
 
 5227-102-0001--For local assistance, Board 
 of State and Community Corrections .......... 20,000,000 
      Schedule: 
      (1)    (1) 4945-Corrections 
             Planning and Grant 
             Programs..............  20,000,000 
      Provisions: 
      1.     The funds appropriated in this 
             item shall be allocated by the 
             Controller to cities for law 
             enforcement activities according 
             to a schedule provided by the 
             Department of Finance. 
      2.     The funds appropriated in this 
             item shall be made available for 
             city law enforcement agencies who 
             agree to provide data on the 
             number of use-of-force incidents 
             that result in hospitalization or 
             death. 
 

  SEC. 68.    Item 5227-108-0001 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

5227-108-0001--For local assistance, Board
of State and Community Corrections........... 5,000,000
     Schedule:
     (1) 4945-Corrections Planning
         and Grant Programs......... 5,000,000
     Provisions:
     1.  All grantees shall provide a dollar-
         for-dollar match to state grant
         funds awarded from Schedule (1).
     2.  The amount appropriated shall be a
         competitive grant to cities. No
         grant provided from this item shall
         exceed $500,000, and at least two
         grants provided from this item shall
         be awarded to cities with
         populations of 200,000 or fewer. In
         awarding grants, the Board of State
         and Community Corrections shall give
         preference to applicants that
         incorporate regional approaches to
         anti-gang activities.
     3.  Each city that receives a grant
         shall collaborate and coordinate
         with area jurisdictions and
         agencies, including the existing
         county juvenile justice coordination
         council, with the goal of reducing
         gang activity in the city and
         adjacent areas. Each grantee shall
         establish a coordinating and
         advisory council to prioritize the
         use of the funds. Membership shall
         include city officials, local law
         enforcement, including the county
         sheriff, chief probation officer,
         and district attorney, local
         educational agencies, including
         school districts and the county
         office of education, and community-
         based organizations.
     4.  Each city that receives a grant
         shall distribute at least 20 percent
         of the grant funds it receives to
         one or more community-based
         organizations pursuant to the city's
         application.


   SEC. 69.    Item 5227-109-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
5227-109-0001--For local assistance, Board
of State and Community Corrections...........  8,000,000

                                                5,000,000 
     Schedule:
     (1) 4945-Corrections Planning
         and Grant Programs......... 8   5 
,000,000
     Provisions:
     1.  Of the funds appropriated in this
         item, $  2  3  75   9  ,
000 shall be made
         available to the Avenal Police
         Department for the expansion of a
         police facility.
     2.  Of the funds appropriated in this
         item, $  6   3  ,  000
  822  ,000 shall be made
         available to the City of Corcoran
         Police Department to construct a new
         police station.
     3.  Of the funds appropriated in this
         item, $  1   939  ,  475,
 000 shall be made
         available to the Lemoore Police
         Department to construct a new police
         dispatch station.
      4.  Of the funds appropriated in this 
          item, $150,000 shall be made 
          available to the Broadmoor Special 
          Police District. 


   SEC. 70.    Item 5227-110-0001 of Section  
2.00 of the   Budget Act of 2015   is amended to
read: 
5227-110-0001--For local assistance, Board     10,000,00

of State and Community Corrections...........          0
  

                                         6,000,000 
     Schedule:
     (1) 4945-Corrections Planning    10,000,00 
 
         and Grant Programs.........          
6,000,00  0
     Provisions:
     3.  The Board of State and Community
         Corrections shall provide grants to
         local law enforcement for programs
         and initiatives intended to
         strengthen the relationship between
         law enforcement and the communities
         they serve, including, but not
         limited to, providing training for
         front-line peace officers on issues
          such as implicit bias; examining the 
          current delivery of local policing 
          services; assessing the state of law 
          such as implicit bias; funding for 
          research to examine how local 
          policing services currently are 
          being delivered; assessing the state 
          of law  enforcement-community  relations;
  
          relations;  comparing the status quo  with
the 
          with the  best practices in the  policing

         p  olicing p  rofession; and receiving
         recommendations for moving forward,
         including the identification of
         policing models and operational
         options to improve policing; problem-
         oriented policing initiatives such
         as Operation       Ceasefire;
         restorative justice programs that
         address the needs of victims,
         offenders, and the community;  and  

          behavioral health training and any 
         any  one-time costs associated with
       
         implementing, expanding, and
          maintaining a peace officer body 
          maintaining a program designed to 
          capture peace officer interactions 
          with individuals in the community. 
          camera program.  The Board of State 
and Community 
          and Community  Corrections may use up
to 5 percent 
          to 5 percent  of the total amount 
available in 
          available in  this item to administer 
this program. 
          this program. 
     4.  To receive a grant under this item,
         the applying agency shall be in full
         compliance with Section 11108 of the
         Penal Code with respect to firearms.


   SEC. 71.    Item 6100-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6100-001-0001--For support of State
Department of Education.....................  47,345,000

                                               47,295,000 
    Schedule:
    (2)   5205010-Curriculum
          Services..............   56,401,000
    (3)   5210066-Special
          Program Support.......     7,413,000 
                                     7,363,000 
    (6)   9900100-
          Administration........   36,605,000
    (7)   9900200-
          Administration--
          Distributed...........  -36,605,000
    (8)   Reimbursements to
          5205010-Curriculum
          Services..............  -13,648,000
    (9)   Reimbursements to
          5210066-Special
          Program Support.......   -2,821,000
    Provisions:
    1.    Notwithstanding Section 33190 of
          the Education Code or any other
          provision of       law, the State
          Department of Education shall
          expend no funds to prepare (a) a
          statewide summary of pupil
          performance on school district
          proficiency assessments or (b) a
          compilation of information on
          private schools with five or fewer
          pupils.
    2.    Funds appropriated in this item
          may be expended or encumbered to
          make one or more payments under a
          personal services contract of a
          visiting educator pursuant to
          Section 19050.8 of the Government
          Code, a long-term special
          consultant services contract, or
          an employment contract between an
          entity that is not a state agency
          and a person who is under the
          direct or daily supervision of a
          state agency, only if all of the
          following conditions are met:
          (a)     The person providing
                  service under the contract
                  provides full financial
                  disclosure to the Fair
                  Political Practices
                  Commission in accordance
                  with the rules and
                  regulations of the
                  commission.
          (b)     The service provided under
                  the contract does not
                  result in the displacement
                  of any represented civil
                  service employee.
          (c)     The rate of compensation
                  for salary and health
                  benefits for the person
                  providing service under
                  the contract does not
                  exceed by more than 10
                  percent the current rate
                  of compensation for salary
                  and health benefits
                  determined by the
                  Department of Human
                  Resources for civil
                  service personnel in a
                  comparable position. The
                  payment of any other
                  compensation or any
                  reimbursement for travel
                  or per diem expenses shall
                  be in accordance with the
                  State Administrative
                  Manual and the rules and
                  regulations of the
                  California Victim
                  Compensation and
                  Government Claims Board.
    3.    The funds appropriated in this
          item may not be expended for the
          development or dissemination of
          program advisories, including, but
          not limited to, program advisories
          on the subject areas of reading,
          writing, and mathematics, unless
          explicitly authorized by the State
          Board of Education.
    4.    Of the funds appropriated in this
          item,       $206,000 shall be
          available as matching funds for
          the Department of Rehabilitation
          to provide coordinated services to
          disabled pupils. Expenditure of
          the funds shall be identified in
          the memorandum of understanding or
          other written agreement with the
          Department of Rehabilitation to
          ensure an appropriate match to
          federal vocational rehabilitation
          funds.
    5.    Of the funds appropriated in this
          item, no less than $1,973,000 is
          available for support of child
          care services, including state
          preschool.
    6.    By October 31 of each year, the
          State Department of Education
          (SDE) shall provide to the
          Department of Finance a file of
          all charter school average daily
          attendance       (ADA) and state
          and local revenue associated with
          charter school general purpose
          entitlements as part of the P2
          Local Control Funding Formula
          File. By March 1 of each year, the
          SDE shall provide to the
          Department of Finance a file of
          all charter school ADA and state
          and local revenue associated with
          charter school general purpose
          entitlements as part of the P1
          Local Control Funding Formula
          File. It is the expectation that
          such reports will be provided
          annually.
    7.    On or before April 15 of each
          year, the State Department of
          Education (SDE) shall provide to
          the Department of Finance an
          electronic file that includes
          complete district- and county-
          level state appropriations limit
          information reported to the SDE.
          The SDE shall make every effort to
          ensure that all districts have
          submitted the necessary
          information requested on the
          relevant       reporting forms.
    8.    The State Department of Education
          shall make information available
          to the Department of Finance, the
          Legislative Analyst's Office, and
          the budget committees of each
          house of the Legislature by
          October 31, March 31, and May 31
          of each year regarding the amount
          of Proposition 98 savings
          estimated to be available for
          reversion by June 30 of that year.
    9.    Reimbursement expenditures
          pursuant to this item resulting
          from the imposition by the State
          Department of Education (SDE) of a
          commercial copyright fee may not
          be expended sooner than 30 days
          after the SDE submits to the
          Department of Finance a legal
          opinion affirming the authority to
          impose       such fees and the
          arguments supporting that position
          against any objections or legal
          challenges to the fee filed with
          the SDE. Any funds received
          pursuant to imposition of a
          commercial copyright fee may only
          be expended as necessary for
          outside counsel contingent on a
          certification of the
          Superintendent of Public
          Instruction that sufficient
          expertise is not available within
          departmental legal staff. The SDE
          shall not expend greater than
          $300,000 for such purposes without
          first notifying the Department of
          Finance of the necessity therefor,
          and upon receiving approval in
          writing.
    10.   Of the funds appropriated in this
          item, up to $1,011,000 is for
          dispute resolution services,
          including mediation and fair
          hearing services, provided through
          contract for special education
          programs.
    11.   Of the reimbursement funds
          appropriated in this item, at
          least $612,000 is provided to the
          State Department of Education for
          the oversight of State Board of
          Education-authorized charter
          schools. The Department of Finance
          may administratively establish up
          to 2.0 positions for this purpose
          as workload materializes.
    12.   Of the funds appropriated in this
          item, at least $222,000 and 2.0
          positions are provided to support
          new requirements contained in
          Chapter 776 of the Statutes of
          2012, which clarifies the
          prohibition against public schools
          charging pupil fees for
          participation in educational
          activities.
    13.   Of the funds appropriated in this
          item, at least $217,000 and 2.0
          positions are available for
          workload to implement Chapter 577
          of the Statutes of 2012, including
          activities necessary to revise the
          Academic Performance Index.
    14.   Of the funds appropriated in this
          item, at least $109,000 shall be
          for 1.0 position within the State
          Department of Education to support
          activities associated with the
          Clean Energy Job Creation Fund.
    15.   Of the amount appropriated in this
          item, at least $852,000 and 6.0
          positions are provided to support
          the Local Control Funding Formula
          administration pursuant to Chapter
          47 of the Statutes of 2013. These
          funds and positions shall be used
          by the State Department of
          Education to support the
          apportionment of, and fiscal
          oversight of, funding pursuant to
          the Local Control Funding Formula.
    16.   Of the funds appropriated in this
          item, at least $347,000 and 3.0
          limited-term positions are
          provided until June 30, 2016, to
          support the Career Technical
          Education Pathways Trust grant
          program established pursuant to
          Chapter 48 of the Statutes of 2013.
    17.   Of the funds appropriated in this
          item, at least $115,000 and 1.0
          position shall be available for
          the State Department of Education
          to support activities
          associated with charter school
          appeals as required under
          subdivision (j) of Section 47605
          of the Education Code.
    18.   Of the funds appropriated in this
          item, $85,000 is provided on a one-
          time basis for an Independent
          Project Oversight consultant to
          provide oversight of the Smarter
          Balanced Technical Hosting
          Solution project.
    19.   Of the funds appropriated in this
          item, at least $1,140,000 and 8.0
          positions are provided to support
          the implementation of the Local
          Control Funding Formula
          accountability system pursuant to
          Chapter 47 of the Statutes of 2013.
    20.   Of the reimbursement funds
          appropriated in this item,
          $281,000 may be used by the State
          Department of Education to pay for
          costs associated with the
          instructional materials adoption
          process pursuant to Chapter 478 of
          the Statutes of 2013.
    21.   Of the funds appropriated in this
          item, at least $240,000 and 1.0
          permanent position and 1.0 one-
          year limited-term position are
          provided to support implementation
          of the Local Control Funding
          Formula, such as providing
          unduplicated student counts,
          matching foster data received from
          the State Department of Social
          Services (SDSS), and meeting
          foster youth reporting
          requirements.
    22.   Of the funds appropriated in this
          item, at least $203,000 and 2.0
          limited-term positions are
          provided until June 30, 2017, to
          support a second cohort of the
          California Career Pathways Trust
          grant program as established by
          Chapter 16 (commencing with
          Section 53010) of Part 28 of
          Division 4 of Title 2 of the
          Education Code.
    23.   Of the funds appropriated in this
          item, $107,000 and 1.0 position
          shall be available for the State
          Department of Education to support
          activities associated with civil
          rights complaints and appeals
          pursuant to Sections 220 and 234.1
          of the Education Code.
    24.   Of the funds appropriated in
          this item, $100,000 is provided
          for one-time temporary help to
          support activities associated with
          civil rights complaints and
          appeals pursuant to Sections 220
          and 234.1 of the Education Code.
    25.   Of the funds appropriated in this
          item, $3,675,000 is provided on a
          one-time basis for legal defense
          costs associated with the Cruz v.
          State of California lawsuit.
    26.   Of the funds appropriated in this
          item, $264,000 and 2.0 positions
          are available to support state
          preschool contract monitoring and
          technical assistance.
    27.   Of the funds appropriated in this
          item, $118,000 and 1.0 position
          are available until June 30, 2016,
          and $59,000 and 0.5 position are
          available until June 30, 2017, to
          support the Distinguished After
          School Health Recognition Program
          as established by Chapter 369 of
          the Statutes of 2014.
    28.   Of the funds appropriated in this
          item, $43,000 is provided on a one-
          time basis to the State Department
          of Education to support activities
          associated with the creation of an
          online training module to address
          bullying, pursuant to Chapter 418
          of the Statutes of 2014.
    29.   Of the funds appropriated in this
          item, $  6   55  0  0
 ,000 is provided on a
          one-time basis to complete the
          Kindergarten Program
          Implementation Report.
    30.   Of the funds appropriated in this
          item, $137,000 is available on a
          one-time basis for the State
          Department of Education to convene
          a workgroup to develop a model and
          study existing county programs and
          policies relating to the transfer
          of pupils from juvenile court
          schools.
    31.   Of the funds appropriated in this
          item, $135,000 is available on a
          one-time basis for the State
          Department of Education to
          contract with a researcher/writer
          with expertise in sex trafficking
          and sexual abuse for purposes of
          drafting a section       for the
          Instructional Quality Commission
          to consider including in the
          Health Framework.
    32.   Of the funds appropriated in this
          item, $350,000 is provided until
          June 30, 2018, and 2.0 positions
          are provided to support the Career
          Technical Education Incentive
          Grant Program as established by
          Chapter 16.5 (commencing with
          Section 53070) of Part 28 of
          Division 4 of Title 2 of the
          Education Code.
    33.   Of the funds appropriated in this
          item, $274,000 is available in one-
          time funds to support curriculum
          framework development activities
          of the Instructional Quality
          Commission.


   SEC. 72.    Item 6100-111-0001 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

6100-111-0001--For local assistance, State
Department of Education (Proposition 98),
Home to School Transportation................ 25,000,000
     Schedule:
     (1)    5200032-Pupil
            Transportation........  25,000,000
     Provisions:
     1.     The Superintendent of Public
            Instruction shall determine the
            transportation costs for each
            school district, county office of
            education, entity providing
            services under a school
            transportation joint powers
            agreement, or regional
            occupational center or program
            that provides pupil
            transportation services. The
            Superintendent of Public
            Instruction shall then identify
            the percentage of each entity's
            transportation costs that were
            funded in the 2014-15 fiscal
            year, including the funding that
            was received under Sections 2574,
            2575, 42238.02, and 42238.3 of
            the Education Code.
     2.     Of the funds in this item, the
            Superintendent of Public
            Instruction shall first apportion
            a Home to School Transportation
            cost-of-living adjustment of 1.02
            percent to each school district
            and county superintendent of
            schools.
     3.     The Superintendent of Public
            Instruction shall compute an
            equalization adjustment based on
            the costs identified in Provision
            1 and apportion the remaining
            funds in this item to those
            entities identified in Provision
            1, so that no entity's 2015-16
            pupil transportation funding
            percentage is less than the 2014-
            15 fiscal year percentage
            determined in Provision 1 plus a
            cost-of-living adjustment.
     4.     For purposes of the calculations
            required by Provision 1,
            ""transportation costs'' shall be
            limited to     the definition of
            ""pupil transportation'' included
            in the California School
            Accounting Manual adopted by the
            State Board of Education pursuant
            to Section 41010 of the Education
            Code for the transportation of
            students enrolled in kindergarten
            and grades 1 to 12, inclusive.
     5.     It is the intent of the
            Legislature to enact additional
            statutory changes as needed
            during the 2015-16 fiscal year
            for the administration of the
            Home to School Transportation
            program.


   SEC. 73   .    Item 6100-113-0001 of Section
2.00 of the   Budget Act of 2015   is amended to
read: 
6100-113-0001--For local assistance, State
Department of Education (Proposition 98),
for purposes of California's pupil testing
program.................................... 126,463,000
    Schedule:
    (1)  5205200-Assessment
         Review and Reporting..    1,490,000
    (2)  5205204-English
         Language Development
         Assessment............    8,500,000
    (3)  5205206-High School
         Exit Examination......    5,894,000
    (4)  5205208-California
         Student Assessment
         System................   86,856,000
    (7)  5205218-Assessment
         Apportionments........   23,723,000
    (8)  5205210-California
         High School
         Proficiency
         Examination...........    1,244,000
    (9)  Reimbursements to
         5205210-California
         High School
         Proficiency
         Examination...........   -1,244,000
    Provisions:
    1.   The funds appropriated in this
         item shall be for the pupil
         testing programs authorized by
         Chapter 3 (commencing with Section
         48400) of Part 27 of Division 4 of
         Title 2       of the Education
         Code and Chapter 5 (commencing
         with Section 60600), Chapter 6
         (commencing with Section 60800),
         Chapter 7 (commencing with Section
         60810), and Chapter 9 (commencing
         with Section 60850) of Part 33 of
         Division 4 of Title 2 of the
         Education Code.
    2.   The funds appropriated in Schedule
         (4) are provided for contract
         costs for the implementation of
         the statewide pupil assessment
         system established pursuant to
         Chapter 489 of the Statutes of
         2013, as approved by the State
         Board of Education, and are
         contingent upon Department of
         Finance review of the related
         contract, during contract
         negotiations, prior to its
         execution.
    3.   The funds appropriated in
         Schedule (2) shall be available
         for approved contract costs for
         the development of and transition
         to the English Language
         Proficiency Assessments for
         California which include initial
         identification and annual
         assessments aligned to the state
         English language development
         standards in accordance with
         Chapter 478 of the Statutes of
         2013, and are contingent upon the
         submittal of the related contract
         by the State Department of
         Education and the Department of
         Finance. Ongoing funding for the
         English Language Proficiency
         Assessments for California shall
         be contingent upon an
         appropriation in the annual Budget
         Act. Incentive funding of $5 per
         pupil is provided in Schedule (7)
         for district apportionments for
         the California English Language
         Development Test. As a condition
         of receiving these funds, school
         districts must agree to provide
         information determined to be
         necessary to comply with the data
         collection and reporting
         requirements of the federal No
         Child Left Behind Act of 2001
         (P.L. 107-110) regarding English
         language learners by the State
         Department of Education.
    4.   The funds appropriated in Schedule
         (3) include funds for approved
         contract costs for the
         administration of the California
         High School Exit Examination
         (CAHSEE) pursuant to Chapter 9
         (commencing with Section 60850) of
         Part 33 of Division 4 of Title 2
         of the Education Code. The State
         Board of Education shall establish
         the amount of funding to be
         apportioned to school districts
         for the CAHSEE. The amount of
         funding to be apportioned per test
         shall not be valid without the
         approval of the Department of
         Finance.
    5.   The funds appropriated in Schedule
         (3) shall be used for seven annual
         administrations of the
         California High School Exit
         Examination. Grade 12 pupils may
         take up to five administrations of
         the examination, grade 11 pupils
         may take up to two, and grade 10
         pupils are required to take one.
    7.   Funds provided to local
         educational agencies from
         Schedules (2), (3), (4), and (7)
         shall first be used to offset any
         state-mandated reimbursable costs
         within the meaning of Section
         17556 of the Government Code, that
         otherwise may be claimed through
         the state mandates reimbursement
         process for the California English
         Language Development Test, the
         California High School Exit
         Examination, and the statewide
         pupil assessment system
         established pursuant to Chapter
         489 of the Statutes of 2013. Local
         educational agencies receiving
         funding from these schedules shall
         reduce their estimated and actual
         mandate reimbursement claims by
         the amount of       funding
         provided to them from these
         schedules.
    8.   Notwithstanding Section 28.50, the
         Department of Finance may adjust
         Schedules (8) and (9) to reflect
         changes in actual reimbursements
         from the contractor for the
         California High School Proficiency
         Examination.
    9.   Federal funds provided in Item
            6100-113-0890 for statewide
         testing purposes shall be fully
         expended before General Fund
         resources provided in this item
         are expended for the same purposes.
    10.  The funds appropriated in Schedule
         (7) shall be used to pay approved
         apportionment costs from the
         current and prior test
         administrations for the California
         English Language Development Test,
         the California High School Exit
         Examination, the Standard Testing
         and Reporting (STAR) Program, and
         the statewide pupil assessment
         system established pursuant to
         Chapter 489 of the Statutes of
         2013 and the grade two diagnostic
         assessments pursuant to Section
         60644 of the Education Code.
    11.  The Department of Finance, State
         Department of Education,
         Legislative Analyst's Office and
         legislative staff, and the vendor
         or vendors of the state's
         California Assessment of Student
         Performance and Progress contract
         shall meet on an annual basis
         every October and April to review
         detailed fiscal information
         regarding the current components
         and costs of the contract. The
         group also shall explore
         ways to make annual improvements
         to the state's assessment system
         or achieve related savings.
    13.  Of the funds appropriated in
         Schedule (4), up to $1,500,000 may
         be used by the State Department of
         Education, and first priority
         shall be used to support the full
         cost of the Senior Assessment
         Fellows currently providing
         services to local educational
         agencies regarding the
         implementation of the California
         Assessment of Student Performance
         and Progress (CAASPP) system.
         (a)    If the State Department of
                Education receives non-
                General Fund moneys to
                support the full cost of
                the Senior Assessment
                Fellows, the State
                Department of Education may
                use this funding for one-
                time California
                Assessment of Student
                Performance and Progress
                (CAASPP) system support
                activities, including, but
                not limited to, all of the
                following:
                (1)    Conducting CAASPP
                       System Institutes to
                       train local
                       educational agencies
                       on how to best
                       utilize the CAASPP
                       system results,
                       resources, and tools.
                (2)    Providing modules to
                       be used by school
                       and district
                       administrators and
                       teacher leaders to
                       communicate and
                       train others on the
                       CAASPP system.
                (3)    Providing digital
                       library resources
                       specific to the use
                       of the Smarter
                       Balanced assessments.
     14.  Contingent on the continuation of 
          the administration of the 
          California High School Exit 
          Examination (CAHSEE), the State 
          Department of Education shall have 
          the authority to extend the 
          current contracts for both the 
          examination and the independent 
          evaluation of the examination. If 
          the examination contract is not 
          extended in the 2015-16 fiscal 
          year, the department shall develop 
          a plan for the use of any savings 
          from the funds appropriated in 
          schedule (3) for the CAHSEE 
          contract, and, as a condition of 
          expending these funds, submit the 
          plan to the Joint Legislative 
          Budget Committee and the 
          Department of Finance. First 
          priority for the use of any 
          savings shall be for the 
          development of the English 
          language development assessment, 
          the development of a primary 
          language assessment pursuant to 
          subparagraph (E) of paragraph (5) 
          of subdivision (b) of Section 
          60640 of the Education Code, and 
          the development of an alternate 
          assessment pursuant to paragraph 
          (3) of subdivision (b) of Section 
          60640 of the Education Code. 


   SEC. 74   .    Item 6100-113-0890 of Section
2.00 of the   Budget Act of 2015   is amended to
read: 
6100-113-0890--For local assistance, State
Department of Education-Title VI Flexibility
and Accountability, payable from the Federal
Trust Fund................................... 20,439,000
     Schedule:
     (1)   5205200-Assessment
           Review and Reporting...     600,000
     (2)   5205204-English
           Language Development
           Assessment.............   7,242,000
     (3)   5205206-High School
           Exit Examination.......   5,172,000
     (4)   5205212-High School
           Exit Examination:
           Evaluation of
           Instruction............     350,000
     (5)   5205208-California
           Student Assessment
           System.................   7,075,000
     Provisions:
     1.    The funds appropriated in Schedule
           (5) are provided for contract
           costs for the implementation of
           the statewide pupil assessment
           system established pursuant to
           Chapter 489 of the Statutes of
           2013, as approved by the State
           Board of Education, and are
           contingent upon Department of
           Finance review of the related
           contract during contract
           negotiations and prior to its
           execution.
     2.    The funds appropriated in Schedule
           (2) shall be available for
           approved contract costs for
           administration of the California
           English Language Development Test
           consistent with the requirements
           of Chapter 7 (commencing with
           Section 60810) of Part 33 of
           Division 4 of Title 2 of the
           Education Code.
     3.    Funds appropriated in Schedule (3)
           are provided for approved contract
           costs related to the California
           High School Exit Examination, to
           be used consistent with Provision
           4 of Item 6100-113-0001.
     4.    Funds appropriated in Schedule (4)
           are for an evaluation of
           instruction in the standards
           covered by the California High
           School Exit Examination to
           determine the progress of middle
           schools and high schools in
           implementing instruction and
           curriculum aligned to those
           standards.
     5.    Funds appropriated in Schedule (1)
           are for providing local
           educational agencies information
           regarding federal requirements
           associated with assessments.
     6.    Funds provided to local
           educational agencies from
           Schedules (2), (3), and (5) shall
           first be used to offset any state-
           mandated reimbursable costs,
           within the meaning of subdivision
           (e) of Section 17556 of the
           Government Code, that otherwise
           may be claimed through the state
           mandates reimbursement process for
           the statewide pupil assessment
           system established pursuant to
           Chapter 489 of the Statutes of
           2013, the California English
           Language Development Test, the
           California High School Exit
           Examination, and the California
           Alternate Performance Assessment.
           Local educational agencies
           receiving funding from these
           schedules shall reduce their
           estimated and actual mandate
           reimbursement claims by the amount
           of funding provided to them from
           these schedules.
     7.    Federal funds provided in this
           item for statewide testing
           purposes shall be fully expended
           before General Fund resources
           provided in Item 6100-113-0001 are
           expended for the same purposes.
     8.    The State Department of Education,
           in consultation with the Executive
           Director of the State Board of
           Education, shall use savings
           identified from funds appropriated
           in Schedule (2) for activities
           related to the development of
           English language proficiency
           assessments aligned to the English
           language development standards
           adopted by the State Board of
           Education.
     9.    The Department of Finance, State
           Department of Education,
           Legislative Analyst's Office and
           legislative staff, and the vendor
           or vendors of the state's
           California Assessment of Student
           Performance and Progress contract
           shall meet on an annual basis
           every October and April to review
           detailed fiscal information
           regarding the current components
           and costs of the contract. The
           group also shall explore ways to
           make annual improvements to the
           state's assessment system or to
           achieve related savings.
      10.   Contingent on the continuation of 
            the administration of the 
            California High School Exit 
            Examination (CAHSEE), the State 
            Department of Education shall have 
            the authority to extend the 
            current contracts for both the 
            examination and the independent 
            evaluation of the examination. If 
            the examination contract is not 
            extended in the 2015-16 fiscal 
            year, the department shall develop 
            a plan for the use of any savings 
            from the funds appropriated in 
            schedules (3) and (4) for the 
            CAHSEE contract and the evaluation 
            contract, and, as a condition of 
            expending these funds, submit the 
            plan to the Joint Legislative 
            Budget Committee and the 
            Department of Finance. First 
            priority for the use of any 
            savings shall be for the 
            development of the English 
            language development assessment, 
            the development of a primary 
            language assessment pursuant to 
            subparagraph (E) of paragraph (5) 
            of subdivision (b) of Section 
            60640 of the Education Code, and 
            the development of an alternate 
            assessment pursuant to paragraph 
            (3) of subdivision (b) of Section 
            60640 of the Education Code. 


   SEC. 75.    Item 6100-119-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6100-119-0001--For local assistance, State
Department of Education (Proposition 98), for
transfer to Section A of the State School
Fund, pursuant to Chapter 11.3 (commencing
with Section 42920) of Part 24 of Division 3
of Title 2 of the Education Code..............  40,379,000

                                                 25,379,000 

     Schedule:
     (1)   5205086-Educational
           Services for Foster
           Youth..................    40,379,000 
                                      25,379,000 
     Provisions:
     1.    Of the funds appropriated in this
           item, $155,000 is to reflect a cost-
           of-living adjustment.
      2.    Beginning September 1, 2015, 
            $25,000,000 of the amount 
      2.    The amount appropriated in this 
            appropriated in th  i  s i
 tem shall be  available
to fund 
            available to fund expanded foster 
            youth services program 
            eligibility pursuant to legislation 
            enacted in 2015. 
            foster youth services pursuant to 
            legislation enacted in 2015 that 
            aligns program requirements to 
            reflect the establishment of the 
            Local Control Funding Formula. 


   SEC. 76.    Item 6100-161-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6100-161-0001--For local assistance,
State Department of Education
(Proposition 98), Special Education
Programs for Exceptional Children........  3,239,538,000

                                            3,257,426,000 
    Schedule:
    (1)  5200201-Special
         Education Program
         for Individuals
         with Exceptional      3,134,736,00 
         Needs...............             
3,152,624,0  0
                                          0 
    (2)  5200217-Early
         Education Program
         for Individuals
         with Exceptional
         Needs...............  119,047,000
    (3)  Reimbursements to
         5200217-Early
         Education Program
         for Individuals
         with Exceptional
         Needs...............  -14,245,000
    Provisions:
    1.   Funds appropriated in this item
         are for transfer by the
         Controller to Section A of the
         State School Fund, in lieu of
         the amount that otherwise would
         be appropriated for transfer
         from the General Fund in the
         State Treasury to Section A of
         the State School Fund for the
         2015-16 fiscal year pursuant to
         Sections 14002 and 41301 of the
         Education Code, for
         apportionment pursuant to Part
         30 (commencing with Section
         56000) of Division 4 of Title 2
         of the Education Code,
         superseding all prior law.
    2.   Of the funds appropriated in
         Schedule (1), up to $17,593,000
         shall be available to provide
         special education and related
         services to       pupils with
         low-incidence disabilities
         pursuant to their individualized
         education program. The
         Superintendent of Public
         Instruction shall allocate these
         funds to special education local
         plan areas on an equal per-pupil
         rate using the methodology
         specified in Section 56836.22 of
         the Education Code.
    3.   Of the funds appropriated in
         Schedule (1), up to $39,738,000
         shall be available for the
         purposes of vocational training
         and job placement for special
         education pupils through Project
         Workability I pursuant to
         Article 3 (commencing with
         Section 56470) of Chapter 4.5 of
         Part 30 of Division 4 of Title 2
         of the Education Code. As a
         condition of receiving these
         funds, each local educational
         agency shall certify that the
         amount of nonfederal resources,
         exclusive of funds received
         pursuant to this provision,
         devoted to the provision of
         vocational education for special
         education pupils shall be
         maintained at or above the level
         provided in the 1984-85 fiscal
         year. The Superintendent of
         Public Instruction may waive
         this requirement for local
         educational agencies that
         demonstrate that the requirement
         would impose a severe hardship.
    6.   Of the funds appropriated in
         Schedule (1), up to $150,095,000
         is available to fund the costs
         of children placed in licensed
         children's institutions who
         attend nonpublic schools based
         on the funding formula
         authorized in Chapter 914 of the
         Statutes of 2004.
    7.   Funds available for infant units
         shall be allocated with the
         following average number of
         pupils per       unit:
         (a)    For special classes and
                centers-- 16.
         (b)    For resource specialist
                programs-- 24.
         (c)    For designated
                instructional services--
                16.
    8.   Notwithstanding any other
         provision of law, early
         education programs for infants
         and       toddlers shall be
         offered for 200 days. Funds
         appropriated in Schedule (2)
         shall be allocated by the State
         Department of Education for the
         2015-16 fiscal year to those
         programs receiving allocations
         for instructional units pursuant
         to Section 56432 of the
         Education Code for the Early
         Education Program for
         Individuals with Exceptional
         Needs operated pursuant to
         Chapter 4.4 (commencing with
         Section 56425) of Part 30 of
         Division 4 of Title 2 of the
         Education Code, based on
         computing 200-day entitlements.
    9.   Notwithstanding any other
         provision of law, state funds
         appropriated in Schedule (2) in
         excess of the amount necessary
         to fund the deficited
         entitlements pursuant to Section
         56432 of the Education Code
         shall be available for
         allocation by the State
         Department of Education to local
         educational agencies for the
         operation of programs
         serving solely low-incidence
         infants and toddlers pursuant to
         Title 14 (commencing with
         Section 95000) of the Government
         Code. These funds shall be
         allocated to each local
         educational agency for each
         solely low-incidence child
         through two years of age in
         excess of the number of solely
         low-incidence children through
         two years of age served by the
         local educational agency during
         the 1992-93 fiscal year and
         reported on the April 1993 pupil
         count. These funds shall only be
         allocated if the amount of
         reimbursement received from the
         State Department of
         Developmental Services is
         insufficient to fully fund the
         costs of operating the Early
         Intervention Program, as
         authorized by Title 14
         (commencing with Section 95000)
         of the Government Code.
    10.  Funds appropriated in this item,
         unless otherwise specified, are
         available for the sole purpose
         of       funding 2015-16 fiscal
         year special education program
         costs and shall not be used to
         fund any prior year adjustments,
         claims, or costs.
    11.  Of the amount provided in
         Schedule (1), up to $196,000
         shall be available to fully fund
         the declining enrollment of
         necessary small special
         education local plan areas
         pursuant to Chapter 551 of the
         Statutes of 2001.
    12.  Pursuant to Section 56427 of the
         Education Code, of the funds
         appropriated in Schedule (1), up
         to $2,324,000 may be used to
         provide funding for infant
         programs, and may be used for
         those programs that do not
         qualify for funding pursuant to
         Section 56432 of the Education
         Code.
    13.  Of the funds appropriated in
         Schedule (1), up to $1,317,000
         shall be used for a personnel
         development program. This
         program shall include state-
         sponsored staff development for
         special education personnel to
         have the necessary content
         knowledge and skills to serve
         children with disabilities. This
         funding may include training and
         services targeting special
         education teachers and related
         service personnel that teach
         core academic or multiple
         subjects to meet the applicable
         special education requirements
         of the federal Individuals with
         Disabilities Education Act (20
         U.S.C. Sec. 1400 et seq.).
    14.  Of the amount appropriated in
         this item, up to $1,480,000 is
         available for the state's share
         of costs in the settlement of
         Emma C. v. Delaine Eastin, et
         al. (N.D. Cal. No. C96-4179TEH).
         The State Department of
         Education shall report by
         January 1, 2016, to the fiscal
         committees of both houses of the
         Legislature, the Department of
         Finance, and the Legislative
         Analyst's Office on the planned
         use of the additional special
         education funds provided to the
         Ravenswood Elementary School
         District pursuant to this
         settlement. The report shall
         also provide the State
         Department of Education's best
         estimate of when this
         supplemental funding will no
         longer be required by the court.
         The State Department of
         Education shall comply with the
         requirements of Section 948 of
         the Government Code in any
         further request for funds to
         satisfy this settlement.
    15.  Notwithstanding any other
         provision of law, state funds
         appropriated in Schedule (1) in
         excess of the amount necessary
         to fund the defined entitlement
         shall be to fulfill other
         shortages in entitlements
         budgeted in this schedule by the
         State Department of Education,
         upon Department of Finance
         approval, to any program funded
         under Schedule (1).
    16.  Of the amount specified in
         Schedule (1), $361,910,000 shall
         be available only to provide
         educationally related mental
         health services, including out-
         of-home residential services for
         emotionally disturbed pupils,
         required by an individualized
         education program pursuant to
         the federal Individuals with
         Disabilities Education Act (20
         U.S.C. Sec. 1400 et seq.) and as
         described in Section 56363 of
         the Education Code. The
         Superintendent of Public
         Instruction shall allocate these
         funds to special education local
         plan areas in the 2015-16 fiscal
         year based upon an equal rate
         per pupil       using the
         methodology specified in Section
         56836.07 of the Education Code.
    18.  The funds appropriated in this
         item reflect an adjustment to
         the base funding of 0.340
         percent for the annual
         adjustment in statewide average
         daily attendance.
    19.  Of the amount provided in
         Schedule (1), $37,202,000 is to
         reflect a cost-of-living
         adjustment.
    20.  Of the amount provided in
         Schedule (2), $896,000 is to
         reflect a cost-of-living
         adjustment.
    21.  Of the funds appropriated in
         Schedule (1), up to $6,000,000
         is available for extraordinary
         costs associated with single
         placements. Special education
         local plan areas are eligible to
         submit claims for costs
         exceeding the threshold
         calculated pursuant to
         subdivision (b) of Section
         56836.21 of the Education Code,
         on forms developed by the State
         Department of Education pursuant
         to subdivision (c) of Section
         56836.21 of the Education Code.
         (a)    Up to $3,000,000 shall
                first be allocated in
                reimbursements for
                extraordinary costs
                associated with
                educationally related
                mental health services,
                including out-of-home
                residential services for
                necessary small special
                education local plan
                areas,       as defined
                in Section 56212 of the
                Education Code.
         (b)    Any funds not used for
                extraordinary costs
                pursuant to subdivision
                (a) shall be available
                for extraordinary costs
                associated with
                placements in nonpublic,
                nonsectarian schools,
                pursuant to Section
                56836.21 of the Education
                Code. These funds shall
                also provide
                reimbursement for costs
                associated with pupils
                residing in licensed
                children's institutions.
    22.  Of the amount specified in
         Schedule (1), up to $2,792,000
         shall be available for small
         SELPAs to conduct regionalized
         services, pursuant to Section
         56836.31 of the Education Code.
    23.  The funds appropriated in
         Schedule (1) shall first be
         considered offsetting revenues
         within the meaning of
         subdivision (e) of Section 17556
         of the Government Code for any
         reimbursable mandated cost claim
         for behavioral intervention
         plans (CSM 4465), inclusive of
         activities performed pursuant to
         Sections 56521.1 and 56521.2 of
         the Education Code.
    24.  Of the amount provided in
         Schedule (2), $30,000,000 shall
         be available to provide early
         intervention services to infants
         and toddlers younger than three
         years of age. The Superintendent
         of Public Instruction shall
         allocate these funds to special
         education local plan areas,
         school districts, charter
         schools, or county offices of
         education based on a
         distribution method to be
         determined by the State
         Department of Education, the
         Department of Finance, and the
         Legislative Analyst's Office.


   SEC. 77.    Item 6100-194-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
    6100-194-0001--For local assistance,
State Department of Education, for
allocation by the Superintendent of
Public Instruction to school districts,
county offices of education, and other
agencies for child care and development
programs included in this item, in lieu
of the amount that otherwise would be
appropriated pursuant to any other          1,180,285,0

statute...................................           00
  
                                             941,630,000 
    Schedule:
    (1)   5210026-General
          Child Development....  389,834,000 
                                 215,098,000 
    (2)   5210028-Migrant Day
          Care.................   24,578,000 
                                  23,881,000 
    (3)   5210030-Alternative
          Payment..............  157,084,000 
                                 105,873,000 
    (4)   5210032-Resource and
          Referral.............  18,878,000
    (5)   5210034-CalWORKs
          Stage 2..............  425,322,000  

                                 404,229,000 
    (6)   5210036-CalWORKs
          Stage 3..............  156,895,000 
                                 142,153,000 
    (7)   5210038-Accounts
          Payable..............   4,000,000
    (8)   5210040-Child Care
          for Children with
          Severe Disabilities..    1,674,000 
                                   1,635,000 
    (9)   5210042-California
          Child Care
          Initiative...........     225,000
    (10)  5210044-Quality
          Improvement..........    1,761,000 
                                   1,461,000 
    (11)  5210046-Local
          Planning Councils....      34,000
     (12)  5210010- Child 
           Development, Quality 
           Rating Improvement 
           System Grants........  24,163,000 
    Provisions:
    1.    Funds in Schedules (4), (9),
          (10), and (11) shall be
          allocated to meet federal
          requirements to improve the
          quality of child care and shall
          be used in accordance with the
          approved California state plan
          for the federal Child Care and
          Development Fund that is
          developed pursuant to the
          requirements under Section
          8206.1 of the Education Code.
    2.    Nonfederal funds appropriated in
          this item which have been
          budgeted to meet the state's
          Temporary Assistance for Needy
          Families maintenance-of-effort
          requirement established pursuant
          to the federal Personal
          Responsibility and Work
          Opportunity Reconciliation Act
          of 1996 (P.L. 104-193) may not
          be expended in any way that
          would cause their
          disqualification as a federally
          allowable maintenance-of-effort
          expenditure.
    3.    Notwithstanding any other
          provision of law, funds in
          Schedule (7) are available for
          accounts payable for alternative
          payment programs for actual and
          allowable costs incurred for
          additional services, pursuant to
          Section 8222.1 of the Education
          Code. The State Department of
          Education shall give priority
          for the allocation of these
          funds for accounts payable.
    4.    The       amounts provided in
          Schedules (1), (2), (3), and (8)
          of this item reflect an
          adjustment to the base funding
          of 0.37 percent for an increase
          in the population of 0-4 year-
          olds.
    5.    The maximum standard
          reimbursement rate shall not
          exceed $3  9.5  8  .29  per day
for
          general child care programs.
          This reflects a 1.02 percent
          cost-of-living adjustment and a
           7.  5 percent rate increase to the
        
          standard reimbursement rate. The
          maximum standard reimbursement
          rate shall       not exceed
          $  42   38  .  29
  53  for full-day state
          preschool programs. Furthermore,
          the migrant child care program
          shall adhere to the maximum
          standard reimbursement rates as
          prescribed for the general child
          care programs. All other rates
          and adjustment factors shall
          conform.
    6.    (a)     Alternative payment
                  child care programs
                  shall be subject to the
                  rate ceilings
                  established in the
                  Regional Market Rate
                  Survey of California
                  child care and
                  development providers
                  for provider payments.
                  When approved pursuant
                  to Section 8447 of the
                  Education Code, any
                  changes to the market
                  rate limits, adjustment
                  factors, or regions
                  shall be       utilized
                  by the State Department
                  of Education, the
                  California Community
                  Colleges, and the State
                  Department of Social
                  Services in various
                  programs under the
                  jurisdiction of these
                  departments.
           (b)     Until January 1, 2016, 
           (b)     Until October 1, 2015, 
                  the funds appropriated
                  in this item for the
                  cost of licensed child
                  care services provided
                  through alternative
                  payment or voucher
                  programs, including
                  those provided under
                  Article 3 (commencing
                  with Section 8220) and
                  Article 15.5 (commencing
                  with Section 8350) of
                  Chapter 2 of Part 6 of
                  Division 1 of Title 1 of
                  the Education Code,
                  shall be used only to
                  reimburse child care
                  costs up to the
                  deficited 85th
                  percentile of the rates
                  charged by providers
                  offering the same type
                  of child care for the
                  same age child in that
                  region, based on the
                  2009 Regional Market
                  Rate Survey data. The
                  85th percentile of rates
                  based on the 2009
                  Regional Market Rate
                  Survey shall be reduced
                  by 10.11 percent,
                  pursuant to Section 8447
                  of the Education Code.
                  If the reduced rate
                  schedule reimbursement
                  amount for a particular
                  county rate is less than
                  the reimbursement amount
                  provided for the same
                  rate prior to January 1,
                  2015, then the State
                  Department of Education
                  shall use the rate
                  schedule from the 2005
                  Regional Market Rate
                  Survey for that
                  particular reimbursement
                  amount. As of  Janua   Octobe
 r  y  1,
                  201  6   5  , the funds
                  appropriated in this
                  item for the cost of
                  licensed child care
                  services provided
                  through alternative
                  payment or       voucher
                  programs, including
                  those provided under
                  Article 3 (commencing
                  with Section 8220) and
                  Article 15.5 (commencing
                  with Section 8350) of
                  Chapter 2 of Part 6 of
                  Division 1 of Title 1 of
                  the Education Code,
                  shall be used only to
                  reimburse child care
                   costs up to the 70th 
                   costs up to104.5 percent 
                   of the deficited 85th 
                  percentile of the rates
                  charged by providers
                  offering the same type
                  of child care for the
                  same age child in that
                  region, based on the
                  20  14   09  Regional
Market
                  Rate Survey data.  If t   T
 he
                   85th percentile of rates 
                   based on the 2009 
                   Regional Market Rate 
                   Survey shall be reduced 
                   by 10.11 percent, 
                   pursuant to Section 8447 
                   of the Education Code. 
                   If the reduced rate 
                   rate  schedule 
  reimbursement
                   reimbursement  amount for  a
particular 
                   a particular  county rate  is
less than 
                   is less than the 
                   the  reimbursement amount
 
                  provided for the same
                  rate prior to January 1,
                  201  6   5  , then the
State
                  Department of Education
                   shall use 104.5 percent 
                   shall use   of  the rate
   schedule
                   schedule in place prior 
                   to January 1, 2016, for 
                   from the 2005 Regional
                   Market Rate Survey for 
                  that particular
                  reimbursement amount  . 
        
           (c)     Until January 1, 2016, 
           (c)     Until October 1, 2015, 
                  the funds appropriated
                  in this item for the
                  cost of license-exempt
                  child care services
                  provided through
                  alternative payment or
                  voucher programs,
                  including those provided
                  under Article 3
                  (commencing with Section
                  8220) and Article 15.5
                  (commencing with Section
                  8350) of Chapter 2 of
                  Part 6 of Division 1 of
                  Title 1 of the Education
                  Code, shall be used only
                  to reimburse license-
                  exempt child care costs
                  up to 60 percent of the
                  regional reimbursement
                  rate limits established
                  for family child care
                  homes. As of  Janua   Octobe
 r  y  1,
                  201  6   5  , the funds
                  appropriated in this
                  item for the cost of
                  license-exempt child
                  care services provided
                  through alternative
                  payment or voucher
                  programs, including
                  those provided under
                  Article 3 (commencing
                  with Section 8220) and
                  Article 15.5
                  (commencing with Section
                  8350) of Chapter 2 of
                  Part 6 of Division 1 of
                  Title 1 of the Education
                  Code, shall be used only
                  to reimburse license-
                  exempt child care costs
                  up to  70   65  percent
of the
                  regional reimbursement
                  rate limits established
                  for family child care
                  homes.
    7.    (a)     The State Department of
                  Education (SDE) shall
                  conduct monthly analyses
                  of CalWORKs Stage 2 and
                  Stage 3 caseloads and
                  expenditures and adjust
                  agency contract maximum
                  reimbursement amounts
                  and allocations as
                  necessary to ensure
                  funds are distributed
                  proportionally to need.
                  The SDE shall share
                  monthly caseload
                  analyses with the State
                  Department of
                  Social Services (DSS).
          (b)     The SDE shall provide
                  quarterly information
                  regarding the
                  sufficiency of funding
                  for Stage 2 and Stage 3
                  to DSS. The SDE shall
                  provide caseloads,
                  expenditures,
                  allocations, unit costs,
                  family fees, and other
                  key variables and
                  assumptions used in
                  determining the
                  sufficiency of state
                  allocations. Detailed
                  backup by month and on a
                  county-by-county basis
                  shall be provided to the
                  DSS at least on a
                  quarterly basis for
                  comparisons with Stage 1
                  trends.
          (c)     By September 30 and
                  March 30 of each year,
                  the SDE shall ensure
                  that detailed caseload
                  and expenditure data,
                  through the most
                  recent period for Stage
                  2 and Stage 3 along with
                  all relevant
                  assumptions, is provided
                  to DSS to facilitate
                  budget development. The
                  detailed data provided
                  shall include actual and
                  projected monthly
                  caseload from Stage 2
                  scheduled to time off of
                  their transitional child
                  care benefit from the
                  last actual month
                  reported by agencies
                  through the next two
                  fiscal years as well as
                  local attrition
                  experience. DSS shall
                  utilize data provided by
                  the SDE, including key
                  variables from the prior
                  fiscal year and the
                  first two months of the
                  current fiscal year, to
                  provide coordinated
                  estimates in November of
                  each year for each of
                  the three stages of care
                  for preparation of the
                  Governor's Budget, and
                  shall utilize data from
                  at least the first two
                  quarters of the current
                  fiscal year, and any
                  additional monthly data
                  as they become available
                  for preparation of the
                  May Revision. The DSS
                  shall share its
                  assumptions and
                  methodology with the SDE
                  in the preparation of
                  the Governor's Budget.
          (d)     The SDE shall coordinate
                  with the DSS to identify
                  annual general
                  subsidized child care
                  program expenditures for
                  Temporary Assistance for
                  Needy Families-eligible
                  children. The SDE shall
                  modify existing
                  reporting forms as
                  necessary to capture
                  this data.
          (e)     The SDE shall provide to
                  the DSS, upon request,
                  access to the
                  information and data
                  elements necessary to
                  comply with federal
                  reporting requirements
                  and any other
                  information deemed
                  necessary to improve
                  estimation of child care
                  budgeting needs.
          (f)     On or before January 30,
                  2016, following
                  consultation with the
                  DSS, the SDE shall
                  determine the adequacy
                  of funding appropriated
                  by the Legislature for
                  CalWORKs Stage 2 and
                  Stage 3. If the SDE
                  determines that the
                  Stage 2 appropriation
                  exceeds the current year
                  caseload needs and the
                  Stage 3 appropriation is
                  not sufficient to fully
                  fund its caseload need,
                  then the SDE shall
                  submit a request to the
                  Department of Finance to
                  transfer the excess
                  funds from Schedule (5),
                  CalWORKs Stage 2 child
                  care to Schedule (6),
                  CalWORKs Stage 3 child
                  care. Notwithstanding
                  Section 26.00 or any
                  other provision of law,
                  the Department of
                  Finance may, at its
                  discretion, approve such
                  a transfer.
          (g)     Notwithstanding any
                  other provision of law
                  or       any other
                  sections of this act,
                  the Department of
                  Finance may augment the
                  appropriation for
                  CalWORKs Stage 3 if the
                  estimate of
                  expenditures, as
                  determined by the SDE,
                  following consultation
                  with the DSS, will
                  exceed the expenditures
                  authorized in Schedule
                  (6). The Department of
                  Finance shall report any
                  augmentation pursuant to
                  this paragraph to the
                  Joint Legislative Budget
                  Committee. At the time
                  the report is made, the
                  amount of the
                  appropriation made in
                  Schedule (6) shall be
                  increased by the amount
                  of the augmentation.
          (h)     The Director of Finance
                  may, pursuant to
                  subdivisions (f) and (g)
                  of Provision 7,
                  authorize the
                  augmentation of the
                  amount available for
                  expenditure in Schedule
                  (6) by making a transfer
                  from Schedule (5). An
                  augmentation may be
                  authorized not sooner
                  than 30 days after
                  notification in
                  writing of the necessity
                  to exceed the
                  limitations is provided
                  to the Joint Legislative
                  Budget Committee, or
                  whatever lesser time the
                  chairperson of the joint
                  committee may determine.
                  Any request made by the
                  SDE to augment the
                  CalWORKs Stage 3
                  appropriation shall be
                  approved only in order
                  to cover increases in
                  costs that are
                  consistent with
                  assumptions of this act.
                  This provision shall not
                  be construed to treat
                  Stage 3 as an
                  entitlement.
    8.    Notwithstanding any other
          provision of law, the funds in
          Schedule (6) are reserved
          exclusively for continuing child
          care for the following: (a)
          former CalWORKs families who are
          working, have left cash aid, and
          have exhausted their two-year
          eligibility for transitional
          services in either Stage 1 or
          Stage 2 pursuant to subdivision
          (c) of Section 8351 or Section
          8353 of the Education Code,
          respectively, but still meet
          eligibility requirements for
          receipt of subsidized child care
          services, and (b) families who
          received lump-sum diversion
          payments or diversion services
          under Section 11266.5 of the
          Welfare and Institutions Code
          and have spent two years in
          Stage 2 off of cash aid, but
          still meet eligibility
          requirements for receipt of
          subsidized child care services.
    9.    Notwithstanding any other
          provision of law, each local
          planning council receiving funds
          appropriated in Schedule (11)
          shall meet the requirements of
          Section 8499.5 of the Education
          Code to the extent feasible and
          to the extent data is readily
          accessible.
    10.   Notwithstanding any other
          provision of law, the
          implementation of Provision 12
          is not subject to the appeal and
          resolution procedures for
          agencies that contract with the
          State Department of Education
          for the provision of child care
          services or the due process
          requirements afforded to
          families that are denied
          services specified in Chapter 19
          (commencing with Section 18000)
          of Division 1 of Title 5 of the
          California Code of Regulations.
    11.   Notwithstanding the rulemaking
          provisions of the Administrative
          Procedure Act (Chapter 3.5
          (commencing with Section 11340)
          of Part 1 of Division 3 of Title
          2 of the Government Code), the
          State Department of Education
          may implement Provision 12
          through management bulletins or
          similar instructions.
    12.   Notwithstanding any other
          provision of law, families shall
          be disenrolled from subsidized
          child care services consistent
          with the priorities for services
          specified in subdivision (b) of
          Section 8263 of the Education
          Code. Families shall be
          disenrolled in the following
          order: (a) families with the
          highest income below 8   7  0
percent
          of the State Median Income (SMI)
          adjusted for family size, (b) of
          families with the same income
          level, those that have been
          receiving child care services
          for the longest period of time,
          (c) of families with the same
          income level, those that have a
          child with exceptional needs,
          and (d) families with children
          who are receiving child
          protective services or are at
          risk of being neglected or
          abused, regardless of family
          income.
     13.   Of the amount appropriated in 
           Schedule (1), $7,120,000 is 
           available to provide 5,000 
           wraparound care slots for full- 
           day state preschool beginning 
           March 1, 2016. 
     14.   Of the amount appropriated in 
           Schedule (3), $99,500,000 is 
           available to provide 12,000 
           voucher child care slots 
           beginning January 1, 2016. 
     15.   Of the amount appropriated in 
          Schedule (10), $300,000 is 
           available for contracting for a 
           consumer education and referral 
           database project. 
     14.   Of the amount appropriated in 
           Schedule (3), $52,627,000 is 
           available to provide 6,800 
           voucher child care slots.The 
           Department shall allocate these 
           slots based on the existing 
           distribution of alternative 
           payment program contracts. 
     16.   Of the amount appropriated in 
           Schedule (1), $3,471,000 is 
           available to provide wraparound 
           child care for 1,200 full-day 
           state preschool slots beginning 
           January 1, 2016. 
     17.   The amount provided in Schedule 
           (12) is available for Quality 
           Rating and Improvement System 
           (QRIS) consortia to provide 
           training, technical assistance, 
           and resources to help infant and 
           toddler child care providers 
           meet a higher tier of quality as 
           determined by their local QRIS 
           matrix. No more the 20 percent 
           of the funding awarded to a 
           consortia may be allocated 
           directly to child care 
           providers. Each county 
           participating in a QRIS 
           consortia and in good standing 
           with the California Department 
           of Education (CDE) shall receive 
           a minimum grant amount of 
           $25,000 for this purpose, with 
           remaining funds distributed to 
           consortia based on their 
           proportion of contracts with CDE 
           for infant and toddler child 
           care and development. 
           Notwithstanding any other 
           provision of law, the funds 
           appropriated in this schedule 
           shall be available for 
           encumbrance until June 30, 2017. 


   SEC. 78.    Item 6100-194-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6100-194-0890--For local assistance, State
Department of Education, payable from the
Federal Trust Fund.......................... 582,852,000
    Schedule:
    (1)  5210026-General Child
         Development...........   235,067,000
    (2)  5210028-Migrant Day
         Care..................     5,411,000
    (3)  5210030-Alternative
         Payment...............   144,779,000
    (4)  5210034-CalWORKs
         Stage 2...............    10,000,000
    (5)  5210036-CalWORKs
         Stage 3...............   136,069,000
    (6)  5210044-Quality
         Improvement...........    48,207,000
    (7)  5210046-Local
         Planning Councils.....     3,319,000
    Provisions:
    1.   Notwithstanding any other provision
         of law, the funds appropriated in
         this item, to the extent
                    permissible under federal law, are
         subject to Section 8262 of the
         Education Code.
    2.   Of the       funds appropriated in
         this item, $10,000,000 is from the
         transfer of funds, pursuant to Item
         5180-402, from the federal
         Temporary Assistance for Needy
         Families (TANF) Block Grant
         administered by the State
         Department of Social Services to
         the federal Child Care and
         Development Block Grant for
         CalWORKs Stage 2 child care.
    3.   Funds in Schedules (6) and (7)
         shall be allocated to meet federal
         requirements to improve the quality
         of child care and shall be used in
         accordance with the approved
         California state plan for the
         federal Child Care and Development
         Fund that is developed pursuant to
         the requirements under Section
         8206.1 of the Education Code.
    4.   Notwithstanding any other provision
         of law, each local planning council
         receiving funds appropriated in
         Schedule (7) shall meet the
         requirements of Section 8499.5 of
         the Education Code to the extent
         feasible and to the extent data is
         readily accessible.
    5.   Of the funds appropriated in this
         item, $18,469,000 is available on a
         one-time basis for CalWORKs Stage 3
         child care from federal Child Care
         and Development Block Grant funds
         appropriated prior to the 2015-16
         federal fiscal year.
    6.   (a) Of the funds appropriated in
         Schedule (6) of this item,
         $  3   2  ,  1 
 8 92,000 is available on a one-
         time basis for quality activities
         from federal Child Care and
         Development Block Grant funds
         appropriated prior to the 2015-16
         federal fiscal year. The State
         Department of Education shall
         allocate these funds pursuant to
         federal law and reflecting the
         following priorities:
                (1)    First, to provide one-
                       time resources to
                       meet the requirements
                       of the 2014
                       reauthorization of
                       the federal Child
                       Care and Development
                       Block Grant.
                (2)    Second, to support
                       the       retention
                       and training of
                       teachers and staff
                       working in state and
                       federally subsidized
                       child care programs.
         (b)    Funds appropriated in
                Schedule (6) of this item
                shall not be expended to
                develop Feasibility Study
                Reports or to support new
                information technology
                projects, unless approved by
                the Department of Finance
                and not sooner than 30 days
                after notification in
                writing to the Chairperson
                of the Joint Legislative
                Budget Committee.
     7.   Of the funds appropriated in 
          Schedule (6) of this item, $300,000 
          is available on a one-time basis 
          for the Resource and Referral 
          Network from federal Child Care and 
          Development Block Grant funds 
         appropriated prior to the 2015-16 
          federal fiscal year. It is the 
          intent of the Legislature that this 
          funding may support data collection 
          efficiency. 


   SEC. 79.    Item 6100-195-0890 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6100-195-0890--For local assistance,
State Department of Education, Part A of
Title II of the federal Elementary and
Secondary Education Act (20 U.S.C. Sec.
6621 et seq.; Teacher and Principal
Training and Recruiting Fund), payable
from the Federal Trust Fund...............  251,865,000

                                             249,547,000 
    Schedule:
    (1)   5205168-Improving
          Teacher Quality
          Local Grants........  239,360,000
    (2)   5205150-California
          Subject Matter
          Projects............    3,410,000
    (3)   5205176-Improving
          Teacher Quality
          Higher Education
          Grants..............     8,617,000 
                                   6,299,000 
    (4)   5205180-Improving
          Teacher Quality
          State Level
          Activity Grants.....      478,000
    Provisions:
    1.    The funds appropriated in
          Schedule (2) shall be
          transferred to the University of
          California, which shall use the
          funds for the Subject Matter
          Projects pursuant to Article 1
          (commencing with Section 99200)
          of Chapter 5 of Part 65 of
          Division 14 of Title 3 of the
          Education Code.
    2.    The funds appropriated in
          Schedule (3) shall be for local
          assistance activities for the
          Improving Teacher Quality Higher
          Education grants, funded through
          the federal No Child Left Behind
          Act of 2001 (P.L. 107-110).
    3.    The funds appropriated in
          Schedule (4) shall be reserved
          for the professional development
          of private school teachers and
          administrators as required by
          Title II of the federal
          Elementary and Secondary
          Education Act (20 U.S.C. Sec.
          6601 et seq.).
     4.    Of the funds appropriated in 
           Schedule (3), $2,318,000 is 
           provided in one-time carryover 
           funds for beginning teacher and 
           administrator induction 
           programs. The funds shall not be 
           used for additional indirect 
           administrative costs. 


   SEC. 80.    Item 6100-196-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6100-196-0001--For local assistance,
State Department of Education
(Proposition 98), for transfer by the
Controller to Section A of the State
School Fund, for allocation by the
Superintendent of Public Instruction to
school districts, county offices of
education, and other agencies for the
purposes of part-day state preschool
programs pursuant to Article 7
(commencing with Section 8235) of Chapter
2 of Part 6 of Division 1 of Title 1 of
the Education Code funded in this item,
in lieu of the amount that otherwise
would be appropriated pursuant to any
other statute.............................  817,911,000

                                             884,773,000 
    Schedule:
    (1)   5210020-Preschool
          Education...........   742,911,000 
                                 834,773,000 
    (2)   5210010-Child
          Development,
          Quality Rating
          Improvement System
          Grants..............    75,000,000 
                                  50,000,000 
    Provisions:
    1.    Nonfederal funds appropriated in
          this item which have been
          budgeted to meet the state's
          Temporary Assistance for Needy
          Families maintenance-of-effort
          requirement established pursuant
          to the federal Personal
          Responsibility and Work
          Opportunity Reconciliation Act
          of 1996 (P.L. 104-193) may not
          be expended in any way that
          would cause their
          disqualification as a federally
          allowable maintenance-of-effort
          expenditure.
    2.    The amount provided in Schedule
          (1) reflects an adjustment to
          the base funding of 0.37 percent
          for an increase in the
          population of 0-4 year-olds.
    3.    The maximum standard
          reimbursement rate shall not
          exceed $2  7   3  . 14
  87  per day for part-
          day state preschool programs.
          This reflects a 1.02 percent
          cost-of-living adjustment, a 1
          percent increase to reflect
          increased information and annual
          teacher training requirements
          pursuant to subdivisions (b) and
          (c) of Section 8238 of the
          Education Code, a  nd a   7.  5
percent
          increase to the standard
           reimbursement rate.The maximum 
           standard  reimbursement rate  , and a
  10 
           percent increase to the part-day 
           state preschool rate. 
           shall not exceed $38.53 for full- 
           day state preschool programs. 
    4.    Of the amount appropriated in
          Schedule (1), up to $5,000,000
          is available for the family
          literacy supplemental grant
          provided to California state
          preschool programs pursuant to
          Section 8238.4 of the Education
          Code.
    5.    Of the amount provided in
          Schedule (2), $50,000,000 is
          available for Quality Rating and
          Improvement System grants
          provided to state preschool
           programs and $25,000,000 is 
           available for Quality Rating and 
           Improvement System grants 
           provided to infants and toddlers 
          p  rograms p  ursuant to Section  8203.1
of 
           8203.1 of  the Education Code.
    6.    Of the amount appropriated in
          Schedule (1), $12,103,000 is
          available to provide 2,500 slots
          for part-day state preschool.
          First priority for these slots
          is for state preschool
          contractors that intend to use
          these slots to increase access
          for children with exceptional
          needs.
    7.    Of the amount appropriated in
           Schedule (1), $5,881,000 is 
           Schedule (1) $28,369,000 is 
          available to provide 5,  83  0  00
 slots
          for full-day state preschool     to

           beginning March 1, 2016. 
           local educational agencies 
           beginning January 1, 2016. 
    11.   Of the amount appropriated in
           Schedule (1), $4,033,000 is 
           available to provide 10,000 
           Schedule (1), $2,507,000 is 
           available to provide 1,200 slots 
           slots  for part-day state 
  preschool 
           preschool beginning June 15, 
           beginning January 1,  2016.


   SEC. 81.    Item 6100-249-0001 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

6100-249-0001--For local assistance, State
Department of Education (Proposition 98),
After School Education and Safety Program... 25,000,000
     Schedule:
     (1)    5210048-After School
            Programs.............  25,000,000


   SEC. 82.    Item 6120-211-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6120-211-0001--For local assistance,
California State Library, California Library
Services Act pursuant to Chapter 4
(commencing with Section 18700) of Part 11 of
Division 1 of Title 1 of the Education Code...  5,880,000

                                                 1,880,000 
     Schedule:
     (1) 5312-Library Development
         Services....................  5,880,000 
                                       1,880,000 


   SEC. 83.    Item 6120-213-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6120-213-0001--For local assistance,
California State Library, California Library
Literacy and English Acquisition Services
Program, pursuant to Section 18880 of the
Education Code...............................  4,820,000

                                                5,820,000 
     Schedule:
     (1) 5312-Library Development
         Services...................  4,820,000 
                                      5,820,000 
      Provisions: 
      1.  This item includes $1,000,000 
          provided on a one-time basis for a 
          pilot of the Career Online High 
          School program. 


   SEC. 84.    Item 6440-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6440-001-0001--For support of University
of California.............................  3,084,638,000

                                             3,056,138,000 
    Schedule:
    (1)  5440-Support.........  3,084,638,00  

                                3,056,138,00 
                                          0
    Provisions:
    1.   This appropriation is exempt from
         Sections 6.00 and 31.00.
     2.   (a)    Of the amount included in 
                 Schedule (1), $25,000,000 
                 shall be released to the 
                 University of California 
                 only upon certification by 
                 the Director of Finance 
                 that the university has 
                 complied with paragraph 
                 (b). 
          (b)    The Regents of the 
                 University of California 
                 shall report to the 
                 Director of Finance, the 
                 chairpersons of the 
                 committees in each house 
                 of the Legislature that 
                 consider the State Budget, 
                 and the chairpersons of 
                 the budget subcommittees 
                 in each house that 
                 consider appropriations 
                 for the university, all of 
                 the following: 
                 (1)    Evidence that the 
                        university (A) has 
                        increased the 
                        number of resident 
                        students enrolled 
                        by at least 5,000 
                        resident students 
                        compared to the 
                        number of resident 
                        students enrolled 
                        in the 2014-15 
                        academic year or 
                        (B) intends to 
                        increase the number 
                        of resident 
                        students enrolled 
                        by at least 5,000 
                        resident students 
                        in the 2016-17 
                        academic year 
                        compared to the 
                        number of resident 
                        students enrolled 
                        in the 2014-15 
                        academic year. 
                 (2)    Information 
                        indicating that the 
                        Regents will not 
                        increase student 
                        tuition in the 2015- 
                        16 and 2016-17 
                        academic years 
                        compared to the 
                        amount charged in 
                        the 2014-15 
                        academic year. 
                 (3)    Information 
                        indicating that the 
                        university is 
                        phasing out 
                        institutional 
                        financial aid for 
                        nonresident 
                        students and will 
                        not offer 
                        institutional aid 
                        to nonresidents 
                        beginning with 
                        nonresident 
                        students entering 
                        in the 2016-17 
                        academic year, as 
                        well as evidence 
                        that those funds 
                        are instead used to 
                        support resident 
                        students. 
                 (4)    Evidence that the 
                        university will not 
                        increase 
                        nonresident 
                        enrollment at the
                        Berkeley, Los 
                        Angeles, and San 
                        Diego campuses 
                        above 2015-16 
                        levels for the 2016- 
                       17 school year. 
          (c)    If these funds have not 
                 been released to the 
                 university by April 30, 
                 2016, the funds shall 
                 revert to the General Fund. 
     2.   (a)    The Legislature finds and 
                 declares all of the 
                 following: 
                 (1)    The Regents of the 
                        University of 
                        California 
                        endorsed, on May 
                        21, 2015, the 
                        framework for long- 
                        term funding agreed 
                        upon by the 
                        Governor and the 
                        President of the 
                        University, 
                        pursuant to which 
                        tuition will not 
                        increase in the 
                        2015-16 and 2016-17 
                        academic years and 
                        the university will 
                        implement reforms 
                        to reduce the cost 
                        structure of the 
                        university and 
                        improve access, 
                        quality, and 
                        outcomes. 
                 (2)    The reforms 
                        included in the 
                        framework endorsed 
                        by the Regents will 
                        create capacity for 
                        all campuses of the 
                        university to serve 
                        more resident 
                        students, including 
                        by easing transfer 
                        from the community 
                        colleges, reducing 
                        the amount of time 
                        it takes students 
                        to complete 
                        programs, and using 
                        technology and data 
                        to improve 
                        allocation of 
                        available resources. 
                 (3)    In addition to the 
                        funds included in 
                        this appropriation 
                        and those described 
                        in the framework, 
                        other funds, 
                        including existing 
                        resources that can 
                        be redirected to 
                        higher priorities, 
                        such as those 
                        currently being 
                        used to provide 
                        financial aid to 
                        nonresident 
                        students, are also 
                        available to enable 
                        more resident 
                        students to enter 
                        the university at 
                        all of its campuses. 
                 (4)    Furthermore, it is 
                        the intent of the 
                        Legislature that 
                        those funds 
                        generated by an 
                        increase in the 
                        number of 
                        nonresident 
                        students enrolled 
                        in the 2015-16 
                        academic year, 
                        compared to the 
                        number of 
                        nonresident 
                        students enrolled 
                        in the 2014-15 
                        academic year, and 
                        increases in 
                        nonresident 
                        supplemental 
                        tuition, as 
                        approved by the 
                        Regents on May 21,
                        2015, be used 
                        specifically to 
                        support an increase 
                        in the number of 
                        resident students 
                        enrolled. 
          (b)    To address immediate 
                 needs, the university is 
                 expected to enroll, no 
                 later than the 2016-17 
                 academic year, at least 
                 5,000 more resident 
                 undergraduate students 
                 than the number enrolled 
                 in the 2014-15 academic 
                 year. 
          (c)    If the Regents provide 
                 sufficient evidence to the 
                 Director of Finance on or 
                 before May 1, 2016, to 
                 demonstrate that the 
                 university will satisfy 
                 the expectation enumerated 
                 in subdivision (b), the 
                 Director of Finance shall 
                 increase this 
                 appropriation by 
                 $25,000,000 and notify the 
                 Joint Legislative Budget 
                 Committee. 
    2.1. No later than April 1, 2016, the 
          Regents of the University of 
          California shall report to the 
          Director of Finance and, in 
          conformity with Section 9795 of 
          the Government Code, to the 
          Legislature on its use of these 
          funds for targeted support 
          services to increase systemwide 
          and campus four-year and six-year 
          graduation rates and two-year and 
          three-year transfer graduation 
          rates of low-income and 
          underrepresented student 
          populations. 
     2.1. The University of California 
          shall provide targeted support 
          services for the purpose of 
          increasing systemwide and campus 
          four-year and six-year graduation 
          rates and two-year and three-year 
          transfer graduation rates of low- 
          income and underrepresented 
          student populations. No later 
          than April 1, 2016, the Regents 
          of the University of California 
          shall report to the Director of 
          Finance and, in conformity with 
          Section 9795 of the Government 
          Code, to the Legislature on its 
          use of these funds for these 
          purposes. 
     2.2. It is the intent of the 
          Legislature that revenue 
          generated by increased 
          nonresident enrollment in the 
          2015-16 academic year, compared 
          to nonresident enrollment in the 
          2014-15 academic year, and 
          increased nonresident 
          supplemental tuition, as approved 
          by the Regents of the University 
         of California in May 2015, shall 
          support growth in the number of 
          resident students enrolled. 
    2.  3   2  . The  Regents of the
 University of
 California 
          California shall improve 
         shall improve  transparency  regarding
the 
          regarding its budget by posting 
          information on the website of the 
          university's budget. The Regents 
          shall ensure that information is 
          posted on the website of the 
         Office of the President  of  th  e
  at 
          University of California that 
         details subcategories of
         personnel within the Managers and
         Senior Professional personnel
         category and disaggregates all
         personnel categories by fund
         source.
    2.  4   3  . No later than December 10,
2015,
          the President of the University 
          the Regents of the University of 
          of  California shall report to the
         
         Director of Finance       and, in
         conformity with Section 9795 of
         the Government Code, to the
         Legislature, all of the following:
         (a)    All university fund
                sources legally allowable
                to support costs for
                undergraduate, graduate
                academic, and graduate
                professional education.
         (b)    The factors the university
                considers to determine
                which funds to use for
                educational activities and
                how much of those funds to
                use.
         (c)    The sources of the funds
                included in the
                calculation of
                expenditures
                reported pursuant to
                Section 92670 of the
                Education Code.
     2.4. (a)    The Regents of the 
                 University of California 
                 shall implement further 
                 measures to reduce the 
                 university's cost 
                 structure. 
          (b)    The Legislature finds and 
                 declares that many state 
                 employees hold positions 
                 with comparable scope of 
                 responsibilities, 
                 complexity, breadth of job 
                 functions, experience 
                 requirements, and other 
                 relevant factors to those 
                 employees designated to be 
                 in the Senior Management 
                 Group pursuant to existing 
                 Regents policy. 
          (c)    (1)    Therefore, at a 
                        minimum, the 
                        Regents shall, when 
                        considering 

                              compensation for 
                        any employee
                        designated to be in 
                        the Senior 
                        Management Group, 
                        use a market 
                        reference zone that 
                        includes state 
                        employees. 
                 (2)    At a minimum, the 
                        Regents shall 
                        identify all 
                        comparable 
                        positions from the 
                        lists included in 
                        subdivision (l) of 
                        Section 8 of 
                        Article III of the 
                        California 
                        Constitution and 
                        Article 1 
                        (commencing with 
                        Section 11550) of 
                        Chapter 6 of Part 1 
                        of Division 3 of 
                        Title 2 of the 
                        Government Code. 
    3.   (a)    The Regents of the
                University of California
                shall approve a plan that
                includes at least all of
                the following:
                (1)    Projections of
                       available resources
                       in the 2016-17,
                       2017-18, and 2018-
                       19 fiscal years. In
                       projecting General
                       Fund appropriations
                       and student tuition
                       and fee revenues,
                       the university
                       shall use any
                       assumptions
                       provided by the
                       Department of
                       Finance. The
                       Department of
                       Finance shall
                       provide any
                       assumptions no
                       later than August
                       1, 2015.
                (2)    Projections of
                       expenditures in the
                       2016-17, 2017-18,
                       and 2018-19 fiscal
                       years       and
                       descriptions of any
                       changes to current
                       operations
                       necessary to ensure
                       that expenditures
                       in each of those
                       years are not
                       greater than the
                       available resources
                       projected for each
                       of those years
                       pursuant to
                       paragraph (1).
                (3)    Projections of
                       resident and
                       nonresident
                       enrollment in the
                       2016-17, 2017-18,
                       and 2018-19
                       academic years,
                       assuming
                       implementation of
                       any changes
                       described in
                       paragraph (2).
                (4)    The university's
                       goals for each of
                       the measures listed
                       in subdivision (b)
                       of Section 92675 of
                       the Education Code
                       for the 2016-17,
                       2017-18, and 2018-
                       19       academic
                       years, assuming
                       implementation of
                       any changes
                       described in
                       paragraph (2). It
                       is the intent of
                       the Legislature
                       that these goals be
                       challenging and
                       quantifiable,
                       address achievement
                       gaps for
                       underrepresented
                       populations, and
                       align the
                       educational
                       attainment of
                       California's adult
                       population to the
                       workforce and
                       economic needs of
                       the state, pursuant
                       to the legislative
                       intent expressed in
                       Section 66010.93 of
                       the Education Code.
         (b)    The plan approved pursuant
                to subdivision (a) shall
                be submitted no later than
                November 30, 2015, to the
                Director of Finance, the
                chairpersons of the
                committees in each house
                of the Legislature that
                consider the State Budget,
                the chairpersons of the
                budget subcommittees in
                each house of the
                Legislature that consider
                appropriations for the
                University of California,
                the       chairpersons of
                the committees in each
                house of the Legislature
                that consider
                appropriations, and the
                chairpersons of the policy
                committees in each house
                of the Legislature with
                jurisdiction over bills
                relating to the university.
    4.   (a)    The University of
                California shall allocate
                from this appropriation
                the amount necessary to
                pay in full the fees
                anticipated to become due
                and payable during the
                fiscal year associated
                with lease-revenue bonds
                issued by the State Public
                Works Board on its behalf
                and the amount of general
                obligation bond debt
                service attributable to
                the university.
         (b)    The Controller       shall
                transfer funds from this
                appropriation upon receipt
                of the following reports:
                (1)    The State Public
                       Works Board shall
                       report to the
                       Controller the fees
                       anticipated to
                       become due and
                       payable in the
                       fiscal year
                       associated with any
                       lease-revenue bonds
                       that were issued on
                       behalf of the
                       university.
                (2)    The Department of
                       Finance shall
                       report to the
                       Controller the
                       amount of general
                       obligation bond
                       debt service
                       anticipated to
                       become due and
                       payable in the
                       fiscal year
                       attributable to the
                       university.
                (3)    The State Public
                       Works Board or the
                       Department of
                       Finance shall
                       submit a revised
                       report if either
                       entity determines
                       that an amount
                       previously reported
                       to the Controller
                       is inaccurate. If
                       necessary pursuant
                       to any revised
                       reports, the
                       Controller shall
                       return funds to
                       this appropriation.
    4.5. Of the funds appropriated in this
         item:
         (a)    $6,000,000 shall be
                allocated to the centers
                for labor research and
                education at the Berkeley
                and Los Angeles campuses.
          (b)    $2,500,000 shall be used 
                 for the California DREAM 
                 Loan Program. 
          (c)    $1,000,000 shall be used 
                 for the costs of a process 
                 to create a medical school 
                 at the Merced campus. 
                 These funds are provided 
                 on a one-time basis. 
         (  d   b  )    $1,000,000 shall be
                allocated to the Wildlife
                Health Center at the Davis
                campus and used for grants
                to local marine mammal
                stranding networks. These
                funds are provided on a
                one-time basis.
          (c)    $770,000 shall be 
                 allocated for the 
                 Statewide Database. 
          (e)      $770,000 shall be used
for 
                 the Statewide Database. 
     4.6. The University of California 
          shall continue planning for a 
          School of Medicine at the Merced 
          campus in accordance with the 
          action approved by the Regents of 
          the University of California on 
          May 14, 2008, and shall allocate 
          up to $1,000,000 from this 
          appropriation or other funds 
          available to the university for 
          this purpose. 
     4.7. This item includes funds for the 
          California DREAM Loan Program. 
    5.   Payments made by the state to the
         University of California for each
         month from July through April
         shall not exceed one-twelfth of
         the amount appropriated in this
         item, less the amount that is
         specified in Provision 2 and the
         amount that is allocated pursuant
         to subdivision (a) of Provision
         4. Transfers of funds pursuant to
         subdivision (b) of Provision 4
         shall not be considered payments
         made by the state to the
         university.
    6.   The funds       appropriated in
         this item shall not be available
         to support auxiliary enterprises
         or intercollegiate athletic
         programs.


   SEC. 85.    Item 6440-004-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6440-004-0001--For support of University of
California................................... 96,000,000
     Schedule:
     (1)    5440-Support..........  96,000,000
     Provisions:
     1.     The funds appropriated in this
            item shall be released to the
            University of California only
            upon certification by the
            Director of Finance that the
            Regents of the University of
            California have approved a
            retirement program that limits
            pensionable compensation
            consistent with the limits
            specified in the Public
            Employees' Pension Reform Act of
            2013.
      2.     The funds appropriated in this 
             item shall be used only for 
             unfunded liabilities of the 
             University of California 
             Retirement Plan, in excess of 
             current base amounts, to satisfy 
             the requirements of clause (ii) 
             of subparagraph (B) of paragraph 
             (1) of subdivision (b) of Section 
             20 of Article XVI of the 
             Constitution of the State of 
             California. 
      3.     Upon release of the funds, the 
             Regents of the University of 
             California shall submit a report 
             to the Director of Finance and, 
             in conformity with Section 9795 
             of the Government Code, to the 
             Legislature demonstrating that 
             the funds have been used to 
             supplement and not supplant 
             funding otherwise available to 
             pay for unfunded liabilities of 
             the University of California 
             Retirement Plan. 
      4.     This appropriation does not 
             constitute an obligation on 
             behalf of the state to 
             appropriate any additional funds 
             in subsequent years for any costs 
             of the University of California 
             Retirement Plan. The Legislature 
             shall determine the amount of 
             additional funds, if any, to be 
             appropriated in subsequent years 
             for costs of the University of 
             California Retirement Plan. 


   SEC. 86.    Item 6610-001-0001 of Section 2.00 of the
  Budget Act of 2015   i   s amended to
read: 
6610-001-0001--For support of California
State University..........................  3,022,081,000

                                             2,983,081,000 
    Schedule:
    (1)  5560-Support.........  3,022,081,00  

                                2,983,081,00 
                                          0
    Provisions:
    1.   This appropriation is exempt from
         Sections 6.00 and 31.00, but is
         subject to the applicable
         sections of the Government Code
         referred to in subdivision (a) of
         Section 31.00.
    2.   (a)    The Trustees of the
                California State
                University shall approve a
                plan that includes at
                least all of the following:
                (1)    Projections of
                       available resources
                       in the 2016-17,
                       2017-18, and
                       2018-19 fiscal
                       years. In
                       projecting General
                       Fund appropriations
                       and student tuition
                       and fee revenues,
                       the university
                       shall use any
                       assumptions
                       provided by the
                       Department of
                       Finance. The
                       Department of
                       Finance shall
                       provide any
                       assumptions no
                       later than August
                       1, 2015.
                (2)    Projections of
                       expenditures in the
                       2016-17, 2017-18,
                       and 2018-19 fiscal
                       years and
                       descriptions of any
                       changes to current
                       operations
                       necessary to ensure
                       that expenditures
                       in each of those
                       years are not
                       greater than the
                       available resources
                       projected for each
                       of those years
                       pursuant to
                       paragraph (1).
                (3)    Projections of
                       resident and
                       nonresident
                       enrollment in the
                       2016-17, 2017-18,
                       and 2018-19
                       academic years,
                       assuming
                       implementation of
                       any changes
                       described in
                       paragraph (2).
                (4)    The university's
                       goals for each of
                       the performance
                       measures listed in
                       subdivision (b) of
                       Section 89295 of
                       the Education Code
                       for the 2016-17,
                       2017-18, and the
                       2018-19 academic
                       years, assuming
                       implementation of
                       any changes
                       described in
                       paragraph (2). It
                       is the intent of
                       the Legislature
                       that these goals be
                       challenging and
                       quantifiable,
                       address achievement
                       gaps for
                       underrepresented
                       populations, and
                       align the
                       educational
                       attainment of
                       California's adult
                       population to the
                       workforce and
                       economic needs of
                       the state, pursuant
                       to the legislative
                       intent expressed in
                       Section 66010.93 of
                       the       Education
                       Code.
         (b)    The plan approved pursuant
                to subdivision (a) shall
                be submitted, no later
                than November 30, 2015, to
                the Director of Finance,
                the chairpersons of the
                committees in each house
                of the Legislature that
                consider the State Budget,
                the chairpersons of the
                budget subcommittees in
                each house of the
                Legislature that consider
                appropriations for the
                California State
                University, the
                chairpersons of the
                committees in each house
                of the Legislature that
                consider appropriations,
                and the chairpersons of
                the policy committees in
                each house of the
                Legislature with
                jurisdiction over bills
                relating to the
                university. The plan shall
                adhere to the goals
                included in Section
                66010.91 of the Education
                Code.
    3.   (a)    The California State
                University shall allocate
                from this appropriation
                the amount necessary to
                pay in full all amounts
                anticipated to become due
                and payable during the
                fiscal year for rent,
                fees, and insurance
                associated with lease-
                revenue bonds issued by
                the State Public Works
                Board on its behalf and
                general obligation bond
                debt service attributable
                to the university.
         (b)    The Controller shall
                transfer funds from this
                appropriation upon receipt
                of the following reports:
                (1)    The State Public
                       Works Board shall
                       report to the
                       Controller the
                       rent, fees, and
                       insurance
                       anticipated to
                       become due and
                       payable in the
                       fiscal year
                       associated with
                       lease-revenue bonds
                       issued on behalf of
                       the university.
                (2)    The Department of
                       Finance shall
                       report to the
                       Controller the
                       amount of general
                       obligation bond
                       debt service
                       anticipated to
                       become due and
                       payable in the
                       fiscal year
                       attributable to the
                       university.
                (3)    The State Public
                       Works Board or the
                       Department of
                       Finance shall
                       submit a revised
                       report if either
                       entity determines
                       that an amount
                       previously reported
                       to the Controller
                       is inaccurate. If
                       necessary pursuant
                       to any revised
                       reports, the
                       Controller shall
                       return funds to
                       this appropriation.
    3.1. No later than April 1, 2016, the
         Trustees of the California State
         University shall report to the
         Director of Finance and, in
         conformity with Section 9795 of
         the Government Code, to the
         Legislature on factors that
         impact systemwide four-year and
         six-year graduation rates and
         systemwide two-year and three-
         year transfer graduation rates
         for all students and for low-
         income and underrepresented
         student populations in
         particular. The report shall
         include, but not be limited to,
         an analysis of the extent to
         which course availability, course
         of study, employment status,
         transferred in units, and part-
         time or full-time status impact
         graduation rates and time to
         degree. The       report shall
         also include an analysis of the
         extent to which particular
         barriers vary by campus and
         student population and present
         actionable changes in university
         policy and practices for
         addressing identified barriers.
    3.2. This item includes funds for
         growth in the number of resident
         students enrolled at the
         California State University. It
         is the goal of the Legislature
         that the university increase
         enrollment of resident students
         by at least 10,400 full-time
         equivalent students by the end of
         the fall 2016 semester, when
         compared to enrollment in the
         2014-15 academic year.
    3.3. This item includes funds for
         student success and completion
         initiatives. At least $11,000,000
         shall be used to       increase
         the number of tenure  -track       d
  and 
 tenure- 
          track  faculty pursuant to the  student
  
         s  tudent s  uccess and completion
         initiatives approved by the
         Trustees as part of the 2015-16 
          university's 2015-16  Support  Budget.

          Budget. 
    3.4. Of the funds appropriated in this
         item:
          (a)      $2,500,000 shall be used

                 for the California DREAM 
                 Loan Program. 
          (b)    $250,000 shall be used for 
                 the Mervyn M. Dymally 
                 African American Political 
                 and Economic Institute. 
          (a)    $250,000 shall be 
                 allocated for the Mervyn 
                 M. Dymally African 
                 American Political and 
                 Economic Institute. 
         (  c   b  )    $200,000 shall be
                allocated to campus
                financial offices and
                teacher education programs
                and used to support
                activities that increase
                awareness of federal
                financial aid programs for
                teachers.
     4.   This item includes funds for the 
          California DREAM Loan Program. 
     4.     Of   the funds
appropriated in this 
          item, the following amounts are 
          provided on a one-time basis and 
          shall be used as follows: 
          (a)    $24,000,000 for deferred 
                 maintenance. 
          (b)    $1,000,000 for a study of 
                 the proportion of the 
                 graduates of California 
                 public high schools 
                 eligible for admission to 
                 the California State 
                 University and the 
                 University of California. 
          (c)    $500,000 for creation of 
                 an engineering program at 
                 the Channel Islands campus. 
     4.1. The California State University 
          shall continue planning for an 
          engineering program at the 
          Channel Islands campus and may 
          allocate up to $500,000 from this 
          appropriation or other funds 
          available to the university for 
          this purpose. 
    5.   Payments made by the state to the
         California State University for
         each month from July through
         April shall not exceed one-
         twelfth of the amount
         appropriated in this item, less
         the amount that is allocated
         pursuant to subdivision       (a)
         of Provision 3. Transfers of
         funds pursuant to subdivision (b)
         of Provision 3 shall not be
         considered payments made by the
         state to the university.
    6.   The California State University
         shall allocate from this
         appropriation the amount required
         to pay contributions to the
         Public Employees' Retirement Fund
         pursuant to Section 20822 of the
         Government Code.
    7.   The Director of Finance has the
         authority to adjust this
         appropriation pursuant to Section
         3.60, as well as Section 89762 of
         the Education Code.


   SEC. 87.    Item 6870-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6870-101-0001--For local assistance,
Board of Governors of the California
Community Colleges (Proposition 98).....    3,678,019,000

                                             3,623,789,000 
   Schedule:
   (1)  5670015-                2,523,172,  

         Apportionments........ 2,523,473, 
         Apportionments........ 

       000
   (2)  5670019-
        Apprenticeship........  31,506,000 
                                31,433,000 
   (3)  5670023-
        Apprenticeship
        Training and
        Instruction...........  20,651,000 
                                20,491,000 
   (4)  5675015-Student
        Success for Basic
        Skills Students.......  20,241,000 
                                20,037,000 
   (5)  5675019-Student
        Financial Aid
        Administration........  81,435,000 
                                73,727,000 
   (6)  5675027-Disabled       115,388,00
        Students..............          0
   (7)  5675031-Student
        Services for CalWORKs
        Recipients............  43,932,000 
                                34,897,000 
   (8)  5675035-Foster Care
        Education Program.....   5,308,000 
                                 5,254,000 
   (9)  5675039-Student
        Success and Support     501,683,00 
        Program...............           
471,683,0  0
                                         0 
   (10) 5675061-Academic
        Senate for the
        Community Colleges....     718,000 
                                   468,000 
   (11) 5675069-Equal
        Employment
        Opportunity...........     775,000 
                                   767,000 
   (12) 5675073-Part-Time
        Faculty Health
        Insurance.............     495,000 
                                   490,000 
   (13) 5675077-Part-Time
        Faculty Compensation..  25,161,000 
                                24,907,000 
   (14) 5675081-Part-Time
        Faculty Office Hours..   7,207,000 
                                 3,514,000 
   (15) 5675099-
        Telecommunications
        and Technology
        Infrastructure........  20,093,000 
                                19,890,000 
   (16) 5675119-Economic
        Development...........  23,163,000 
                                22,929,000 
   (17) 5675123-Transfer
        Education and
        Articulation..........     705,000 
                                   698,000 
   (18) 5675023-Extended
        Opportunity Programs   123,189,00
        and Services..........          0
   (19) 5675115-Fund for
        Student Success.......   6,197,000 
                                 3,792,000 
   (20) 5675150-Campus
        Childcare Tax Bailout.  3,384,000
   (21) 5675156-Nursing
        Program Support.......  13,514,000 
                                13,378,000 
   (22) 5670035-Expand the
        Delivery of Courses
        through Technology.... 10,102,000 
                                10,000,000 
   (23) 5675133-Physical
        Plant and              100,000,00
        Instructional Support.          0
   Provisions:
   1.   The funds appropriated in this
        item are for transfer by the
        Controller during the 2015-16
        fiscal year to Section B of the
        State School Fund.
   2.   (a)   The funds appropriated in
              Schedule (1) shall be
              allocated using the budget
              formula established
              pursuant to Section
              84750.5 of       the
              Education Code. The budget
              formula shall be adjusted
              to reflect the following:
              (1)   Of the funds
                    appropriated in
                    Schedule (1),
                    $156,457,000 shall
                    be used to increase
                    statewide growth of
                    full-time equivalent
                    students (FTES) by 3
                    percent.
              (2)   Of the funds
                    appropriated in
                    Schedule (1),
                    $61,022,000 shall be
                    used to reflect a
                    cost-of-living
                    adjustment of 1.02
                    percent.
        (b)   Of the       funds
              appropriated in Schedule
               (1), $270,976,000 shall be 
               (1) $266,692,000 shall be 
              used to adjust the budget
              formula pursuant to
              Section 84750.5 of the
              Education Code to
              recognize increases in
              operating costs and to
              improve instruction.
        (c)   Funds allocated to a
              community college district
              from funds included in
              Schedule (1) shall
              directly offset any
              mandated costs claimed for
              the Minimum Conditions for
              State Aid (02-TC-25 and 02-
              TC-31) program or any
              costs of complying with
              Section 84754.5 of the
              Education Code.
        (d)   Of the funds appropriated
              in Schedule (1):
              (1)   $100,000 is for a
                    maintenance
                    allowance, pursuant
                    to Section 54200 of
                    Title 5 of the
                    California Code of
                    Regulations.
              (2)   Up to $500,000 is to
                    reimburse colleges
                    for the costs of
                    federal aid
                    repayments related
                    to assessed fees for
                    fee waiver
                    recipients. This
                    reimbursement only
                    applies to students
                    who completely
                    withdraw from
                    college before the
                    census date pursuant
                    to Section 58508 of
                    Title 5 of the
                    California Code of
                    Regulations.
        (e)   (1)   Of the funds
                    appropriated in
                    Schedule (1),
                     $75,000,000 is for 
                     $62,320,000  is for 
                    increasing the
                    number of full-time
                    faculty within the
                    community college
                    system.
                    Notwithstanding,
                    Subchapter 1
                    (commencing with
                    Section 51025) of
                    Chapter 2 of
                    Division 6 of Title
                    5 of the California
                    Code of Regulations,
                    the Chancellor of
                    the California
                    Community Colleges
                    shall allocate these
                    funds to all
                    districts on a per
                    FTES basis by
                    modifying each
                    districts budget
                    formula pursuant to
                    Section 84750.5 of
                    the Education Code.
                    Any revisions to the
                    budget formula made
                    for the purposes of
                    this subdivision
                    shall be made and
                    reported consistent
                    with the
                    requirements of
                    subdivision (f) of
                    Section 84750.5 of
                    the Education Code.
              (2)   Utilizing the data
                    from the full-time
                    faculty obligation
                    report for the 2014-
                    15 fiscal year, the
                    chancellor shall
                    rank, from the
                    lowest to the
                    greatest full-time
                    faculty percentage,
                    each community
                    college district
                    within quintiles so
                    that each quintile
                    has approximately
                    equal numbers of
                    full-time equivalent
                    students. The
                    chancellor shall
                    adjust the faculty
                    obligation number
                    for each district as
                    follows:
              (A)   An increase of one
                    for every $73,057
                    received for
                    districts in the
                    lowest quintile
                    (quintile 1).
              (B)   An increase of one
                    for every $80,000
                    received for
                    districts in the
                    second quintile
                    (quintile 2).
              (C)   An increase of one
                    for every $95,000
                    received for
                    districts in the
                    third quintile
                    (quintile 3).
              (D)   An increase of one
                    for every $110,000
                    received for
                    districts in the
                    fourth quintile
                    (quintile 4).
              (E)   An increase of one
                    for every $125,000
                    received for
                    districts in the
                    fifth quintile
                    (quintile 5).
              (F)   If the number of
                    full-time faculty
                    increased pursuant
                    to subparagraphs (A)
                    through (E) results
                    in a district
                    exceeding the 75
                    percent standard,
                    the Chancellor shall
                    increase the number
                    of the full-time
                    obligation to a
                    point that leaves
                    the district as
                    close as possible
                    to, but not in
                    excess of, the 75
                    percent standard,
                    consistent with
                    paragraph (5) of
                    subdivision (c) of
                    Section 51025 of
                    Subchapter (1) of
                    Chapter 2 of
                    Division 6 of Title
                    5 of the California
                    Code of Regulations.
              (3)   To the extent that
                    the increased
                    faculty obligation
                    number calculated in
                    paragraph (2) does
                    not result in an
                    obligation to hire
                    additional full-time
                    faculty, it is the
                    intent of the
                    legislature that
                    districts use these
                    funds to enhance
                    student success
                    through the support
                    of part-time and
                    full-time faculty  .   ,

                     including, but not 
                     limited to, part- 
                     time faculty office 
                     hours. 
   3.   (a)   The funds appropriated in
              Schedule (2) shall be
              available pursuant to
              Article 3 (commencing with
              Section 79140) of
              Chapter 9 of Part 48 of
              Division 7 of Title 3 of
              the Education Code.
        (b)   Pursuant to Section
              79149.3 of the Education
              Code, the reimbursement
              rate shall be $5.46 per
              hour.
        (c)   Of the funds appropriated
              in Schedule (2),
              $15,000,000 shall be used
              for the purposes of
              Section 79148 of the
              Education Code.
   4.   (a)   The funds appropriated in
              Schedule (3) shall be
              available pursuant to
              Article 8 (commencing
              with Section 8150) of
              Chapter 1 of Part 6 of
              Division 1 of Title 1 of
              the Education Code.
        (b)   Pursuant to Section 8152
              of the Education Code, the
              reimbursement rate shall
              be $5.46 per hour.
   5.   Of the funds appropriated in
        Schedule (4):
        (a)   $1,2  21   09  ,000 shall
   be
              used for faculty and staff
              development to improve
              curriculum, instruction,
              student services, and
              program practices in basic
              skills and English as a
              Second Language (ESL)
              programs. The Chancellor
              of the California
              Community Colleges
              (chancellor) shall select
              a district, using a
              competitive process, to
              carry out these activities.
         (b)   $19,020,000 shall be 
         (b)   $18,828,000 shall be 
              allocated by the
              chancellor to community
              college districts to
              improve outcomes of
              students who enter college
              needing to complete at
              least one course in ESL or
              basic skills.
   6.   (a)   Of the funds appropriated
              in Schedule (5):
              (1)   Not less than
                    $16,  936   772  ,000
is
                    available to provide
                    $0.91 per unit
                    reimbursement to
                    community college
                    districts for the
                    provision of board
                    of governors (BOG)
                    fee waiver awards
                    pursuant to
                    paragraph (2) of
                    subdivision (m) of
                    Section 76300 of the
                    Education Code.
              (2)   Not less than
                    $1  7   6  , 
121   955  ,000 is
                    available for the
                    Board Financial
                    Assistance Program
                    to provide
                    reimbursement of 2
                    percent of total
                    waiver value to
                    community college
                    districts for the
                    provision of BOG fee
                    waiver awards
                    pursuant to
                    paragraph (2) of
                    subdivision (m) of
                    Section 76300 of the
                    Education Code.
              (3)   $2,8  29   00  ,000
shall
                    be allocated to a
                    community college
                    district to conduct
                    a statewide media
                    campaign to promote
                    the following
                    message: (A) the
                    California Community
                    Colleges are
                    affordable, (B)
                    financial aid is
                    available to cover
                    fees and help with
                    books and other
                    costs, and (C) an
                    interested student
                    should contact his
                    or her local
                    community college
                    financial aid
                    office. The campaign
                    should target
                    efforts to reach low-
                    income and
                    disadvantaged
                    students who must
                    overcome barriers in
                    accessing
                    postsecondary
                    education. The
                    community college
                    district awarded the
                    contract shall
                    consult regularly
                    with the chancellor
                    and the Student Aid
                    Commission.
              (4)   Not more than
                    $  44   37  , 
549   200  ,000 shall be
                    for direct contact
                    with potential and
                    current financial
                    aid applicants. Each
                    California Community
                    College campus shall
                    receive a minimum
                    allocation of
                    $50,000. The
                    remainder of the
                    funding shall be
                    allocated to
                    campuses based upon
                    a formula reflecting
                    FTES weighted by a
                    measure of low-
                    income populations
                    demonstrated by BOG
                    fee waiver program
                    participation within
                    a district.  Of       
 the 
                     amount allocated 
                     pursuant to this 
                     paragraph, 
                     $3,000,000 is 
                     available on a one- 
                     time basis to 
                     support the 
                     administration of 
                     Cal Grant B Access 
                     Award distributions 
                     to students pursuant 
                     to Item 6870-102- 
                     0001. 
              (5)   Funds allocated
                    to a community
                    college district
                    pursuant to
                    paragraphs (1) and
                    (2) shall
                    supplement, not
                    supplant, the level
                    of funds allocated
                    for the
                    administration of
                    student financial
                    aid programs during
                    the 2001-02 or 2006-
                    07 fiscal year,
                    whichever is greater.
              (6)   Funding allocated to
                    a community college
                    district pursuant to
                    paragraphs (1) and
                    (2) shall directly
                    offset any costs
                    claimed by that
                    district for any of
                    the following
                    mandates: Enrollment
                    Fee Collection (99-
                    TC-13), Enrollment
                    Fee Waivers (00-TC-
                    15), Cal Grants (02-
                    TC-28), and Tuition
                    Fee Waivers (02-TC-
                    21).
              (7)   Notwithstanding
                    subdivision (m) of
                    Section 76300 of the
                    Education Code or
                    any other provision
                    of law, the amount
                    of funds
                    appropriated for the
                    purpose of
                    administering fee
                    waivers for the 2015-
                    16 fiscal year shall
                    be determined in
                    this act.
   7.   (a)   The funds appropriated in
              Schedule (6) shall be used
              to assist districts in
              funding the excess direct
              instructional cost of
              providing special support
              services or instruction,
              or both, to disabled
              students enrolled at
              community colleges and for
              state hospital programs,
              as mandated by federal law.
        (b)   Of the amount appropriated
              in       Schedule (6):
              (1)   At least $3,945,000
                    shall be used to
                    address deficiencies
                    identified by the
                    United States
                    Department of
                    Education Office for
                    Civil Rights.
              (2)   At least $943,000
                    shall be used to
                    support the High
                    Tech Centers for
                    activities
                    including, but not
                    limited to, training
                    of district
                    employees, staff,
                    and students in the
                    use of specialized
                    computer equipment
                    for the disabled.
              (3)   At least $9,600,000
                    shall be allocated
                    to community college
                    districts for sign
                    language interpreter
                    services, real-time
                    captioning
                    equipment, or other
                    communication
                    accommodations for
                    hearing-impaired
                    students. A
                    community college
                    district is required
                    to spend $1 from
                    local or other
                    resources for every
                    $4 received pursuant
                    to this paragraph.
              (4)   $1,000,000 shall be
                    allocated for state
                    hospital adult
                    education programs
                    at the hospitals
                    served by the Coast
                    and Kern Community
                    College Districts.
   8.   (a)   The funds appropriated in
              Schedule (7) shall be
              allocated pursuant to
              Article 5 (commencing with
              Section 79200) of Chapter
              9 of Part 48 of Division 7
              of Title 3 of the
              Education Code.
        (b)   Of the amount appropriated
              in Schedule (7):
              (1)   $9,  2   18  8 
2  ,000 is for
                    child care, except
                    that a community
                    college district may
                    request that the
                    chancellor approve
                    use       of funds
                    for other purposes.
              (2)   No less than
                    $4,9  5  0  0  ,000
shall be
                    used to provide
                    direct workstudy
                    wage reimbursement
                    for students served
                    under this program,
                    and $613,000 is
                    available for campus
                    job development and
                    placement services.
        (c)   A community college
              district is required to
              spend $1 from local or
              other resources for every
              $1 received pursuant to
              this provision, except
              for any funds received
              pursuant to paragraph (1)
              of subdivision (b).
   9.   (a)   The funds appropriated in
              Schedule (8) shall be
              allocated to community
              college districts to
              provide foster and
              relative/kinship care
              education and training
              pursuant to Article 8
              (commencing with Section
              79240) of Chapter 9 of
              Part 48 of Division 7 of
              Title 3 of the Education
              Code. A community college
              district shall ensure that
              education and training
              required pursuant to
              Sections 1529.1 and 1529.2
              of the Health and Safety
              Code and Section 16003 of
              the Welfare and
              Institutions Code receives
              priority.
   10.  (a)   The funds
              appropriated in Schedule
              (9) shall be used for the
              purposes of Article 1
              (commencing with Section
              78210) of Chapter 2 of
              Part 48 of Division 7 of
              Title 3 of the Education
              Code.
        (b)   Of the amount included in
              Schedule (9):
              (1)   $285,183,000 shall
                    be allocated
                    pursuant to Section
                    78216 of the
                    Education Code.
              (2)   (A)  $185,000,000 
                     $155,000,000  shall be 
allocated 
                     allocated to 
                     to  community college
         
                    districts to
                    implement student
                    equity plans
                    pursuant to Article
                    1.5 of Chapter 2 of
                    Part 48 of Division
                    7 of Title 3 of the
                    Education Code.
                    These plans shall be
                    coordinated with the
                    Student Success and
                    Support Program
                    plans, pursuant to
                    Section 78216 of the
                    Education Code, and
                    the Student Success
                    Scorecard, pursuant
                    to Section 84754.5
                    of the Education
                    Code.
              (B)    These funds shall
                    be allocated by the
                    chancellor to
                    community college
                    districts using a
                    methodology that
                    ensures that
                    districts with a
                    greater proportion
                    or number of
                    students who have
                    high needs receive
                    more resources to
                    provide services to
                    these students. The
                    chancellor shall
                    ensure that the
                    allocation
                    methodology reflects
                    the       inclusion
                    of foster youth
                    within the
                    proportion or number
                    of high-needs
                    students.
              (C)   Consistent with the
                    intent of Chapter
                    771 of the Statutes
                    of 2014 and within
                    the funds allocated
                    to community college
                    districts pursuant
                    to this paragraph,
                    the chancellor shall
                    enter into
                    agreements with up
                    to 10 community
                    college districts to
                    provide additional
                    services in support
                    of postsecondary
                    education for foster
                    youth. Up to $15
                    million of the funds
                      allocated to
                    community college
                    districts pursuant
                    to this paragraph
                    shall be prioritized
                    for services
                    pursuant to Chapter
                    771 of the Statutes
                    of 2014. Further,
                    the chancellor shall
                    ensure that the list
                    of eligible
                    expenditures
                    developed pursuant
                    to subdivision (d)
                    of Education Code
                    Section 78221
                    includes
                    expenditures that
                    are consistent with
                    the intent of
                    Chapter 771       of
                    the Statutes of 2014.
              (D)   Nothing in this
                    provision prevents
                    existing student-
                    equity related
                    categorical programs
                    or campus-based
                    programs from
                    accessing student
                    equity plan funds.
              (3)   (A) $5,500,000 may
                    be used by the
                    chancellor to
                    provide technical
                    assistance to
                    community college
                    districts that
                    demonstrate low
                    performance in any
                    area of operations.
                    It is the intent of
                    the Legislature that
                    technical assistance
                    providers be
                    contracted in a cost-
                    effective manner,
                    that they primarily
                    consist of experts
                    who are current and
                    former
                    employees of the
                    California Community
                    Colleges, and that
                    they provide
                    technical assistance
                    consistent with the
                    vision for the
                    California Community
                    Colleges.
              (B)    Technical
                    assistance funded
                    pursuant to this
                    paragraph that is
                    initiated by the
                    chancellor may be
                    provided at no cost
                    to the district. If
                    a community college
                    district requests
                    technical
                    assistance, the
                    district is required
                    to spend at least $1
                    from local or other
                    resources for every
                    $2 received as
                    determined by the
                    chancellor.
        (4)   (A)   $12,000,000 may be
                    used by the
                    chancellor to
                    provide
                    regional and online
                    workshops and
                    trainings to
                    community college
                    personnel to promote
                    statewide
                    priorities,
                    including, but not
                    limited to:
                    strategies to
                    improve student
                    achievement;
                    strategies to
                    improve community
                    college operations;
                    and system
                    leadership training
                    to better coordinate
                    planning,
                    implementation, and
                    outcomes of
                    statewide
                    initiatives. To the
                    extent possible, the
                    chancellor shall
                    partner with
                    existing statewide
                    initiatives with
                    proven results of
                    improving student
                    success and
                    institutional
                    effectiveness.
                    Beginning in the
                    2016-17 fiscal year,
                    the Chancellor of
                    the California
                    Community Colleges
                    shall submit a
                    report on the use of
                    these funds in the
                    prior year to the
                    Department of
                    Finance and the
                    Joint Legislative
                    Budget Committee no
                    later than October 1
                    of each year.
              (B)   Funding
                    available pursuant
                    to this paragraph
                    may be utilized by
                    the chancellor to
                    coordinate with
                    community college
                    districts to develop
                    and disseminate
                    effective practices
                    through the
                    establishment of an
                    online clearinghouse
                    of information. The
                    development of
                    effective practices
                    shall include, but
                    not be limited to,
                    statewide priorities
                    such as the
                    development of
                    educational programs
                    or courses for the
                     incarcerated adults 
                     in prisons and 
                     jails, and the 
                     formerly 
                    incarcerated,
                    educational programs
                    or courses for
                    California
                    Conservation Corps
                    members, and other
                    effective practices.
              (C)   It is the intent of
                    the Legislature to
                    encourage the
                    chancellor to
                    facilitate the
                    development of local
                    community
                    college courses for
                    the California
                    Conservation Corps
                    and the              
incarcerated 
                     adults in prisons 
                    and jails, and the 
                     formerly 
                    incarcerated. The
                    California
                    Department of
                    Corrections and
                    Rehabilitation and
                    the California
                    Conservation Corps
                    are encouraged to
                    partner with the
                    chancellor's office
                    in the development
                    and dissemination of
                    local community
                    college courses and
                    effective practices
                    pursuant to this
                    subparagraph and
                    subparagraph (B).
               (D)   It is the intent of 
                     the Legislature that 
                     the Chancellor 
                    identify one or 
                     multiple community 
                     college districts 
                     that would be 
                     willing to utilize 
                     at least a total of 
                     $5,000,000 of their 
                     combined funding for 
                     the purpose of 
                     developing and 
                     providing effective 
                     education programs 
                     for incarcerated 
                     adults in prisons
                     and jails, and the 
                     formerly 
                     incarcerated. These 
                     funds shall be 
                     utilized to receive 
                     a 1 to 3 match of 
                     state to private 
                     funds that could be 
                     available for these 
                     purposes. Any 
                     private funds 
                     received would be 
                     allocated to the 
                     identified community 
                     colleges based on 
                     their proportion of 
                     the combined funding 
                     match, as determined 
                     by the Chancellor. 
               (E)   Funds appropriated 
                     pursuant to this
                     paragraph shall be 
                     available for
                     encumbrance and 
                     expenditure until
                     June 30, 2018. 
              (5)   Up to $14,000,000
                    may be used for e-
                    transcript, e-
                    planning, and common
                    assessment tools.
                    Any remaining funds
                    shall be used
                    pursuant to
                    paragraph (1).
   11.  The funds in Schedule (13) shall
        be allocated to increase
        compensation for part-time
        faculty. Funds shall be
        allocated to districts based on
        the total actual number of FTES
        in the previous fiscal year,
        with an adjustment to the
        allocations provided to small
        districts. These funds shall be
        used to assist       districts
        in making part-time faculty
        salaries more comparable to full-
        time salaries for similar work,
        as determined through collective
        bargaining in each community
        college district. If a community
        college district achieves parity
        between compensation for full-
        time faculty and part-time
        faculty, funds received pursuant
        to this provision may be used
        for any other educational
        purpose.
   12.  Of the funds provided in
        Schedule (15):
         (a)   $20,093,000 shall       be 
         (a)   $19,890,000 shall       be 
              allocated by the
              chancellor on a
              competitive basis, for the
              following purposes:
              (1)   Provision of access
                    to statewide
                    multimedia hosting
                    and delivery
                    services for state
                    colleges and
                    districts.
              (2)   Provision of
                    systemwide Internet,
                    audio bridging, and
                    telephony.
              (3)   Technical assistance
                    and planning,
                    cooperative
                    purchase agreements,
                    and faculty and
                    staff development.
              (4)   Ongoing support for
                    the California
                    Virtual Campus
                    Distance Education
                    Program.
              (5)   Ongoing support for
                    programs designed to
                    use technology in
                    assisting
                    accreditation and
                    the alignment of
                    curricula across K-
                    20 segments in
                    California.
              (6)   Support for
                    technology
                    pilots and ongoing
                    technology programs
                    and applications
                    that serve to
                    maximize the utility
                    and economy of scale
                    of the technology
                    investments of the
                    community college
                    system toward
                    improving learning
                    outcomes.
              (7)   Ongoing support of
                    the California
                    Partnership for
                    Achieving Student
                    Success (Cal-PASS)
                    program.
        (b)   The remaining funds shall
              be available for
              allocations to districts
              to maintain technology
              capabilities.
   13.  Of the funds appropriated in
        Schedule (16), the following
        shall apply:
        (a)   Up to 10 percent may be
              allocated for state-level
              technical assistance,
              including statewide
              network leadership,
              organizational
              development, coordination,
              and information and
              support services.
        (b)   All remaining funds shall
              be allocated for programs
              that target investments in
              priority and emergent
              sectors, including
              statewide and/or regional
              centers, hubs,
              collaborative communities,
              advisory bodies, and short-
              term grants. Short-term
              grants may include
              industry-driven regional
              education and training,
              Responsive Incumbent
              Worker Training, and Job
              Development Incentive
              Training.
        (c)   Funds applied to
              performance-based training
              shall be matched by a
              minimum of $1 contributed
              by private businesses or
              industry for each $1 of
              state funds. The
              chancellor shall consider
              the level of involvement
              and financial commitments
              of business and industry
              in making awards for
              performance-based training.
   14.  (a)   The funds appropriated in
              Schedule (17) shall be
              used to support transfer
              and articulation projects
              and common course
              numbering projects.
        (b)   Funding provided to
              community college
              districts shall directly
              offset any costs claimed
              by community college
              districts to be mandates
              pursuant to Chapter 737 of
              the Statutes of 2004.
   15.  (a)   Of the funds appropriated
              in Schedule (18):
              (1)   $107,570,000 shall
                    be used pursuant to
                    Article 8
                    (commencing with
                    Section 69640) of
                    Chapter 2 of Part 42
                    of Division 5 of
                    Title 3 of the
                    Education Code.
                    Funds provided in
                    this item       for
                    Extended Opportunity
                    Programs and
                    Services shall be
                    available to
                    students on all
                    campuses within the
                    California Community
                    Colleges system.
              (3)   $15,619,000 shall be
                    used for funding, at
                    all colleges, the
                    Cooperative Agencies
                    Resources for
                    Education program in
                    accordance with
                    Article 4
                    (commencing with
                    Section 79150) of
                    Chapter 9 of Part 48
                    of Division 7 of
                    Title 3 of the
                    Education Code. The
                    chancellor shall
                    allocate these funds
                    to local programs on
                    the basis of need
                    for student services.
        (b)   Of the amount allocated
              pursuant to subdivision
              (a), no less than
              $4,972,000 shall       be
              available to support
              additional textbook
              assistance grants to
              community college students.
   16.  The funds appropriated in
        Schedule (19) shall be used for
        the following purposes:
        (a)   $1,9  33   21  ,000 shall be
used
              for the Puente Project to
              support up to 75 colleges.
              These funds are available
              if matched by $200,000 of
              private funds and if the
              participating community
              colleges and University of
              California campuses
              maintain their 1995-96
              fiscal year support level
              for the Puente Project.
              All funding shall be
              allocated directly to
              participating districts in
              accordance with their
              participation agreement.
        (b)   Up to $2,4  74   59  ,000 is
for
              the Mathematics,
              Engineering, Science
              Achievement (MESA)
              program. A community
              college district is
              required to spend $1 from
              local or other resources
              for every $1 received
              pursuant to this
              subdivision.
        (c)   No less than $1,7  90   78  ,
000 is
              for the Middle College
              High School Program. With
              the exception of special
              part-time students at the
              community colleges
              pursuant to Sections 48802
              and 76001 of the Education
              Code, student workload
              based on participation in
              the Middle College High
              School Program shall not
              be eligible for community
              college state
              apportionment.
   17.  The funds appropriated in
        Schedule (20) shall be allocated
        by the chancellor to community
        college districts that levied
        child care permissive override
        taxes in the 1977-78 fiscal year
        pursuant to Sections 8329 and
        8330 of the Education Code in an
        amount proportional to the
        property tax revenues, tax
        relief subventions, and state
        aid required to be made
        available by the district to its
        child care and development
        program for the 1979-80 fiscal
        year pursuant to Section 30 of
        Chapter 1035 of the Statutes of
        1979, increased or decreased by
        any cost-of-living adjustment
        granted in subsequent fiscal
        years. These funds shall be used
        only for the purpose of
        community college child care and
        development programs.
   18.  Of the funds appropriated in
        Schedule (21):
        (a)   $8,  47  5  61  ,000 shall be
used
              to provide support for
              nursing programs.
        (b)   $4,9  5   0  3,000 shall
  be
              used for diagnostic and
              support services, preentry
              coursework, alternative
              program delivery model
              development, and other
              services to reduce the
              incidence of student
              attrition in nursing
              programs.
   19.  The funds appropriated in
        Schedule (22) shall be allocated
        to the chancellor to increase
        the number of courses available
        through the use of technology
        and to provide alternative
        methods for students to earn
        college credit. The chancellor
        shall ensure, to the extent
        possible, that the following
        conditions are satisfied:
        (a)   These courses can be
              articulated across all
              community college
              districts.
        (b)   These courses are made
              available to students
              systemwide, regardless of
              the campus at which a
              student is enrolled.
        (c)   Students who complete
              these courses are granted
              degree-applicable credit
              across community colleges.
        (d)   These funds shall be used
              for those courses that
              have the highest demand,
              fill quickly, and are
              prerequisites for many
              different degrees.
   20.  (a)   Any funds appropriated in
              Schedule (23) are
              available for the
              following purposes:
        (1)   Scheduled maintenance and
              special repairs of
              facilities. The Chancellor
              of the California
              Community Colleges shall
              allocate funds to
              districts on the basis of
              actual reported FTES, and
              may establish a minimum
              allocation per district.
              As a condition for
              receiving and expending
              these funds for
              maintenance or special
              repairs, a district shall
              certify that it will
              increase its operations
              and maintenance spending
              from the 1995-96 fiscal
              year by the amount it
              allocates from this
              appropriation for
              maintenance and special
              repairs. The question of
              whether a district has
              complied with its
              resolution shall be
              reviewed under       the
              annual audit of that
              district.
        (2)   Hazardous substances
              abatement, cleanup, and
              repairs.
        (3)   Architectural barrier
              removal projects that meet
              the requirements of the
              federal Americans with
              Disabilities Act of 1990
              (42 U.S.C. Sec. 12101 et
              seq.) and seismic retrofit
              projects limited to
              $400,000.
        (4)   Water conservation
              projects to reduce water
              consumption in cooperation
              with the Governor's
              Executive Order B-29-15.
              Projects may include any
              of the       following:
              (A)   Replacement of water
                    intensive
                    landscaping with
                    drought tolerant
                    landscaping,
                    synthetic turf,
                    provided that the
                    turf is used only in
                    nonathletic areas,
                    and other nonplant
                    materials.
              (B)   Drip or low-flow
                    irrigation systems.
              (C)   Building
                    improvements to
                    reduce water usage.
              (D)   Installation of
                    meters for wells to
                    allow for monitoring
                    of water usage.
        (b)   Any funds appropriated in
              Schedule (23) are
              available for replacement
              of instructional equipment
              and library materials. The
              funds provided for
              instructional equipment
              and library materials
              shall not be used for
              personal services costs or
              operating expenses. The
              chancellor shall allocate
              funds to districts on the
              basis of actual reported
              FTES and may establish a
              minimum allocation per
              district. The question of
              whether a district has
              complied with its
              resolution shall be
              reviewed under the annual
              audit of that district.
        (c)   Any funds appropriated in
              Schedule (23) shall be
              available for one-time use
              until June 30, 2017.


   SEC. 88.    Item 6870-107-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6870-107-0001--For local assistance, Board of
Governors of the California Community
Colleges (Proposition 98), for local district
financial oversight and evaluation............    576,000

                                                   570,000 
     Schedule:
     (1) 5670015-Apportionments......    576,000 
 
                                         570,000 
     Provisions:
     1.  The funds appropriated in this item
         are available to the Board of
         Governors of the California Community
         Colleges to reimburse the Fiscal
         Crisis and Management Assistance Team
         (FCMAT) for costs incurred by FCMAT
         for the following activities:
         (a) The performance of audits,
             examinations, or reviews of any
             community college district
             pursuant to Section 84041 of the
             Education Code.
         (b) The provision of technical
             assistance, training, and short-
             term institutional research
             necessary to address existing or
             potential accreditation
             deficiencies. No more than
             $150,000 of the funds
             appropriated in this item may be
             used for these purposes.
     2.  The Board of Governors of the
         California Community Colleges may
         request an unsolicited review of a
         community college district if the
         board of governors determines that
         there is an imminent threat to the
         fiscal integrity of the district as a
         result of fraud, misappropriation of
         funds, or other illegal fiscal
         practices.
     3.  All proposed contracts and
         reimbursements for FCMAT services
         shall be subject to the approval of
         the Department of Finance.


   SEC. 89.    Item 6980-101-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
6980-101-0001--For local assistance,
Student Aid Commission...................  1,750,791,000

                                            1,600,777,000 
    Schedule:
    (1)  5755-Financial Aid    2,195,072,00  

         Grants Program......             
2,136,072,0  0
                                          0 
    (2)  Reimbursements to
         5755-Financial Aid

               Grants Program......  -444,281,000 
                               -535,295,000 
    Provisions:
    1.   Funds appropriated in Schedule
         (1) are for purposes of all of
         the following:
         (a)    Awards in the Cal Grant
                Program under Chapter 1.7
                (commencing with Section
                69430) of Part 42 of
                Division 5 of Title 3 of
                the Education Code.
         (b)    Grants under the Law
                Enforcement Personnel
                Dependents Scholarship
                Program pursuant to
                Section 4709 of the Labor
                Code.
         (c)    The purchase of loan
                assumptions under Article
                5 (commencing with
                Section 69612) of Chapter
                2 of Part 42 of Division
                5 of Title 3 of the
                Education Code. The
                Student Aid Commission
                shall issue no new
                warrants.
         (d)    The purchase of loan
                assumptions under the
                Graduate Assumption
                Program of Loans for
                Education pursuant to
                Article 5.5 (commencing
                with Section 69618) of
                Chapter 2 of Part 42 of
                Division 5 of Title 3 of
                the Education Code. The
                Student Aid Commission
                shall issue no new
                warrants.
         (e)    The purchase of loan
                assumptions under the
                State Nursing Assumption
                Program of       Loans
                for Education (SNAPLE)
                pursuant to Article 1
                (commencing with Section
                70100) of Chapter 3 of
                Part 42 of Division 5 of
                Title 3 of the Education
                Code. The Student Aid
                Commission shall issue no
                new warrants.
         (f)    The Student Aid
                Commission shall report,
                by April 1 of each year,
                on the State Nursing
                Assumption Program of
                Loans for Education,
                pursuant to the reporting
                requirements of Section
                70108 of the Education
                Code.
         (g)    Notwithstanding
                subdivision (c) of
                Section 69613.8 of the
                Education Code, any
                Assumption Program of
                Loans for Education
                participant who meets the
                requirements of
                subdivision (a) or
                (b) of Section 69613.8 of
                the Education Code may
                receive the additional
                loan assumption benefits
                authorized by those
                subdivisions.
    2.   Eligibility for moneys
         appropriated in this item is
         limited to students who
         demonstrate financial need
         according to the nationally
         accepted needs analysis
         methodology, who meet other
         Student Aid Commission
         eligibility criteria, and,
         notwithstanding subdivision (k)
         of Section 69432.7 of the
         Education Code, whose income or
         family's gross income does not
         exceed $100,800 for the Cal
         Grant A Program and $55,400 for
         the Cal Grant B Program for the
         purpose of determining new
         recipients for the 2015-16 award
         year.
    3.   Notwithstanding any       other
         provision of law, the maximum
         award for:
         (a)    New recipients attending
                private, for-profit
                institutions that are not
                accredited by the Western
                Association of Schools
                and Colleges as of July
                1, 2012, shall be $4,000.
         (b)    New recipients attending
                private, nonprofit
                institutions, and
                private, for-profit
                institutions that are
                accredited by the Western
                Association of Schools
                and Colleges as of July
                1, 2012, shall be $9,084.
         (c)    All recipients receiving
                Cal Grant B access awards
                shall be $1,  79  6  48  .
         (d)    All recipients receiving
                Cal Grant C tuition and
                fee awards shall be
                $2,462.
         (e)    All recipients receiving
                Cal Grant C book and
                supply awards shall be
                $547.
         (f)    All University of
                California student
                recipients receiving Cal
                Grant awards shall be
                $12,192 or whatever
                lesser or greater amount
                is approved for mandatory
                systemwide tuition and
                fees by the       Regents
                of the University of
                California for the 2015-
                16 academic year.
         (g)    All California State
                University student
                recipients receiving Cal
                Grant awards shall be
                $5,472 or whatever lesser
                or greater amount is
                approved for mandatory
                systemwide tuition and
                fees by the Trustees of
                the California State
                University for the 2015-
                16 academic year.
    4.   Pursuant to Chapter 403 of the
         Statutes of 2000 and
         notwithstanding any other
         provision of law, the Director
         of Finance may authorize the
         augmentation, from the Special
         Fund for Economic Uncertainties
         established pursuant to Section
         16418 of the Government Code, of
         the annual amount
         appropriated for the purposes of
         making Cal Grant awards pursuant
         to Chapter 1.7 (commencing with
         Section 69430) of Part 42 of
         Division 5 of Title 3 of the
         Education Code, as necessary to
         fully fund the number of awards
         required to be granted by that
         chapter. No augmentation may be
         authorized under this provision
         sooner than 30 days after the
         Director of Finance provides
         written notice of the proposed
         augmentation to the Chairperson
         of the Joint Legislative Budget
         Committee and the chairpersons
         of the committees in each house
         of the Legislature that consider
         appropriations, nor sooner than
         whatever lesser time after that
         notice those persons, or their
         designees, may in each instance
         determine.
    5.   Of the funds appropriated in
         Schedules (1) and (2),
          $429,883,000 reflects 
          $520,897,000 reflects 
         reimbursements from the State
         Department of Social Services
         from the Temporary Assistance
         for Needy Families block grant
         for the purposes of offsetting
         General Fund costs of the Cal
         Grant Program.
    6.   Of the funds appropriated in
         Schedule (1), $82,000,000 is
         available for the Middle Class
         Scholarship Program, established
         under Article 2 (commencing with
         Section 70020) of Chapter 2 of
         Part 42 of Division 5 of Title 3
         of the Education Code.
    7.   Of the funds appropriated in
         this item, up to $328,000 shall
         be available for the Cash for
         College Program.
    8.   Of the funds appropriated in
         this item, up to $7,721,000
         shall be available for the
         California Student Opportunity
         and Access Program (Cal-SOAP),
         established under Article 4
         (commencing with Section 69560)
         of Chapter 2 of Part 42 of
         Division 5 of Title 3 of the
         Education Code, and shall be for
         contract agreements and shall be
         available to provide financial
         aid awareness and outreach to
         students who are preparing to
         enter, or are currently enrolled
         in, college. Of the $7,721,000,
         $1,000,000 shall be dedicated
         for career technical education
         and the resulting career
         opportunities. The Student Aid
         Commission shall consult with
         the State Department of
         Education and the Office of the
         Chancellor of the California
         Community Colleges in
         determining the projects and
         activities for these funds. Of
         the $7,721,000, $500,000 shall
         be dedicated for Middle Class
         Scholarship Program
         outreach.


   SEC. 90.    Item 6980-401 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

6980-401--The Student Aid Commission shall issue 1,000
new warrants pursuant to Article 5 (commencing with
Section 69612) of Chapter 2 of Part 42 of Division 5 of
Title 3 of the Education Code.


   SEC. 91.    Item 7100-001-0869 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
7100-001-0869--For support of state
programs under the Workforce Innovation
and Opportunity Act (WIOA), Employment
Development Department, payable from the
Consolidated Work Program Fund............ 123,315,000
     Schedule:
     (1)   5940010-WIOA
           Administration and
           Program Services....  20,859,000
     (2)   5940019-WIOA
           Services to Bridge
           Education and
           Workforce Gaps for
           Targeted
           Populations.........  16,270,000
     (3)   5940046-WIOA Rapid
           Response Activities.  41,016,000
     (4)   5940055-WIOA
           Special Grants......     170,000
     (5)   5945010-National
           Dislocated Worker
           Grants..............  45,000,000
     (6)   9900100-
           Administration......   1,796,000
     (7)   9900200-
           Administration--
           Distributed.........  -1,796,000
     Provisions:
     1.    Provision 1 of Item 7100-001-
           0588 also applies to Schedules
           (1) and (3) of this item.
     2.    For Schedule (2), the
           Employment Development
           Department (EDD) shall submit
           on October 1, 2015, and April
           20, 2016, to the Department of
           Finance for its review and
           approval an estimate of
           expenditures for both the
           current and prior budget fiscal
           years, including the
           assumptions and calculations
           underlying the EDD's
           projections for expenditures
           from these schedules. To the
           extent the EDD identifies
           unspent, or receives
           unanticipated additional,
           federal WIOA discretionary
           funds, the Department of
           Finance may increase
           expenditure authority for
           Schedule (2) if the additional
           funding is consistent with the
           expenditure plan for WIOA
           discretionary funds in this
           item and meets the four
           requirements set forth in
           subdivision (b) of Section
           28.00. Any such augmentation
           may be authorized not sooner
           than 30 days after written
           notification is provided to the
           chairpersons of the committees
           in each house of the
           Legislature that       consider
           the State Budget and the
           Chairperson of the Joint
           Legislative Budget Committee,
           or not sooner than whatever
           lesser time the chairperson of
           the joint committee, or his or
           her designee, may in each
           instance determine.
     3.    For Schedule (2), in the event
           that the Employment Development
           Department is notified of a
           reduction in federal WIOA
           discretionary funds, the
           Department of Finance may
           decrease expenditure authority
           for Schedule (2). Any such
           decrease may be authorized not
           sooner than 30 days after
           notification in writing is
           provided to the chairpersons of
           the committees in each house of
           the Legislature that consider
           the State Budget and the
           Chairperson of the Joint
           Legislative Budget Committee,
           or not sooner than whatever
           lesser time the chairperson of
           the joint committee, or his or
           her designee, may in each
           instance       determine.
     4.    The Secretary of Labor and
           Workforce Development is
           authorized to transfer up to
           $500,000 of the funds
           appropriated in this item to
           the California Workforce
           Investment Board, Federal Trust
           Fund, Item 7120-001-0890, to
           facilitate the implementation
           and operation of the WIOA
           Program. Any transfer made
           pursuant to this provision
           shall be reported in writing to
           the Department of Finance, the
           chairpersons of the fiscal
           committees of each house of the
           Legislature, and the
           Chairperson of the Joint
           Legislative Budget Committee
           within 30 days of the date of
           the transfer.
      5.    Of the amount appropriated in 
            Schedule (2) of this item, 
            $670,000 shall be provided to 
            the Military Department for the 
            Work for Warriors program. 


   SEC. 92.    Item 7100-001-3259 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
7100-001-3259--For support of Employment
Development Department, for a recidivism
reduction workforce training and development
grant program, payable from the Recidivism
Reduction Fund............................... 1,500,000
     Schedule:
     (1) 5900-Employment and
         Employment Related
         Services................... 1,500,000
      Provisions: 
      1.  Upon approval of the Department of 
          Finance, the amount available for 
          expenditure in Schedule (1) of this 
          item may be augmented by the amount 
          of savings identified in items 0250- 
          101-3259, 5225-001-3259, 5227-101-
          3259, 7100-001-3259 of Section 2.00 
          of the Budget Act of 2014 (Chs. 25 
          and 663, Stats. 2014) not already 
          allocated or reappropriated in the 
          Budget Act of 2015, which is in 
          addition to the amount appropriated 
          in this item. Any augmentation shall 
          be authorized no sooner than 30 days 
          after notification in writing to the 
          chairpersons of the committees in 
          each house of the Legislature that 
          consider appropriations, the 
          chairpersons of the committees and 
          appropriate subcommittees that 
          consider the State Budget, and the 
          Chairperson of the Joint Legislative 
          Budget Committee, or not sooner than 
          whatever lesser time the Chairperson 
          of the Joint Legislative Budget 
          Committee, or his or her designee, 
          may determine. 
      2.  Upon approval of the Department of 
          Finance, the amount available for 
          expenditure in Schedule (1) of this 
          item may be augmented by the amount 
          of savings that are identified by 
          April 30, 2016, in items 0250-101- 
          3259, 5225-001-3259, 5227-101-3259 
          of Section 2.00 of the Budget Act of 
          2015, which is in addition to the 
          amount appropriated in this item. 
          Any augmentation shall be authorized 
          no sooner than 30 days after 
          notification in writing to the 
          chairpersons of the committees in 
          each house of the Legislature that 
          consider appropriations, the 
         chairpersons of the committees and 
          appropriate subcommittees that 
          consider the State Budget, and the 
          Chairperson of the Joint Legislative 
          Budget Committee, or not sooner than 
          whatever lesser time the Chairperson 
          of the Joint Legislative Budget 
          Committee, or his or her designee, 
         may determine. 
      3.  The Employment Development 
          Department may use up to 5 percent 
          of the total amount available in 
          this item to administer this program. 


   SEC. 93.    Item 7320-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
7320-001-0001--For support of Public
Employment Relations Board....................  9,869,000

                                                 8,868,000 
     Schedule:
     (1) 6070-Public Employment        10,055,00 
 
         Relations Board.............          0 
         
                                       9,054,000 
     (2) Reimbursements to 6070-
         Public Employment Relations
         Board.......................  -186,000


   SEC. 94.    Item 7350-001-0001 of Section 2.00 of the
  Budget Act of 2015   is repealed. 

7350-001-0001--For support of Department of
Industrial Relations, for a paid sick leave
outreach grant program........................ 1,000,000
     Schedule:
     (1) 6105-Division of Labor
         Standards Enforcement....... 1,000,000


   SEC. 95.    Item 7350-001-3152 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
7350-001-3152--For support of Department of
Industrial Relations, payable from the Labor
Enforcement and Compliance Fund............... 44,822,000
     Schedule:
     (1)   6105-Division of Labor
           Standards Enforcement..   45,327,000
     (2)   Reimbursements to 6105-
           Division of Labor
           Standards Enforcement..     -505,000
     (3)   9900100-Administration.    4,074,000
     (4)   9900200-Administration-
           - Distributed..........   -4,074,000
     Provisions:
     1.    The amount appropriated in this
           item includes revenues derived from
           the assessment of fines and
           penalties imposed as specified in
           Section 13332.18 of the Government
           Code.
      2.    The Department of Finance may 
            augment the amount appropriated in 
            Schedule (1) of this item by up to 
            $1,000,000 to provide additional 
            paid sick leave outreach if an 
            additional need can be documented. 
            The Department of Finance shall not 
            approve the augmentation sooner 
            than 30 days after written
            notification is provided to the 
            Chairperson of the Joint 
            Legislative Budget Committee and 
            the chairpersons of the committees 
            in each house of the Legislature 
            that consider appropriations, or 
            not less than whatever lesser time 
            the Chairperson of the Joint 
            Legislative Budget Committee, or 
            his or her designee, may in each 
            instance determine. 


   SEC. 96.    Item 8570-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
8570-001-0001--For support of Department
of Food and Agriculture....................  69,291,000

                                              66,791,000 
    Schedule:
    (1)    6570-Agricultural
           Plant and Animal
           Health; Pest
           Prevention; Food
           Safety Services.....   70,224,000
    (2)    6575-Marketing;
           Commodities and
           Agricultural
           Services............    13,381,000 
                                   10,881,000 
    (3)    6580-Assistance to
           Fair and County
           Agricultural
           Activities..........      486,000
    (4)    6590-General
           Agricultural
           Activities..........    1,976,000
    (5)    9900100-
           Administration......   21,916,000
    (6)    9900200-
           Administration-
           -Distributed........  -21,737,000
    (7)    Reimbursements to
           6570-Agricultural
           Plant and Animal
           Health; Pest
           Prevention; Food
           Safety Services.....   -4,578,000
    (8)    Reimbursements to
           6575-Marketing;
           Commodities and
           Agricultural
           Services............  -10,549,000
    (9)    Reimbursements to
           6590-General
           Agricultural
           Activities..........   -1,649,000
    (10)   Reimbursements to
           9900100-
           Administration......     -179,000
    Provisions:
    1.     The Secretary of Food and
           Agriculture shall furnish to the
           Director of Finance and the
           Chairperson of the Joint
           Legislative Budget Committee
           annual       reports on all
           expenditures from all fund
           sources for emergency detection
           and eradication activities
           relating to agricultural plant
           or animal pests or diseases for
           which no other program funds are
           available to be used to detect
           or eradicate such pest or
           disease if the pest or disease
           is not considered established in
           California and the pest or
           disease infests or infects
           plants or animals of commercial
           or noncommercial agriculture,
           ornamental horticulture, or
           habitat of significance. The
           report shall specify the amount
           expended by funding source, the
           activities performed, the pest
           or disease, the location where
           the pest was detected, the
           location where the eradication
           efforts were performed, and the
           animal or plant affected for
           each emergency detection or
           eradication.
    2.     The Department of Food and
           Agriculture shall require full
           public       participation,
           including public meetings, from
           all major regions of the state
           for each notification of
           proposed actions within the
           Light Brown Apple Moth program.
    3.     The amount appropriated in this
           item for an agreement with the
           Regents of the University of
           California to operate poultry
           and livestock disease
           laboratories shall be adjusted
           annually, as necessary, for
           University of California
           negotiated employee compensation
           and benefit adjustments.


   SEC. 97.    Item 8820-001-0001 of Section 2.00 of the
  Budget Act of 2015   is amended to read: 
8820-001-0001--For support of Commission on
the Status of Women and Girls...............     615,000

                                                  500,000 
     Schedule:
     (1) 6730-Administration,
         Legislation, Research, and
         Information................   61  5  00
 ,000


   SEC. 98.    Section 3.61 of the   Budget Act
of 2015   is amended to read: 
  SEC. 3.61.  Contribution to Prefund Other Postemployment Benefits.
   (a) Notwithstanding any other provision of law, the employers'
contribution for prefunding other postemployment benefits for the
2015-16 fiscal year that are chargeable to any item with respect to
each state officer and employee who is a member of the Public
Employees' Retirement System, the Judges' Retirement System, the
Judges' Retirement System II, or the Legislators' Retirement System
and who is in that employment or office shall be the monthly dollar
amount or the percentage of base salaries and wages or pensionable
compensation by bargaining unit, retirement category, fund source, or
state office, department, division, board, bureau, commission,
organization, or agency, as follows:
   Bargaining Unit 5, California Association of
       Highway Patrolmen......7.30% of base pay
   The Director of Finance may adjust amounts in any appropriation
item, or in any category thereof, as a result of changes from amounts
budgeted for the employers' contributions for prefunding other
postemployment benefits for the 2015-16 fiscal year to achieve the
percentages specified in this subdivision.
   The contributions for prefunding other postemployment benefits, as
a result of the monthly dollar amounts or the percentages of
salaries and wages in this subdivision, are estimated to be
$53,525,000 for the 2015-16 fiscal year.
   (b) Notwithstanding any other provision of law, for purposes of
calculating the "appropriations subject to limitation" as defined in
Section 8 of Article XIII B of the California Constitution, the
appropriations shall be deemed to be the amounts remaining after the
adjustments required by subdivision (a) are made.
   (c) The Director of Finance may adjust the percentage levels of
the employers' contribution for prefunding other postemployment
benefits listed in subdivision (a) in accordance with  labor
agreements or other legislation approved by the Legislature in the
2015-16 fiscal year. The Director of Finance shall notify the
Controller by executive order of adjustments made pursuant to this
subdivision. Within 30 days of making an adjustment pursuant to this
subdivision, the Director of Finance shall report the adjustment in
writing to the Chairperson of the Joint Legislative Budget Committee
and the chairpersons of the committees in each house of the
Legislature that consider appropriations.   either of
the following:  
   (1) Labor agreements or other legislation approved by the
Legislature.  
   (2) For employees excluded from collective bargaining, in
accordance with salary and benefit schedules established by the
Department of Human Resources.  
                                       (d) The Director of Finance
shall notify the Controller by executive order of adjustments made
pursuant to subdivision (c). The executive order shall be submitted
not sooner than 30 days after notification of the adjustments in
writing to the Chairperson of the Joint Legislative Budget Committee
and the chairpersons of the committees in each house of the
Legislature that consider appropriations. 
   SEC. 99.    Section 4.11 of the   Budget Act
of 2015   is amended to read: 
  SEC. 4.11.   All new positions approved in the 2015-16
fiscal year shall be established effective July 1, 2015, unless
otherwise approved by the Department of Finance. Before the end of
each month, the Controller shall provide to the Department of Finance
a listing of each new position approved that will be abolished
pursuant to Section 12439 of the Government Code as a result of the
position being vacant for six consecutive pay periods at the end of
the immediately preceding month. The report provided by the
Controller shall include the department, division, position
classification, position number, and the date the position was
established.  
   To promote greater transparency in how departments develop their
support budgets, which include personal services and operating
expenses and equipment, as defined in Section 3.00, the Department of
Finance shall develop a process for reconciling department budgets
as it concerns the aforementioned categories. This reconciliation
process will begin in the 2015-16 fiscal year and the results used to
help build departments' baseline budgets in the Governor's Budget
for the 2016-17 fiscal year. 
   SEC. 100.    Section 6.10 of the   Budget
Act of 2015   is amended to read: 
  SEC. 6.10.  (a) Notwithstanding any other provision of law, the
Director of Finance may allocate $120,000,000 General Fund to the
departments in the amounts identified below for deferred maintenance
projects:
   University of California......25,000,000
   California State University...... 25,000,000
   Department of Parks and Recreation......20,000,000
   Department of Corrections and Rehabilitation......15,000,000
   Department of Food and Agriculture......9,000,000
   State Department of State Hospitals......7,000,000
   State Department of Developmental Services......7,000,000
   Department of General Services......5,000,000
   Office of Emergency Services......3,000,000
   Military Department......2,000,000
   Department of Veterans Affairs......2,000,000 
   (b) Prior to the allocation of funds, the Department of Finance
shall provide a list of deferred maintenance projects for each entity
identified in (a) to the Chairperson of the Joint Legislative Budget
Committee 30 days prior to allocating any funds. The Department of
Finance shall provide a schedule to the Controller providing for the
allocation.  
   (c) Prior to making a change to the list, a department shall
obtain the approval of the Director of Finance. The Director of
Finance shall notify the Chairperson of the Joint Legislative Budget
Committee quarterly of any changes to the list of deferred
maintenance projects. The quarterly notification to the Joint
Legislative Budget Committee shall identify the projects removed or
added, the cost of those projects, and the reasons for the changes.
 
   (b) Prior to the allocation of funds, the Department of Finance
shall provide a list of deferred maintenance projects for each entity
identified in (a) to the Chairperson of the Joint Legislative Budget
Committee 30 days prior to allocating any funds. The Department of
Finance shall provide a schedule to the Controller providing for the
allocation.  
   (c) Prior to making a change to the list, a department shall
obtain the approval of the Director of Finance. The Director of
Finance shall notify the Chairperson of the Joint Legislative Budget
Committee quarterly of any changes to the list of deferred
maintenance projects. The quarterly notification to the Joint
Legislative Budget Committee shall identify the projects removed or
added, the cost of those projects, and the reasons for the changes.

   (d) Of the amount identified for the Department of Food and
Agriculture, $7,000,000 is for the Network of California Fairs.
   (e) The amounts allocated pursuant to subdivision (a) shall be
available for encumbrance or expenditure until June 30, 2017.
   SEC. 101.    Section 12.32 of the   Budget
Act of 2015   is amended to read: 
  SEC. 12.32.  (a) It is the intent of the Legislature that
appropriations that are subject to Section 8 of Article XVI of the
California Constitution be designated with the wording "Proposition
98." In the event these appropriations are not so designated, they
may be designated as such by the Department of Finance, where that
designation is consistent with legislative intent, not less than 30
days after notification in writing of the proposed designation to the
chairpersons of the committees in each house of the Legislature that
consider appropriations and the Chairperson of the Joint Legislative
Budget Committee, or not less than a shorter period after
notification that the chairperson of the joint committee, or his or
her designee, determines.
   (b) Pursuant to the Proposition 98 funding requirements
established in Chapter 2 (commencing with Section 41200) of Part 24
of Division 3 of Title 2 of the Education Code, the total
appropriations for Proposition 98 for the 2015-16 fiscal year are
 $50,000,026,000   $49,416,317,000  or
 41.8   42.4  percent of total General Fund
revenues, Education Protection Account revenues, and transfers
subject to the state appropriations limit. General Fund and Education
Protection Account revenues appropriated for school districts are
 $44,556,917,000   $44,035,444,000  or
 37.2   37.8  percent of total General Fund
revenues, Education Protection Account revenues, and transfers
subject to the state appropriations limit. General Fund and Education
Protection Account revenues appropriated to school districts and
community college districts for adult education are $500,000,000 or
0.4 percent of total General Fund revenues, Education Protection
Account revenues, and transfers subject to the state appropriations
limit. General Fund and Education Protection Account revenues
appropriated for community college districts are 
$4,862,767,000   $4,800,531,000  or 4.1 percent of
total General Fund revenues, Education Protection Account revenues,
and transfers subject to the state appropriations limit. General Fund
and Education Protection Account revenues appropriated for other
state agencies that provide direct elementary and secondary level
education, as defined in Section 41302.5 of the Education Code, are
$80,342,000 or 0.1 percent of total General Fund revenues, Education
Protection Account revenues, and transfers subject to the state
appropriations limit.
   (c) Notwithstanding any preexisting budgetary or accounting
requirements to the contrary, the Department of Finance shall make
the final determination of the proper budgeting and accounting of the
revenues received by and disbursements from the Education Protection
Account.
   SEC. 102.    Secti   on 35.50 of the 
 Budget Act of 2015   is amended to read: 
  SEC. 35.50.  (a) For purposes of paragraph (1) of subdivision (f)
of Section 10, and subdivision (g) of Section 12, of Article IV of
the California Constitution, "General Fund revenues" means the total
resources available to the General Fund for a fiscal year before any
transfer to the Budget Stabilization Account.
     (b) For purposes of subdivision (g) of Section 12 of Article IV
of the California Constitution, the estimate of General Fund revenues
for the 2015-16 fiscal year pursuant to this act, as passed by the
Legislature, is  $122,531,000,000  
$119,310,000,000  .
     (c) For purposes of paragraph (2) of subdivision (a) of Section
20 of Article XVI of the California Constitution, "General Fund
revenues" shall be defined as revenues and transfers before any
transfer to the Budget Stabilization Account.
     (d) Pursuant to subdivision (h) of Section 20 of Article XVI of
the California Constitution, the following estimates are provided:
     (1) For purposes of paragraph (2) of subdivision (a) of Section
20 of Article XVI, the sum equal to 1.5 percent of the estimated
General Fund revenues for the 2015-16 fiscal year is 
$1,799,000,000   $1,753,000,000  .
     (2) For purposes of clause (ii) of subparagraph (B) of paragraph
(1) of subdivision (b) of Section 20 of Article XVI, the estimate of
capital gains revenues that exceeds 8 percent of General Fund
proceeds of taxes for the 2015-16 fiscal year is 
$4,229,000,000   $2,329,000,000  .
     (3) For purposes of subparagraph (F) of paragraph (1) of
subdivision (b) of Section 20 of Article XVI, the estimated amount of
transfer to the Budget Stabilization Account in the 2015-16 fiscal
year is  $2,614,000,000   $1,854,000,000  .

   SEC. 103.    Section 39.00 of the   Budget
Act of 2015   is amended to read: 
  SEC. 39.00.  The Legislature hereby finds and declares that the
following bills are other bills providing for appropriations related
to the Budget Bill within the meaning of subdivision (e) of Section
12 of Article IV of the California Constitution: AB 94, AB 95, AB
104, AB 105, AB 106, AB 107, AB 108, AB 109, AB 110, AB 111, AB 112,
AB 113, AB 114, AB 115, AB 116, AB 117, AB 118, AB 119, AB 120, AB
121, AB 122, AB 123, AB 124, AB 125, AB 126, AB 127, AB 128, AB 129,
AB 130, AB 131, AB 132, AB 133, AB 134, AB 135, AB 136, AB 137, AB
138, SB 70, SB 71, SB 72, SB 73, SB 74, SB 75, SB 76, SB 77, SB 78,
SB 79, SB 80, SB 81, SB 82, SB 83, SB 84, SB 85, SB 86, SB 87, SB 88,
SB 89, SB 90, SB 91, SB 92, SB 93, SB 94, SB 95, SB 96, SB 97, SB
98, SB 99, SB 100, SB 101, SB 102, SB 103, SB 104, SB 105, SB 106, SB
107, SB 108, and SB 109  ,   in the form that these
bills existed at the time that the act amending this section of the
Budget Act of 2015 took effect  .
   SEC. 104.    This act is a Budget Bill within the
meaning of subdivision (e) of Section 12 of Article IV of the
California Constitution and shall take effect immediately. 

  SECTION 1.    It is the intent of the Legislature
to enact statutory changes relating to the Budget Act of 2015.