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STATE OF ILLINOIS
HOUSE JOURNAL
HOUSE OF REPRESENTATIVES
NINETY-SECOND GENERAL ASSEMBLY
12TH LEGISLATIVE DAY
FRIDAY, FEBRUARY 16, 2001
1:00 O'CLOCK P.M.
NO. 12
[February 16, 2001] 2
HOUSE OF REPRESENTATIVES
Daily Journal Index
12th Legislative Day
Action Page(s)
Adjournment........................................ 108
Balanced Budget Note Requested..................... 5
Committee on Rules Reassignments................... 5
Committee on Rules Referrals....................... 4
Correctional Budget & Impact Notes Requested....... 5
Fiscal Note Supplied............................... 5
Fiscal Notes Requested............................. 5
Home Rule Notes Requested.......................... 5
Introduction and First Reading - HB1826-1978....... 9
Judicial Notes Requested........................... 5
Quorum Roll Call................................... 4
State Debt Note Supplied........................... 6
State Mandate Note Withdrawn....................... 5
State Mandate Notes Requested...................... 5
Bill Number Legislative Action Page(s)
HB 0021 Third Reading...................................... 27
HB 0025 Second Reading - Amendment/s....................... 23
HB 0031 Second Reading - Amendment/s....................... 25
HB 0032 Committee Report................................... 9
HB 0032 Second Reading - Amendment/s....................... 28
HB 0043 Third Reading...................................... 27
HB 0075 Second Reading..................................... 23
HB 0111 Third Reading...................................... 27
HB 0126 Committee Report................................... 7
HB 0127 Third Reading...................................... 28
HB 0128 Committee Report................................... 9
HB 0129 Committee Report................................... 9
HB 0147 Committee Report................................... 6
HB 0153 Third Reading...................................... 28
HB 0156 Second Reading..................................... 23
HB 0157 Second Reading..................................... 23
HB 0158 Second Reading..................................... 23
HB 0161 Third Reading...................................... 28
HB 0169 Committee Report................................... 8
HB 0169 Second Reading..................................... 22
HB 0181 Second Reading..................................... 22
HB 0196 Committee Report................................... 7
HB 0198 Second Reading..................................... 22
HB 0205 Committee Report................................... 8
HB 0205 Second Reading - Amendment/s....................... 30
HB 0216 Second Reading - Amendment/s....................... 26
HB 0226 Committee Report................................... 7
HB 0260 Committee Report................................... 7
HB 0271 Second Reading..................................... 22
HB 0281 Second Reading..................................... 22
HB 0289 Committee Report................................... 9
HB 0289 Second Reading..................................... 22
HB 0305 Committee Report................................... 9
HB 0305 Recall............................................. 107
HB 0305 Second Reading..................................... 23
HB 0314 Third Reading...................................... 28
HB 0333 Second Reading..................................... 22
HB 0371 Committee Report................................... 6
HB 0371 Second Reading - Amendment/s....................... 33
HB 0394 Second Reading..................................... 27
3 [February 16, 2001]
Bill Number Legislative Action Page(s)
HB 0396 Second Reading..................................... 22
HB 0400 Committee Report................................... 9
HB 0427 Committee Report................................... 7
HB 0442 Second Reading..................................... 23
HB 0445 Committee Report................................... 7
HB 0446 Second Reading..................................... 23
HB 0447 Committee Report................................... 9
HB 0447 Second Reading - Amendment/s....................... 106
HB 0469 Second Reading..................................... 23
HB 0473 Second Reading..................................... 23
HB 0476 Second Reading..................................... 23
HB 0480 Committee Report................................... 8
HB 0494 Committee Report................................... 7
HB 0500 Committee Report................................... 9
HB 0500 Second Reading..................................... 22
HB 0508 Third Reading...................................... 28
HB 0582 Committee Report................................... 7
HB 0583 Committee Report................................... 7
HB 0583 Second Reading..................................... 22
HB 0584 Second Reading..................................... 22
HB 0591 Committee Report................................... 6
HB 0592 Committee Report................................... 7
HB 0593 Second Reading..................................... 22
HB 0594 Committee Report................................... 6
HB 0596 Committee Report................................... 6
HB 0642 Committee Report................................... 8
HB 0642 Second Reading..................................... 23
HB 0654 Committee Report................................... 9
HB 0654 Second Reading..................................... 23
HB 0678 Second Reading..................................... 22
HB 0698 Second Reading..................................... 22
HR 0042 Agreed Resolution.................................. 15
HR 0043 Agreed Resolution.................................. 16
HR 0046 Agreed Resolution.................................. 16
HR 0047 Agreed Resolution.................................. 17
HR 0048 Resolution......................................... 17
HR 0049 Resolution......................................... 18
HR 0050 Resolution......................................... 18
HR 0051 Agreed Resolution.................................. 19
HR 0053 Agreed Resolution.................................. 20
HR 0054 Agreed Resolution.................................. 20
HR 0056 Agreed Resolution.................................. 21
HR 0057 Agreed Resolution.................................. 21
HR 0060 Agreed Resolution.................................. 22
[February 16, 2001] 4
The House met pursuant to adjournment.
The Speaker in the Chair.
Prayer by LeeArthur Crawfrod, Assistant Pastor with the Victory
Temple Church in Springfield, Illinois.
Representative Howard led the House in the Pledge of Allegiance.
By direction of the Speaker, a roll call was taken to ascertain the
attendance of Members, as follows:
114 present. (ROLL CALL 1)
By unanimous consent, Representatives Coulson, Hassert, Mathias,
Bill Mitchell and Stephens were excused from attendance.
REQUEST TO BE SHOWN ON QUORUM
Having been absent when the Quorum Roll Call for Attendance was
taken, this is to advise you that I, Representative Mautino, should be
recorded as present.
PERMANENT COMMITTEE ASSIGNMENTS
Speaker Madigan made the following permanent Committee
Assignments:
Aging: Representatives Ryan.
Computer Technology: Representatives Hamos, Vice-Chairperson.
Conservation & Land Use: Representatives Scully, Vice-Chairperson;
Representative Acevedo.
Consumer Protection: Representatives Garrett, Vice-Chairperson.
Veterans' Affairs: Representative Holbrook, Vice-Chairperson.
COMMITTEE ON RULES
REFERRALS
Representative Barbara Flynn Currie, Chairperson of the Committee
on Rules, reported the following legislative measures and/or joint
action motions have been assigned as follows:
Committee on Agriculture: HOUSE BILL 1069.
Committee on Appropriations-Elementary & Secondary Education:
HOUSE BILL 1059.
Committee on Appropriations-General Services: HOUSE BILL 1057.
Committee on Appropriations-Human Services: HOUSE BILL 1088.
Committee on Children & Youth: HOUSE BILLS 1034 and 1047.
Committee on Conservation & Land Use: HOUSE BILLS 1070, 1071,
1079, 1083, 1084, 1085 and 1086.
Committee on Constitutional Officers: HOUSE BILL 1018.
Committee on Consumer Protection: HOUSE BILL 1046.
Committee on Counties & Townships: HOUSE BILL 1081.
Committee on Elementary & Secondary Education: HOUSE BILLS 1025,
1026, 1032, 1048, 1050, 1058 and 1061.
Committee on Environment & Energy: HOUSE BILL 1082.
Committee on Executive: HOUSE BILLS 1022, 1042, 1043, 1044, 1045,
1052, 1053, 1055, 1072, 1073, 1074 and 1080.
Committee on Financial Institutions: HOUSE BILLS 1030 and 1051.
Committee on Health Care Availability & Access: HOUSE BILL 1040.
Committee on Human Services: HOUSE BILLS 1031, 1077, 1078 and
1087.
Committee on Insurance: HOUSE BILL 1020.
Committee on Judiciary I-Civil Law: HOUSE BILLS 1021, 1039, 1060
and 1075.
Committee on Judiciary II-Criminal Law: HOUSE BILLS 1019, 1028 and
1066.
Committee on Labor: HOUSE BILL 1054.
Committee on Personnel & Pensions: HOUSE BILLS 1024, 1035, 1036,
1037, 1038, 1062, 1063 and 1064.
5 [February 16, 2001]
Committee on Registration & Regulation: HOUSE BILL 1056.
Committee on Revenue: HOUSE BILLS 1049, 1065, 1067, 1068 and 1076.
Committee on State Government Administration: HOUSE BILLS 1027 and
1029.
Committee on The Disabled Community: HOUSE BILL 1023.
Committee on Transportation & Motor Vehicles: HOUSE BILL 1041.
Committee on Veterans' Affairs: HOUSE BILL 1033.
COMMITTEE ON RULES
REASSIGNMENTS
Representative Currie, from the Committee on Rules, recalled:
HOUSE BILL 145 from the Committee on Counties & Townships and
reassigned it to the Committee on Rules.
HOUSE BILL 146 from the Committee on Cities & Villages and
reassigned it to the Committee on Rules.
HOUSE BILL 898 from the Committee on Elementary & Secondary
Education and reassigned it to the Committee on Health Care
Availability & Access.
REQUEST FOR FISCAL NOTES
Representative Black requested that Fiscal Notes be supplied for
HOUSE BILLS 156, 157, 158, 442, 446, 469, 473, 573, 583, 642 and 654.
FISCAL NOTE SUPPLIED
A Fiscal Note has been supplied for HOUSE BILL 644.
REQUEST FOR STATE MANDATE NOTES
Representative Black requested that State Mandate Notes be supplied
for HOUSE BILLS 75, 156, 157, 158, 442, 469, 473, 573 and 642.
STATE MANDATE NOTE WITHDRAWN
Representative Black withdrew his request for a State Mandate Note
on HOUSE BILL 394.
REQUEST FOR CORRECTIONAL BUDGET & IMPACT NOTES
Representative Black requested that Correctional Budget & Impact
Notes be supplied for HOUSE BILLS 75, 156, 157 and 158.
REQUEST FOR JUDICIAL NOTES
Representative Black requested that Judicial Notes be supplied for
HOUSE BILLS 156, 157 and 158.
REQUEST FOR HOME RULE NOTES
Representative Black requested that Home Rule Notes be supplied for
HOUSE BILLS 442, 469, 473 and 642.
REQUEST FOR BALANCED BUDGET NOTE
Representative Black requested that a Balanced Budget Note be
[February 16, 2001] 6
supplied for HOUSE BILL 128.
STATE DEBT NOTE SUPPLIED
A State Debt Note has been supplied for HOUSE BILL 807.
REPORTS FROM STANDING COMMITTEES
Representative McGuire, Chairperson, from the Committee on Aging to
which the following were referred, action taken earlier today, and
reported the same back with the following recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILLS 591, 594 and 596.
The committee roll call vote on HOUSE BILLS 591, 594 and 596 is as
follows:
19, Yeas; 0, Nays; 0, Answering Present.
Y McGuire, Chair Y Lyons, Joseph
Y Berns Y Mendoza
Y Coulson, Spkpn (John Jones) Y Mitchell, Jerry
Y Cowlishaw Y Moffitt
Y Forby Y Persico
Y Franks, V-Chair Y Saviano
Y Garrett Y Scott
Y Giles Y Soto
Y Lawfer Y Wait
Y Ryan
Representative Monique Davis, Chairperson, from the Committee on
Appropriations-Human Services to which the following were referred,
action taken earlier today, and reported the same back with the
following recommendations:
That the bill be reported "do pass as amended" and be placed on the
order of Second Reading -- Short Debate: HOUSE BILL 371.
The committee roll call vote on HOUSE BILL 371 is as follows:
16, Yeas; 0, Nays; 0, Answering Present.
Y Davis, Monique, Chair Y Leitch
Y Bassi Y Mautino
Y Bellock Y Mendoza
Y Coulson (Ryder) Y Miller
Y Feigenholtz Y Mitchell, Bill
Y Giles A Mitchell, Jerry
Y Hamos Y Mulligan, Spkpn
Y Kurtz Y Osterman, V-Chair
Y Ryan
Representative Slone, Chairperson, from the Committee on
Conservation & Land Use to which the following were referred, action
taken earlier today, and reported the same back with the following
recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILL 147.
The committee roll call vote on HOUSE BILL 147 is as follows:
8, Yeas; 0, Nays; 0, Answering Present.
Y Slone, Chair Y Osterman
A Hassert Y Parke
Y May Y Scully
Y O'Connor Y Winters, Spkpn
Y Acevedo
7 [February 16, 2001]
Representative Erwin, Chairperson, from the Committee on Higher
Education to which the following were referred, action taken on
February 15, 2001, and reported the same back with the following
recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILLS 260, 582 and 583.
The committee roll call vote on HOUSE BILL 260 is as follows:
12, Yeas; 0, Nays; 0, Answering Present.
Y Erwin, Chair Y Howard
Y Berns Y Mendoza
Y Bost Y Myers, Richard
A Davis, Monique Y Righter
Y Fowler, V-Chair Y Winkel
Y Giles Y Wirsing, Spkpn
Y Scott
The committee roll call vote on HOUSE BILL 582 is as follows:
13, Yeas; 0, Nays; 0, Answering Present.
Y Erwin, Chair Y Howard
Y Berns Y Mendoza
Y Bost Y Myers, Richard
Y Davis, Monique Y Righter
Y Fowler, V-Chair Y Winkel
Y Giles Y Wirsing, Spkpn
Y Scott
The committee roll call vote on HOUSE BILL 583 is as follows:
9, Yeas; 0, Nays; 4, Answering Present.
P Erwin, Chair Y Howard
Y Berns Y Mendoza
Y Bost Y Myers, Richard
P Davis, Monique Y Righter
Y Fowler, V-Chair P Winkel
Y Giles P Wirsing, Spkpn
Y Scott
Representative O'Brien, Chairperson, from the Committee on
Judiciary II-Criminal Law to which the following were referred, action
taken earlier today, and reported the same back with the following
recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILLS 126, 196, 226, 427, 494
and 592.
That the bill be reported "do pass as amended" and be placed on the
order of Second Reading -- Short Debate: HOUSE BILL 445.
The committee roll call vote on HOUSE BILL 494 is as follows:
9, Yeas; 4, Nays; 0, Answering Present.
Y O'Brien, Chair N Johnson
Y Bradley N Jones, Lou
Y Brady N Lindner
Y Brosnahan, V-Chair Y Smith, Michael
Y Brunsvold N Turner, John
Y Delgado Y Wait
Y Winkel, Spkpn
The committee roll call vote on HOUSE BILLS 126, 196, 226, 427, 445
and 592 is as follows:
13, Yeas; 0, Nays; 0, Answering Present.
Y O'Brien, Chair Y Johnson
Y Bradley Y Jones, Lou
[February 16, 2001] 8
Y Brady Y Lindner
Y Brosnahan, V-Chair Y Smith, Michael
Y Brunsvold Y Turner, John
Y Delgado Y Wait
Y Winkel, Spkpn
Representative Stroger, Chairperson, from the Committee on Labor to
which the following were referred, action taken on February 15, 2001,
and reported the same back with the following recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILLS 169 and 480.
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Standard Debate: HOUSE BILL 642.
The committee roll call vote on HOUSE BILL 169 is as follows:
18, Yeas; 0, Nays; 0, Answering Present.
Y Stroger, Chair Y Howard
Y Acevedo A Hultgren
Y Beaubien, Spkpn Y Johnson
Y Bellock Y Jones, Shirley
Y Curry, Julie Y McKeon, V-Chair
Y Dart Y Moore
Y Davis, Monique Y Parke
Y Hassert Y Persico
Y Hoffman Y Slone
Y Turner, John
The committee roll call vote on HOUSE BILL 480 is as follows:
17, Yeas; 0, Nays; 0, Answering Present.
Y Stroger, Chair Y Howard
Y Acevedo A Hultgren
Y Beaubien, Spkpn A Johnson
Y Bellock Y Jones, Shirley
Y Curry, Julie Y McKeon, V-Chair
Y Dart Y Moore
Y Davis, Monique Y Parke
Y Hassert Y Persico
Y Hoffman Y Slone
Y Turner, John
The committee roll call vote on HOUSE BILL 642 is as follows:
10, Yeas; 8, Nays; 0, Answering Present.
Y Stroger, Chair Y Howard
Y Acevedo A Hultgren
N Beaubien, Spkpn N Johnson
N Bellock Y Jones, Shirley
Y Curry, Julie Y McKeon, V-Chair
Y Dart N Moore
Y Davis, Monique N Parke
N Hassert N Persico
Y Hoffman Y Slone
N Turner, John
Representative Saviano, Chairperson, from the Committee on
Registration & Regulation to which the following were referred, action
taken on February 15, 2001, and reported the same back with the
following recommendations:
That the bill be reported "do pass as amended" and be placed on the
order of Second Reading -- Short Debate: HOUSE BILL 205.
The committee roll call vote on HOUSE BILL 205 is as follows:
19, Yeas; 0, Nays; 0, Answering Present.
9 [February 16, 2001]
Y Saviano, Chair Y Klingler
Y Boland Y Kosel
Y Bradley Y Lyons, Eileen
Y Brunsvold Y Mitchell, Bill
Y Bugielski Y Novak
Y Burke Y Osmond
Y Coulson Y Reitz
Y Crotty A Stephens
Y Davis, Steve Y Winters
A Fritchey, V-Chair Y Wojcik
Y Zickus, Spkpn
Representative Kenner, Chairperson, from the Committee on State
Government Administration to which the following were referred, action
taken on February 15, 2001, and reported the same back with the
following recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILLS 128, 129, 289, 305, 400
and 500.
That the bill be reported "do pass as amended" and be placed on the
order of Second Reading -- Short Debate: HOUSE BILLS 32 and 447.
The committee roll call vote on HOUSE BILL 128 is as follows:
5, Yeas; 4, Nays; 0, Answering Present.
Y Kenner, Chair N Pankau
Y Collins, V-Chair N Righter
Y Franks N Wirsing
N O'Connor, Spkpn Y Forby
Y Fowler
The committee roll call vote on HOUSE BILLS 32, 129, 289, 305, 400,
447 and 500 is as follows:
9, Yeas; 0, Nays; 0, Answering Present.
Y Kenner, Chair Y Righter
Y Collins, V-Chair Y Wirsing
Y Franks Y Forby
Y O'Connor, Spkpn Y Fowler
Y Pankau
Representative Brosnahan, Chairperson, from the Committee on The
Disabled Community to which the following were referred, action taken
on February 15, 2001, and reported the same back with the following
recommendations:
That the bill be reported "do pass" and be placed on the order of
Second Reading -- Short Debate: HOUSE BILL 654.
The committee roll call vote on HOUSE BILL 654 is as follows:
12, Yeas; 0, Nays; 0, Answering Present.
Y Brosnahan, Chair Y McCarthy
Y Feigenholtz, V-Chair Y O'Brien
Y Flowers Y Ryan
Y Hoeft A Schmitz
Y Krause, Spkpn Y Sommer
Y Kurtz Y Winkel
Y Yarbrough
INTRODUCTION AND FIRST READING OF BILLS
The following bills were introduced, read by title a first time,
ordered printed and placed in the Committee on Rules:
[February 16, 2001] 10
HOUSE BILL 1826. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1827. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1828. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1829. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1830. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1831. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1832. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1833. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1834. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1835. Introduced by Representative Lou JOnes, a bill
for AN ACT in relation to fees.
HOUSE BILL 1836. Introduced by Representatives Hannig - Ryder, a
bill for AN ACT making appropriations and reappropriations.
HOUSE BILL 1837. Introduced by Representative Lou Jones, a bill
for AN ACT concerning fees.
HOUSE BILL 1838. Introduced by Representative Klingler, a bill for
AN ACT concerning appropriations.
HOUSE BILL 1839. Introduced by Representative Giles, a bill for AN
ACT in relation to education.
HOUSE BILL 1840. Introduced by Representative Giles, a bill for AN
ACT in relation to education.
HOUSE BILL 1841. Introduced by Representative Giles, a bill for AN
ACT in relation to education.
HOUSE BILL 1842. Introduced by Representatives Durkin - Osmond -
Yarbrough - Winkel - Currie, Bellock, Eileen Lyons, Mulligan, a bill
for AN ACT in relation to criminal law.
HOUSE BILL 1843. Introduced by Representatives Durkin - Osmond -
Yarbrough - Winkel - Currie, Bellock, Eileen Lyons, Mulligan, a bill
for AN ACT in relation to criminal law.
HOUSE BILL 1844. Introduced by Representatives Durkin - Osmond -
Yarbrough - Winkel - Currie, Bellock, Eileen Lyons, Mulligan, a bill
for AN ACT in relation to criminal law.
HOUSE BILL 1845. Introduced by Representative Jerry Mitchell, a
bill for AN ACT in relation to education.
HOUSE BILL 1846. Introduced by Representative Cross, a bill for AN
ACT concerning park districts.
HOUSE BILL 1847. Introduced by Representatives Leitch - Brunsvold,
a bill for AN ACT regarding taxes.
HOUSE BILL 1848. Introduced by Representative Howard, a bill for
AN ACT in relation to estates.
HOUSE BILL 1849. Introduced by Representative Poe, a bill for AN
ACT in relation to public employee benefits.
HOUSE BILL 1850. Introduced by Representative Poe, a bill for AN
ACT in relation to public employee benefits.
HOUSE BILL 1851. Introduced by Representative Myers, a bill for AN
ACT regarding higher education student assistance.
HOUSE BILL 1852. Introduced by Representatives Righter - Wirsing,
a bill for AN ACT concerning higher education.
HOUSE BILL 1853. Introduced by Representative Parke, a bill for AN
ACT concerning workers' compensation.
HOUSE BILL 1854. Introduced by Representatives Beaubien -
Brunsvold, a bill for AN ACT concerning wildlife.
HOUSE BILL 1855. Introduced by Representative Kenner, a bill for
AN ACT in relation to certain grant and loan programs.
HOUSE BILL 1856. Introduced by Representatives Capparelli -
Saviano - Bugielski - Joseph Lyons - McAuliffe, Acevedo, Bradley,
Burke, Howard, Krause, Lang, Mendoza, Wojcik, a bill for AN ACT in
11 [February 16, 2001]
relation to stormwater management.
HOUSE BILL 1857. Introduced by Representatives Capparelli - Burke
- Bugielski - Joseph Lyons - Bradley, McAuliffe, Saviano, a bill for AN
ACT in relation to public employee benefits.
HOUSE BILL 1858. Introduced by Representatives Capparelli -
Bugielski - Joseph Lyons - Acevedo - Burke, a bill for AN ACT in
relation to public employee benefits.
HOUSE BILL 1859. Introduced by Representatives Capparelli - Burke
- Bugielski - Acevedo, Joseph Lyons, McAuliffe, Saviano, a bill for AN
ACT in relation to public employee benefits.
HOUSE BILL 1860. Introduced by Representatives Capparelli -
Bugielski - Acevedo - Joseph Lyons - Bradley, Burke, McAuliffe,
Saviano, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1861. Introduced by Representatives Capparelli -
Bugielski - Acevedo - Joseph Lyons - McAuliffe, Bradley, Burke,
Saviano, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1862. Introduced by Representatives Capparelli -
Bugielski - Joseph Lyons - Bradley - Burke, McAuliffe, Saviano, a bill
for AN ACT in relation to public employee benefits.
HOUSE BILL 1863. Introduced by Representatives Capparelli -
Bugielski - McAuliffe - Joseph Lyons - Acevedo, Bradley, Burke,
Saviano, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1864. Introduced by Representatives Reitz - Zickus -
Bellock, a bill for AN ACT in relation to health.
HOUSE BILL 1865. Introduced by Representative Reitz, a bill for AN
ACT concerning municipal government.
HOUSE BILL 1866. Introduced by Representative Reitz, a bill for AN
ACT concerning local government.
HOUSE BILL 1867. Introduced by Representative Durkin, a bill for
AN ACT concerning criminal law.
HOUSE BILL 1868. Introduced by Representative McGuire, a bill for
AN ACT making appropriations.
HOUSE BILL 1869. Introduced by Representative McGuire, a bill for
AN ACT concerning schools.
HOUSE BILL 1870. Introduced by Representative Durkin, a bill for
AN ACT concerning libraries.
HOUSE BILL 1871. Introduced by Representatives Delgado - Howard -
Saviano - Curry - McAuliffe and McCarthy, a bill for AN ACT concerning
educational labor relations.
HOUSE BILL 1872. Introduced by Representatives Capparelli -
Bugielski - Joseph Lyons - Bradley - Burke, McAuliffe and Saviano, a
bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1873. Introduced by Representatives Capparelli - Burke
- Bugielski - Joseph Lyons - McAuliffe, Acevedo, Bradley and Saviano, a
bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1874. Introduced by Representatives Lang - Capparelli -
Bugielski, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1875. Introduced by Representative Hannig, a bill for
AN ACT making appropriations.
HOUSE BILL 1876. Introduced by Representative Osmond, a bill for
AN ACT concerning the comprehensive health insurance program.
HOUSE BILL 1877. Introduced by Representatives McAuliffe -
Capparelli - Bugielski - Saviano - Joseph Lyons, a bill for AN ACT in
relation to public employee benefits.
HOUSE BILL 1878. Introduced by Representative Bradley, a bill for
AN ACT in relation to public employee benefits.
HOUSE BILL 1879. Introduced by Representative Bradley, a bill for
AN ACT in relation to public employee benefits.
HOUSE BILL 1880. Introduced by Representatives Acevedo - Mendoza -
Fritchey, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1881. Introduced by Representatives Acevedo - Mendoza -
Fritchey, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1882. Introduced by Representative Currie, a bill for
AN ACT making appropriations.
HOUSE BILL 1883. Introduced by Representatives Steve Davis -
Holbrook - Reitz - Hoffman, a bill for AN ACT concerning government
[February 16, 2001] 12
audits.
HOUSE BILL 1884. Introduced by Representative Johnson, a bill for
AN ACT concerning airport authorities.
HOUSE BILL 1885. Introduced by Representative Giles, a bill for AN
ACT concerning criminal law.
HOUSE BILL 1886. Introduced by Representatives Hamos - Wojcik -
Saviano - Mendoza - Persico, Durkin, Leitch, a bill for AN ACT to
create the Kids Share Endowment Act.
HOUSE BILL 1887. Introduced by Representatives Hamos - Brunsvold -
Bradley, a bill for AN ACT in relation to environmental protection.
HOUSE BILL 1888. Introduced by Representative Giles, a bill for AN
ACT concerning utilities.
HOUSE BILL 1889. Introduced by Representatives Miller - Klingler,
a bill for AN ACT concerning insurance coverage.
HOUSE BILL 1890. Introduced by Representative Ryan, a bill for AN
ACT making appropriations.
HOUSE BILL 1891. Introduced by Representatives Joseph Lyons -
Capparelli - McAuliffe - Bradley - Burke, a bill for AN ACT in relation
to public employee benefits.
HOUSE BILL 1892. Introduced by Representatives Joseph Lyons -
McAuliffe - Burke - Bugielski - Acevedo, a bill for AN ACT in relation
to public employee benefits.
HOUSE BILL 1893. Introduced by Representative Joseph Lyons, a bill
for AN ACT to authorize the Cook County Forest Preserve District to
convey certain property.
HOUSE BILL 1894. Introduced by Representative Joseph Lyons, a bill
for AN ACT in relation to alcoholic liquor.
HOUSE BILL 1895. Introduced by Representative Hoeft, a bill for AN
ACT relating to education.
HOUSE BILL 1896. Introduced by Representatives Burke - Capparelli
- Acevedo - Mendoza - Bugielski, a bill for AN ACT in relation to
public employee benefits.
HOUSE BILL 1897. Introduced by Representatives Burke - Capparelli
- Acevedo - Mendoza - Bugielski, a bill for AN ACT in relation to
public employee benefits.
HOUSE BILL 1898. Introduced by Representatives Bugielski - Burke -
Capparelli, a bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1899. Introduced by Representatives Bugielski -
Capparelli - Joseph Lyons - Burke, a bill for AN ACT in relation to
public employee benefits.
HOUSE BILL 1900. Introduced by Representatives Parke - Reitz -
Bill Mitchell - Capparelli - Hoffman, Bellock, Bost, Cowlishaw, Fowler,
Franks, Hannig, Hartke, Hultgren, Johnson, John Jones, Lawfer, Joseph
Lyons, McCarthy, Meyer, Moffitt, Pankau, Poe, Schmitz, Sommer, John
Turner, Winkel, Winters, Wirsing, Zickus, a bill for AN ACT concerning
abortions.
HOUSE BILL 1901. Introduced by Representative Bugielski, a bill
for AN ACT concerning health care benefit information cards.
HOUSE BILL 1902. Introduced by Representatives Bugielski -
Capparelli - Burke, a bill for AN ACT in relation to public employee
benefits.
HOUSE BILL 1903. Introduced by Representatives Osmond - Beaubien -
Joseph Lyons - Durkin - Bugielski, a bill for AN ACT concerning
banking.
HOUSE BILL 1904. Introduced by Representative Saviano, a bill for
AN ACT in relation to highways.
HOUSE BILL 1905. Introduced by Representative Wirsing, a bill for
AN ACT concerning higher education.
HOUSE BILL 1906. Introduced by Representative Holbrook, a bill for
AN ACT concerning taxes.
HOUSE BILL 1907. Introduced by Representative Steve Davis, a bill
for AN ACT concerning license plates.
HOUSE BILL 1908. Introduced by Representative Meyer, a bill for AN
ACT concerning schools.
HOUSE BILL 1909. Introduced by Representative Garrett, a bill for
AN ACT in relation to cable television.
13 [February 16, 2001]
HOUSE BILL 1910. Introduced by Representative Garrett, a bill for
AN ACT in relation to estates.
HOUSE BILL 1911. Introduced by Representative Collins, a bill for
AN ACT concerning children.
HOUSE BILL 1912. Introduced by Representative McCarthy, a bill for
AN ACT concerning child support.
HOUSE BILL 1913. Introduced by Representatives Hamos - Schmitz -
Osterman - Winters - Boland, a bill for AN ACT concerning campaign
financing.
HOUSE BILL 1914. Introduced by Representative Hamos, a bill for AN
ACT concerning elections.
HOUSE BILL 1915. Introduced by Representative Brunsvold, a bill
for AN ACT concerning natural resources.
HOUSE BILL 1916. Introduced by Representatives Soto - Delgado, a
bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1917. Introduced by Representative Howard, a bill for
AN ACT making appropriations.
HOUSE BILL 1918. Introduced by Representative Biggins, a bill for
AN ACT in relation to taxation.
HOUSE BILL 1919. Introduced by Representative Joseph Lyons, a bill
for AN ACT concerning fiscal reports.
HOUSE BILL 1920. Introduced by Representative Howard, a bill for
AN ACT regarding education.
HOUSE BILL 1921. Introduced by Representative Scott, a bill for AN
ACT concerning municipalities.
HOUSE BILL 1922. Introduced by Representative Acevedo, a bill for
AN ACT in relation to criminal law.
HOUSE BILL 1923. Introduced by Representative Steve Davis, a bill
for AN ACT in relation to criminal law.
HOUSE BILL 1924. Introduced by Representative Franks, a bill for
AN ACT concerning taxes.
HOUSE BILL 1925. Introduced by Representative Monique Davis, a
bill for AN ACT in relation to criminal statistics and law enforcement.
HOUSE BILL 1926. Introduced by Representative Reitz, a bill for AN
ACT concerning road districts.
HOUSE BILL 1927. Introduced by Representative Delgado, a bill for
AN ACT concerning schools.
HOUSE BILL 1928. Introduced by Representatives Bellock - Eileen
Lyons - Currie - Lindner - Johnson, Acevedo, Bassi, Beaubien, Berns,
Biggins, Black, Boland, Bost, Bradley, Brady, Brosnahan, Brunsvold,
Bugielski, Burke, Collins, Coulson, Cowlishaw, Cross, Crotty, Curry,
Daniels, Dart, Monique Davis, Steve Davis, Durkin, Feigenholtz,
Flowers, Forby, Fowler, Franks, Fritchey, Garrett, Giles, Hamos,
Hannig, Hartke, Hassert, Hoeft, Holbrook, Howard, Hultgren, John Jones,
Kenner, Klingler, Kosel, Krause, Kurtz, Lang, Lawfer, Leitch, Joseph
Lyons, Mathias, Mautino, McAuliffe, McCarthy, McKeon, Mendoza, Meyer,
Miller, Bill Mitchell, Jerry Mitchell, Moffitt, Moore, Morrow,
Mulligan, Murphy, Myers, O'Brien, O'Connor, Osmond, Osterman, Pankau,
Parke, Persico, Poe, Righter, Rutherford, Ryan, Ryder, Saviano,
Schmitz, Schoenberg, Scott, Scully, Slone, Smith, Soto, Tenhouse, Art
Turner, John Turner, Wait, Winkel, Winters, Wirsing, Wojcik, Yarbrough
and Zickus., a bill for AN ACT making appropriations.
HOUSE BILL 1929. Introduced by Representatives Mulligan - Scott -
Ryder Bellock - Lou Jones, Acevedo, Beaubien, Black, Brunsvold, Crotty,
Currie, Curry, Dart, Delgado, Durkin, Erwin, Feigenholtz, Garrett,
Hamos, Howard, Klingler, Kosel, Krause, Kurtz, Lindner, Joseph Lyons,
May, McAuliffe, Mendoza, Moore, Novak, Saviano, Schoenberg, Soto,
Tenhouse and Yarbrough., a bill for AN ACT in relation to child care.
HOUSE BILL 1930. Introduced by Representative Scott, a bill for AN
ACT concerning automotive repair.
HOUSE BILL 1931. Introduced by Representative O'Brien, a bill for
AN ACT concerning indemnification.
HOUSE BILL 1932. Introduced by Representative Hartke, a bill for
AN ACT in relation to county officers.
HOUSE BILL 1933. Introduced by Representatives Stroger - Joseph
Lyons, a bill for AN ACT concerning State mandates.
[February 16, 2001] 14
HOUSE BILL 1934. Introduced by Representative Joseph Lyons, a bill
for AN ACT in relation to vehicles.
HOUSE BILL 1935. Introduced by Representative Collins, a bill for
AN ACT relating to heirloom marriage certificates.
HOUSE BILL 1936. Introduced by Representative Durkin, a bill for
AN ACT in relation to criminal law.
HOUSE BILL 1937. Introduced by Representative Durkin, a bill for
AN ACT in relation to pensions.
HOUSE BILL 1938. Introduced by Representative Durkin, a bill for
AN ACT concerning mental health.
HOUSE BILL 1939. Introduced by Representative Joseph Lyons, a bill
for AN ACT in relation to taxes.
HOUSE BILL 1940. Introduced by Representative Delgado, a bill for
AN ACT in relation to criminal law.
HOUSE BILL 1941. Introduced by Representative Dart, a bill for AN
ACT in relation to firearms.
HOUSE BILL 1942. Introduced by Representative Brosnahan, a bill
for AN ACT concerning firearms.
HOUSE BILL 1943. Introduced by Representative Brosnahan, a bill
for AN ACT in relation to firearms.
HOUSE BILL 1944. Introduced by Representative Brosnahan, a bill
for AN ACT concerning firearms.
HOUSE BILL 1945. Introduced by Representatives Schoenberg -
Garrett - May - Soto - Lang, Franks, a bill for AN ACT in relation to
firearms.
HOUSE BILL 1946. Introduced by Representative Osterman, a bill for
AN ACT in relation to criminal law.
HOUSE BILL 1947. Introduced by Representative Acevedo, a bill for
AN ACT in relation to criminal law.
HOUSE BILL 1948. Introduced by Representative Monique Davis, a
bill for AN ACT in relation to financial regulation.
HOUSE BILL 1949. Introduced by Representative Monique Davis, a
bill for AN ACT concerning residential mortgages.
HOUSE BILL 1950. Introduced by Representative Monique Davis, a
bill for AN ACT in relation to insurance.
HOUSE BILL 1951. Introduced by Representative Monique Davis, a
bill for AN ACT in relation to insurance.
HOUSE BILL 1952. Introduced by Representative Steve Davis, a bill
for AN ACT concerning open meetings.
HOUSE BILL 1953. Introduced by Representatives Durkin - Zickus, a
bill for AN ACT concerning civil procedure.
HOUSE BILL 1954. Introduced by Representative Saviano, a bill for
AN ACT to amend the Health Care Professional Credentials Data
Collection Act.
HOUSE BILL 1955. Introduced by Representative Saviano, a bill for
AN ACT in relation to employment.
HOUSE BILL 1956. Introduced by Representative Moffitt, a bill for
AN ACT concerning the payment of local government fees.
HOUSE BILL 1957. Introduced by Representative Moffitt, a bill for
AN ACT in relation to townships.
HOUSE BILL 1958. Introduced by Representative Meyer, a bill for AN
ACT in relation to vehicles.
HOUSE BILL 1959. Introduced by Representative Meyer, a bill for AN
ACT concerning forest preserves.
HOUSE BILL 1960. Introduced by Representative Meyer, a bill for AN
ACT concerning public health.
HOUSE BILL 1961. Introduced by Representative Dart, a bill for AN
ACT in relation to criminal law.
HOUSE BILL 1962. Introduced by Representative Fowler, a bill for
AN ACT in relation to public transportation.
HOUSE BILL 1963. Introduced by Representative Hoffman, a bill for
AN ACT concerning workers' compensation.
HOUSE BILL 1964. Introduced by Representatives Hoffman - Scott, a
bill for AN ACT in relation to public employee benefits.
HOUSE BILL 1965. Introduced by Representatives Mautino - Hannig -
Giles - Steve Davis - Smith, Brunsvold, Crotty, Monique Davis, Delgado,
15 [February 16, 2001]
Hoffman, Lang, Reitz, Scott and Younge, a bill for AN ACT to create a
moratorium on new State testing.
HOUSE BILL 1966. Introduced by Representative Kosel, a bill for AN
ACT in relation to taxes.
HOUSE BILL 1967. Introduced by Representative Scott, a bill for AN
ACT concerning insurance.
HOUSE BILL 1968. Introduced by Representative Ryder, a bill for AN
ACT regarding vehicles.
HOUSE BILL 1969. Introduced by Representatives Acevedo - Mendoza,
a bill for AN ACT concerning criminal law.
HOUSE BILL 1970. Introduced by Representatives Moore - Acevedo -
Mendoza, a bill for AN ACT in relation business transactions.
HOUSE BILL 1971. Introduced by Representative Winkel, a bill for
AN ACT in relation to the certification of mediators
HOUSE BILL 1972. Introduced by Representative Lawfer, a bill for
AN ACT concerning library districts.
HOUSE BILL 1973. Introduced by Representative Bost, a bill for AN
ACT concerning fire protection.
HOUSE BILL 1974. Introduced by Representative Brunsvold, a bill
for AN ACT in relation to athletic trainers.
HOUSE BILL 1975. Introduced by Representatives Novak - Moffitt, a
bill for AN ACT concerning taxes.
HOUSE BILL 1976. Introduced by Representatives Cross - Hultgren, a
bill for AN ACT in relation to vehicles.
HOUSE BILL 1977. Introduced by Representative Cross, a bill for AN
ACT concerning taxes.
HOUSE BILL 1978. Introduced by Representative Moffitt, a bill for
AN ACT in relation to gambling.
AGREED RESOLUTION
The following resolutions were offered and placed on the Calendar
on the order of Agreed Resolutions.
HOUSE RESOLUTION 42
Offered by Representatives Soto - Delgado:
WHEREAS, The members of the Illinois House of Representatives wish
to express their sincere condolences to the family and friends of
Santos Pinero, who passed away on February 3, 2001; and
WHEREAS, A native of Puerto Rico, Mr. Pinero came to be known as a
sort of missionary to the United States; when a Spanish-speaking
immigrant moved to Chicago, often one of the first people they would
meet was Santos Pinero; and
WHEREAS, Santos Pinero and his wife, Manuela "Nellie" Pinero, moved
to the Near West Side of Chicago area from Puerto Rico in 1949; for 40
years, Mr. Pinero did warehouse and manufacturing work each day while
devoting his evenings to church and community groups; and
WHEREAS, While raising his four children, Mr. Pinero turned to the
Methodist Church; he moved his family back to Puerto Rico during the
social upheaval in Chicago in 1968; they returned to Chicago the next
year with Mr. Pinero's firm conviction that his family's life should be
framed by church's activities; and
WHEREAS, Mr. Pinero's association with the church grew as he found
more ways to help others; he counseled grieving families, made home
visits to new families in his church, and coordinated church social
activities; although he was a layman, he sometimes conducted home
church services; and
WHEREAS, Mr. Pinero helped establish Casa Central, a
Spanish-language social service agency that helps immigrants settle
down in the Chicago area; and
WHEREAS, Santos Pinero retired in 1988 and moved back to Puerto
Rico only to return to Chicago in 2000 to be closer to his family; he
led daily religious devotions for the senior-care program run by Casa
Central; and
[February 16, 2001] 16
WHEREAS, The passing of Santos Pinero will be deeply felt by all
who knew and loved him, especially his children, Vilma Rosario, Robert
Pinero, Nellie Pini, and Gladys Saint; his 12 grandchildren; and his 5
great-grandchildren; therefore be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we mourn, along with
all who knew him, the death of Santos Pinero of Chicago, Illinois; and
be it further
RESOLVED, That a suitable copy of this resolution be presented to
the family of Santos Pinero with our sincere condolences.
HOUSE RESOLUTION 43
Offered by Representative Yarbrough:
WHEREAS, The members of the Illinois House of Representatives wish
to express their sincere condolences to the family and friends of
Lillie G. Samuels, who passed away on January 25, 2001; and
WHEREAS, Lillie G. Samuels, lovingly known as Grandma Lil, was born
on September 28, 1924 in Orville, Alabama to Cammie Mae Scott and David
Hatcher; and
WHEREAS, Lillie G. Samuels married her husband, the late Wiley
Henry Samuels, Sr. in December, 1941; to their union, five children
were born; and
WHEREAS, Lillie G. Samuels was deeply concerned with the quality of
life in the African-American community; she was politically active in
the Lawndale and Roseland neighborhoods; she was also a strong advocate
for seniors in Oak Park and worked diligently to raise funds at Fifth
City Community Center in Chicago for the fight against Aids; she was
active in the Annual Chicago Aids Walk, Oak Park Community Response,
and AIDS organization and Trinity United Church of Christ AIDS
Ministry; and she was a special guest on radio station WSSD's show,
Common Sense, in which she presented a grandmother's perspective for
parents, educators and children; and
WHEREAS, Lillie G. Samuels was a member of Trinity United Church of
Christ in Chicago, Illinois; she also attended Fellowship Christian
Church, in Oak Park, where her son, Wiley, is a deacon, trustee and
teacher; and
WHEREAS, The passing of Lillie G. Samuels will be deeply felt by
all who knew and loved her, especially her loving children, Reverend
Dora Samuels-Merritt, Deacon Wiley H. Samuels, Jr., Blanche E. Clark,
and Sylvester Samuels, Sr.; her daughters-in-law, Dorothy and Diane;
her sons-in-law, Ronald and Jerome; her grandchildren, Kobie, Jerome
II, Pamela, Brian, Kiana, DeAnda, Anthony, Sylvester, Jr. and Stephen;
her great-grandchildren, Malcolm II, Dantrell, Maya, Dasjia, Danielle,
Jerome III, and Brooke; her sisters, Evangelist Lula Mae Collins,
Lucille Henderson, Dorothy Dennis, and Rosie Mae Prevo; her
brother-in-law, Donald Smith, Sr.; her sisters-in-law, Wanda and
Blanche; her aunt, Dolly Thompson; her dear friend, Georgetta E.
Braswell; and a host of nephews, nieces, other relatives, and friends;
therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we mourn, along with
all who knew her, the death of Lillie G. Samuels of Chicago, Illinois;
and be it further
RESOLVED, That a suitable copy of this resolution be presented to
the family of Lillie G. Samuels.
HOUSE RESOLUTION 46
Offered by Representative Collins:
WHEREAS, The members of the Illinois House of Representatives are
pleased to honor our former colleague from the Tenth District in
Chicago, the Honorable Coy Pugh; and
WHEREAS, Coy Pugh, an ordained minister, was born on February 27,
1952, in Chicago, Illinois; he received his Bachelor of Arts degree in
inner cities studies from Northeastern Illinois University and his
17 [February 16, 2001]
masters of theology from the University of Chicago; and
WHEREAS, Former State Representative Coy Pugh served in the
Illinois House of Representatives with distinction; he was first
elected in 1992 and re-elected in 1994, 1996, and 1998; and
WHEREAS, While in the House of Representatives, Mr. Pugh served as
the Chairman of the Revenue Committee, and served on the
Appropriations-Public Safety Committee, the Human Services Committee,
the Personnel and Pensions Committee, the Special Committee on Tobacco
Settlement Proceeds Distribution, and the Joint Committee on
Administrative Rules; and
WHEREAS, Mr. Pugh's legislative priorities included fighting crime,
bringing businesses and jobs to the poor and neglected areas,
protecting minority rights, and working to teach our children to work
hard and live with good moral standards; in 1996, he successfully
stopped chain gangs from being instituted in Illinois; and
WHEREAS, Coy Pugh, as a member of the Illinois House of
Representatives compiled a legislative record that the citizens of the
Tenth District and all of Illinois can be proud of; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we thank Former State
Representative Coy Pugh for his hard work and dedication to the people
of the State of Illinois, and wish our former colleague, his wife Addie
and their three children, success and happiness in the future; and be
it further
RESOLVED, That a suitable copy of this resolution be presented to
Former State Representative Coy Pugh along with our sincere regards.
HOUSE RESOLUTION 47
Offered by Representative Bill Mitchell:
WHEREAS, The members of the Illinois House of Representatives would
like to honor the quick thinking and resourcefulness of Mary Altgilbers
of Effingham, Illinois; and
WHEREAS, Mary Altgilbers is a school bus driver for the Effingham
School District; on a typical Tuesday afternoon Mrs. Altgilbers was
driving her charges from the Early Learning Center when she noticed a
student having problems; and
WHEREAS, Aspen Krietemeyer approached the bus driver with tears in
her eyes, Mary Altgilbers pulled the bus to the side of the road, and
upon examining Aspen noted that she was gagging; the brave bus driver
performed the Heimlich maneuver on young Aspen and a piece of bubble
gum dislodged from the girl's throat; and
WHEREAS, Because of the heroic efforts of Mary Altgilbers, little
Aspen Krietemeyer continued on her way to the day care center; she
later showed her appreciation to Mrs. Altgilbers with a card inscribed
"You're An Angel"; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate Mary
Altgilbers on a job well done; she has proven herself to be an
invaluable part of the lives of the young children she cares for
everyday; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
Mary Altgilbers.
HOUSE RESOLUTION 48
Offered by Representative Monique Davis:
WHEREAS, The members of the Illinois House of Representatives are
saddened to learn of the death of Mrs. Lucille McKay Garnett, who
recently passed away; and
WHEREAS, Lucille McKay Garnett was born in Chicago, Illinois on
March 18, 1920; she was a 1938 graduate of Englewood High School; she
was a member of Alpha Kappa Alpha Sorority while attending Fisk
University in Nashville, Tennessee; she received her Bachelor of
Science degree in Education from Northwestern University, and a
Master's degree in Psychology from DePaul University in 1976; and
[February 16, 2001] 18
WHEREAS, Lucille Garnett worked seven years as a social worker in
Cook County; she worked over forty years as a grade school teacher for
the Chicago Public Schools; she served as an educational counselor, and
acted as assistant principal, in addition to many other roles; and
WHEREAS, Lucille Garnett was a member of the Chums Bridge and
Social Club since the founding of the club in 1946; she traveled
extensively, across the United States, through Europe, in the
Caribbean, and to South Africa; and
WHEREAS, The passing of Lucille McKay Garnett will be deeply felt
by all who knew and loved her, including her husband, Winfield
Alexander Garnett, Jr., who she married on August 16, 1941; her
children, Winfield James and Stephan Warren; her grandchildren,
Winfield Alexander III and Lance Aaron; and her other family members
and friends; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we mourn, along with
her family and friends, the passing of Lucille McKay Garnett; and be it
further
RESOLVED, That a suitable copy of this resolution be presented to
the family of Lucille McKay Garnett.
HOUSE RESOLUTION 49
Offered by Representative Black:
WHEREAS, The members of the Illinois House of Representatives are
pleased to honor historic events in the lives of the citizens of the
State of Illinois; and
WHEREAS, Bruce Voges of Oakwood, Illinois, was among 29 United
States veterans who went on a successful 5,000 mile voyage from Souda
Bay, Crete to bring back the LST-325 to the United States; and
WHEREAS, Bruce Voges and his 28 shipmates, averaging 72 years of
age, made the journey across the Atlantic Ocean in December and arrived
in Mobile, Alabama on January 10, 2001, to a heros' welcome; and
WHEREAS, Bruce Voges left for Crete last August to help make the
the former World War II Navy landing ship tank (LST) seaworthy for its
trip home to America; members of the LST Memorial Ship organization
hope to turn the 58-year-old vessel that once landed men and equipment
on the beaches of Sicily, Salerno, and Normandy into a floating museum;
and
WHEREAS, Bruce Voges served as the boatswain and was in charge of
equipment and the safety of the ship and crew; he was third in command
behind the captain and the executive officer; and
WHEREAS, After many delays, the LST-325 finally left Crete on
November 16, 2000; during the rough journey through the Mediterranean,
the ship lost an engine and needed several repairs when it docked in
Gibraltar; with local assistance the crew made the necessary repairs
and set sail for the United States on December 12; and
WHEREAS, The Vermilion County War Museum will host a welcome home
open house for Bruce Voges; and
WHEREAS, Bruce Voges shares his victorious accomplishment with his
wife, Katie; their sons; Mike and Tim Voges; his daughter Michele
Lawhead; their son-in-law; their daughters-in-law; their grandchildren;
and friends; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we honor Bruce Voges
for his effort, dedication and hard work that helped lead the LST-325
on its journey back to its home in America; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
Bruce Voges as an expression of our esteem.
HOUSE RESOLUTION 50
Offered by Representative Black:
WHEREAS, The members of the Illinois House of Representatives are
pleased to honor milestone events in the lives of the citizens of the
State of Illinois; and
19 [February 16, 2001]
WHEREAS, AMBUCS will honor Harold "Sparky" Songer with its 68th
annual First Citizen award at a reception and banquet on February 27,
2001; the award recognizes an area resident for outstanding community
service or a significant contribution to the area; and
WHEREAS, Mr. Songer is credited with taking the dream of
preserving the Danville area's military history at the Carnegie
Building and making it a reality through the establishment of the
Vermilion County War Museum; and
WHEREAS, Harold Songer was born in Veedersburg, Indiana; he left
high school to go to work at Wright-Patterson Air Force Base a year and
a half after the United States entered World War II; as soon as he turn
18 years of age, he joined the United States Army; in 1944, as a
private first class in the 106th Infantry Division, he was sent to the
front line near St. Vith, Belgium and ten days later he was captured by
the German troops during the Battle of the Bulge; and
WHEREAS, Harold Songer was sent to the Stalag 4B prisoner-of-war
camp near Berlin, Germany, then later transferred to the Stalag 4A camp
near Dresden, Germany, where he was held for six months until the war
ended; after the war, he went back to Indiana and opened a
restaurant/service station with his older brother; by 1951 he had
re-enlisted, this time with the United States Air Force, and loyally
served in the Korean and Vietnam Wars; he retired in August 1971 with
the rank of master sergeant; and
WHEREAS, Harold Songer became involved with the efforts to create
the Vermilion County War Museum in 1998; he worked tirelessy to make
the museum one of the best presentations of war memorabilia in the
country; he was able to secure a vintage building and organized a fleet
of volunteers to accomplish this task with very little funding; since
its opening on Veterans Day 1999, over four thousand people from 39
states and 10 countries, including Germany, Japan, Sweden, and
Australia, have visited; and
WHEREAS, In addition to his work at the museum, Harold Songer was
active in helping raise money for three monuments honoring veterans:
the Korean-Vietnam monument, the World War II monument, and the womens
veterans monument are all on the Kenneth Bailey Drive section of North
Hazel Street in Danville, Illinois; and
WHEREAS, Harold Songer became involved in the Vermilion County War
Museum project and memorials because he doesn't want anyone to forget
the efforts of his fellow veterans who fought for the sake of our
country; the museum is dedicated for veterans to reminisce about their
war experiences and for the school children to learn about our history
and the sacrifices of our veterans to preserve the nation; therefore,
be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate Harold
Songer for his dedicated efforts in helping establish the Vermilion
County War Museum and for being honored by AMBUCS with its annual First
Citizen award for his services; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
Harold Songer as an expression of our esteem.
HOUSE RESOLUTION 51
Offered by Representative Bill Mitchell:
WHEREAS, The members of the Illinois House of Representatives are
please to recognize milestone events in the history of businesses in
the State of Illinois; and
WHEREAS, Tweeks was founded in Indianapolis, Indiana, in 1976 to
meet the needs of Porsche enthusiasts who wished to maintain, customize
or enhance the performance of their automobiles; and
WHEREAS, Mike Yager, purchased the assets of Tweeks to become a
subsidiary of Mid America Direct, Inc. in June 1999; and
WHEREAS, Tweeks now serves as a national sponsor for PCA Club
Racing and Rennlist events across the nation; and
WHEREAS, In Mr. Yager's willingness to share his hobby and his
profession with both seasoned and future enthusiasts, he has opened his
[February 16, 2001] 20
research and development facility to the public; and
WHEREAS, In the spirit of volunteerism, Mr. Yager has selflessly
given his time and energy to the Effingham area, paying special
attention to the needs of young people; and
WHEREAS, Tweeks has become a major force in the Porsche aftermarket
with unprecedented growth following its incorporation into the Mid
America Direct, Inc. family of automotive catalogs; and
WHEREAS, Tweeks will celebrate its Silver Anniversary on July
21-22, 2001; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate Mike
Yager on the 25th anniversary of Tweeks and recognize his contributions
to the public; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
Mike Yager as an expression of our esteem.
HOUSE RESOLUTION 53
Offered by Representative Leitch:
WHEREAS, The Human Service Center was established in 1976, a
consolidation of the Comprehensive Mental Health Board of Central
Illinois, the Peoria Mental Health Clinic, the Stonehedge Foundation,
Inc., and the Peoria Area Council on Alcoholism; and
WHEREAS, The Human Service Center's purpose is to provide a
comprehensive program of mental health and substance abuse services,
fully accessible to those in need, while integrating other social and
health care systems, and responsive to changing needs of Peoria County,
Illinois citizens; and
WHEREAS, Throughout the years and with dynamic change, the Human
Service Center has emerged as an important and vital part of Peoria and
Peoria County; and
WHEREAS, The Human Service Center led by a dedicated Board and by
its executive, John F. Gilligan, Phd., has received National and
statewide recognition as an innovative provider of health care to the
mentally ill; and
WHEREAS, On February 25, 2001, a dinner will celebrate twenty-five
years of service provided by the Human Service Center; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate the men
and women of the Human Service Center as they celebrate the
organization's twenty-fifth anniversary; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
the staff of the Human Service Center.
HOUSE RESOLUTION 54
Offered by Representative Madigan:
WHEREAS, The members of the Illinois House of Representatives are
pleased to honor milestones in the lives of the citizens of the State
of Illinois; and
WHEREAS, It has come to our attention that Frank J. Wsol has
loyally served the Teamsters Union for over fifty years; and
WHEREAS, Frank J. Wsol served his country in the United States Air
Force in Japan and Korea in the mid-1940's; and
WHEREAS, Frank J. Wsol has served with the Teamsters since 1946,
when he became a member of Local No. 761; he became a member of I.B.T.
Local No. 710 while driving a meat delivery truck in 1951; he was
appointed organizer in 1966 by John T. (Sandy) O'Brien; he was promoted
to business agent in 1971 by William D. Joyce; and
WHEREAS, In 1981 Mr. Wsol was appointed Vice President; in 1992 he
was nominated President of Local No. 710; in 1993 he was appointed
Secretary-Treasurer; Mr. Wsol has served as trustee of the Local No.
710 Health, Welfare, and Pension funds and became chairman of those
funds in June of 1993; and
WHEREAS, Frank Wsol has served as chairman of the Illinois Joint
State Grievance Committee, the Meat, MCLAC, and Yellow Freight
21 [February 16, 2001]
Grievance Committee, and the I.B.T. National Grievance Committee; he is
a member of the All Teamster Neer-Goudie American Legion Post No. 846;
he also serves on the Board of Directors for Children's Advocacy Center
and the Little City Foundation in Palatine, Illinois; and
WHEREAS, Frank Wsol and his wife, Florence, spend their free time
with their sons and grandchildren; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate Frank
J. Wsol for his dedication and service to the Teamsters Union for over
fifty years; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
Frank J. Wsol, along with our sincere regards.
HOUSE RESOLUTION 56
Offered by Representative Hultgren:
WHEREAS, The members of the Illinois House of Representatives are
pleased to recognize the Junior League of Greater DuKane, Inc., and its
work to improve the quality of life for children at risk; and
WHEREAS, The Junior League of Greater DuKane, Inc., is an affiliate
of the Association of Junior Leagues International; the Junior League
of Greater DuKane, Inc. is an organization of women committed to
promoting voluntarism, developing the potential of women, and improving
the community through the effective action and leadership of trained
volunteers; and
WHEREAS, The Junior League of Greater DuKane places their emphasis
on prevention and rehabilitative services; some of the projects
supported by the League's membership include ChildServ, the Glenwood
School for Boys, the DuPage Children's Museum, Kids on the Block, the
Parents Pantry, Opportunity Knocks, and the Story Wizards; and
WHEREAS, The membership includes Women from DuPage, Kane, Kendall
and Will Counties of Illinois; these volunteers provide hours of
service to their local communities; membership is open to women of all
races, religions, nationalities, sexual orientations, or disabilities
who demonstrate an interest in and commitment to voluntarism; and
WHEREAS, A celebration will be held February 24, 2001; Winterflight
Gala, "LeCirque d'Hiver"; an awards ceremony attended by over 400
patrons from the community will be one small part of the celebration;
therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate the
Junior League of Greater DuKane, Inc. members for their hard work and
dedication to their communities; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
the members of the Junior League of Greater DuKane, Inc.
HOUSE RESOLUTION 57
Offered by Representative Yarbrough:
WHEREAS, The members of the Illinois House of Representatives wish
to express their sincere condolences to the family and friends of Tony
Curtis Donald, Sr., who passed away on February 3, 2001; and
WHEREAS, Tony Curtis Donald, Sr. was born on April 13, 1954 in
Chicago, Illinois to Clifton and Marion Donald; and
WHEREAS, Tony Curtis Donald, Sr. graduated from Proviso East High
School in 1973; he continued his education with technical training as
an aircraft mechanic in the United States Navy; he attained a Bachelor
of Science degree in electrical engineering from ITT Technical
Institute in Indianapolis, Indiana; he was employed at Technetics; and
WHEREAS, Tony Curtis Donald, Sr. was baptized a member of the
Church of Christ in 1991; and
WHEREAS, The passing of Tony Curtis Donald, Sr. will be deeply felt
by all who knew and loved him, especially his wife, Marian; his
children, Tony, Jr., Clifton II, Eboni, and Melenie; his sisters,
Madalyn Ruffin, Joyce Donald, and Diane Anderson; his brother, Jeffrey
Donald; his brothers-in-law, John Ruffin, Larry Anderson, Charles West,
[February 16, 2001] 22
and Elroy Collier; his sisters-in-law, Carolyn Donald, Betty Echols,
Madalyne Lofton, Carolyn Butler, and Jaime Collier; and a host of
nieces, nephews, family and friends; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we mourn, along with
all who knew him, the death of Tony Curtis Donald, Sr. of Chicago,
Illinois; and be it further
RESOLVED, That a suitable copy of this resolution be presented to
the family of Tony Curtis Donald, Sr. with our sincere condolences.
HOUSE RESOLUTION 60
Offered by Representative Cowlishaw:
WHEREAS, The members of this Body wish to acknowledge the Junior
League of Greater DuKane, Inc., and its work to improve the quality of
life for children at risk; and
WHEREAS, The Junior League of Greater DuKane, Inc., is an
organization of women committed to promoting volunteerism, developing
the potential of women, and improving communities through the effective
action and leadership of trained volunteers; its purpose is exclusively
educational and charitable; and
WHEREAS, With an emphasis on prevention and rehabilitative
services, the projects supported by the League touch on a wide range of
needs within the community; the projects supported by the League's
membership include: ChildServ; Glenwood School for Boys; DuPage
Children's Museum; Kids on the Block; Parents Pantry; Opportunity
Knocks; and the Story Wizards; and
WHEREAS, Women from DuPage, Kane, Kendall and Will Counties of
Illinois serve as volunteers; these women provide hours of valuable
support and expertise in their local communities; membership is open to
women of all races, religions, nationalities, sexual orientations, or
disabilities who demonstrate an interest in and commitment to
volunteerism; and
WHEREAS, The current officers of the Junior League of Greater
DuKane include, Kathryn Gould, JoAnn Green, Andrea Marvel, Tricia
Brown, JoEllen Jacobs, Beth Benck, Cindy Moore, Gabriela Pino, Julie
Renehan, Susannah Lesswing, and Liz Murer;and
WHEREAS, A celebration will be held on February 24, 2001 at the
annual Winterflight Gala, "LeCirque d'Hiver", where proclamations will
be presented to the organization during an awards ceremony attended by
over 400 patrons from the community; therefore, be it
RESOLVED, BY THE HOUSE OF REPRESENTATIVES OF THE NINETY-SECOND
GENERAL ASSEMBLY OF THE STATE OF ILLINOIS, that we congratulate the
Junior League of Greater DuKane, Inc., for the work it has performed,
and we applaud the volunteerism provided by its members; and be it
further
RESOLVED, That a suitable copy of this resolution be presented to
the Junior League of Greater DuKane, Inc.
DISTRIBUTION OF SUPPLEMENTAL CALENDAR
Supplemental Calendar No. 1 was distributed to the Members at 1:13
o'clock p.m.
HOUSE BILLS ON SECOND READING
Having been printed, the following bills were taken up, read by
title a second time and advanced to the order of Third Reading: HOUSE
BILLS 169, 181, 198, 271, 281, 289, 333, 396, 500, 584, 593, 678 and
698.
Having been printed, the following bills were taken up, read by
title a second time and held on the order of Second Reading: HOUSE
23 [February 16, 2001]
BILLS 75, 156, 157, 158, 305, 442, 446, 469, 473, 476, 583, 642 and
654.
HOUSE BILL 25. Having been printed, was taken up and read by title
a second time.
The following amendment was offered in the Committee on Human
Services, adopted and printed:
AMENDMENT NO. 1 TO HOUSE BILL 25
AMENDMENT NO. 1. Amend House Bill 25 by replacing the title with
the following:
"AN ACT in relation to public aid."; and
by replacing everything after the enacting clause with the following:
"Section 5. The Illinois Public Aid Code is amended by changing
Section 5-2 as follows:
(305 ILCS 5/5-2) (from Ch. 23, par. 5-2)
Sec. 5-2. Classes of Persons Eligible. Medical assistance under
this Article shall be available to any of the following classes of
persons in respect to whom a plan for coverage has been submitted to
the Governor by the Illinois Department and approved by him:
1. Recipients of basic maintenance grants under Articles III and
IV.
2. Persons otherwise eligible for basic maintenance under Articles
III and IV but who fail to qualify thereunder on the basis of need, and
who have insufficient income and resources to meet the costs of
necessary medical care, including but not limited to the following:
(a) All persons otherwise eligible for basic maintenance
under Article III but who fail to qualify under that Article on the
basis of need and who meet either of the following requirements:
(i) their income, as determined by the Illinois
Department in accordance with any federal requirements, is
equal to or less than 70% in fiscal year 2001, equal to or
less than 85% in fiscal year 2002, and equal to or less than
100% in fiscal year 2003 and thereafter of the nonfarm income
official poverty line, as defined by the federal Office of
Management and Budget and revised annually in accordance with
Section 673(2) of the Omnibus Budget Reconciliation Act of
1981, applicable to families of the same size; or
(ii) their income, after the deduction of costs incurred
for medical care and for other types of remedial care, is
equal to or less than 70% in fiscal year 2001, equal to or
less than 85% in fiscal year 2002, and equal to or less than
100% in fiscal year 2003 and thereafter of the nonfarm income
official poverty line, as defined in item (i) of this
subparagraph (a).
(b) All persons who would be determined eligible for such
basic maintenance under Article IV by disregarding the maximum
earned income permitted by federal law.
3. Persons who would otherwise qualify for Aid to the Medically
Indigent under Article VII.
4. Persons not eligible under any of the preceding paragraphs who
fall sick, are injured, or die, not having sufficient money, property
or other resources to meet the costs of necessary medical care or
funeral and burial expenses.
5. (a) Women during pregnancy, after the fact of pregnancy has
been determined by medical diagnosis, and during the 60-day period
beginning on the last day of the pregnancy, together with their
infants and children born after September 30, 1983, whose income
and resources are insufficient to meet the costs of necessary
medical care to the maximum extent possible under Title XIX of the
Federal Social Security Act.
(b) The Illinois Department and the Governor shall provide a
plan for coverage of the persons eligible under paragraph 5(a) by
April 1, 1990. Such plan shall provide ambulatory prenatal care to
pregnant women during a presumptive eligibility period and
[February 16, 2001] 24
establish an income eligibility standard that is equal to 133% of
the nonfarm income official poverty line, as defined by the federal
Office of Management and Budget and revised annually in accordance
with Section 673(2) of the Omnibus Budget Reconciliation Act of
1981, applicable to families of the same size, provided that costs
incurred for medical care are not taken into account in determining
such income eligibility.
(c) The Illinois Department may conduct a demonstration in at
least one county that will provide medical assistance to pregnant
women, together with their infants and children up to one year of
age, where the income eligibility standard is set up to 185% of the
nonfarm income official poverty line, as defined by the federal
Office of Management and Budget. The Illinois Department shall
seek and obtain necessary authorization provided under federal law
to implement such a demonstration. Such demonstration may
establish resource standards that are not more restrictive than
those established under Article IV of this Code.
6. Persons under the age of 18 who fail to qualify as dependent
under Article IV and who have insufficient income and resources to meet
the costs of necessary medical care to the maximum extent permitted
under Title XIX of the Federal Social Security Act.
7. Persons who are 18 years of age or younger and would qualify as
disabled as defined under the Federal Supplemental Security Income
Program, provided medical service for such persons would be eligible
for Federal Financial Participation, and provided the Illinois
Department determines that:
(a) the person requires a level of care provided by a
hospital, skilled nursing facility, or intermediate care facility,
as determined by a physician licensed to practice medicine in all
its branches;
(b) it is appropriate to provide such care outside of an
institution, as determined by a physician licensed to practice
medicine in all its branches;
(c) the estimated amount which would be expended for care
outside the institution is not greater than the estimated amount
which would be expended in an institution.
8. Persons who become ineligible for basic maintenance assistance
under Article IV of this Code in programs administered by the Illinois
Department due to employment earnings and persons in assistance units
comprised of adults and children who become ineligible for basic
maintenance assistance under Article VI of this Code due to employment
earnings. The plan for coverage for this class of persons shall:
(a) extend the medical assistance coverage for up to 12
months following termination of basic maintenance assistance; and
(b) offer persons who have initially received 6 months of the
coverage provided in paragraph (a) above, the option of receiving
an additional 6 months of coverage, subject to the following:
(i) such coverage shall be pursuant to provisions of the
federal Social Security Act;
(ii) such coverage shall include all services covered
while the person was eligible for basic maintenance
assistance;
(iii) no premium shall be charged for such coverage; and
(iv) such coverage shall be suspended in the event of a
person's failure without good cause to file in a timely
fashion reports required for this coverage under the Social
Security Act and coverage shall be reinstated upon the filing
of such reports if the person remains otherwise eligible.
9. Persons with acquired immunodeficiency syndrome (AIDS) or with
AIDS-related conditions with respect to whom there has been a
determination that but for home or community-based services such
individuals would require the level of care provided in an inpatient
hospital, skilled nursing facility or intermediate care facility the
cost of which is reimbursed under this Article. Assistance shall be
provided to such persons to the maximum extent permitted under Title
XIX of the Federal Social Security Act.
25 [February 16, 2001]
10. Participants in the long-term care insurance partnership
program established under the Partnership for Long-Term Care Act who
meet the qualifications for protection of resources described in
Section 25 of that Act.
11. Persons with disabilities who are employed and eligible for
Medicaid, pursuant to Section 1902(a)(10)(A)(ii)(xv) of the Social
Security Act, as provided by the Illinois Department by rule.
12. Subject to federal approval, persons who (i) have been
screened under the U.S. Centers for Disease Control and Prevention
breast and cervical cancer early detection program established under
Title XV of the federal Public Health Service Act in accordance with
the requirements of Section 1504 of that Act, and need treatment for
breast or cervical cancer, and (ii) are eligible for medical assistance
coverage under applicable provisions of the federal Social Security
Act and the Breast and Cervical Cancer Prevention and Treatment Act of
2000. Medical assistance coverage under this paragraph shall include
coverage to the maximum extent permitted under the federal Breast and
Cervical Cancer Prevention and Treatment Act of 2000. The Department
must request federal approval of the coverage under this paragraph 12
within 30 days after the effective date of this amendatory Act of the
92nd General Assembly.
The Illinois Department and the Governor shall provide a plan for
coverage of the persons eligible under paragraph 7 as soon as possible
after July 1, 1984.
The eligibility of any such person for medical assistance under
this Article is not affected by the payment of any grant under the
Senior Citizens and Disabled Persons Property Tax Relief and
Pharmaceutical Assistance Act or any distributions or items of income
described under subparagraph (X) of paragraph (2) of subsection (a) of
Section 203 of the Illinois Income Tax Act. The Department shall by
rule establish the amounts of assets to be disregarded in determining
eligibility for medical assistance, which shall at a minimum equal the
amounts to be disregarded under the Federal Supplemental Security
Income Program. The amount of assets of a single person to be
disregarded shall not be less than $2,000, and the amount of assets of
a married couple to be disregarded shall not be less than $3,000.
To the extent permitted under federal law, any person found guilty
of a second violation of Article VIIIA shall be ineligible for medical
assistance under this Article, as provided in Section 8A-8.
The eligibility of any person for medical assistance under this
Article shall not be affected by the receipt by the person of donations
or benefits from fundraisers held for the person in cases of serious
illness, as long as neither the person nor members of the person's
family have actual control over the donations or benefits or the
disbursement of the donations or benefits.
(Source: P.A. 91-676, eff. 12-23-99; 91-699, eff. 7-1-00; 91-712, eff.
7-1-00; revised 6-26-00.)
Section 99. Effective date. This Act takes effect upon becoming
law.".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
HOUSE BILL 31. Having been printed, was taken up and read by title
a second time.
The following amendment was offered in the Committee on Human
Services, adopted and printed:
AMENDMENT NO. 1 TO HOUSE BILL 31
AMENDMENT NO. 1. Amend House Bill 31 by replacing the title with
the following:
"AN ACT in relation to public aid."; and
by replacing everything after the enacting clause with the following:
[February 16, 2001] 26
"Section 5. The State Finance Act is amended by changing Section
6z-43 as follows:
(30 ILCS 105/6z-43)
Sec. 6z-43. Tobacco Settlement Recovery Fund.
(a) There is created in the State Treasury a special fund to be
known as the Tobacco Settlement Recovery Fund, into which shall be
deposited all monies paid to the State pursuant to (1) the Master
Settlement Agreement entered in the case of People of the State of
Illinois v. Philip Morris, et al. (Circuit Court of Cook County, No.
96-L13146) and (2) any settlement with or judgment against any tobacco
product manufacturer other than one participating in the Master
Settlement Agreement in satisfaction of any released claim as defined
in the Master Settlement Agreement, as well as any other monies as
provided by law. All earnings on Fund investments shall be deposited
into the Fund. Upon the creation of the Fund, the State Comptroller
shall order the State Treasurer to transfer into the Fund any monies
paid to the State as described in item (1) or (2) of this Section
before the creation of the Fund plus any interest earned on the
investment of those monies. The Treasurer may invest the moneys in the
Fund in the same manner, in the same types of investments, and subject
to the same limitations provided in the Illinois Pension Code for the
investment of pension funds other than those established under Article
3 or 4 of the Code.
(a-5) In addition to any other use authorized by law, moneys in
the Tobacco Settlement Recovery Fund may be appropriated for use in
funding personal needs allowances for institutionalized persons under
Section 5-23 of the Illinois Public Aid Code.
(b) As soon as may be practical after June 30, 2001, the State
Comptroller shall direct and the State Treasurer shall transfer the
unencumbered balance in the Tobacco Settlement Recovery Fund as of June
30, 2001 into the Budget Stabilization Fund. The Treasurer may invest
the moneys in the Budget Stabilization Fund in the same manner, in the
same types of investments, and subject to the same limitations provided
in the Illinois Pension Code for the investment of pension funds other
than those established under Article 3 or 4 of the Code.
(Source: P.A. 91-646, eff. 11-19-99; 91-704, eff. 7-1-00; 91-797, eff.
6-9-00; revised 6-28-00.)
Section 10. The Illinois Public Aid Code is amended by adding
Section 5-23 as follows:
(305 ILCS 5/5-23 new)
Sec. 5-23. Personal needs allowance. For a person who is an
inpatient in an institution or facility for which payments are made
under this Article throughout a month and who is determined to be
eligible for medical assistance under this Article, the State shall pay
an amount in addition to the minimum monthly personal needs allowance
authorized under Section 1902(q) of Title XIX of the Social Security
Act (42 U.S.C. 1396a(q)), so that the person's total monthly personal
needs allowance from both State and federal sources equals $50. The
additional amount paid by the State shall be paid from amounts
appropriated for that purpose from the Tobacco Settlement Recovery
Fund.
Section 99. Effective date. This Act takes effect upon becoming
law.".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
HOUSE BILL 216. Having been printed, was taken up and read by title
a second time.
The following amendment was offered in the Committee on Elementary
& Secondary Education, adopted and printed:
AMENDMENT NO. 1 TO HOUSE BILL 216
27 [February 16, 2001]
AMENDMENT NO. 1. Amend House Bill 216 as follows:
on page 1, line 7, by replacing "K-5" with "K-3"; and
on page 1, by replacing lines 13 and 14 with the following:
"shall award grants"; and
on page 1, by replacing lines 20 through 31 with the following:
"shall provide that (i) only those districts that maintain grades
kindergarten through 3 shall be grant eligible, (ii) no grant funds
shall be used for grades other than kindergarten through 3, (iii) no
grant funds shall be awarded to a district where the average class size
in grades kindergarten through 3 is already 18 pupils or fewer, and
(iv) where feasible, districts must target these grant funds to the
grade level where class sizes are highest or to the school or schools
where class sizes are highest."; and
on page 2, by replacing lines 4 and 5 with the following:
"grades kindergarten through 3 that are directly impacted by these
grant funds."; and
on page 2, line 8, by replacing "K-5" with "K-3".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
HOUSE BILLS ON THIRD READING
The following bills and any amendments adopted thereto were printed
and laid upon the Members' desks. These bills have been examined, any
amendments thereto engrossed and any errors corrected. Any amendments
pending were tabled pursuant to Rule 40(a).
On motion of Representative Lyons, HOUSE BILL 21 was taken up and
read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
106, Yeas; 1, Nays; 5, Answering Present.
(ROLL CALL 2)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
On motion of Representative Lawfer, HOUSE BILL 43 was taken up and
read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
112, Yeas; 0, Nays; 0, Answering Present.
(ROLL CALL 3)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
On motion of Representative Lang, HOUSE BILL 111 was taken up and
read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
87, Yeas; 25, Nays; 0, Answering Present.
(ROLL CALL 4)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
HOUSE BILLS ON SECOND READING
Having been read by title a second time on February 15, 2001 and
held, the following bill was taken up and advanced to the order of
Third Reading: HOUSE BILL 394.
[February 16, 2001] 28
HOUSE BILLS ON THIRD READING
The following bills and any amendments adopted thereto were printed
and laid upon the Members' desks. These bills have been examined, any
amendments thereto engrossed and any errors corrected. Any amendments
pending were tabled pursuant to Rule 40(a).
On motion of Representative Black, HOUSE BILL 127 was taken up and
read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
106, Yeas; 6, Nays; 0, Answering Present.
(ROLL CALL 5)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
On motion of Representative Hannig, HOUSE BILL 161 was taken up and
read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
102, Yeas; 11, Nays; 0, Answering Present.
(ROLL CALL 6)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
On motion of Representative Mautino, HOUSE BILL 153 was taken up
and read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
113, Yeas; 0, Nays; 0, Answering Present.
(ROLL CALL 7)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
On motion of Representative Wirsing, HOUSE BILL 314 was taken up
and read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
113, Yeas; 0, Nays; 0, Answering Present.
(ROLL CALL 8)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
On motion of Representative Hartke, HOUSE BILL 508 was taken up and
read by title a third time.
And the question being, "Shall this bill pass?" it was decided in
the affirmative by the following vote:
113, Yeas; 0, Nays; 0, Answering Present.
(ROLL CALL 9)
This bill, having received the votes of a constitutional majority
of the Members elected, was declared passed.
Ordered that the Clerk inform the Senate and ask their concurrence.
HOUSE BILLS ON SECOND READING
HOUSE BILL 32. Having been printed, was taken up and read by title
a second time.
The following amendments were offered in the Committee on State
Government Administration, adopted and printed:
AMENDMENT NO. 1 TO HOUSE BILL 32
29 [February 16, 2001]
AMENDMENT NO. 1. Amend House Bill 32 by replacing the title with
the following:
"AN ACT concerning ethics."; and
by replacing everything after the enacting clause with the following:
"Section 5. The Illinois Governmental Ethics Act is amended by
changing Section 4A-106 as follows:
(5 ILCS 420/4A-106) (from Ch. 127, par. 604A-106)
Sec. 4A-106. The statements of economic interests required of
persons listed in items (a) through (f) and item (j) of Section 4A-101
shall be filed with the Secretary of State. The statements of economic
interests required of persons listed in items (g), (h), (i), (k), and
(l) of Section 4A-101 shall be filed with the county clerk of the
county in which the principal office of the unit of local government
with which the person is associated is located. If it is not apparent
which county the principal office of a unit of local government is
located, the chief administrative officer, or his or her designee, has
the authority, for purposes of this Act, to determine the county in
which the principal office is located. On or before February 1
annually, (1) the chief administrative officer of any State agency in
the executive, legislative, or judicial branch employing persons
required to file under item (f) of Section 4A-101 shall certify to the
Secretary of State the names and mailing addresses of those persons,
and (2) the chief administrative officer, or his or her designee, of
each unit of local government with persons described in items (h), (i)
and (k) of Section 4A-101 shall certify to the appropriate county clerk
a list of names and addresses of persons described in items (h), (i)
and (k) of Section 4A-101 that are required to file. In preparing the
lists, each chief administrative officer, or his or her designee, shall
set out the names in alphabetical order.
On or before February 1 annually, the secretary to the board of
education for local school councils established pursuant to Section
34-2.1 of the School Code shall certify to the county clerk the names
and mailing addresses of those persons described in item (l) of Section
4A-101.
On or before April 1 annually, the Secretary of State shall notify
(1) all persons whose names have been certified to him under item (f)
of Section 4A-101, and (2) all persons described in items (a) through
(e) and item (j) of Section 4A-101, other than candidates for office
who have filed their statements with their nominating petitions, of the
requirements for filing statements of economic interests.
On or before April 1 annually, the county clerk of each county
shall notify all persons whose names have been certified to him under
items (g), (h), (i), (k), and (l) of Section 4A-101, other than
candidates for office who have filed their statements with their
nominating petitions, of the requirements for filing statements of
economic interests.
Except as provided in Section 4A-106.1, the notices provided for in
this Section shall be in writing and deposited in the U.S. Mail,
properly addressed, first class postage prepaid, on or before the day
required by this Section for the sending of the notice. A certificate
executed by the Secretary of State or county clerk attesting that he
has mailed the notice has been mailed constitutes prima facie evidence
thereof.
From the lists certified to him under this Section of persons
described in items (g), (h), (i), (k), and (l) of Section 4A-101, the
clerk of each county shall compile an alphabetical listing of persons
required to file statements of economic interests in his office under
any of those items. As the statements are filed in his office, the
county clerk shall cause the fact of that filing to be indicated on the
alphabetical listing of persons who are required to file statements.
Within 30 days after the due dates, the county clerk shall mail to the
State Board of Elections a true copy of that listing showing those who
have filed statements.
The county clerk of each county shall note upon the alphabetical
listing the names of all persons required to file a statement of
economic interests who failed to file a statement on or before May 1.
[February 16, 2001] 30
It shall be the duty of the several county clerks to give notice as
provided in Section 4A-105 to any person who has failed to file his or
her statement with the clerk on or before May 1.
Any person who files or has filed a statement of economic interest
under this Act is entitled to receive from the Secretary of State or
county clerk, as the case may be, a receipt indicating that the person
has filed such a statement, the date of such filing, and the identity
of the governmental unit in relation to which the filing is required.
The Secretary of State may employ such employees and consultants as
he considers necessary to carry out his duties hereunder, and may
prescribe their duties, fix their compensation, and provide for
reimbursement of their expenses.
All statements of economic interests filed under this Section shall
be available for examination and copying by the public at all
reasonable times.
The Secretary may, by rule, allow for the optional filing of
statements of economic interest in an electronic format. No later than
May 1, 2003, the Secretary shall promptly make all disclosures required
to be filed under this Section by candidates for election to the
General Assembly and members of the General Assembly and candidates for
and persons holding the offices of Governor, Lieutenant Governor,
Attorney General, Secretary of State, State Comptroller, and State
Treasurer publicly available by means of a searchable database that is
accessible through the World Wide Web. Each person examining a
statement must first fill out a form prepared by the Secretary of State
identifying the examiner by name, occupation, address and telephone
number, and listing the date of examination and reason for such
examination. The Secretary of State shall supply such forms to the
county clerks annually and replenish such forms upon request.
The Secretary of State or county clerk, as the case may be, shall
promptly notify each person required to file a statement under this
Article of each instance of an examination of his statement by sending
him a duplicate original of the identification form filled out by the
person examining his statement.
(Source: P.A. 88-187; 88-511; 88-605, eff. 9-1-94; 89-433, eff.
12-15-95.)
Section 10. The Lobbyist Registration Act is amended by adding
Section 5.5 as follows:
(25 ILCS 170/5.5 new)
Sec. 5.5. Electronic filing. The Secretary may, by rule, allow
for the optional filing of the reports required by this Act in an
electronic format. Other than the pictures required by subsection (d)
of Section 5, the Secretary must, no later than May 1, 2003, make all
information required by Sections 5 and 6 publicly available by means
of a searchable database that is accessible through the World Wide Web.
Section 99. Effective date. This Act takes effect upon becoming
law.".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
HOUSE BILL 205. Having been printed, was taken up and read by title
a second time.
The following amendment was offered in the Committee on
Registration & Regulation, adopted and printed:
AMENDMENT NO. 1 TO HOUSE BILL 205
AMENDMENT NO. 1. Amend House Bill 205 by replacing everything
after the enacting clause with the following:
"Section 5. The Nursing and Advanced Practice Nursing Act is
amended by changing Section 10-30 as follows:
(225 ILCS 65/10-30)
Sec. 10-30. Qualifications for licensure.
(a) Each applicant who successfully meets the requirements of this
31 [February 16, 2001]
Section shall be entitled to licensure as a Registered Nurse or
Licensed Practical Nurse, whichever is applicable.
(b) An applicant for licensure by examination to practice as a
registered nurse or licensed practical nurse shall:
(1) submit a completed written application, on forms provided
by the Department and fees as established by the Department;
(2) for registered nurse licensure, have completed an
approved professional nursing education program of not less than 2
academic years and have graduated from the program; for licensed
practical nurse licensure, have completed an approved practical
nursing education program of not less than one academic year and
have graduated from the program;
(3) have not violated the provisions of Section 10-45 of this
Act. The Department may take into consideration any felony
conviction of the applicant, but such a conviction shall not
operate as an absolute bar to licensure;
(4) meet all other requirements as established by rule;
(5) pay, either to the Department or its designated testing
service, a fee covering the cost of providing the examination.
Failure to appear for the examination on the scheduled date at the
time and place specified after the applicant's application for
examination has been received and acknowledged by the Department or
the designated testing service shall result in the forfeiture of
the examination fee.
If an applicant neglects, fails, or refuses to take an examination
or fails to pass an examination for a license under this Act within 3
years after filing the application, the application shall be denied.
However, the applicant may make a new application accompanied by the
required fee and provide evidence of meeting the requirements in force
at the time of the new application.
An applicant who has never been licensed previously in any
jurisdiction that utilizes a Department-approved examination and who
has taken and failed to pass the examination within 3 years after
filing the application must submit proof of successful completion of a
Department-authorized nursing education program or recompletion of an
approved registered nursing program or licensed practical nursing
program, as appropriate, prior to re-application.
An applicant shall have one year from the date of notification of
successful completion of the examination to apply to the Department for
a license. If an applicant fails to apply within one year, the
applicant shall be required to again take and pass the examination
unless licensed in another jurisdiction of the United States within one
year of passing the examination.
(c) An applicant for licensure who is a registered professional
nurse or a licensed practical nurse licensed by examination under the
laws of another state or territory of the United States shall:
(1) submit a completed written application, on forms supplied
by the Department, and fees as established by the Department;
(2) for registered nurse licensure, have completed an
approved professional nursing education program of not less than 2
academic years and have graduated from the program; for licensed
practical nurse licensure, have completed an approved practical
nursing education program of not less than one academic year and
have graduated from the program;
(3) submit verification of licensure status directly from the
United States jurisdiction of licensure;
(4) have passed the examination authorized by the Department;
(5) meet all other requirements as established by rule.
(d) All applicants for licensure pursuant to this Section who are
graduates of nursing educational programs in a country other than the
United States or its territories must submit to the Department
certification of successful completion of the Commission of Graduates
of Foreign Nursing Schools (CGFNS) examination. An applicant, who is
unable to provide appropriate documentation to satisfy CGFNS of her or
his educational qualifications for the CGFNS examination, shall be
required to pass an examination to test competency in the English
[February 16, 2001] 32
language which shall be prescribed by the Department, if the applicant
is determined by the Board to be educationally prepared in nursing.
The Board shall make appropriate inquiry into the reasons for any
adverse determination by CGFNS before making its own decision.
An applicant licensed in another state or territory who is applying
for licensure and has received her or his education in a country other
than the United States or its territories shall be exempt from the
completion of the Commission of Graduates of Foreign Nursing Schools
(CGFNS) examination if the applicant meets all of the following
requirements:
(1) successful passage of the licensure examination
authorized by the Department;
(2) holds an active, unencumbered license in another state;
and
(3) has been actively practicing for a minimum of 2 years in
another state.
(e) (Blank). No applicant shall be issued a license as a
registered nurse or practical nurse under this Section unless he or she
has passed the examination authorized by the Department within 3 years
of completion and graduation from an approved nursing education
program, unless such applicant submits proof of successful completion
of a Department-authorized remedial nursing education program or
recompletion of an approved registered nursing program or licensed
practical nursing program, as appropriate.
(f) Pending the issuance of a license under subsection (b) of this
Section, the Department may grant an applicant a temporary license to
practice nursing as a registered nurse or as a licensed practical nurse
if the Department is satisfied that the applicant holds an active,
unencumbered license in good standing in another jurisdiction. If the
applicant holds more than one current active license, or one or more
active temporary licenses from other jurisdictions, the Department
shall not issue a temporary license until it is satisfied that each
current active license held by the applicant is unencumbered. The
temporary license, which shall be issued no later than 14 working days
following receipt by the Department of an application for the temporary
license, shall be granted upon the submission of the following to the
Department:
(1) a signed and completed application for licensure under
subsection (a) of this Section as a registered nurse or a licensed
practical nurse;
(2) proof of a current, active license in at least one other
jurisdiction and proof that each current active license or
temporary license held by the applicant is unencumbered;
(3) a signed and completed application for a temporary
license; and
(4) the required permit fee.
(g) The Department may refuse to issue an applicant a temporary
license authorized pursuant to this Section if, within 14 working days
following its receipt of an application for a temporary license, the
Department determines that:
(1) the applicant has been convicted of a crime under the
laws of a jurisdiction of the United States: (i) which is a felony;
or (ii) which is a misdemeanor directly related to the practice of
the profession, within the last 5 years;
(2) within the last 5 years the applicant has had a license
or permit related to the practice of nursing revoked, suspended, or
placed on probation by another jurisdiction, if at least one of the
grounds for revoking, suspending, or placing on probation is the
same or substantially equivalent to grounds in Illinois; or
(3) it intends to deny licensure by endorsement.
For purposes of this Section, an "unencumbered license" means a
license against which no disciplinary action has been taken or is
pending and for which all fees and charges are paid and current.
(h) The Department may revoke a temporary license issued pursuant
to this Section if:
(1) it determines that the applicant has been convicted of a
33 [February 16, 2001]
crime under the law of any jurisdiction of the United States that
is (i) a felony or (ii) a misdemeanor directly related to the
practice of the profession, within the last 5 years;
(2) it determines that within the last 5 years the applicant
has had a license or permit related to the practice of nursing
revoked, suspended, or placed on probation by another jurisdiction,
if at least one of the grounds for revoking, suspending, or placing
on probation is the same or substantially equivalent to grounds in
Illinois; or
(3) it determines that it intends to deny licensure by
endorsement.
A temporary license or renewed temporary license shall expire (i)
upon issuance of an Illinois license or (ii) upon notification that the
Department intends to deny licensure by endorsement. A temporary
license shall expire 6 months from the date of issuance. Further
renewal may be granted by the Department in hardship cases, as defined
by rule. However, a temporary license shall automatically expire upon
issuance of the Illinois license or upon notification that the
Department intends to deny licensure, whichever occurs first. No
extensions shall be granted beyond the 6-month period unless approved
by the Director. Notification by the Department under this Section
shall be by certified or registered mail.
(Source: P.A. 90-61, eff. 12-30-97; 90-742, eff. 8-13-98.)
Section 99. Effective date. This Act takes effect upon becoming
law.".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
HOUSE BILL 371. Having been printed, was taken up and read by title
a second time.
The following amendment was offered in the Committee on
Appropriations-Human Services, adopted and printed:
AMENDMENT TO HOUSE BILL 371
AMENDMENT NO. 1. Amend House Bill 371, by deleting everything
after the enacting clause and inserting the following:
"ARTICLE 1
Section 1. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Sections 1, 3 and 6 of Article 1 as
follows:
(P.A. 91-707, Art. 1, Sec. 1)
Sec. 1. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated for the
ordinary and contingent expenses of the Department on Aging:
DIVISION OF OLDER AMERICAN SERVICES
Payable from Services for Older
Americans Fund:
For Personal Services ........................ $ 994,400
For State Contributions to State
Employees' Retirement System ................ 101,400
For State Contributions to Social Security ... 76,000
For Group Insurance .......................... 118,400
For Travel ......................... 49,700 44,700
Total $1,334,900
(P.A. 91-707, Art. 1, Sec. 3)
Sec. 3. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated for the
ordinary and contingent expenses of the Department on Aging:
DIVISION OF ADMINISTRATIVE SUPPORT
Payable from General Revenue Fund:
For Personal Services ........................ $ 1,464,100
For Employee Retirement Contributions
[February 16, 2001] 34
Paid by Employer ............................ 123,000
For State Contributions to State
Employees' Retirement System ................ 149,300
For State Contributions to Social Security ... 112,000
For Contractual Services ..................... 181,000
For Travel ................................... 49,400
For Commodities .............................. 19,500
For Printing ................................. 23,600
For Equipment ................................ 78,300
For Telecommunications ....................... 51,000
For Operation of Auto Equipment .............. 2,500
Total $2,253,700
Payable from Services for Older
Americans Fund:
For Personal Services ........................ $ 483,800
For Employee Retirement Contributions
Paid by Employer ............................ 59,100
For State Contributions to State
Employees' Retirement System ................ 49,400
For State Contributions to Social Security ... 37,100
For Group Insurance .......................... 102,300
For Contractual Services ............. 66,100 21,100
For Travel ................................... 26,400
For Commodities .............................. 7,200
For Printing ......................... 17,800 12,800
For Equipment ........................ 41,100 1,100
For Telecommunications........................ 15,500
For Operations of Auto Equipment ............. 2,400
Total $818,200
(P.A. 91-707, Art. 1, Sec. 6)
Sec. 6. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated for the
ordinary and contingent expenses of the Department on Aging:
DISTRIBUTIVE ITEMS
GRANTS-IN-AID
Payable from General Revenue Fund:
For the purchase of Illinois Community
Care Program homemaker and
Senior Companion Services ................... $169,250,000
For Case Coordination Units .................. 23,907,100
For Grants for distribution to the 13 Area
Agencies on Aging for costs for home
delivered meals and mobile food equipment ... 6,618,500
Grants for Community Based Services
including information and referral
services, transportation and delivered
meals ....................................... 3,107,200
Grants for Community Based Services for
equal distribution to each of the 13
Area Agencies on Aging ...................... 2,000,000
For Grants for Adult Day Care Services ....... 11,831,700
For Purchase of Services in connection with
Alzheimer's Initiative and Related
Programs .................................... 107,100
For Grants for Retired Senior
Volunteer Program ........................... 800,000
For Planning and Service Grants to
Area Agencies on Aging ...................... 2,293,300
For Grants for the Foster
Grandparent Program ......................... 350,000
For Expenses to the Area Agencies
on Aging for Long-Term Care Systems
Development ................................. 282,400
For Grants for Suburban Area Agency
on Aging for the Red
Tape Cutter Program ......................... 257,500
35 [February 16, 2001]
For Grants for Chicago Department on Aging
for the Red Tape Cutter Program ............. 617,500
For the Ombudsman Program .................... 400,000
For Grants for Prior Year Court of
Claims Payments for the Community
Care Program................................. 100,000
Total $221,922,300
Payable from Services for Older Americans Fund:
For Grants for
Social Services .............. $ 21,505,100 $ 18,330,100
For Grants for Nutrition Services ............ 29,980,100
For Grants for Employment Services ........... 3,383,700
For Grants for USDA Adult Day Care ........... 1,000,000
Total $52,693,900
Payable from the Tobacco Settlement Recovery Fund:
For Grants for Senior Health
Assistance Programs ........................ $ 1,000,000
For Grants for Distribution to
the 13 Area Agencies on Aging
For Costs for Mobile Food
Equipment .................................... $ 800,000
Section 2. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 19A and adding new Section 25
to Article 1 as follows:
(P.A. 91-706, Art. 1, Sec. 19A)
Sec. 19A. The sum of $15,063,347 $10,254,100, or so much
thereof as may be necessary, is appropriated from the General
Revenue Fund to the Department of Agriculture for payment
into the Thoroughbred and Standardbred Horse Racing Purse
Accounts at Illinois Pari-mutuel Tracks. The amount paid to
each Account shall be the amount certified by the Illinois
Racing Board in January 2000 to be transferred from each
Account to each eligible racing facility.
(P.A. 91-706, Art. 1, new Sec. 25)
Sec. 25. The sum of $800,000, or so much thereof as may
be necessary, is appropriated from the General Revenue Fund
to the Department of Agriculture for a grant to an
aquaculture cooperative for the purpose of developing a fish
processing center.
Section 3. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 4 of Article 2 as follows:
(P.A. 91-706, Art. 2, Sec. 4)
Sec. 4. The following named amounts, or so much thereof
as may be necessary, respectively, for the objects and
purposes hereinafter named are appropriated to the Department
of Central Management Services:
BUREAU OF BENEFITS
PAYABLE FROM GENERAL REVENUE FUND
For Personal Services ........................ $ 563,900
For Employee Retirement Contributions
Paid by Employer ............................ 22,600
For State Contributions to State
Employees' Retirement System ................ 57,600
For State Contributions to Social
Security .................................... 41,100
For Group Insurance ............ 650,367,100 630,367,100
For Contractual Services ..................... 107,200
For Travel ................................... 8,600
For Commodities............................... 9,900
For Printing ................................. 4,300
For Equipment ................................ 1,700
For Telecommunications Services .............. 14,900
For Operation of Auto Equipment .............. 900
For payment of claims under the
[February 16, 2001] 36
Representation and Indemnification
in Civil Law Suits Act ...................... 2,447,200
For payment of Workers' Compensation
Act claims and contractual services in
connection with said claims
payments .................................... 19,238,100
For auto liability, adjusting and administration
of claims, loss control and prevention
services, and auto liability claims ......... 1,752,900
Total $654,638,000
PAYABLE FROM LOCAL GOVERNMENT HEALTH INSURANCE RESERVE FUND
For Personal Services ........................ $ 490,800
For Employee Retirement Contributions
Paid by Employer ............................ 19,700
For State Contributions to State
Employees' Retirement System ................ 50,100
For State Contributions to Social
Security .................................... 37,600
For Group Insurance .......................... 88,800
For Contractual Services ..................... 169,500
For Travel ................................... 19,000
For Commodities............................... 10,000
For Printing ................................. 140,000
For Equipment ................................ 17,700
For Electronic Data Processing ............... 47,000
For Telecommunications Services .............. 18,400
For Operation of Auto Equipment .............. 6,500
Total $1,115,100
For the Local Governments Contribution
Under Program of Group Life, Dental, Hospital,
And Surgical And Medical Insurance For
Persons Serving Local Governments ...........$ 112,255,500
PAYABLE FROM ROAD FUND
For Group Insurance ..........................$ 79,551,400
For payment of claims and claims
administration under the
Workers' Compensation Act ...................$ 4,405,500
PAYABLE FROM GROUP INSURANCE PREMIUM FUND
For expenses of Cost Containment Program ........$ 288,000
For Life Insurance Coverage As Elected By Members Per
The State Employees Group Insurance Act .....$ 78,827,200
PAYABLE FROM HEALTH INSURANCE RESERVE FUND
For Expenses of a Cost Containment Program ......$ 158,900
For Provisions of Health Care Coverage As Elected by
Eligible Members Per State Employees Group Insurance
Act ........................$ 1,005,744,400 $ 985,744,400
PAYABLE FROM WORKERS' COMPENSATION REVOLVING FUND
For administrative costs of claims services
and payment of temporary total
disability claims of any state agency
or university employee .........................$ 650,000
Expenditures from appropriations for treatment and
expense may be made after the Department of Central
Management Services has certified that the injured person was
employed and that the nature of the injury is compensable in
accordance with the provisions of the Workers' Compensation
Act or the Workers' Occupational Diseases Act, and then has
determined the amount of such compensation to be paid to the
injured person.
Expenditures for this purpose may be made by the
Department of Central Management Services without regard to
the fiscal year in which benefit or services was rendered or
cost incurred as allowable or provided by the Workers'
Compensation Act or the Workers' Occupational Diseases Act.
PAYABLE FROM STATE EMPLOYEES DEFERRED COMPENSATION FUND
37 [February 16, 2001]
For expenses related to the administration
of the State Employees Deferred
Compensation Plan.............................$ 1,856,900
Section 4. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Section 13 of Article 2 as follows:
(P.A. 91-706, Art. 2, Sec. 13)
Sec. 13. The following named amounts, or so much thereof
as may be necessary, respectively, for payments for care of
children served by the Department of Children and Family
Services:
GRANTS-IN-AID
REGIONAL OFFICES
PAYABLE FROM GENERAL REVENUE FUND
For Foster Homes and Specialized
Foster Care and Prevention .................. $246,645,700
For Counseling and Auxiliary Services ........ 21,535,300
For Homemaker Services ....................... 7,857,400
For Institution and Group Home Care and
Prevention .................................. 161,244,200
For Services Associated with the Foster
Care Initiative ............................. 6,707,400
For Purchase of Adoption and
Guardianship Services ....................... 131,355,200
For Health Care Network ...................... 4,634,700
For Cash Assistance and Housing
Locator Service to Families in the
Class Defined in the Norman Consent Order ... 3,547,900
For Youth in Transition Program .............. 715,500
For Children's Personal and
Physical Maintenance ........................ 5,612,900
For MCO Technical Assistance and
Program Development ......................... 1,693,300
For Pre Admission/Post Discharge
Psychiatric Screening ....................... 8,216,500
For Counties to Assist in the Development
of Children's Advocacy Centers .............. 2,025,300
For the Statewide Office of Children's
Advocacy Centers of Illinois,
pursuant to P.A. 91-0158 .............200,000
For Psychological Assessments
including Operations and
Administrative Expenses ..................... 4,987,000
Total $606,778,300
PAYABLE FROM DCFS CHILDREN'S SERVICES FUND
For Foster Homes and Specialized
Foster Care and Prevention .................. $164,353,700
For Counseling and Auxiliary Services ........ 9,646,800
For Homemaker Services ....................... 1,178,300
For Institution and Group Home Care and
Prevention .................................. 102,687,600
For Services Associated with the Foster
Care Initiative ............................. 2,061,100
For Purchase of Adoption and
Guardianship Services ....................... 85,154,500
For Family Preservation Services.............. 23,066,800
For Purchase of Children's Services........... 722,700
For Family Centered Services Initiative ...... 10,550,000
Total $399,421,500
Section 5. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by repealing Sections 152, 261, 268, 297, 529,
583, 712, 828, 860, 943, 974, 975, 1045, 1073 and 1233a, and
changing Sections 50, 61, 85, 88, 325, 421, 429, 519, 541,
575, 601, 662, 821, 831, 838, 850, 852, 945, 988, 1000, 1004,
1017, 1141, 1151, 1154, 1236, 1241, 1242 and 1265, and adding
[February 16, 2001] 38
new Sections 1270, 1271, 1272, 1273 and 1274 to Article 75 as
follows:
(P.A. 91-706, Art. 75, Sec. 50)
Sec. 50. The sum of $3,500,000, or so much thereof as
may be necessary and as remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made for such purpose in Article 16, Section 78c of Public
Act 91-20, approved June 7, 1999, as amended, is
reappropriated from the Capital Development Fund to the
Department of Commerce and Community Affairs for a grant to
Argonne National Laboratory for the "TRUE GRID I-WIRE"
Program.
(P.A. 91-706, Art. 75, Sec. 61)
Sec. 61. The amount of $200,000,000 $120,000,000, or so
much thereof as may be necessary, is appropriated to the
Department of Commerce and Community Affairs from the Low
Income Home Energy Assistance Block Grant Fund for grants to
eligible recipients under the Low Income Home Energy
Assistance Act of 1981, including reimbursement for costs in
prior years.
(P.A. 91-706, Art. 75, Sec. 85)
Sec. 85. The sum of $50,000, or so much thereof as may
be necessary and as remains unexpended at the close of
business on June 30, 2000, from reappropriations heretofore
made for such purpose in Article 16, Section 116 of Public
Act 91-20, as amended, is reappropriated from the General
Revenue Fund to the Department of Commerce and Community
Affairs for the purpose of a grant to the Village of St.
Joseph for a park area computer system upgrade.
(P.A. 91-706, Art. 75, Sec. 88)
Sec. 88. The sum of $100,000, or so much thereof as may
be necessary and as remains unexpended at the close of
business on June 30, 2000, from reappropriations heretofore
made for such purpose in Article 16, Section 119 of Public
Act 91-20, as amended, is reappropriated from the General
Revenue Fund to the Department of Commerce and Community
Affairs for the purpose of a grant to the Village of Chatham
for recreation and play equipment road improvements by the
new high school.
(P.A. 91-706, Art. 75, Sec. 325)
Sec. 325. The amount of $25,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 372 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the Village of Sauk Village for all
costs associated with field improvements baseball lights.
(P.A. 91-706, Art. 75, Sec. 421)
Sec. 421. The amount of $100,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from appropriations heretofore
made for such purposes in Article 16, Section 473 of Public
Act 91-20, approved June 7, 1999, as amended, is
reappropriated from the Capital Development Fund to the
Department of Commerce and Community Affairs for a grant to
Maywood Boys and Girls Club for second floor improvements,
and/or the installation of a fence and building sign.
(P.A. 91-706, Art. 75, Sec. 429)
Sec. 429. The amount of $10,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 481 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the Time Dollar Cross-Age Peer
39 [February 16, 2001]
Tutoring Program Computer Program for all costs associated
with computers in every household in Chicago.
(P.A. 91-706, Art. 75, Sec. 519)
Sec. 519. The amount of $30,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from appropriations heretofore
made for such purposes in Article 16, Section 575 of Public
Act 91-20, approved June 7, 1999, as amended, is
reappropriated from the Fund for Illinois' Future to the
Department of Commerce and Community Affairs for a grant to
the Rogers Park Community Development Corporation for the
purpose of operational expenses, salaries, office equipment,
and the purchase and installation of a telephone system and
network computer system.
(P.A. 91-706, Art. 75, Sec. 541)
Sec. 541. The amount of $18,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 597 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to McHenry County for the purpose of
purchasing a six-wheel police vehicle, and other equipment.
(P.A. 91-706, Art. 75, Sec. 575)
Sec. 575. The amount of $100,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from appropriations heretofore
made for such purposes in Article 16, Section 631 of Public
Act 91-20, approved June 7, 1999, as amended, is
reappropriated from the Capital Development Fund to the
Department of Commerce and Community Affairs for a grant to
the City of Sparta for the purpose of improvements at the
Teen Center, fire department, and senior center, and
upgrading of the Public Library parking lot.
(P.A. 91-706, Art. 75, Sec. 601)
Sec. 601. The amount of $10,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 658 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the Millstadt Union Fire Company
Village of Millstadt Fire Department for fire equipment.
(P.A. 91-706, Art. 75, Sec. 662)
Sec. 662. The amount of $50,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 739 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a one-time grant to the ACORN Community Land
Association Association of Community Organizations for Reform
Now (ACORN) of Little Village for all costs associated with
Block Club creation and Neighborhood Watch programs.
(P.A. 91-706, Art. 75, Sec. 821)
Sec. 821. The amount of $50,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 897 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to Cornerstone for the purpose of
purchasing, and/or installing a plumbing and sprinkler system
modifying heating, air conditioning, and sprinkler systems.
(P.A. 91-706, Art. 75, Sec. 831)
Sec. 831. The amount of $15,000, or so much thereof as
[February 16, 2001] 40
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 907 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to Northeastern University for a grant to
the North Avondale Neighbors Association.
(P.A. 91-706, Art. 75, Sec. 838)
Sec. 838. The amount of $10,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 914 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the Village of Mounds for building
renovation, equipment, furniture, and miscellaneous purchases
a feasibility study.
(P.A. 91-706, Art. 75, Sec. 850)
Sec. 850. The amount of $10,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 926 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the T.L. Foundation Lowden Homes LAC.
(P.A. 91-706, Art. 75, Sec. 852)
Sec. 852. The amount of $10,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 928 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the T.L. Foundation Trumbull Park LAC.
(P.A. 91-706, Art. 75, Sec. 945)
Sec. 945. The amount of $70,000, or so much thereof as
may be necessary, and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 1022 of Public Act 91-20,
approved June 7, 1999, as amended, is reappropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for a grant to the Amy B. Jones Foundation
Luck Awareness Program.
(P.A. 91-706, Art. 75, Sec. 988)
Sec. 988. The sum of $36,191,100, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 1060 of Public Act 91-20,
approved June 7, 1999, as amended, is reappropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for grants to units of local government,
educational facilities and not-for-profit organizations for
infrastructure improvements including but not limited to
planning, construction, reconstruction, equipment, utilities,
and vehicles, and all costs associated with economic
development, community programs, educational programs, public
health, and public safety.
(P.A. 91-706, Art. 75, Sec. 1000)
Sec. 1000. The sum of $65,000, or so much thereof as may
be necessary and remains unexpended at the close of business
on June 30, 2000, from appropriations heretofore made for
such purposes in Article 16, Section 1072a of Public Act
91-20, approved June 7, 1999, as amended, is reappropriated
from the Capital Development Fund Board to the Department of
Commerce and Community Affairs for a grant to the Senior
Services Center in Joliet for a new elevator.
(P.A. 91-706, Art. 75, Sec. 1004)
41 [February 16, 2001]
Sec. 1004. The sum of $2,000, or so much thereof as may
be necessary, and remains unexpended at the close of business
on June 30, 2000, from an appropriation heretofore made in
Article 16, Section 1075 of Public Act 91-20, approved June
7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the Indo-American Center for the
purpose of promoting relations within the community 17th
District CAPS for telecommunications.
(P.A. 91-706, Art. 75, Sec. 1017)
Sec. 1017. The sum of $75,000, or so much thereof as may
be necessary, and remains unexpended at the close of business
on June 30, 2000, from an appropriation heretofore made in
Article 16, Section 1088 of Public Act 91-20, approved June
7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Commerce and Community
Affairs for a grant to the Association House of Chicago for
the West Town Leadership Project.
(P.A. 91-706, Art. 75, Sec. 1141)
Sec. 1141. The sum of $120,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 1211 of Public Act 91-20,
approved June 7, 1999, as amended, is reappropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for a grant to the Seniors Activities
Association of St. Clair County City of Washington Park to
purchase and renovate the Senior Center.
(P.A. 91-706, Art. 75, Sec. 1151)
Sec. 1151. The sum of $110,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 1221 of Public Act 91-20,
approved June 7, 1999, as amended, is reappropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for a grant to the Department of Human
Services for the Community Mental Health Council for training
of State of Illinois employees on violence prevention.
(P.A. 91-706, Art. 75, Sec. 1154)
Sec. 1154. The sum of $250,000, or so much thereof as
may be necessary and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 16, Section 1225 of Public Act 91-20,
approved June 7, 1999, as amended, is reappropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for a grant to the City of East St. Louis
for the rehabilitation of the fire station at 18th and
Broadway and the purchase of a fire truck.
(P.A. 91-706, Art. 75, Sec. 1236)
Sec. 1236. The amount of $500,000, or so much thereof as
may be necessary, is appropriated to the Department of
Commerce and Community Affairs from the General Revenue Fund
for a grant to Third World Press Northeastern Illinois
University to support the activities of the Institute of
Positive Education.
(P.A. 91-706, Art. 75, Sec. 1241)
Sec. 1241. The amount of $62,666,500 $62,030,000, or so
much thereof as may be necessary, is appropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for the administrative costs associated
with the Department's facilitation of infrastructure
improvements, or for grants to governmental units,
educational facilities, and not-for-profit organizations for
all costs associated with, but not limited to infrastructure
improvements, miscellaneous purchases, and operating
expenses.
[February 16, 2001] 42
(P.A. 91-706, Art. 75, Sec. 1242)
Sec. 1242. The amount of $30,300,000 $30,000,000, or so
much thereof as may be necessary, is appropriated from the
Capital Development Fund to the Department of Commerce and
Community Affairs for grants to governmental units,
educational facilities and not-for-profit organizations for
all costs associated with, but not limited to infrastructure
improvements.
(P.A. 91-706, Art. 75, Sec. 1265)
Sec. 1265. The amount of $17,500,000 $10,000,000, or so
much thereof as may be necessary, is appropriated from the
Fund for Illinois' Future to the Department of Commerce and
Community Affairs for all costs associated with grants to
various units of local government, community, civic,
not-for-profit, educational facilities and business
development organizations for the purpose of grants which
include, but are not limited to, one-time operating
assistance, construction, rehabilitation, equipment
purchases, and any other necessary costs.
(P.A. 91-706, Art. 75, new Sec. 1270)
Sec. 1270. The amount of $75,000, or so much thereof as
may be necessary, is appropriated to the Department of
Commerce and Community Affairs from the Fund for Illinois'
Future for a grant to the Illinois Youth Advocate Program.
(P.A. 91-706, Art. 75, new Sec. 1271)
Sec. 1271. The amount of $15,000, or so much thereof as
may be necessary, is appropriated to the Department of
Commerce and Community Affairs from the Fund for Illinois'
Future for a grant to the Tri-City Girls' Softball League.
(P.A. 91-706, Art. 75, new Sec. 1272)
Sec. 1272. The amount of $150,000, or so much thereof as
may be necessary, is appropriated to the Department of
Commerce and Community Affairs from the Fund for Illinois'
Future for a grant to the Pastors Network of Illinois.
(P.A. 91-706, Art. 75, new Sec. 1273)
Sec. 1273. The amount of $100,000, or so much thereof as
may be necessary, is appropriated to the Department of
Commerce and Community Affairs from the Fund for Illinois'
Future for a grant to the Valley Kingdom Ministries
International.
(P.A. 91-706, Art. 75, new Sec. 1274)
Sec. 1274. The amount of $35,000, or so much thereof as
may be necessary, is appropriated to the Department of
Commerce and Community Affairs from the Fund for Illinois'
Future for a grant to the Village of Dolton for various
improvements.
Section 6. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 2 of Article 5 as follows:
(P.A. 91-706, Art. 5, Sec. 2)
Sec. 2. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated for the
objects and purposes hereinafter named, to the Department of
Financial Institutions:
CONSUMER CREDIT
Payable from Financial Institution Fund:
For Personal Services ........................ $ 1,027,900
For Employee Retirement Contributions
Paid by Employer ............................ 41,100
For State Contributions to the State
Employees' Retirement System ................ 104,600
For State Contributions to
Social Security ............................. 78,700
For Group Insurance .......................... 155,400
For Contractual Services ..................... 88,400
For Travel ................................... 89,000
43 [February 16, 2001]
For Commodities .............................. 3,900
For Printing ................................. 5,100
For Equipment ................................ 2,500
For Electronic Data Processing ............... 132,000
For Trustee Expenses
Relating to Intercounty
Title Co. Closure ....................250,000
For Refunds .................................. 2,500
Total $1,731,100
CREDIT UNION
Payable from Credit Union Fund:
For Personal Services ........................ $ 2,228,100
For Employee Retirement Contributions
Paid by Employer ............................ 89,200
For State Contributions to State
Employees' Retirement System ................ 227,200
For State Contributions to
Social Security ............................. 170,400
For Group Insurance .......................... 399,600
For Contractual Services ..................... 100,000
For Travel ................................... 209,900
For Commodities .............................. 6,900
For Printing ................................. 2,900
For Equipment ................................ 5,000
For Electronic Data Processing................ 132,000
For Telecommunications Services............... 20,000
For Refunds .................................. 1,000
Total $3,592,200
CURRENCY EXCHANGE
Payable from Financial Institution Fund:
For Personal Services ........................ $ 750,500
For Employee Retirement Contributions
Paid by Employer ............................ 30,000
For State Contributions to the State
Employees' Retirement System ................ 76,600
For State Contributions to
Social Security ............................. 57,300
For Group Insurance .......................... 103,600
For Contractual Services ..................... 20,100
For Travel ................................... 25,500
For Commodities .............................. 2,000
For Printing ................................. 1,400
For Equipment ................................ 7,500
For Electronic Data Processing ............... 132,000
For Refunds .................................. 1,000
Total $1,207,500
Section 7. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Sections 12, 13, 22, 41, 41.1 and 42.1
of Article 5 as follows:
(P.A. 91-707, Art. 5, Sec. 12)
Sec. 12. The following named sums, or so much thereof as
may be necessary, respectively, for the purposes hereinafter
named, are appropriated to the Department of Human Services
for Grants-In-Aid and Purchased Care in its various regions
pursuant to Sections 3 and 4 of the Community Services Act
and the Community Mental Health Act:
MENTAL HEALTH/DEVELOPMENTAL DISABILITIES
GRANTS-IN-AID AND PURCHASED CARE
For Community Service Grant Programs for
Persons with Mental Illness:
Payable from General Revenue Fund .......... $163,417,800
Payable from Community Mental
Health Services Block
Grant Fund...................... 11,827,400 9,827,400
Payable from the DHS Federal
[February 16, 2001] 44
Projects Fund .............................. 10,000,000
For Costs Associated With The
Purchase and Disbursement of
Psychotropic Medications for Mentally
Ill Clients in the Community:
Payable from General Revenue Fund........... 3,000,000
For Community Integrated Living
Arrangements for Persons with
Mental Illness:
Payable from General Revenue Fund........... 35,618,700
For Medicaid Services for Persons with
Mental Illness/and KidCare Clients:
Payable from General Revenue Fund........... 44,689,000
For Emergency Psychiatric Services:
Payable from General Revenue Fund .......... 10,020,700
For Community Service Grant Programs for
Children and Adolescents with
Mental Illness:
Payable from General Revenue Fund .......... 23,872,000
Payable from Community Mental
Health Services Block
Grant Fund ........................4,036,400 3,371,400
For Purchase of Care for Children and
Adolescents with Mental Illness
approved through the Individual
Care Grant Program:
Payable from General Revenue Fund .......... 20,976,800
For Costs Associated with Children and
Adolescent Mental Health Programs:
Payable from General Revenue Fund ........... 11,040,800
For Teen Suicide Prevention Including
Provisions Established in Public Act
85-0928:
Payable from Community Mental Health
Services Block Grant Fund .................. 206,400
For Grants for Mental Health Research:
Payable from Mental Health Research
Fund ....................................... 150,000
Total $338,191,000
For Community Service Grant Programs for
Persons with Developmental Disabilities:
Payable from General
Revenue Fund: .............. $99,368,200 $96,848,500
For Community Integrated Living
Arrangements for the Persons with
Developmental Disabilities:
Payable from General
Revenue Fund ............... 230,041,400 224,208,200
For Purchase of Care for Persons with
Developmental Disabilities:
Payable from General
Revenue Fund ............... 85,341,000 82,924,300
Payable from the Mental Health Fund . 9,965,600
For Medicaid Services for Persons with
Developmental Disabilities:
Payable from General
Revenue Fund .............. 14,149,600 13,790,800
For costs associated with the provision
of Specialized Services to Persons with
Developmental Disabilities,
Payable from General
Revenue Fund ............... 10,137,100 9,880,000
Total $437,617,400
(P.A. 91-707, Art. 5, Sec. 13)
Sec. 13. The following named sums, or so much thereof as
may be necessary, are appropriated to the Department of Human
45 [February 16, 2001]
Services for the following purposes:
For Expenses Related to Providing Care,
Support, and Treatment of Low Income,
Developmentally Disabled Persons:
Payable from the Fund for the
Developmentally Disabled.................. $ 100,000
For Family Assistance and Home Based
Support Services:
Payable from General Revenue Fund -
For costs associated with Family
Assistance Programs at the approximate
costs set forth below:
Payable from General Revenue Fund .......... 8,191,300
For Persons with Developmental
Disabilities ...................6,273,900
For Persons with Mental
Illness ........................1,917,400
For costs associated with Home Based
Support Services Programs at the
approximate costs set forth below:
Payable from General Revenue Fund........... 11,721,300
For Persons with Developmental
Disabilities ...................8,641,865
For Persons with Mental
Illness ........................3,079,435
For Costs Related to the Determination of
Eligibility and Service Needs for
Persons with Developmental Disabilities:
Payable from General
Revenue Fund ............... 4,055,200 3,952,400
For Intermediate Care Facilities for the
Mentally Retarded and Alternative
Community Programs in fiscal year 2001
and in all prior fiscal years:
Payable from the
General Revenue Fund ....... 332,670,600 319,016,100
Payable from the Care Provider Fund for
Persons With A Developmental Disability .. 36,000,000
For a Grant to Lewis and Clark Community
College to Provide a Comprehensive
Program of Services Designed Specifically
to Serve the Growing Number of Students
with Developmental Disabilities
Payable from the General Revenue Fund ...... 220,000
For Costs Associated with Quality Assurance
and Enhancements Related to the Home and
Community Based Waiver Program, Including
Operating and Administrative Costs
Payable from the General Revenue Fund ...... 9,800,000
For Costs Associated with Services for
Individuals with Developmental
Disabilities to Enable Them to Reside
in Their Homes
Payable from the
General Revenue Fund ...... 6,156,100 6,000,000
Total $395,001,100
(P.A. 91-707, Art. 5, Sec. 22)
Sec. 22. The following named sums, or so much thereof as
may be necessary, respectively, for the objects and purposes
hereinafter named, are appropriated to meet the ordinary and
contingent expenditures of the Department of Human Services:
PROGRAM ADMINISTRATION - DISABILITIES AND BEHAVIORAL HEALTH
Payable from General Revenue Fund:
For Personal Services ........................ $ 11,445,700
For Employee Retirement Contributions Paid
by Employer ................................. 449,800
[February 16, 2001] 46
For Retirement Contributions ................. 1,167,500
For State Contributions to Social Security ... 875,600
For Contractual Services ..................... 2,186,700
For Travel ................................... 420,300
For Commodities .............................. 17,114,200
For Printing ................................. 40,600
For Equipment ................................ 1,384,600
For Telecommunications Services .............. 274,200
For Operation of Auto Equipment .............. 3,500
For Contractual Services:
For Private Hospitals for
Recipients of State Facilities ............. 1,273,900
Total $36,636,600
Payable from the Prevention/Treatment -
Alcoholism and Substance Abuse Block
Grant Fund:
For Personal Services ........................ $ 1,667,500
For Employee Retirement Contributions Paid
by Employer ................................. 66,700
For Retirement Contributions ................. 170,000
For State Contributions to Social Security ... 127,600
For Group Insurance .......................... 211,200
For Contractual Services ..................... 1,375,300
For Travel ................................... 133,600
For Commodities .............................. 53,800
For Printing ................................. 80,200
For Equipment ................................ 5,300
For Electronic Data Processing ............... 400,000
For Telecommunications Services .............. 117,800
For Operation of Auto Equipment .............. 2,100
For Expenses Associated with the
Administration of the Alcohol and
Substance Abuse Prevention and
Treatment Programs .......................... 128,100
For Deposit into the Group Home
Loan Revolving Fund ......................... 100,000
Total $4,639,200
Payable from the Vocational Rehabilitation Fund:
For Personal Services ........................ $ 625,300
For Employee Retirement Contributions Paid
by Employer ................................. 25,100
For Retirement Contributions ................. 63,800
For State Contributions to Social Security ... 47,800
For Group Insurance .......................... 80,000
For Contractual Services ..................... 60,200
For Travel ................................... 15,100
For Commodities .............................. 300
For Equipment ................................ 40,000
For Telecommunications Services .............. 16,900
Total $974,500
Payable from the Drunk and Drugged
Driving Prevention Fund:
For Personal Services ........................ $ 237,700
For Employee Retirement Contributions Paid
by Employer ................................. 9,500
For Retirement Contributions ................. 24,300
For State Contributions to Social Security ... 18,300
For Group Insurance .......................... 25,600
Total $315,400
Payable from the Alcohol and Substance Abuse Fund:
For Personal Services ........................ $ 287,500
For Employee Retirement Contributions Paid
by Employer ................................. 11,400
For Retirement Contributions ................. 29,400
For State Contributions to Social Security ... 22,100
For Group Insurance .......................... 25,600
47 [February 16, 2001]
For Contractual Services ..................... 1,879,400
For Travel ................................... 24,400
For Commodities .............................. 6,400
For Printing ................................. 19,000
For Equipment ................................ 10,500
For Electronic Data Processing ............... 451,300
For Telecommunications Services .............. 5,100
For Expenses Associated with the
Administration of the Alcohol and
Substance Abuse Prevention and
Treatment Programs .......................... 222,200
Total $2,994,300
Payable from the Community Mental Health Services
Block Grant Fund:
For Personal Services ........................ $ 432,500
For Employee Retirement Contributions Paid
by Employer ................................. 17,300
For Retirement Contributions ................. 44,100
For State Contributions to Social Security ... 33,100
For Group Insurance .......................... 64,000
For Contractual Services ............ 150,100 128,100
For Travel ........................... 10,000 2,000
For Commodities ...................... 30,000
For Equipment ....................... 5,000
Total $721,100
Payable from the DHS Federal Projects Fund:
For Federally Assisted Programs .............. $ 7,299,200
Payable from the Mental Health Fund:
For Costs Related to Provision of Support
Services Provided to Departmental and Non-
Departmental Organizations .................. $ 3,720,400
Payable from the Youth Alcoholism and Substance
Abuse Prevention Fund:
For Deposit into the Fund Which Receives All
Payments Under Section 5-3 of Act for
Alcoholic Liquors ........................... $ 150,000
(P.A. 91-707, Art. 5, Sec. 41)
Sec. 41. The following named amounts, or so much thereof
as may be necessary, are appropriated to the Department of
Human Services for the objects and purposes hereinafter
named:
COMMUNITY HEALTH
Payable from the General Revenue Fund:
For Personal Services ........................ $ 4,765,400
For Employee Retirement Contributions
Paid by Employer ............................ 189,800
For Retirement Contributions ................. 486,100
For State Contributions to Social Security ... 364,600
For Contractual Services ..................... 210,400
For Travel ................................... 144,900
For Commodities .............................. 22,700
For Printing ................................. 6,400
For Equipment ................................ 38,200
For Telecommunications Services .............. 59,000
For Operation of Auto Equipment .............. 400
For Expenses for the Development and
Implementation of Cornerstone ............... 3,100,000
Total $9,387,900
Payable from the DHS Federal Projects Fund:
For Personal Services ........................ $ 589,200
For Employee Retirement Contributions
Paid by Employer ............................ 23,700
For Retirement Contributions ................. 60,200
For State Contributions to Social Security ... 45,100
For Group Insurance .......................... 70,400
For Contractual Services ..................... 1,393,700
[February 16, 2001] 48
For Travel ................................... 155,500
For Commodities .............................. 36,000
For Printing ................................. 22,000
For Equipment ................................ 568,000
For Telecommunications Services .............. 246,800
For Expenses Related to Public Health
Programs .................................... 256,200
For Operational Expenses for Maternal
and Child Health Special Projects of
Regional and National Significance .......... 226,300
Total $3,693,100
Payable from the USDA Women, Infants
and Children Fund:
For Personal Services ........................ $ 2,854,400
For Employee Retirement Contributions
Paid by Employer ............................ 114,100
For Retirement Contributions ................. 291,200
For State Contributions to Social Security ... 218,300
For Group Insurance .......................... 384,000
For Contractual Services ..................... 494,500
For Travel ................................... 239,000
For Commodities .............................. 53,000
For Printing ................................. 184,500
For Equipment ................................ 279,000
For Telecommunications Services .............. 250,000
For Operation of Auto Equipment .............. 17,200
For Operational Expenses of the Women,
Infants and Children (WIC) Program,
Including Investigations .................... 1,600,000
For Operational Expenses of Banking
Services for Food Instruments
Verification and Vendor Payment under
the Women, Infants and Children (WIC)
Program ....................... 800,000 700,000
For Operational Expenses of the
Federal Commodity Supplemental
Food Program ................................ 42,500
For Operational Expenses Associated
with Support of the USDA Women,
Infants and Children Program ................ 150,000
Total $7,871,700
Payable from the Sexual Assault Services Fund: For
Expenses Related to the Sexual Assault Services Program..$
75,000
Payable from the Maternal and Child Health Services Block
Grant Fund: For Operational Expenses of Maternal and
Child Health Programs..........................$ 3,943,500
Payable from the Preventive Health and Health Services Block
Grant Fund: For Expenses of Preventive Health and
Health Services Programs..........................$ 55,000
Payable from the DHS State Projects Fund: For Operational
Expenses for Public Health Programs..............$ 368,000
(P.A. 91-707, Art. 5, Sec. 41.1)
Sec. 41.1. The following named amounts, or so much
thereof as may be necessary, are appropriated to the
Department of Human Services for the objects and purposes
hereinafter named:
COMMUNITY HEALTH
GRANTS-IN-AID
Payable from the General Revenue Fund:
For Grants to Public and Private Agencies
for Problem Pregnancies ..................... $ 257,800
For Grants for the Extension and Provision
of Perinatal Services for Premature and
High-Risk Infants and Their Mothers ......... 1,184,300
For Grants to Provide Assistance to Sexual
49 [February 16, 2001]
Assault Victims and for Sexual Assault
Prevention Activities ....................... 5,542,000
For Grants for Programs to Reduce
Infant Mortality and to Provide
Case Management and Outreach Services ....... 17,354,800
For Grants for Programs to Reduce Infant
Mortality and to Provide Case
Management and Outreach Services for
Medicaid Eligible Families .................. 28,599,600
For Grants for the Zero to Five
Saves Lives.................................. 2,000,000
For Grants to the Chicago Department of
Health for Maternal and Child
Health Services ............................. 1,105,700
For Grants and Administrative Expenses
Related to the Healthy
Families Program............................. 8,836,700
For Domestic Violence Shelters
and Services Program ........................ 21,979,200
For Grants for After School Youth
Support Programs ............................ 19,782,600
For Grants Associated with the
Project Success Program ..................... 3,826,300
For Teen Parent Services ..................... 7,698,300
For Grants Associated With Organizing
Youth Basketball ............................ 100,000
For Grants for South Shore Community
Partnership Network to Provide
Low Income Persons Access
to the Internet ............................. 125,000
For Grants for Crisis Nurseries .............. 500,000
For Grants for Gilead Referral
& Outreach Center for the Uninsured ......... 250,000
For Grants to Family Planning Programs
For Contraceptive Services .................. 750,000
Total $119,892,300
Payable from the Special Purposes Trust Fund:
For Family Violence Prevention Services ...... $ 5,000,000
Payable from the DHS Federal Projects Fund:
For Grants for Public Health
Programs .................................... 830,000
For Grants for Maternal and Child
Health Special Projects of Regional
and National Significance ................... 600,000
For Grants for Family Planning
Programs Pursuant to Title X of
the Public Health Service Act ............... 7,000,000
For Grants for the Federal Healthy
Start Program ............................... 4,000,000
Total $17,430,000
Payable from the American Diabetes
Association Fund:
For Grants for Diabetes Research ...............$ 150,000
Payable from the Children's Cancer Fund:
For Grants for Children's Cancer Research ......$ 150,000
Payable from the Special Purposes
Trust Fund:
For Community Grants ..........................$ 5,698,100
Payable from the Domestic Violence Abuser
Services Fund:
For Domestic Violence Abuser Services ..........$ 100,000
Payable from the Federal National
Community Services Grant Fund:
For Payment for Community Activities,
Including Prior Years' Costs .................$ 6,000,000
[February 16, 2001] 50
Payable from the USDA Women, Infants and Children Fund:
For Grants to Public and Private Agencies
for Costs of Administering the USDA Women,
Infants, and Children (WIC) Nutrition
Program ....................... $ 35,000,000 $ 32,060,000
For Grants for the Federal
Commodity Supplemental
Food Program ................. 1,400,000
For Grants for Free Distribution of Food
Supplies under the USDA Women,
Infants, and Children (WIC)
Nutrition Program ............. 160,000,000 156,723,400
For Grants for Administering USDA Women,
Infants, and Children (WIC) Nutrition
Program Food Centers .......... 20,000,000 17,500,000
Total $207,683,400
Payable from the Maternal and Child Health
Services Block Grant Fund:
For Grants for Maternal and Child Health
Programs, Including Programs Appropriated
Elsewhere in this Section ................... $ 10,867,000
For Grants to the Chicago Department of
Health for Maternal and Child Health
Services .................................... 5,000,000
For Grants to the Board of Trustees of the
University of Illinois, Division of
Specialized Care for Children ............... 7,800,000
For Grants for an Abstinence Education
Program including operating and
administrative costs ........................ 3,500,000
Total $27,167,000
Payable from the Preventive Health and Health
Services Block Grant Fund:
For Grants to Provide Assistance to Sexual
Assault Victims and for Sexual Assault
Prevention Activities ....................... $ 500,000
For Grants for Rape Prevention Education
Programs, including operating and
administrative costs ........................ 3,000,000
Total $3,500,000
Payable from the DHS State Projects Fund:
For Grants to Establish Health Care
Systems for DCFS Wards ......................$ 3,376,400
Payable from Domestic Violence Shelter and Service Fund:
For Domestic Violence Shelters and Services Program
...................................................$1,000,000
For Children's Health Programs:
Payable from Tobacco Settlement
Recovery Fund .............................. $1,750,000
For a Grant to the Coalition for
Technical Assistance and Training
Related to Children's Health:
Payable from Tobacco Settlement
Recovery Fund .............................. $ 250,000
(P.A. 91-707, Art. 5, Sec. 42.1)
Sec. 42.1. The following named amounts, or so much
thereof as may be necessary, respectively, are appropriated
to the Department of Human Services:
COMMUNITY YOUTH SERVICES
GRANTS-IN-AID
Payable from General Revenue Fund:
For Community Services ....................... $ 7,343,200
For Youth Services Grants Associated with
Juvenile Justice Reform ..................... 3,500,000
For Comprehensive Community-Based
Service to Youth ............................ 13,699,700
51 [February 16, 2001]
For Unified Delinquency Intervention
Services .................................... 3,187,900
For Homeless Youth Services .................. 4,276,600
For Parents Too Soon Program ................. 7,085,000
For Delinquency Prevention ................... 1,634,200
For Grants Associated with the
Early Intervention Program, including
operating and administrative
costs ......................... 45,740,000 35,740,000
Total $76,466,600
Payable from the Special Purposes Trust Fund:
For Parents Too Soon Program,
including grants and operations .............. $ 3,665,200
Payable from the Early Intervention
Revolving Fund:
For Grants Associated With the
Early Intervention Program, including
operating and administrative
costs ......................... 85,000,000 50,000,000
Payable from the DHS Federal Projects Fund:
For Grants Associated With the
Early Intervention Program, including
operating and administrative
costs ....................................... 28,000,000
Total $81,665,200
Section 8. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 1 of Article 7 as follows:
(P.A. 91-706, Art. 7, Sec. 1)
Sec. 1. The following named sums, or so much thereof as
may be necessary, respectively, for the objects and purposes
hereinafter named, are appropriated to meet the ordinary and
contingent expenses of the Department of Insurance:
ADMINISTRATIVE AND SUPPORT DIVISION
Payable from Insurance Producer
Administration Fund:
For Personal Services ........................ $ 807,600
For Employee Retirement Contributions
Paid by Employer ............................ 32,400
For State Contributions to the State
Employees' Retirement System ................ 82,400
For State Contributions to
Social Security ............................. 61,800
For Group Insurance .......................... 162,800
For Contractual Services ....... 1,328,000 928,000
For Travel ................................... 2,000
For Commodities .............................. 49,500
For Printing ................................. 109,800
For Equipment ................................ 114,300
For Telecommunications Services .............. 15,400
For Operation of Auto Equipment .............. 10,600
Total $2,776,600 $2,376,600
Payable from Insurance Financial Regulation Fund:
For Personal Services......................... $ 699,800
For Employee Retirement Contributions
Paid by Employer ............................ 28,100
For State Contributions to the State
Employees' Retirement System................. 71,300
For State Contributions to
Social Security.............................. 53,500
For Group Insurance........................... 155,400
For Contractual Services........ 1,712,800 1,212,800
For Travel.................................... 2,000
For Commodities .............................. 59,500
For Printing.................................. 46,500
For Equipment ................................ 60,600
[February 16, 2001] 52
For Telecommunications Services............... 12,400
For Operation of Auto Equipment............... 7,100
Total $2,909,000 $2,409,000
Section 9. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 1 of Article 10 as follows:
(P.A. 91-706, Art. 10, Sec. 1)
Sec. 1. The following named sums, or so much thereof as
may be necessary, respectively, for the objects and purposes
hereinafter named, are appropriated to meet the ordinary and
contingent expenses of the Department of Military Affairs:
FOR OPERATIONS
OFFICE OF THE ADJUTANT GENERAL
Payable from General Revenue Fund:
For Personal Services ........................ $ 1,314,900
For Employee Retirement Contributions
Paid By Employer ............................ 52,600
For State Contributions to State
Employees' Retirement System ................ 134,200
For State Contributions to
Social Security ............................. 100,600
For Contractual Services ..................... 45,900
For Travel ................................... 15,900
For Commodities .............................. 15,700
For Printing ................................. 6,500
For Equipment ................................ 64,900
For Electronic Data Processing ............... 56,300
For Telecommunications Services .............. 35,500
For Operation of Auto Equipment .............. 20,000
For State Officer's Candidate School ......... 2,200
For Lincoln's Challenge ...................... 3,049,200
Total $4,914,400
Payable from Federal Support Agreement Revolving Fund:
Army/Air Reimbursable Positions .............. $ 4,624,500
Lincoln's Challenge ............ 4,890,900 3,962,900
Lincoln's Challenge Stipend Payments ......... 1,700,000
Total $11,215,400 $10,287,400
FACILITIES OPERATIONS
Payable from General Revenue Fund:
For Personal Services ........................ $ 5,276,400
For Employee Retirement Contributions
Paid by Employer ............................ 211,100
For State Contributions to State
Employees' Retirement System ................ 538,100
For State Contributions to
Social Security ............................. 403,700
For Contractual Services ..................... 2,153,600
For Commodities .............................. 112,100
For Equipment ................................ 68,200
Total $8,763,200
Section 10. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by repealing Section 269 and changing Sections
235, 245, 247 and 268 and adding new Section 275 to Article
11 as follows:
(P.A. 91-706, Art. 11, Sec. 235)
Sec. 235. The sum of $280,000, or so much thereof as may
be necessary and remains unexpended at the close of business
on June 30, 2000, from an appropriation heretofore made in
Article 20, Section 263 of Public Act 91-20, approved June 7,
1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Natural Resources for a
grant to the Fon du Lac Park District for land acquisition
the purpose of a trail enhancement project.
(P.A. 91-706, Art. 11, Sec. 245)
Sec. 245. The sum of $125,000, or so much thereof as may
53 [February 16, 2001]
be necessary and remains unexpended at the close of business
on June 30, 2000, from an appropriation heretofore made in
Article 20, Section 273 of Public Act 91-20, approved June 7,
1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Natural Resources for a
grant to the Illinois Valley YMCA to construct a
walking/biking path, toboggan run, ice hockey rink and
rollerblade park City of LaSalle for park improvements and
installation of facilities for roller skaters.
(P.A. 91-706, Art. 11, Sec. 247)
Sec. 247. The sum of $200,000, or so much thereof as may
be necessary is and remains unexpended at the close of
business on June 30, 2000, from an appropriation heretofore
made in Article 20, Section 275 of Public Act 91-20, approved
June 7, 1999, as amended, is reappropriated from the Fund for
Illinois' Future to the Department of Natural Resources for
a grant to the Illinois Valley YMCA in Peru for establishing
a recreational park LaSalle-Peru Township Recreation
Authority for the acquisition and development of a regional
park.
(P.A. 91-706, Art. 11, Sec. 268)
Sec. 268. The sum of $7,500,000, or so much thereof as
may be necessary, is appropriated from the Fund for Illinois'
Future to the Department of Natural Resources for all costs
associated with grants to various units of local government
and not-for-profit entities for infrastructure improvements
including but not limited to park and recreational projects,
facilities, bike paths, equipment and any other necessary
costs.
(P.A. 91-706, Art. 11, new Sec. 275)
Sec. 275. The sum of $115,000, or so much thereof as may
be necessary, is appropriated to the Department of Natural
Resources from the General Revenue Fund for a grant to the
City of Ottawa for acquisition of Harper's Farm.
Section 11. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Section 2 of Article 10 as follows:
(P.A. 91-707, Art. 10, Sec. 2)
Sec. 2. In addition to any amounts heretofore
appropriated, the following named amounts, or so much thereof
as may be necessary, respectively, are appropriated to the
Department of Public Aid for Medical Assistance:
FOR MEDICAL ASSISTANCE UNDER THE ILLINOIS PUBLIC AID CODE
AND THE CHILDREN'S HEALTH INSURANCE PROGRAM ACT
Payable from General Revenue Fund:
For Physicians.................. $433,738,000 $396,727,000
For Dentists.................................. 65,670,700
For Optometrists.............................. 7,825,400
For Podiatrists............................... 2,336,000
For Chiropractors............................. 1,299,500
For Hospital In-Patient and
Disproportionate Share ...... 1,548,604,900 1,424,218,800
For Hospital Ambulatory Care.. 373,341,400 361,682,000
For Prescribed Drugs ......... 985,723,800 958,780,300
For Skilled, Intermediate, and Other
Related Long Term Care Services ............ 1,058,858,600
For Community Health Centers................. 81,818,500
For Hospice Care ............................ 21,388,900
For Independent Laboratories................. 15,157,000
For Home Health Care, Therapy, and
Nursing Services........................... 67,150,000
For Appliances............................... 36,983,600
For Transportation........................... 57,429,100
For Other Related Medical Services
and for development, implementation,
and operation of the managed
[February 16, 2001] 54
care and children's health
programs including operating
and administrative costs and
related distributive purposes............... 79,486,000
For Medicare Part A Premiums................. 11,654,700
For Medicare Part B Premiums................. 87,350,400
For Medicare Part B Premiums for
Qualified Individuals under the
Federal Balanced Budget Act of 1997 ........ 4,397,700
For Health Maintenance Organizations and
Managed Care Entities ...................... 236,526,700
Total $5,176,740,900 $4,976,740,900
The following named amounts, or so much thereof as may be
necessary, are appropriated to the Department of Public Aid
for the purposes hereinafter named:
FOR MEDICAL ASSISTANCE
Payable from General Revenue Fund:
For Grants for Medical Care for Persons
Suffering from Chronic Renal Disease ........ $ 2,873,700
For Grants for Medical Care for Persons
Suffering from Hemophilia ................... 4,000,500
For Grants for Medical Care for Sexual
Assault Victims ............................. 606,900
Total $7,481,100
The Department, with the consent in writing from the
Governor, may reapportion not more than two percent of the
total appropriations in Section 2 above among the various
purposes therein enumerated.
In addition to any amounts heretofore appropriated, the
amount of $8,758,300, or so much thereof as may be necessary,
is appropriated to the Department of Public Aid from the
General Revenue Fund for expenses relating to the Children's
Health Insurance Program Act, including payments under
Section 25 (a)(1) of that Act, and related operating and
administrative costs.
Section 12. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Section 2.1 of Article 11 as follows:
(P.A. 91-707, Art. 11, Sec. 2.1)
Sec. 2.1. The following named amount, or so much thereof
as may be necessary, are appropriated to the Department of
Public Health for the objects and purposes hereinafter named:
OFFICE OF FINANCE AND ADMINISTRATION
Payable from the General Revenue Fund:
For Grants for Development of Local Health
Departments and the Public Health
Workforce, including Operational Expenses ... $ 262,000
For a Grant for the Promotion and
Marketing of the Adoption
Registry ..............................67,900
Total $329,900
Section 13. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 1 of Article 14 as follows:
(P.A. 91-706, Art. 14, Sec. 1)
Sec. 1. The following named amounts, or so much thereof
as may be necessary, respectively, for the objects and
purposes hereinafter named, are appropriated to meet the
ordinary and contingent expenses of the Department of
Revenue:
OPERATIONS
GOVERNMENT SERVICES
For Personal Services:
Payable from General Revenue Fund ............ $ 4,804,000
Payable from Motor Fuel Tax Fund ............. 578,600
Payable from Illinois Tax
55 [February 16, 2001]
Increment Fund .............................. 187,900
Payable from Personal Property Tax
Replacement Fund ............................ 773,200
For Extra Help:
Payable from the General Revenue Fund ........ 81,500
For Employee Retirement Contributions
Paid by Employer:
Payable from General Revenue Fund ............ 195,400
Payable from Motor Fuel Tax Fund ............. 23,100
Payable from Illinois Tax
Increment Fund .............................. 7,600
Payable from Personal Property Tax
Replacement Fund ............................ 31,000
For State Contributions to State
Employees' Retirement System:
Payable from General Revenue Fund ............ 488,600
Payable from Motor Fuel Tax Fund ............. 57,800
Payable from Illinois Tax
Increment Fund .............................. 18,800
Payable from Personal Property Tax
Replacement Fund ............................ 77,400
For State Contributions to Social Security:
Payable from General Revenue Fund ............ 354,600
Payable from Motor Fuel Tax Fund ............. 43,000
Payable from Illinois Tax
Increment Fund .............................. 14,400
Payable from Personal Property Tax
Replacement Fund ............................ 54,400
For Group Insurance:
Payable from Motor Fuel Tax Fund.............. 96,200
Payable from Illinois Tax
Increment Fund .............................. 29,600
Payable from Personal Property Tax
Replacement Fund............................. 133,200
For Contractual Services:
Payable from General Revenue Fund ............ 149,500
Payable from Motor Fuel Tax Fund ............. 30,600
Payable from Personal Property Tax
Replacement Fund ............................ 10,000
For Travel:
Payable from General Revenue Fund ............ 76,900
Payable from Motor Fuel Tax Fund ............. 19,300
Payable from Personal Property Tax
Replacement Fund ............................ 23,200
For Commodities:
Payable from General Revenue Fund ............ 6,400
Payable from Motor Fuel Tax Fund ............. 1,500
Payable from Personal Property Tax
Replacement Fund ............................ 5,800
For Equipment:
Payable from General Revenue Fund............. 418,500
Payable from Motor Fuel Tax Fund ............. 114,100
Payable from Personal Property Tax
Replacement Fund ............................ 65,000
For Administration of the
Illinois Affordable Housing Act:
Payable from Illinois Affordable
Housing Trust Fund .......................... 1,900,000
For Administration of the Circuit
Breaker/Pharmaceutical Program per
P.A. 91-699:
Payable from the General Revenue
Fund ...............................3,000,000
For Transfer from the General Revenue
into the Senior Citizens Real Estate
Deferred Tax Revolving Fund................... 2,400,000
[February 16, 2001] 56
Total $13,271,100
Section 14. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Sections 1 and 13, and adding new
Section 20 to Article 15 as follows:
(P.A. 91-706, Art. 15, Sec. 1)
Sec. 1. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated to the
Department of State Police for the following purposes:
DIVISION OF ADMINISTRATION
Payable from General Revenue Fund:
For Personal Services ........................ $ 8,677,100
For Employee Retirement Contributions
Paid by Employer ............................ 358,200
For State Contributions to State
Employees' Retirement System ................ 865,100
For State Contributions to
Social Security ............................. 545,500
For Contractual Services ..................... 4,351,400
For Travel ................................... 205,000
For Commodities .............................. 827,000
For Printing ................................. 167,200
For Equipment ................................ 338,600
For Equipment:
Lease-Purchase of Police Cars-FY99 .......... 3,433,100
Purchase of Police Cars-FY01 ................ 2,378,000
For Telecommunications Services .............. 249,100
For Operation of Auto Equipment .............. 320,700
For Repairs and Maintenance and
Permanent Improvements ...................... 60,000
Permanent Improvements - For
All Costs Associated with the
CODIS Building .....................1,000,000
For Expenses of Apprehension of
Fugitives ................................... 50,000
For Contractual Services:
For Payment of Tort Claims .................. 110,500
For Refunds .................................. 57,400
For Expenses regarding implementation
of the Juvenile Justice Reform
provisions .................................. 548,000
Total $23,541,900
Payable from Missing and Exploited Children
Trust Fund:
For the Administration and fulfillment
of its responsibilities under the
Intergovernmental Missing Child
Recovery Act of 1984 .............................. 50,000
Payable from the State Police Wireless Service
Service Emergency Fund:
For costs associated with the
administration and fulfillment
of its responsibilities under
the Wireless Emergency Telephone
Safety Act..................................... $1,300,000
(P.A. 91-706, Art. 15, Sec. 13)
Sec. 13. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated to the
Department of State Police for the following purposes:
DIVISION OF FORENSIC SERVICES AND IDENTIFICATION
Payable from the General Revenue Fund:
For Personal Services ........................ $ 31,465,000
For Employee Retirement Contributions
Paid by Employer ............................ 1,267,400
For State Contributions to State
Employees' Retirement System ................ 3,137,200
57 [February 16, 2001]
For State Contributions to
Social Security ............................. 2,088,000
For Contractual Services ....... 5,569,400 6,569,400
For Travel ................................... 285,700
For Commodities .............................. 2,606,100
For Printing ................................. 147,500
For Equipment ................................ 2,821,400
For Electronic Data Processing................ 3,615,600
For Telecommunications Services .............. 778,000
For Operation of Auto Equipment .............. 171,000
For Administration of a Statewide Sexual
Assault Evidence Collection Program ......... 101,200
Total $55,053,500
For Administration and Operation
of State Crime Laboratories:
Payable from State Crime Laboratory Fund ......... $550,000
Payable from State Crime Laboratory
DUI Fund ........................................ $400,000
Payable from State Offender DNA
Identification System Fund ..................... $600,000
(P.A. 91-706, Art. 15, new Sec. 20)
Sec. 20. The amount of $255,600, or so much thereof as
may be necessary, is appropriated from the General Revenue
Fund to the Department of State Police for the costs
associated with the Diesel Emission testing program.
Section 15. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Sections 1b, 7, 8, 9, 10, 11, 12, 13,
14 and 15 of Article 16 as follows:
(P.A. 91-706, Art. 16, Sec. 1b)
Sec. 1b. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
For Tort Claims, including payment
pursuant to P.A. 80-1078 .................... $ 500,000
For representation and indemnification
for the Department of Transportation,
the Illinois State Police and the
Secretary of State provided that the
representation required resulted from
the Road Fund portion of their normal
operations .................................. 260,000
For Enhancement and Congestion
Mitigation and Air Quality
Projects....................... 30,000,000 5,000,000
For auto liability payments for the
Department of Transportation, the
Illinois State Police and the
Secretary of State provided that
the liability resulted from the
Road Fund portion of their
normal operations ........................... 1,932,200
For grants to Illinois Universities
for applied research on transportation........ 520,000
For payment of claims as provided by the
"Workers' Compensation Act" or the "Workers'
Occupational Diseases Act", including
Treatment, Expenses and Benefits Payable
for Total Temporary Incapacity for Work
for State Employees whose salaries are paid
from the Road Fund:
For Awards and Grants ........................ 10,600,000
Total $18,812,200
[February 16, 2001] 58
Expenditures from appropriations for treatment and
expense may be made after the Department of Transportation
has certified that the injured person was employed and that
the nature of the injury is compensable in accordance with
the provisions of the Workers' Compensation Act or the
Workers' Occupational Diseases Act, and then has determined
the amount of such compensation to be paid to the injured
person. Expenditures for this purpose may be made by the
Department of Transportation without regard to the fiscal
year in which benefit or service was rendered or cost
incurred as allowable or provided by the Workers'
Compensation Act or the Workers' Occupational Diseases Act.
(P.A. 91-706, Art. 16, Sec. 7)
Sec. 7. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 1, SCHAUMBURG OFFICE
OPERATIONS
For Personal Services .......... $ 78,471,500 $ 75,971,500
For Extra Help ................. 6,102,300 5,602,300
For Employee Retirement Contributions
Paid by State ................. 3,382,000 3,262,000
For State Contributions to State
Employees' Retirement System .. 8,455,100 8,155,100
For State Contributions
to Social Security ............ 6,241,900 6,011,900
For Contractual Services ....... 16,768,700 15,118,700
For Travel ..................... 223,600
For Commodities ................ 6,270,600 4,820,600
For Equipment .................. 1,432,600
For Equipment:
Purchase of Cars and Trucks ... 4,184,000
For Telecommunications Services . 1,471,900
For Operation of
Automotive Equipment .......... 7,454,500 _ 6,089,500
Total $140,458,700 $132,343,700
(P.A. 91-706, Art. 16, Sec. 8)
Sec. 8. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 2, DIXON OFFICE
OPERATIONS
For Personal Services .......... $ 24,848,800 $ 23,848,800
For Extra Help ................. 2,471,400 1,971,400
For Employee Retirement Contributions
Paid by State ................. 1,092,800 1,032,800
For State Contributions to State
Employees' Retirement System .. 2,732,000 2,582,000
For State Contributions
to Social Security ............ 1,968,900 1,853,900
For Contractual Services ....... 4,072,300 3,507,300
For Travel ..................... 238,300
For Commodities ................ 3,216,600 1,696,600
For Equipment .................. 790,000
For Equipment:
Purchase of Cars and Trucks ... 1,353,300
For Telecommunications Services . 224,500
For Operation of
Automotive Equipment .......... 2,772,600 2,072,600
Total $45,781,500 $41,171,500
(P.A. 91-706, Art. 16, Sec. 9)
Sec. 9. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
59 [February 16, 2001]
hereinafter named:
DISTRICT 3, OTTAWA OFFICE
OPERATIONS
For Personal Services .......... $ 23,061,800 $ 22,061,800
For Extra Help ................. 2,146,300 1,796,300
For Employee Retirement Contributions
Paid by State ................. 1,008,300 954,300
For State Contributions to State
Employees' Retirement System .. 2,520,800 2,385,800
For State Contributions
to Social Security ............ 1,831,300 1,727,300
For Contractual Services ....... 3,362,100 3,020,100
For Travel ..................... 100,800
For Commodities ................ 3,074,100 2,049,100
For Equipment .................. 911,500
For Equipment:
Purchase of Cars and Trucks ... 1,374,300
For Telecommunications Services . 205,600
For Operation of
Automotive Equipment .......... 2,477,500 1,967,500
Total $42,074,400 $38,554,400
(P.A. 91-706, Art. 16, Sec. 10)
Sec. 10. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 4, PEORIA OFFICE
OPERATIONS
For Personal Services .......... $ 19,418,200 $ 18,718,200
For Extra Help ................. 2,363,400 2,013,400
For Employee Retirement Contributions
Paid by State ................. 871,300 829,300
For State Contributions to State
Employees' Retirement System .. 2,178,200 2,073,200
For State Contributions
to Social Security ............ 1,573,700 1,492,700
For Contractual Services ....... 4,083,100 3,833,100
For Travel ..................... 138,700
For Commodities ................ 1,425,600 1,075,600
For Equipment .................. 1,004,500
For Equipment:
Purchase of Cars and Trucks ... 1,153,300
For Telecommunications Services . 219,200
For Operation of
Automotive Equipment .......... 1,714,400 1,414,400
Total $36,143,600 $33,965,600
(P.A. 91-706, Art. 16, Sec. 11)
Sec. 11. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 5, PARIS OFFICE
OPERATIONS
For Personal Services .......... $ 21,661,700 $ 20,861,700
For Extra Help ................. 1,809,700 1,459,700
For Employee Retirement Contributions
Paid by State ................. 938,900 892,900
For State Contributions to State
Employees' Retirement System .. 2,347,100 2,232,100
For State Contributions
to Social Security ............ 1,672,800 1,584,800
For Contractual Services ....... 3,059,600 2,834,600
For Travel ..................... 89,500
For Commodities ................ 1,687,300 1,237,300
For Equipment .................. 688,500
For Equipment:
[February 16, 2001] 60
Purchase of Cars and Trucks ... 957,100
For Telecommunications Services . 147,500
For Operation of
Automotive Equipment .......... 2,138,200 1,638,200
Total 37,197,900 $34,623,900
(P.A. 91-706, Art. 16, Sec. 12)
Sec. 12. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 6, SPRINGFIELD OFFICE
OPERATIONS
For Personal Services .......... 22,437,100 $ 21,637,100
For Extra Help ................. 1,839,200 1,339,200
For Employee Retirement Contributions
Paid by State ................. 971,100 919,100
For State Contributions to State
Employees' Retirement System .. 2,427,600 2,297,600
For State Contributions
to Social Security ............ 1,777,300 1,677,300
For Contractual Services ....... 3,615,300 3,390,300
For Travel ..................... 141,100
For Commodities ................ 1,733,000 1,358,000
For Equipment .................. 544,600
For Equipment:
Purchase of Cars and Trucks ... 1,250,200
For Telecommunications Services . 209,300
For Operation of
Automotive Equipment .......... 2,315,700 1,815,700
Total $39,261,500 $36,579,500
(P.A. 91-706, Art. 16, Sec. 13)
Sec. 13. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 7, EFFINGHAM OFFICE
OPERATIONS
For Personal Services .......... $ 15,124,200 $ 14,524,200
For Extra Help ................. 1,239,900 889,900
For Employee Retirement Contributions
Paid by State ................. 654,600 616,600
For State Contributions to State
Employees' Retirement System .. 1,636,400 1,541,400
For State Contributions
to Social Security ............ 1,175,100 1,102,100
For Contractual Services ....... 2,285,800 1,985,800
For Travel ..................... 149,300
For Commodities ................ 1,297,800 697,800
For Equipment .................. 732,000
For Equipment:
Purchase of Cars and Trucks ... 849,500
For Telecommunications Services . 106,700
For Operation of
Automotive Equipment .......... 1,176,200 851,200
Total 26,427,500 $24,046,500
(P.A. 91-706, Art. 16, Sec. 14)
Sec. 14. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 8, COLLINSVILLE OFFICE
OPERATIONS
For Personal Services .......... $ 28,698,300 $ 27,498,300
For Extra Help ................. 2,006,800 1,756,800
For Employee Retirement Contributions
Paid by State ................. 1,228,200 1,170,200
61 [February 16, 2001]
For State Contributions to State
Employees' Retirement System .. 3,070,500 2,925,500
For State Contributions
to Social Security ............ 2,179,900 2,068,900
For Contractual Services ....... 5,847,400 5,672,400
For Travel ..................... 208,800
For Commodities ................ 1,542,200 1,317,200
For Equipment .................. 1,093,400
For Equipment:
Purchase of Cars and Trucks ... 1,563,700
For Telecommunications Services . 339,100
For Operation of
Automotive Equipment .......... 2,013,000 1,813,000
Total $49,791,300 $47,427,300
(P.A. 91-706, Art. 16, Sec. 15)
Sec. 15. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Road Fund to
the Department of Transportation for the objects and purposes
hereinafter named:
DISTRICT 9, CARBONDALE OFFICE
OPERATIONS
For Personal Services .......... $ 14,799,600 $ 14,399,600
For Extra Help ................. 1,657,300 1,407,300
For Employee Retirement Contributions
Paid by State ................. 658,300 632,300
For State Contributions to State
Employees' Retirement System .. 1,645,700 1,580,700
For State Contributions
to Social Security ............ 1,102,700 1,052,700
For Contractual Services ....... 2,410,300 2,250,300
For Travel ..................... 67,100
For Commodities ................ 740,000 615,000
For Equipment .................. 729,900
For Equipment:
Purchase of Cars and Trucks ... 1,093,100
For Telecommunications Services . 103,500
For Operation of
Automotive Equipment .......... 1,286,700 1,086,700
Total $26,294,200 $25,018,200
Section 16. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Sections 6a2, 8a, 8b3, 9a, 9a3, 9a6,
25, 70 and 81, and adding new Section 25a to Article 17 as
follows:
(P.A. 91-706, Art. 17, Sec. 6a2)
Sec. 6a2. The sum of $901,100 $635,400, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the appropriation
and reappropriation concerning airport improvements
heretofore made in Article 24a, Section 18a2 and Article 24b,
Section 6a2 of Public Act 91-0020, as amended, is
reappropriated from the General Revenue Fund to the
Department of Transportation for the same purposes.
(P.A. 91-706, Art. 17, Sec. 8a)
Sec. 8a. The sum of $383,400 $303,700, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the appropriation
and reappropriation heretofore made for public transportation
technical studies in Article 24a, Section 19a and Article
24b, Section 8a of Public Act 91-0020, as amended, is
reappropriated from the General Revenue Fund to the
Department of Transportation for the same purposes.
(P.A. 91-706, Art. 17, Sec. 8b3)
Sec. 8b3. The sum of $14,221,200 $8,819,200, or so much
thereof as may be necessary and remains unexpended at the
close of business on June 30, 2000, from the appropriation
[February 16, 2001] 62
and reappropriation concerning Public Transportation
heretofore made in Article 24a, Section 19b8 and Article 24b,
Section 8b6 of Public Act 91-0020, as amended, is
reappropriated from the General Revenue Fund to the
Department of Transportation for the same purposes.
(P.A. 91-706, Art. 17, Sec. 9a)
Sec. 9a. The sum of $5,748,600 $3,088,400, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the appropriation
and reappropriation concerning Rail Freight Service
Assistance Program heretofore made in Article 24a, Section
20a1 and Article 24b, Section 9a of Public Act 91-0020, as
amended, is reappropriated from the General Revenue Fund to
the Department of Transportation for the same purposes.
(P.A. 91-706, Art. 17, Sec. 9a3)
Sec. 9a3. The sum of $1,937,700 $1,534,700, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the appropriation
and reappropriation concerning the State's share of the Rail
Freight Loan Repayment Program heretofore made in Article
24a, Section 20a4 and Article 24b, Section 9a3 of Public Act
91-0020, as amended, is reappropriated from the General
Revenue Fund to the Department of Transportation for the same
purposes.
(P.A. 91-706, Art. 17, Sec. 9a6)
Sec. 9a6. The sum of $2,439,400 $1,525,800, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the appropriation
and reappropriation heretofore made in Article 24a, Section
20a6 and Article 24b, Section 9a6 of Public Act 91-0020, as
amended, is reappropriated from the General Revenue Fund to
the Department of Transportation for the state share of the
High Speed Rail Project.
(P.A. 91-706, Art. 17, Sec. 25)
Sec. 25. The sum of $208,100 $358,100, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the reappropriation
heretofore made in Article 24b, Section 29 of Public Act
91-0020, as amended, is reappropriated from the General
Revenue Fund to the Illinois Department of Transportation for
a study of the expansion of Route 23 to four lanes from
Streator to Ottawa.
(P.A. 91-706, Art. 17, new Sec. 25a)
Sec. 25a. The sum of $35,000, or so much thereof as may
be necessary, is appropriated from the General Revenue Fund
to the Department of Transportation for a grant to the Grundy
County Economic Development Counsel for a study of creating
an interchange at Route 80 and Brisbin Road.
(P.A. 91-706, Art. 17, Sec. 70)
Sec. 70. The sum of $100,000, or so much thereof as may
be necessary, and remains unexpended at the close of business
on June 30, 2000, from the appropriation heretofore made in
Article 24a, Section 77 of Public Act 91-0020, as amended, is
reappropriated from the Fund for Illinois' Future to the
Department of Transportation for a grant to the City of Lake
Forest for the installation of crossing gates at Westleigh
Road and the installation of crossing gates at Old Elm Road
grade crossing to construct a pedestrian crossing.
(P.A. 91-706, Art. 17, Sec. 81)
Sec. 81. The sum of $5,226,000 $5,526,000, or so much
thereof as may be necessary, and remains unexpended at the
close of business on June 30, 2000, from the appropriation
heretofore made in Article 24a, Section 96 of Public Act
91-0020, as amended, is reappropriated from the Road Fund to
the Department of Transportation for the contract or
intergovernmental agreement costs associated with the
63 [February 16, 2001]
projects described below and having the estimated costs as
follows:
For the purchase of an accelerated
loading facility machine at the
University of Illinois..........................$1,500,000
For improvements to Waukegan Road
in Morton Grove...................................$200,000
For improvements to Hall Street
and Holly Road in the City
of Olney..........................................$600,000
For intersection improvements at
Route 131 and 176 in the Village
of Lake Bluff.....................................$215,000
For studying, designing and
installing right turn lanes
from Glenmore Woods to Route 137
in the Village of Green Oaks......................$100,000
For a right turn lane from Reigate
Woods to Route 137 in the
Village of Green Oaks.............................$100,000
For improvements to village streets
and an engineering study for a
possible grade separation on
Western Avenue in the City
of Blue Island....................................$100,000
For improvements to city streets
in the City of Chicago Ridge......................$200,000
For improvements to city streets
in the City of Oak Lawn..........................$250,000
For an engineering study of the
135th Street at Cicero in the
Village of Crestwood..............................$200,000
For intersection improvements at
Route 176 and Walkup Avenue
in the City of Crystal Lake.......................$200,000
For the construction of Creek Drive
Bridge over Nettle Creek in the
City of Morris....................................$350,000
For the improvements of Route 113
in the Village of Braidwood.......................$152,000
For installation of traffic signals
on 115th Street between Pulaski
Road and Kolin Avenue in the
City of Chicago...................................$125,000
For resurfacing of 69th Street between
State Street and South Chicago Avenue
To be used for a street restoration
project on West 74th Street from
Ashland to Vincennes in the
City of Chicago...................................$464,000
To resurface or repair King Drive
between 67th Street and 79th
Street in the City of Chicago.....................$200,000
For improvements in the Village
of Sun River Terrace..............................$100,000
For improvements to unmarked state
highway from east of city
limits to U.S. 51 in the
Village of DuBois.................................$120,000
For improvements on Route
3/Ellis Boulevard in the
Village of Ellis Grove............................$100,000
For improvements to New Boston
Road in Mercer County..............................250,000
[February 16, 2001] 64
Section 17. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Sections 4 and 6 of Article 12 as
follows:
(P.A. 91-707, Art. 12, Sec. 4)
Sec. 4. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated to the
Department of Veterans' Affairs for the objects and purposes
hereinafter named:
ILLINOIS VETERANS' HOME AT QUINCY
Payable from General Revenue Fund:
For Personal Services ........................ $ 10,212,100
For Employee Retirement Contributions
Paid by Employer ............................ 408,400
For State Contributions to the State
Employees' Retirement System ................ 1,041,600
For State Contributions to
Social Security ............................. 781,100
For Contractual Services ..................... 5,100
For Commodities .............................. 100
For Electronic Data Processing ............... 100
For Maintenance and Travel for
Aided Persons ............................... 1,300
Total $12,449,800
Payable from Quincy Veterans' Home Fund:
For Personal Services ........................ $ 9,578,100
For Member Compensation ...................... 25,000
For Employee Retirement Contributions
Paid by Employer ............................ 383,100
For State Contributions to the State
Employees' Retirement System ................ 977,100
For State Contributions to
Social Security ............................. 732,800
For Contractual Services .......... 1,956,000 1,750,000
For Contractual Services - Repair and
Maintenance ................................. 200,000
For Travel ................................... 8,000
For Commodities ................... 3,600,000 3,250,000
For Printing ................................. 23,700
For Equipment ................................ 266,000
For Electronic Data Processing ............... 196,000
For Telecommunications Services .............. 71,000
For Operation of Auto Equipment .............. 83,900
For Refunds .................................. 42,200
Total 18,142,900 $17,586,900
(P.A. 91-707, Art. 12, Sec. 6)
Sec. 6. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated to the
Department of Veterans' Affairs for the objects and purposes
hereinafter named:
ILLINOIS VETERANS' HOME AT MANTENO
Payable from General Revenue Fund:
For Personal Services ........................ $ 7,192,900
For Employee Retirement Contributions
Paid by Employer ............................ 287,800
For State Contributions to the State
Employees' Retirement System ................ 733,700
For State Contributions to
Social Security ............................. 550,300
For Contractual Services ..................... 5,000
Total $8,769,700
Payable from Manteno Veterans' Home
Fund:
For Personal Services ........................ $ 4,669,200
For Member Compensation ...................... 2,500
For Employee Retirement Contributions
65 [February 16, 2001]
Paid by Employer ............................ 186,700
For State Contributions to the State
Employees' Retirement System ................ 476,300
For State Contributions to
Social Security ............................. 357,100
For Contractual Services .......... 3,231,000 3,000,000
For Travel ................................... 6,000
For Commodities .............................. 1,100,000
For Printing ................................. 22,800
For Equipment ................................ 429,800
For Electronic Data Processing ............... 133,600
For Telecommunications Services .............. 48,800
For Operation of Auto Equipment .............. 43,200
For Refunds .................................. 27,400
Total $10,734,400 $10,503,400
Section 18. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 1 of Article 19 as follows:
(P.A. 91-706, Art. 19, Sec. 1)
Sec. 1. The following named amounts, or so much thereof
as may be necessary, respectively, for the objects and
purposes hereinafter named, are appropriated from the Bank
and Trust Company Fund to the Office of Banks and Real
Estate:
For Personal Services ........................ $ 10,728,100
For Employee Retirement Contributions
Paid by Employer ............................ 425,300
For State Contribution to State
Employees' Retirement System ................ 1,084,100
For State Contributions to
Social Security ............................. 808,700
For Group Insurance .......................... 1,398,600
For Contractual Services ..................... 1,226,400
For Legal Services ........................... 100,000
For Travel ................................... 1,030,000
For Commodities .............................. 45,900
For Printing ................................. 29,000
For Equipment ................................ 76,800
For Electronic Data Processing ............... 1,240,900
For Telecommunications Services .............. 221,200
For Operation of Auto Equipment .............. 5,000
For Corporate Fiduciary
Receivership .................. 438,818 150,000
For Refunds .................................. 1,000
Total $18,571,000
Section 19. "AN ACT making appropriations and
reappropriations," Public Act 91-708, approved May 17, 2000,
is amended by changing Sections 3 and 7 and adding new
Sections 7.3, 14.1, 38 and 39 to Article 1 as follows:
(P.A. 91-708, Art. 1, Sec. 3)
Sec. 3. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Capital
Development Fund to the Capital Development Board for the
Department of Corrections for the projects hereinafter
enumerated:
STATEWIDE
For planning, design, construction, equipment
and all other necessary costs for a
maximum security facility .................... $129,000,000
For planning a medium security facility
and land acquisition ......................... 6,000,000
For replacing locks and control panels
at the following locations at the
approximate costs set forth below ............ 2,700,000
Illinois River
Correctional Center .................850,000
[February 16, 2001] 66
Western Illinois
Correctional Center .................850,000
Danville Correctional
Center ............................1,000,000
For replacing roofing systems at
the following locations at the
approximate cost set forth below ............. 1,730,000
Menard Correctional Center ...........170,000
Vienna Correctional Center ...........155,000
Illinois Youth Center -
Harrisburg ...........................95,000
Dixon Correctional Center ............500,000
Pontiac Correctional Center ..........440,000
Illinois Youth Center - Joliet .......370,000
For replacing or upgrading security and
monitoring systems at the following
locations at the approximate cost set
forth below .................................. 755,000
Vienna Correctional
Center ..............................250,000
Pontiac Correctional
Center ..............................200,000
Joliet Correctional
Center ..............................305,000
For planning and replacing windows at the
following locations at the approximate cost
set forth below .............................. 3,285,000
Vienna Correctional
Center ............................1,780,000
Sheridan Correctional
Center ..............................425,000
Illinois Youth Center -
Valley View .........................500,000
Illinois Youth Center -
Joliet ..............................165,000
Dixon Correctional
Center ..............................235,000
Shawnee Correctional
Center ..............................180,000
For upgrading and renovating showers at
the following locations at the approximate
cost set forth below ......................... 1,975,000
Shawnee Correctional
Center ..............................800,000
Danville Correctional
Center ..............................800,000
Graham Correctional
Center ..............................200,000
Centralia Correctional
Center ..............................175,000
For replacing security fencing at the
following locations at the approximate
cost set forth below ......................... 1,500,000
Hill Correctional
Center ..............................400,000
Western IL Correctional
Center ..............................300,000
Joliet Correctional
Center ..............................200,000
Logan Correctional
Center ..............................200,000
Dixon Correctional
Center ..............................100,000
Shawnee Correctional
Center ..............................100,000
Graham Correctional
67 [February 16, 2001]
Center ..............................100,000
Danville Correctional
Center ..............................100,000
For upgrading roads and parking lots at
the following locations at the approximate
cost set forth below ......................... 1,000,000
Dwight Correctional
Center ..............................500,000
Illinois Youth Center -
Valley View .........................500,000
DIXON CORRECTIONAL CENTER - LEE COUNTY
For constructing a gun range and
classroom building ........................... $ 500,000
DWIGHT CORRECTIONAL CENTER
For renovating C9 and Old Hospital ............. 3,810,000
For renovating Housing Unit C8, in
addition to funds previously
appropriated ................................. 270,000
EAST MOLINE CORRECTIONAL CENTER
For replacing the chiller/absorber ............. 400,000
HILL CORRECTIONAL CENTER
For upgrading electrical system ................ 185,000
HOPKINS PARK
For a grant to the Village of Hopkins
Park for For infrastructure improvements
in connection with the Hopkins Park
Correctional Center ......................... 8,300,000
ILLINOIS RIVER CORRECTIONAL CENTER - CANTON
For replacing warehouse freezers ............... 150,000
ILLINOIS YOUTH CENTER - KEWANEE - HENRY COUNTY
For constructing a 60-bed inmate
housing addition ............................. 4,000,000
ILLINOIS YOUTH CENTER - RUSHVILLE
For planning, design, construction, equipment
and all other necessary costs to add
a cellhouse .................................. 14,000,000
ILLINOIS YOUTH CENTER - ST. CHARLES - KANE COUNTY
For constructing an R & C building
and other improvements ....................... 34,000,000
For upgrading plumbing system and replacing
toilets and sinks ............................ 675,000
LOGAN CORRECTIONAL CENTER - LINCOLN
For constructing a medical building
and dietary building ......................... 11,000,000
MENARD CORRECTIONAL CENTER - RANDOLPH COUNTY
For stabilizing dam, in addition to funds
previously appropriated ...................... 510,000
For correcting slope failure & MSU
improvements ................................. 875,000
For upgrading electrical distribution
system ....................................... 2,500,000
For replacing the HVAC system .................. 550,000
PONTIAC CORRECTIONAL CENTER - LIVINGSTON COUNTY
For expanding the main sally port .............. 400,000
For renovating the exterior of North/
South Cellhouses ............................. 600,000
SHERIDAN CORRECTIONAL CENTER
For upgrading the storm sewers ................. 115,000
STATEVILLE CORRECTIONAL CENTER - JOLIET
For planning and beginning renovation of
H & I houses ................................. 500,000
For replacing the water line ................... 3,320,000
For upgrading electrical system in
"B" House .................................... 1,500,000
VANDALIA CORRECTIONAL CENTER
[February 16, 2001] 68
For constructing a multi-purpose program
building ..................................... 1,300,000
For converting Administration Building and
planning construction of an Administration/
Health Care Unit ............................. 800,000
For upgrading the primary water
distribution system .......................... 1,300,000
WESTERN ILLINOIS CORRECTIONAL CENTER - MT. STERLING
For replacing warehouse freezers ............... 150,000
Total, Section 3 $231,355,000
(P.A. 91-708, Art. 1, Sec. 7)
Sec. 7. The following named amounts, or so much thereof
as may be necessary, are appropriated from the Capital
Development Fund to the Capital Development Board for the
Department of Natural Resources for the projects hereinafter
enumerated:
STATEWIDE PROGRAM
For fabrication of visitors centers
exhibit ...................................... $ 700,000
For replacing and constructing vault
toilets at the following locations,
at the approximate cost set forth
below ........................................ 1,805,000
Wayne Fitzgerrell State Park .........414,000
Goose Lake Prairie State Park .........71,000
Wolf Creek State Park ................805,000
Hennepin Canal Parkway
State Trail ..........................435,000
Kaskaskia River Fish &
Wildlife Area .........................80,000
For providing dump stations.................. 200,000
For rehabilitating bridges at the
following locations, at the approximate
cost set forth below ......................... 1,076,000
Rock Island Trail ....................681,000
Frank Holten State Park ..............300,000
Horseshoe Lake State Park .............70,000
Castle Rock State Park ................25,000
For rehabilitating dams at the
following locations, at the
approximate cost set forth below ............. 1,435,000
Ramsey Lake State Park ...............535,000
Rock Cut State Park ..................450,000
Snakeden Hollow State Park ...........450,000
For replacing roofs at the following
locations, at the approximate
cost set forth below ......................... 1,384,000
Southern IL Arts &
Crafts Center .......................290,000
Frank Holten State Park ...............28,000
DNR Geological Survey-
Champaign ...........................124,000
Sangchris Lake State
Park .................................50,000
Illini State Park ....................125,000
Shelbyville Fish &
Wildlife Area .......................100,000
Trail of Tears State
Forest ..............................219,000
Sanganois Conservation Area ...........48,000
Rice Lake State Park .................125,000
Hidden Spring State Park ..............67,000
Siloam Springs State Park .............48,000
Mississippi Palisades
State Park ..........................160,000
CASTLE ROCK STATE PARK - OGLE COUNTY
69 [February 16, 2001]
For replacing maintenance building ............. 434,000
FORT MASSAC STATE PARK - MASSAC COUNTY
For reconstructing the fort .................... 4,300,000
GEOLOGICAL SURVEY-CHAMPAIGN
For constructing two pole
storage buildings ............................ 322,000
HENNEPIN CANAL PARKWAY STATE PARK
For rehabilitating aqueducts
#3, #4 and #8 ................................ 750,000
ILLINOIS BEACH STATE PARK - LAKE COUNTY
For replacing sanitary sewer line .............. 545,300
KASKASKIA RIVER FISH & WILDLIFE AREA
For providing electrical service ............... 106,000
KICKAPOO STATE PARK - VERMILION COUNTY
For rehabilitating the water
system and day-use areas ..................... 1,041,000
LAKE CALUMET
For acquiring land, planning and beginning
construction of a Visitors Center ............ 3,000,000
LAKE MURPHYSBORO STATE PARK - JACKSON COUNTY
For replacing the district office
building ..................................... 499,000
LINCOLN TRAIL STATE PARK - CLARK COUNTY
For renovating the concession
building ..................................... 815,000
LINCOLN TRAIL STATE PARK - CLARK COUNTY
For upgrading campground electrical
and drainage ................................. 460,000
LITTLE GRASSY FISH HATCHERY - WILLIAMSON COUNTY
For improving drainage discharge ............... 250,000
MASON STATE FOREST TREE NURSERY
For expanding the cold storage facility ........ 638,000
MASON STATE FOREST TREE NURSERY
For expanding the seed cleaning facility ....... 662,000
MORRISON-ROCKWOOD STATE PARK
For improving the water system
and rehabilitating the campground water ...... 418,000
NATURAL HISTORY SURVEY - HAVANA
For renovating Forbes Biological Station ....... 683,000
PRAIRIE RIDGE SANCTUARY NATURAL AREA
For replacing the Service & Hazardous
Materials buildings and installing a fuel
tank ......................................... 366,000
RESEARCH & COLLECTIONS CENTER - SPRINGFIELD
For renovating the interior .................... 991,000
ROCK CUT STATE PARK - WINNEBAGO COUNTY
For upgrading the sewage system ................ 2,409,000
NEW OFFICE BUILDING - SPRINGFIELD
For completing construction of an
office building, in addition to funds
previously appropriated ...................... 2,000,000
WASTE MANAGEMENT & RESEARCH CENTER
For constructing a garage and
storage area ................................. 394,000
WATER SURVEY - CHAMPAIGN
For constructing a vehicle maintenance
and shop building ............................ 3,568,000
WILDLIFE PRAIRIE PARK
For planning and beginning the upgrade
of the park .................................. 1,000,000
Total, Section 7 $32,251,300
(P.A. 91-708, Art. 1, new Sec. 7.3)
Sec. 7.3. The sum of $3,000,000, or so much thereof as
may be necessary, is appropriated from the Capital
Development Fund to the Capital Development Board for a grant
to the City of Chicago for acquiring land, planning and
[February 16, 2001] 70
beginning construction of a visitor center at Lake Calumet.
(P.A. 91-708, Art. 1, new Sec. 14.1)
Sec. 14.1. The sum of $8,300,000, or so much thereof as
may be necessary, is appropriated from the Capital
Development Fund to the Capital Development Board for the
Office of the Secretary of State to construct a parking
garage.
(P.A. 91-708, Art. 1, new Sec. 38)
Sec. 38. The sum of $100,000, or so much thereof as may
be necessary, is appropriated from the Capital Development
Fund to the Capital Development Board for the repaving of
23rd Street from Nameoki Road to Route 162 in Granite City.
(P.A. 91-708, Art. 1, new Sec. 39)
Sec. 39. The sum of $100,000, or so much thereof as may
be necessary, is appropriated from the Capital Development
Fund to the Capital Development Board for the resurfacing of
Arlington Drive in Nameoki Township.
Section 20. "AN ACT making appropriations and
reappropriations," Public Act 91-708, approved May 17, 2000,
is amended by changing Sections 2, 6, 9, 11 and 96, and
adding new Section 97 to Article 2 as follows:
(P.A. 91-708, Art. 2, Sec. 2)
Sec. 2. The following named amounts, or so much thereof
as may be necessary and remain unexpended at the close of
business on June 30, 2000, from appropriations and
reappropriations heretofore made for such purposes in Article
27, Section 11 and Article 28, Sections 2 and 13 of Public
Act 91-20, are reappropriated from the Capital Development
Fund to the Capital Development Board for the Courts of
Illinois for the projects hereinafter enumerated:
MT. VERNON APPELLATE COURT BUILDING
(From Article 28, Section 13 of Public Act 91-20)
For expanding the courthouse ................... 1,531,730
For expanding the courthouse, in
addition to funds previously
appropriated ..........................792,000
SECOND DISTRICT APPELLATE COURT BUILDING - ELGIN
(From Article 28, Section 2 of Public Act 91-20)
For replacing the roof ......................... $ 17,994
SPRINGFIELD - SUPREME COURT BUILDING
(From Article 27, Section 11 of Public Act 91-20)
For installing humidifier and water
filtration systems ........................... 1,600,000
For upgrading the library, in
addition to funds previously appropriated .... 450,000
(From Article 28, Section 13 of Public Act 91-20)
For replacing plumbing system .................. 917,599
(From Article 28, Section 2 of Public Act 91-20)
For planning and beginning the
library upgrade .............................. 62,411
THIRD DISTRICT APPELLATE COURT - OTTAWA
(From Article 27, Section 11 of Public Act 91-20)
For replacing the Annex roof ................... 50,000
Total, Section 2 $4,629,734
(P.A. 91-708, Art. 2, Sec. 6)
Sec. 6. The following named amounts, or so much thereof
as may be necessary and remain unexpended at the close of
business on June 30, 2000, from appropriations and
reappropriations heretofore made for such purposes in Article
27, Section 3, and Article 28, Section 5 of Public Act 91-20,
are reappropriated from the Capital Development Fund to the
Capital Development Board for the Department of Corrections
for the projects hereinafter enumerated:
(From Article 28, Section 5 of Public Act 91-20)
DANVILLE CORRECTIONAL CENTER
71 [February 16, 2001]
For renovation of interior and
exterior walls, in addition to
funds previously appropriated
less the amount of $797,148 .................. $ 951,766
For correction of construction defects ......... 249,801
DECATUR WOMEN'S CORRECTIONAL CENTER
For the planning and conversion of
Meyer Mental Health Center into a
correctional facility ........................ 2,666,025
DIXON CORRECTIONAL CENTER
For renovation of the groundwater storage
tank and abatement of crawlspace
pipes in Buildings 26, 27 and 29 ............. 57,817
For upgrading the steam distribution system
and replacement of the boiler system
including asbestos abatement ................. 87,937
DWIGHT CORRECTIONAL CENTER
(From Article 27, Section 3 of Public Act 91-20)
For upgrading the water treatment plant ........ 1,000,000
(From Article 28, Section 5 of Public Act 91-20)
For upgrading water and sewer systems .......... 87,370
For renovating buildings, in addition
to funds previously appropriated ............. 416,122
For constructing a gatehouse and
sally port and upgrading the
security system .............................. 1,972,120
For completion of medical unit,
in addition to funds previously
appropriated ................................. 95,528
For planning the expansion of the
Education Building and constructing
a dietary and a warehouse .................... 1,503,268
For renovation of buildings .................... 68,161
EAST MOLINE CORRECTIONAL CENTER
(From Article 27, Section 3 of Public Act 91-20)
For upgrading fire alarm and building
automation systems ........................... 900,000
(From Article 28, Section 5 of Public Act 91-20)
For upgrading the electrical
system ....................................... 1,250,312
For upgrading locking system, in addition
to funds previously appropriated ............. 13,911
HANNA CITY WORK CAMP
For upgrading electrical system ................ 582,628
HILL CORRECTIONAL CENTER - GALESBURG
For upgrading and expanding freezer
capacity, in addition to funds
previously appropriated ...................... 207,942
For replacing domestic water lines ............. 365,398
ILLINOIS YOUTH CENTER - ST. CHARLES
For planning and beginning the upgrade
of existing facility ......................... 512,982
ILLINOIS YOUTH CENTER - HARRISBURG
(From Article 27, Section 3 of Public Act 91-20)
For upgrading mechanical control system ........ 515,000
(From Article 28, Section 5 of Public Act 91-20)
For upgrading the domestic water system ........ 137,253
For upgrading the HVAC system .................. 68,674
ILLINOIS YOUTH CENTER - JOLIET
For planning, site improvements,
utility upgrade, equipment and all
costs necessary to construct a
housing unit and dietary facility ............ 80,303
For completing the upgrade of electrical
systems, in addition to funds
previously appropriated less the
[February 16, 2001] 72
amount of $153,051 ........................... 206,511
For upgrading the fire alarm system ............ 191,768
For completing the upgrade of the utilities, in
addition to funds previously appropriated .... 40,647
ILLINOIS YOUTH CENTER - VALLEY VIEW
(From Article 27, Section 3 of Public Act 91-20)
For replacing boilers, controls, hot
water heaters and softeners in
residential units and administration
building ..................................... 1,300,000
(From Article 28, Section 5 of Public Act 91-20)
For upgrading dormitory restrooms
and fixtures, in addition to
funds previously appropriated ................ 20,715
For planning and beginning the
upgrade of dormitory restrooms
and fixtures ................................. 52,014
(From Article 27, Section 3 of Public Act 91-20)
ILLINOIS YOUTH CENTER - WARRENVILLE
For rehabilitation of the administration
building ..................................... 791,000
(From Article 28, Section 5 of Public Act 91-20)
JOLIET CORRECTIONAL CENTER
For correcting erosion and
stabilizing the masonry wall ................. 1,738,700
For upgrading the power house and
installation of a generator .................. 108,292
For completing the west cellhouse renovation,
including asbestos abatement, in addition
to funds previously appropriated ............. 67,226
(From Article 27, Section 3 of Public Act 91-20)
LAWRENCE COUNTY CORRECTIONAL CENTER - LAWRENCEVILLE
For constructing two cellhouses, in
addition to funds previously appropriated .... 14,300,000
(From Article 28, Section 5 of Public Act 91-20)
LINCOLN CORRECTIONAL CENTER
For upgrading the locking systems and doors .... 42,374
For renovation of the Dietary, construction
of a cooler addition and installation
of blast chillers ............................ 424,037
LOGAN CORRECTIONAL CENTER
For planning and beginning replacement
of the Dietary and Medical Buildings ......... 380,350
For renovation of sewer system ................. 135,872
For renovation of the water tower .............. 94,886
For rehabilitation of the roof ventilation
systems ...................................... 77,948
MENARD CORRECTIONAL CENTER - CHESTER
(From Article 27, Section 3 of Public Act 91-20)
For improving ventilation and dehumidification
systems in the kitchen and dining rooms ...... 500,000
For replacing shower room and guard tower ...... 500,000
For upgrading mechanical bar screen and storm
and sanitary sewer system .................... 1,300,000
(From Article 28, Section 5 of Public Act 91-20)
For completing the upgrade of roads and
sidewalks, in addition to funds
previously appropriated ...................... 104,292
For completing upgrade of North Cellhouse
plumbing system, in addition to funds
previously appropriated ...................... 386,343
For planning and beginning upgrade
of the storm tunnel .......................... 100,000
For replacing toilets and waste lines
at E/W Cellhouse and upgrade
North Cellhouse plumbing...................... 2,539,696
73 [February 16, 2001]
For renovation or replacement of the
Old Hospital Building, in addition to
funds previously appropriated ................ 4,700,000
For replacing and installing
water storage tank ........................... 581,148
For replacing Boiler #2, in addition
to funds previously appropriated ............. 624,899
For converting a room into a shower room ....... 50,321
For upgrading roads and sidewalks .............. 24,763
For upgrading the coal handling system
and repair or replace boiler system .......... 40,851
For conversion of the Maintenance Building
to an inmate dormitory ....................... 35,345
For upgrading the steam and water distribution
systems, in addition to funds previously
appropriated ................................. 129,742
For replacement of the chimney stack and
boilers, in addition to funds previously
appropriated ................................. 87,501
For replacement of hot water heaters and
deairing tanks ............................... 110,000
For planning and beginning the
renovation of the old
hospital building ............................ 73,792
For renovation of elements of the power
plants, including the main generator ......... 22,982
For planning and beginning the
renovation of the Administration Building .... 15,604
For planning and construction of the
Administration Building ...................... 1,200,000
PONTIAC CORRECTIONAL CENTER
For completing replacement of hot water
lines, in addition to funds previously
appropriated ................................. 1,100,000
For renovation of main sally port .............. 279,377
(From Article 27, Section 3 of Public Act 91-20)
SHERIDAN CORRECTIONAL CENTER
For replacing doors and locks .................. 150,000
STATEVILLE CORRECTIONAL CENTER - JOLIET
For constructing a housing unit, cellhouse,
vehicle maintenance building and
warehouse for the reception and
classification center, in addition to
funds previously appropriated ................ 28,500,000
For replacing windows in B House ............... 3,000,000
For replacing cell fronts in F House ........... 1,000,000
For upgrading plumbing system in F House,
in addition to funds previously
appropriated ................................. 3,500,000
(From Article 28, Section 5 of Public Act 91-20)
For replacing power plant and
utility distribution system .................. 10,000,000
For planning, design, construction,
equipment and all other necessary costs
for an Adult Reception and Classification
Center ....................................... 44,000,000
For upgrading storm drainage and
wastewater systems ........................... 1,187,719
For upgrading electrical system and elevator
and installing HVAC system ................... 1,200,000
For replacement of the MSU ..................... 5,856,379
For upgrading the doors, locks and hardware
in B Cellhouse ............................... 27,509
(From Article 27, Section 3 of Public Act 91-20)
TAYLORVILLE CORRECTIONAL CENTER
For upgrading shower ventilation system ........ 250,000
[February 16, 2001] 74
THOMSON CORRECTIONAL CENTER
For constructing three cellhouses and
expanding educational and vocational
space, in addition to funds previously
appropriated, less the amount of
$8,300,000 ................................... 38,140,175
VANDALIA CORRECTIONAL CENTER
For planning and beginning construction
for a slaughter house and meat plant ......... 500,000
For repairing exterior masonry, in addition
to funds previously appropriated ............. 750,000
(From Article 28, Section 5 of Public Act 91-20)
For renovation of dormitory shower rooms ....... 209,803
VIENNA CORRECTIONAL CENTER
(From Article 27, Section 3 of Public Act 91-20)
For replacing windows, in addition to
funds previously appropriated ................ 800,000
(From Article 28, Section 5 of Public Act 91-20)
For completing upgrade of the steam
distribution system, in addition to
funds previously appropriated ................ 844,021
For upgrading electrical system and
installing emergency generator ............... 1,138,148
For renovating the kitchen ..................... 1,881,524
For upgrading the steam distribution system
and renovation of Powerhouse, in addition
to funds previously appropriated ............. 459,890
For installation of security fencing ........... 31,675
For upgrading air conditioning system
and replacement of cooling tower ............. 564,684
For upgrading the electrical, plumbing and
HVAC systems in four buildings ............... 139,651
For completing the rehabilitation of duct
systems and walls, in addition to funds
previously appropriated ...................... 208,115
STATEWIDE
(From Article 27, Section 3 of Public Act 91-20)
For planning, design, construction, equipment
and all other necessary costs for a
female multi-security level
correctional center .......................... 80,000,000
For replacing roofing systems at the
following locations at the approximate
cost set forth below ......................... 1,100,000
Vienna Correctional Center ..........500,000
Sheridan Correctional Center ........600,000
For replacing or installing mechanical bar
screens at the following locations at the
approximate cost set forth below ............. 690,000
Graham Correctional Center -
Hillsboro ..........................340,000
Western Illinois Correctional
Center - Mt. Sterling ..............350,000
For upgrading security control systems and
panels in housing units at the following
locations at the approximate cost set
forth below .................................. 4,850,000
Danville Correctional Center ........500,000
Hill Correctional Center -
Galesburg ........................1,500,000
Western Illinois Correctional
Center - Mt. Sterling ..............675,000
Illinois River Correctional
Center - Canton ....................675,000
Shawnee Correctional Center -
Vienna ...........................1,500,000
75 [February 16, 2001]
(From Article 28, Section 5 of Public Act 91-20)
For planning, design, construction,
equipment and all other necessary costs
for a juvenile facility ...................... 19,657,100
For replacing locks and doors at the
following locations at the approximate
cost set forth below ......................... 952,203
Dwight Correctional Center ......... 112,000
Illinois River Correctional
Center - Canton .................... 29,000
IYC - Joliet ....................... 680,803
IYC - Pere Marquette - Grafton ..... 130,400
For replacing roofing systems at the following
locations at the approximate cost set forth
below ........................................ 1,273,264
Dixon Correctional Center,
four buildings .................... 649,764
IYC - St. Charles, two buildings ... 200,000
Joliet Correctional Center,
six buildings ..................... 285,000
Logan Correctional Center - Lincoln
three buildings ..................... 9,000
Menard Correctional Center - Chester
six buildings ...................... 69,000
Pontiac Correctional Center,
one building ....................... 60,500
For inspecting and upgrading water towers
at the following locations at the approximate
costs set forth below ........................ 3,182,971
Dixon Correctional Center,
Upgrade Water Tower ............. 1,000,000
Graham Correctional Center - Hillsboro
Upgrade Water Tower .............. 215,000
Joliet Correctional Center,
Upgrade Water Tower ............... 150,000
Logan Correctional Center - Lincoln
Complete Water Tower Upgrade ..... 600,000
Menard Correctional Center - Chester
Upgrade Water Tower .............. 325,000
Stateville Correctional Center - Joliet
Upgrade Water Tower ............ 1,000,000
Statewide, Inspect and Upgrade
Water Towers ...................... 300,000
For upgrading fire and safety systems at
the following locations at the approximate
costs set forth below, in addition to
funds previously appropriated ................ 3,370,000
Menard Correctional Center -
Chester ......................... 2,200,000
Sheridan Correctional Center ....... 320,000
Vienna Correctional Center ......... 850,000
For replacing roofing systems at the
following locations at the approximate
costs set forth below: ....................... 353,102
Big Muddy Correctional Center, Ina
Two buildings ........................ 1,000
East Moline Correctional Center,
Three buildings .................... 246,102
Graham Correctional Center, Hillsboro
Seven buildings ..................... 87,000
Sheridan Correctional Center, LaSalle
Three buildings ..................... 18,000
Stateville Correctional Center, Joliet
One building ......................... 1,000
For replacing doors and locks at the
following locations at the approximate
[February 16, 2001] 76
costs set forth below: ....................... 992,476
IYC - St. Charles ................... 363,000
Lincoln Correctional Center ......... 350,000
Jacksonville Correctional Center .... 128,000
Sheridan Correctional Center ........ 151,476
For upgrading fire safety systems at the
following locations at the approximate
costs set forth below, in addition to
funds previously appropriated: ............... 5,433,479
Menard Correctional Center .......... 933,479
Pontiac Correctional Center ....... 3,000,000
Stateville Correctional Center .... 1,500,000
For upgrading water and wastewater
systems at the following locations
at the approximate costs set forth below: .... 2,418,683
Big Muddy Correctional Center
for installing mechanical
bar screen ......................... 172,000
Centralia Correctional Center
for upgrading water
treatment plant .................. 1,465,183
East Moline Correctional Center
for upgrading sewer system ........... 5,000
Ed Jenison Work Camp (Paris)
for installing mechanical
bar screen ......................... 105,000
IYC - Harrisburg for upgrading
water distribution system .......... 204,000
Kankakee MSU for constructing
well #2 ............................ 300,500
IYC - St. Charles for upgrading
sewage/storm system ................ 143,000
IYC - Valley View for installing
mechanical bar screen ............... 24,000
For correction of deficiencies in
water systems at three correctional
facilities ................................... 100,000
For replacement of locks, windows and
doors at the following locations
as set forth below: .......................... 1,152,730
Dwight ................................ 6,500
IYC Harrisburg ...................... 105,000
IYC Joliet .......................... 435,000
Menard .............................. 350,230
Pontiac .............................. 78,000
IYC Valley View ..................... 101,000
Vienna ............................... 77,000
For planning, design, construction,
equipment and other necessary costs
for a Maximum Security Correctional
Center, in addition to funds previously
appropriated ................................. 78,807,420
For planning, design, construction,
equipment and other necessary costs
for a Correctional Facility for
juveniles .................................... 28,086,248
For planning, design, construction,
equipment and other necessary costs
for a Medium Security Correctional
Facility ..................................... 39,909,597
For planning, construction, utilities, site
improvements, equipment and other expenses
necessary for the construction of a close
supervision super maximum security prison .... 173,561
For upgrading for fire safety at five
locations and replacing boilers............... 27,567
77 [February 16, 2001]
For correcting defects in the food preparation
areas, including roofs ....................... 125,979
For renovation and improvements at various
correctional facilities at the approximate
costs set forth below: ....................... 117,693
Roof Replacement ......................70,000
Road Repavement .......................47,693
For replacement of cell doors and locks
and rehabilitation of locking systems at
the following locations at the approximate
costs set forth below: ....................... 118,902
Kankakee MSU
For rehabilitation of locking
systems .............................118,902
For renovation of roads and parking lots
and replacement of boilers at the
following locations at the approximate
costs set forth below ........................ 42,785
Dixon Correctional Center
For roads and parking .................6,000
Logan Correctional Center
For roads and parking .................5,656
Menard Correctional Center
For roads and parking and
replacement of boilers...............22,929
Vienna Correctional Center
For roads .............................8,200
For replacement of roofs at various Department of
Corrections locations ........................ 118,405
For roof replacement at the following
locations at the approximate costs
set forth below: ............................. 179,543
Graham Correctional Center
Five buildings ........................6,543
Graham Correctional Center
Thirty-two buildings ..................6,000
Menard Correctional Center
Warehouse Building ...................26,000
Menard Correctional Center
Five buildings .......................55,000
Pontiac Correctional Center
Eight buildings .......................6,500
Illinois Youth Center-St. Charles
Three buildings ......................15,500
Sheridan Correctional Center
Six buildings ........................16,000
Stateville Correctional Center
Seven buildings ......................24,000
Ill Youth Center-Valley View
Administration Building and
Kitchen Addition ....................24,000 ____________
Total, Section 6 $464,595,875
(P.A. 91-708, Art. 2, Sec. 9)
Sec. 9. The following named amounts, or so much thereof
as may be necessary and remain unexpended at the close of
business on June 30, 2000, from appropriations and
reappropriations heretofore made for such purposes in Article
27, Section 5, and Article 28, Section 8 of Public Act 91-20,
are reappropriated from the Capital Development Fund to the
Capital Development Board for the Department of Human
Services for the projects hereinafter enumerated:
ALTON MENTAL HEALTH CENTER - MADISON COUNTY
(From Article 28, Section 8 of Public Act 91-20)
For constructing two building additions
at the Forensic Complex ...................... $ 11,745,592
For rehabilitation of the central dietary ...... 1,803,719
[February 16, 2001] 78
CHESTER MENTAL HEALTH CENTER
(From Article 27, Section 5 of Public Act 91-20)
For upgrading access control/duress system ..... $ 1,500,000
(From Article 28, Section 8 of Public Act 91-20)
For renovating kitchen area .................... 924,766
For replacing fencing and upgrading
recreational yard ............................ 383,073
For renovating support and residential
area ......................................... 3,740,527
For construction of a storage building ........ 25,003
SCHOOL OF PUBLIC HEALTH AND PSYCHIATRIC INSTITUTE
For planning and renovation of residential
and program units for children and
adolescent services .......................... 794,770
CHICAGO READ MENTAL HEALTH CENTER - CHICAGO
For upgrading fire/life safety systems, in
addition to funds previously appropriated .... 235,000
For renovating residential units, in
addition to funds previously
appropriated ................................. 2,171,000
For renovation of utility rooms and installation
of drinking fountains ........................ 56,815
For renovation of the West Campus Nurses'
Stations ..................................... 308,034
For renovation of Henry Horner Children's
Center and West Campus for fire and
life safety codes ............................ 364,926
For renovation of the West Campus shower
and toilet rooms ............................. 253,620
For rehabilitation of the bathroom shower
walls in ten buildings ....................... 16,780
CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER - ANNA
For rehabilitating or replacing the
Cypress Building ............................. 1,512,106
For completing HVAC system upgrade,
in addition to funds previously
appropriated ................................. 1,242,427
For upgrading the mechanical equipment,
in addition to funds previously
appropriated ................................. 42,362
For renovating a residential building,
in addition to funds previously
appropriated ................................. 28,215
For upgrading the mechanical equipment,
in addition to funds previously
appropriated ................................. 20,743
ELGIN MENTAL HEALTH CENTER - KANE COUNTY
For replacing power plant and engineering
building ..................................... 8,029,000
For renovating the central dietary
and kitchen .................................. 3,943,200
For construction of an Adult Psychiatric
Building, in addition to funds previously
appropriated ................................. 3,681,000
For construction of roads, parking lots
and street lights ............................ 2,341,783
For upgrading and expanding the mechanical
infrastructure, in addition to funds
previously appropriated ...................... 3,298,701
For construction of a forensic services complex
at Elgin Mental Health Center, in addition
to funds previously appropriated ............. 3,489,690
For construction of a forensic services
complex, in addition to funds previously
appropriated ................................. 150,050
For renovation of the HVAC systems,
79 [February 16, 2001]
replacement of windows and installation
of security screens, in addition
to funds previously appropriated ............. 2,062,047
For construction of a Forensic Services
Facility, in addition to funds
previously appropriated ..................... 275,052
For upgrading and expanding mechanical
infrastructure, in addition to funds
previously appropriated ...................... 11,522
For upgrading for fire and life safety ......... 167,937
For planning the renovation of the Forensic
Building and abating asbestos ................ 237,723
For renovation of the Central Stores
Building ..................................... 85,679
For the demolition of the Old Main Building
and construction of an Adult
Psychiatric Center ........................... 316,085
FOX DEVELOPMENTAL CENTER - DWIGHT
(From Article 27, Section 5 of Public Act 91-20)
For upgrading electrical system and installing
an emergency generator ....................... 842,000
(From Article 28, Section 8 of Public Act 91-20)
For renovating dietary, in addition
to funds previously appropriated ............. 67,876
For replacement of absorbers and
upgrading HVAC system ........................ 709,522
For renovation of Building #8 and
window replacement of Building
#1, in addition to funds
previously appropriated ...................... 108,533
HOWE DEVELOPMENTAL CENTER - TINLEY PARK
(From Article 27, Section 5 of Public Act 91-20)
For renovating residences, in addition to
funds previously appropriated ................ 2,792,000
(From Article 28, Section 8 of Public Act 91-20)
For replacing roofs ............................ 21,272
For planning and beginning access
to water supply from village ................. 53,402
For planning and rehabilitation of
utility tunnels .............................. 68,825
For renovation of residential buildings ........ 2,468,404
For replacement of steam and
condensate lines ............................. 51,233
For renovation of the boilers in the power
plant ........................................ 29,856
ILLINOIS SCHOOL FOR THE DEAF - JACKSONVILLE
(From Article 27, Section 5 of Public Act 91-20)
For renovating the fire alarm systems, in
addition to funds previously appropriated .... 500,000
ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE
For installation of individual
package boilers, in addition
to funds previously appropriated ............. 400,000
JACKSONVILLE DEVELOPMENTAL CENTER - MORGAN COUNTY
For rehabilitating cooling towers at
the power plant .............................. 270,000
(From Article 28, Section 8 of Public Act 91-20)
For extending chilled water line ............... 173,967
For rehabilitation of bathrooms and
replacing doors .............................. 285,661
For rehabilitation of the electrical
distributions system, in addition to
Funds previously appropriated ................ 68,281
For installation of fire safety systems in
four buildings and replacement of a
code compliance generator .................... 43,611
[February 16, 2001] 80
KILEY DEVELOPMENTAL CENTER - WAUKEGAN
For renovating homes ........................... 129,786
For renovation of homes ........................ 18,771
LINCOLN DEVELOPMENTAL CENTER - LOGAN COUNTY
For upgrading power plant and installing
EMS, in addition to funds previously
appropriated ................................. 1,714,388
For renovating or replacing
Elmhurst Cottage ............................. 1,782,449
For renovating or replacing Elmhurst
Cottage, in addition to funds
previously appropriated .............1,351,795
For installation of a rethermalization food
service system, in addition to funds
previously appropriated ...................... 690,254
For upgrading the architectural and mechanical
systems, in addition to funds
previously appropriated ...................... 191,884
For installation of rethermalization food
service system ............................... 36,162
For upgrading the HVAC systems, including
chillers ..................................... 25,157
LUDEMAN DEVELOPMENTAL CENTER - PARK FOREST
(From Article 27, Section 5 of Public Act 91-20)
For renovating residential and neighborhood
homes, in addition to funds previously
appropriated ................................. 1,850,000
(From Article 28, Section 8 of Public Act 91-20)
For replacing plumbing, HVAC and
boiler systems ............................... 788,685
For renovation of residential buildings,
in addition to funds previously
appropriated ................................. 1,879,827
For rehabilitation of the roads and parking
areas and constructing walks ................. 123,928
For renovation of residences ................... 36,652
MADDEN MENTAL HEALTH CENTER - HINES
(From Article 27, Section 5 of Public Act 91-20)
For renovating pavilions for safety/
security, in addition to
funds previously appropriated ................ 1,200,000
(From Article 28, Section 8 of Public Act 91-20)
For renovating dietary ......................... 910,000
For renovation of pavilions, in addition
to funds previously appropriated ............. 818,745
For upgrading residences for safety and
security ..................................... 39,970
For replacement of a cooling tower and
chiller and installation of an emergency
generator .................................... 166,143
MCFARLAND MENTAL HEALTH CENTER - SPRINGFIELD
(From Article 27, Section 5 of Public Act 91-20)
For renovating Kennedy Hall .................... 2,500,000
(From Article 28, Section 8 of Public Act 91-20)
For renovating Stevenson Hall .................. 977,270
For replacement of the HVAC management
control panel, in addition to funds
previously appropriated ...................... 57,476
For rehabilitation of the dietary facility ..... 50,103
MURRAY DEVELOPMENTAL CENTER - CENTRALIA
(From Article 27, Section 5 of Public Act 91-20)
For replacing energy management system ......... 815,000
(From Article 28, Section 8 of Public Act 91-20)
For renovating Elm Cottage ..................... 1,915,878
SHAPIRO DEVELOPMENTAL CENTER - KANKAKEE
81 [February 16, 2001]
(From Article 27, Section 5 of Public Act 91-20)
For upgrading HVAC systems in four
residential buildings ........................ 1,210,000
(From Article 28, Section 8 of Public Act 91-20)
For planning and beginning the upgrade
of steam and condensate lines ................ 310,083
For rehabilitating HVAC system ................. 1,166,000
For replacing cooling towers and
rehabilitating absorbers ..................... 1,040,000
For completion of the HVAC system, in
addition to funds previously
appropriated ................................. 87,283
For replacement of boiler, in
addition to funds previously
appropriated ................................. 765,000
For replacement of water mains
and valves ................................... 466,192
For planning and beginning sewer and
manhole renovation ........................... 12,911
For rehabilitation of the boilers .............. 184,605
For planning and replacement of windows ........ 150,291
For upgrading fire safety systems in the
support buildings ............................ 99,204
For installation of air conditioning in
Building #704, in addition to funds
previously appropriated ...................... 75,695
For replacement of cooling towers in
Buildings #100A and #100B .................... 26,402
For installation of air conditioning in
Buildings #502 and #514 ...................... 37,554
SINGER MENTAL HEALTH CENTER - ROCKFORD
For replacing roofs ............................ 81,351
For renovating mechanicals and
residential areas ............................ 2,607,775
For replacement of absorbers ................... 156,150
TINLEY PARK MENTAL HEALTH CENTER
For upgrading fire/life safety systems
and bedroom lighting, in addition to
funds previously appropriated ................ 236,000
TINLEY PARK MENTAL HEALTH CENTER/
HOWE DEVELOPMENTAL CENTER
(From Article 28, Section 8 of Public Act 91-20)
For replacement of the bar screen and
renovating the sewer system, in
addition to funds previously appropriated .... 120,546
For rehabilitation of the electrical
distribution system, in addition to
funds previously appropriated ................ 817,980
For renovating and making mechanical
improvements to Spruce Hall and Maple Hall ... 66,894
For renovation for accessibility in four
buildings .................................... 137,036
For planning the sewer system renovation and
replacement of the rag catcher ............... 57,744
For renovation for fire and life safety in
three residences ............................. 153,206
For replacement of the windows in nine
buildings .................................... 24,246
ZELLER MENTAL HEALTH CENTER - PEORIA
(From Article 27, Section 5 of Public Act 91-20)
For upgrading HVAC and mechanical systems ...... 685,000
(From Article 28, Section 8 of Public Act 91-20)
For renovation of the nurses' stations,
in addition to funds previously
appropriated ................................. 737,149
For renovation of Nurses' Stations and
[February 16, 2001] 82
seclusion rooms .............................. 42,558
STATEWIDE
(From Article 27, Section 5 of Public Act 91-20)
For replacing and repairing roofing systems
at the following locations at the approximate
cost set forth below ......................... 2,310,000
Choate Developmental Center -
Anna ...............................300,000
Chicago-Read Mental Health Center ...100,000
Tinley Park Mental Health Center.....185,000
Illinois School for the Visually
Impaired - Jacksonville ............160,000
Shapiro Developmental Center -
Kankakee ...........................545,000
Kiley Developmental Center -
Waukegan ...........................300,000
Ludeman Developmental Center -
Park Forest ........................720,000
For upgrading roads at the following
locations at the approximate
cost set forth below ......................... 1,000,000
Howe Developmental Center -
Tinley Park ........................520,000
Shapiro Developmental Center -
Kankakee ...........................480,000
(From Article 28, Section 8 of Public Act 91-20)
For replacing roofing systems at the
following locations at the approximate
costs set forth below: ....................... 157,025
Elgin Mental Health Center,
five buildings .....................113,025
Jacksonville Mental Health and
Developmental Center,
two buildings........................44,000
For replacement of roofing systems at the
following locations at the approximate costs
set forth below: ............................. 679,960
Lincoln Development Center ...........79,960
Murray Developmental Center .........200,000
Elgin Developmental Center ..........200,000
Shapiro Developmental Center ........200,000
For construction of a forensic services complex
at Alton Mental Health Center and Elgin
Mental Health Center, in addition to funds
previously appropriated ...................... 36,901
For conducting the preliminary design
and to begin to construct, convert and/
or rehabilitate a forensic facility .......... 8,358
For upgrading roads and parking lots at
the following locations at the
approximate costs set forth below: ........... 34,740
McFarland Mental Health Ctr ...........5,544
Shapiro Developmental Center .........32,562
For rehabilitation of water towers -
Murray and Chester ........................... 230,341
For replacement of roofs at the following
locations at the approximate costs set
forth below: ................................. 412,632
Alton Mental Health Center -
Five buildings .....................50,000
Elgin Mental Health Center -
Three buildings ....................52,000
Lincoln Developmental Center -
Three buildings ....................80,000
Lincoln Developmental Center -
Four buildings ......................6,601
83 [February 16, 2001]
Ludeman Developmental Center -
Support buildings ..................50,000
Ludeman Developmental Center-
Residences .........................22,158
Mabley Developmental Center -
One building ......................103,517
Madden Mental Health Center -
Buildings and covered walkways ......5,000
McFarland Mental Health Center -
Three buildings .....................5,000
Meyer Mental Health Center -
One building ........................2,000
Shapiro Developmental Center -
Three buildings ...................187,000
Shapiro Developmental Center -
Two buildings ......................16,351
Shapiro Developmental Center -
Five buildings .....................67,831
Tinley Park Mental Health Center -
One building ........................7,252
Tinley Park Mental Health Center -
Oak Hall ...........................11,770
STATEWIDE - FIRE SAFETY
For installation of fire safety systems
(Formerly for Murray Developmental Center) ..... 14,516
For installation of fire safety systems
(Formerly for Lincoln Developmental Center) .... 30,888
To renovate fire safety systems, including
installation of sprinklers, at the following
locations at the approximate costs set
forth below: ................................. 325,247
Singer Mental Health Center .........325,247
For fire safety and other work necessary to meet
state and federal certification standards for
the following projects:
For installation of sprinkler systems at
Chicago-Read Mental Health Center .......... 44,484
Total, Section 9 $99,771,865
(P.A. 91-708, Art. 2, Sec. 11)
Sec. 11. The following named amounts, or so much thereof
as may be necessary and remain unexpended at the close of
business on June 30, 2000, from appropriations and
reappropriations heretofore made for such purposes in
Article 27, Section 7, and Article 28, Section 9 of Public
Act 91-20, are reappropriated from the Capital Development
Fund to the Capital Development Board for the Department of
Military Affairs for the projects hereinafter enumerated:
AURORA ARMORY
(From Article 28, Section 9 of Public Act 91-20)
For planning and beginning construction of
an armory .................................... $ 10,820
CAMP LINCOLN - SPRINGFIELD
For renovating heating system and
replacing windows ............................ 857,072
For construction of a military academy
facility ..................................... 638,820
For site improvements and construction for
a military academy facility, including
repair and reconstruction of access
roads and drives at Camp Lincoln ............. 24,062
For planning, design, site improvements, and
other costs associated with the conversion
of the old "Castle" or Commissary Building
for use as a military museum ................. 65,581
CARBONDALE ARMORY
[February 16, 2001] 84
For upgrading mechanical systems
less the amount of $792,000 .................. 868,328
(From Article 27, Section 7 of Public Act 91-20)
CHAMPAIGN ARMORY
For replacing roofing systems and
rehabilitating exterior walls ................ 300,000
(From Article 28, Section 9 of Public Act 91-20)
CRESTWOOD ARMORY
For replacing roofing system and
rehabilitating exterior ...................... 762,532
DANVILLE ARMORY
For planning and construction of a new armory .. 1,070,000
(From Article 27, Section 7 of Public Act 91-20)
DELAVAN ARMORY
For rehabilitating the exterior and
replacing roofing system ..................... 700,000
DIXON ARMORY - LEE COUNTY
(From Article 28, Section 9 of Public Act 91-20)
For upgrading mechanical and
electrical systems ........................... 1,754,805
DONNELLEY BUILDING
For the rehabilitation and renovation of
the Donnelley Building and purchase of
land for parking ............................. 149,701
GENERAL JONES ARMORY
For renovation of the exterior and interior,
mechanical areas and expansion of the
parking lot, in addition to amounts
previously appropriated ...................... 432,215
For replacement of the Assembly Hall
roofing system including its structural
system ....................................... 111,135
LITCHFIELD ARMORY
For rehabilitation of exterior and upgrading
the interior ................................. 7,017
MACHESNEY PARK ARMORY (ROCKFORD)
For the state's share for additional planning
and construction of an armory and
Organizational Maintenance Shop .............. 218,047
MARSEILLES ARMORY
For planning and beginning four
buildings and wastewater facilities .......... 7,444
NORTHWEST ARMORY - CHICAGO
For renovation of interior and exterior,
in addition to funds previously
appropriated for such purposes ............... 1,184,276
(From Article 27, Section 7 of Public Act 91-20)
PONTIAC ARMORY
For rehabilitating the exterior and
replacing the roofing system ................. 600,000
(From Article 28, Section 9 of Public Act 91-20)
ROCK ISLAND ARMORY
For construction of an armory and
maintenance shop ............................. 64,292
SALEM ARMORY - MARION COUNTY
For replacement of the boiler and
all domestic plumbing, piping and
fixtures, and upgrading of the
kitchen, including equipment ................. 209,179
SAUK AREA CAREER SCHOOL - CRESTWOOD
For the purchase and renovation of the
former Sauk Area Career School, converting
to an armory and upgrading the parking
lot .......................................... 84,023
STREATOR ARMORY - LASALLE COUNTY
85 [February 16, 2001]
(From Article 27, Section 7 of Public Act 91-20)
For replacing the roofing system and
tuckpointing walls ........................... 300,000
(From Article 28, Section 9 of Public Act 91-20)
For renovation of the mechanical
systems, in addition to funds
previously appropriated ...................... 98,936
WAUKEGAN ARMORY
For replacing roofing system ................... 250,897
WEST FRANKFORT ARMORY
For replacing roofs and rehabilitating
exterior ..................................... 1,142,213
WILLIAMSON COUNTY ARMORY
For providing the State's share for planning
and construction of a new armory, in
addition to amounts previously
appropriated ................................. 14,316
STATEWIDE
For replacement of roofs at the following
locations at the approximate costs set
forth below .................................. 115,420
Camp Lincoln - AGO Building .......115,420 ____________
Total, Section 11 $12,041,131
(P.A. 91-708, Art. 2, Sec. 96)
Sec. 96. The amount of $400,000 $500,000, or so much
thereof as may be necessary and remains unexpended at the
close of business on June 30, 2000, from an appropriation
heretofore made for such purposes in Article 27, Section 56
of Public Act 91-20, approved June 7, 1999, as amended, is
reappropriated from the Capital Development Fund to the
Capital Development Board for a grant to the Winnetka Park
District for the purpose of all costs associated with the
construction of a recreational center/ice arena.
(P.A. 91-708, Art. 2, new Sec. 97)
Sec. 97. The amount of $100,000, or so much thereof as
may be necessary, is appropriated to the Capital Development
Board from the Capital Development Fund to the North Suburban
Special Recreation Association for the purpose of all costs
associated with the recreation center, offices, ice arena and
for acquiring and developing an office.
Section 21. "AN ACT making appropriations and
reappropriations," Public Act 91-708, approved May 17, 2000,
is amended by changing Sections 36, 2-53, 4-1 and 5-1 of
Article 3 as follows:
(P.A. 91-708, Art. 3, Sec. 36)
Sec. 36. The amount of $15,552,100 $15,327,100, or so
much thereof as may be necessary, is appropriated from the
Build Illinois Bond Fund to the Department of Commerce and
Community Affairs for grants to units of local government,
educational facilities and not-for-profit organizations for
all costs associated with infrastructure improvements.
(P.A. 91-708, Art. 3, Sec. 2-53)
Sec. 2-53. The sum of $1,000,000 $1,225,000, or so much
thereof as may be necessary and remains unexpended at the
close of business on June 30, 2000, from an appropriation
heretofore made for such purpose in Article 40, Division I,
Section 2-53 of Public Act 91-20, as amended, is
reappropriated from the Build Illinois Bond Fund to the
Department of Commerce and Community Affairs for a grant to
the Village of Glendale Heights for water system
infrastructure and other community improvements.
(P.A. 91-708, Art. 3, Sec. 4-1)
Sec. 4-1. The sum of $75,000,000, or so much thereof as
may be necessary, (less $3,500,000 to be lapsed) and remains
unexpended at the close of business on June 30, 2000, from an
appropriation heretofore made for such purpose in Article 40,
[February 16, 2001] 86
Division I, Section 4-1 of Public Act 91-20, as amended, is
reappropriated from the Build Illinois Bond Fund to the
Department of Commerce and Community Affairs for grants to
governmental units and educational facilities and non-profit
organizations for all costs associated with but not limited
to infrastructure improvements.
(P.A. 91-708, Art. 3, Sec. 5-1)
Sec. 5-1. The sum of $75,000,000, or so much thereof as
may be necessary (less $3,500,000 to be lapsed) and remains
unexpended at the close of business on June 30, 2000, from
appropriations heretofore made for such purposes in Article
40, Division I, Section 5-1 of Public Act 91-20, as amended,
is reappropriated from the Build Illinois Bond Fund to the
Department of Commerce and Community Affairs for grants to
governmental units and educational facilities and non-profit
organizations for all costs associated with but not limited
to infrastructure improvements.
Section 22. "AN ACT making appropriations and
reappropriations," Public Act 91-707, approved May 17, 2000,
is amended by changing Section 1 of Article 3 as follows:
(P.A. 91-707, Art. 3, Sec. 1)
Sec. 1. The sum of $27,324,300 $17,324,300, or so much
thereof as may be necessary, is appropriated from the General
Revenue Fund for payment to the Board of the Comprehensive
Health Insurance Plan pursuant to subsection (b) of Section
12 of the Comprehensive Health Insurance Plan Act.
Section 23. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Sections 2, 3, 6 and 9 of Article 23
as follows:
(P.A. 91-706, Art. 23, Sec. 2)
Sec. 2. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated for
ordinary and contingent expenses to the Illinois Commerce
Commission, as follows:
PUBLIC UTILITIES
Payable from Public Utility Fund:
For Personal Services........... $ 11,701,600 $ 11,334,000
For Employee Retirement Contributions
Paid by Employer............... 441,500 453,600
For State Contributions to State
Employees' Retirement System... 1,186,200 1,156,200
For State Contributions to
Social Security................ 874,600 856,600
For Group Insurance............. 1,499,100 1,591,200
For Contractual Services...................... 1,426,300
For Travel.................................... 291,100
For Commodities............................... 51,000
For Printing ................................. 33,000
For Equipment................................. 22,100
For Electronic Data Processing ............... 695,700
For Telecommunications ......... 421,300 446,300
For Operation of Auto Equipment .............. 15,700
For Refunds .................................. 210,000
Payable from General Revenue Fund:
For legal costs associated with the
passage of "An Act to abolish
incinerator subsidies under the
retail rate law" ............................ 250,000
Total $19,119,200 $18,832,800
(P.A. 91-706, Art. 23, Sec. 3)
Sec. 3. The following named amounts, or so much thereof
as may be necessary, respectively, are appropriated to the
Illinois Commerce Commission:
TRANSPORTATION
Payable from Transportation Regulatory Fund:
87 [February 16, 2001]
For Personal Services......................... $ 4,750,500
For Employee Retirement Contributions
Paid by Employer............................. 201,700
For State Contributions to State
Employees' Retirement System................. 484,600
For State Contributions to
Social Security.............................. 315,900
For Group Insurance............. 605,400 650,400
For Contractual Services...................... 525,900
For Travel...................... 153,600 185,000
For Commodities............................... 47,000
For Printing ................................. 24,100
For Equipment................................. 310,900
For Electronic Data Processing ............... 863,900
For Telecommunications........................ 232,800
For Operation of Auto
Equipment ..................... 80,500 100,500
For Refunds..................... 20,000 45,000
Total $8,616,800 $8,738,200
(P.A. 91-706, Art. 23, Sec. 6)
Sec. 6. The sum of $1,360,000 $1,400,000, or so much
thereof as may be necessary, is appropriated from the Public
Utility Fund to assist the Illinois Commerce Commission in
implementing the Electric Service Customer Choice and Rate
Relief Law of 1997.
(P.A. 91-706, Art. 23, Sec. 9)
Sec. 9. The sum of $475,000 $600,000, or so much thereof
as may be necessary, is appropriated from the Transportation
Regulatory Fund to assist the Illinois Commerce Commission in
planning, developing, and implementing a multi-agency "one
stop" electronic credentialing system for commercial vehicles
operating to, from, and through Illinois.
Section 24. "AN ACT making appropriations and
reappropriations," Public Act 91-708, approved May 17, 2000,
is amended by adding new Section 1a to Article 5 as follows:
(P.A. 91-708, Art. 5, new Sec. 1a)
Section 1a. The amount of $100,000 is appropriated from
the General Revenue Fund to the Court of Claims for payment
to Maureen Prendergast, the widow of Fire Captain Thomas
Prendergast, who suffered fatal injuries in the line of duty,
as determined in Claim Number 00-CC-0935, filed pursuant to
the "Law Enforcement Officer and Fireman Compensation Act".
Section 25. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 30 of Article 30 as follows:
(P.A. 91-706, Art. 30, Sec. 30)
Sec. 30. The following named sums, or so much therefore
as may be necessary, are appropriated to the Environmental
Protection Agency for conducting a household hazardous waste
collection program, including costs from prior years:
Payable from the Solid Waste
Management Fund................................. $1,200,000
Payable from the General
Revenue Fund...................... $2,000,000 $1,000,000
Section 26. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 3b of Article 39 as follows:
(P.A. 91-706, Art. 39, Sec. 3b)
Sec. 3b. The amount of $1,284,780 $325,300, or so much
thereof as may be necessary and remains unexpended at the
close of business on June 30, 2000, from the appropriation
heretofore made in Public Act 91-23, Article 15, Section 3b,
approved June 9, 1999, is reappropriated from the General
Revenue Fund to the Prairie State 2000 Authority for training
grants and loans to eligible employers entered into during
the 1999 fiscal year.
[February 16, 2001] 88
Section 27. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by adding new Section 65 to Article 53 as follows:
(P.A. 91-706, Art. 53, new Sec. 65)
Sec. 65. The sum of $105,500, or so much thereof as may
be necessary, is appropriated for the ordinary and contingent
expenses of the Senate Operations Commission including the
planning costs, construction costs, moving expenses and all
other costs associated with the construction and
reconstruction of Senate Offices in the Capitol Complex area.
Section 28. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 1 and adding new Section 3 to
Article 70 as follows:
(P.A. 91-706, Art. 70, Sec. 1)
Sec. 1. The following named amounts, or so much thereof
as may be necessary, respectively, for the objects and
purposes hereinafter named, are appropriated from the General
Revenue Fund to meet the ordinary and contingent expenses of
the Office of the Lieutenant Governor:
GENERAL OFFICE
For Personal Services ........................ $ 1,408,000
For Employee Retirement Contributions
Paid by Employer ............................ 56,000
For State Contributions to State
Employees' Retirement System ................ 140,800
For State Contributions to
Social Security ............................. 107,000
For Contractual Services ..................... 509,000
For Travel ................................... 85,000
For Commodities .............................. 25,000
For Printing ................................. 30,000
For Equipment ................................ 7,800
For Electronic Data Processing ............... 69,400
For Telecommunications Services .............. 86,500
For Operational and Grant
Ordinary and Contingent Expenses
of the Rural Affairs Council ................ 307,000
Total $2,831,500
The amount of $200,000, or so much thereof as may be
necessary, is appropriated from the General Revenue Fund to
the Office of the Lieutenant Governor for the ordinary and
contingent expenses of the Illinois River Coordination
Council.
(P.A. 91-706, Art. 70, new Sec. 3)
Sec. 3. The sum of $50,000, or so much thereof as may be
necessary, is appropriated from the Lieutenant Governor's
Grant Fund to the Office of the Lieutenant Governor to be
expended in accordance with the terms and conditions upon
which such funds were received and in the exercise of the
powers or performance of the duties of the Office of the
Lieutenant Governor.
Section 29. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Section 1 of Article 71 as follows:
(P.A. 91-706, Art. 71, Sec. 1)
Sec. 1. The following named sums, or so much thereof as
may be necessary, respectively, are appropriated to the
Attorney General to meet the ordinary and contingent expenses
of the following divisions of the Office of the Attorney
General:
GENERAL OFFICE
For Personal Services........................... $26,867,600
For State Contribution to State
Employees Retirement System................. 2,690,400
For State Contribution to Social Security....... 2,023,400
89 [February 16, 2001]
For Employees Retirement Contributions
Paid by Employer............................ 1,077,700
For Contractual Services........................ 2,498,000
For Contractual Services
Expert Witnesses............................ 100,000
For Contractual Services for
Expenses Authorized Pursuant
to Senate Bill 1975 of the
91st General Assembly ...............100,000
For Travel...................................... 490,000
For Commodities................................. 190,000
For Printing.................................... 120,000
For Equipment................................... 500,000
For Electronic Data Processing.................. 1,625,000
For Telecommunications.......................... 740,000
For Operation of Auto Equipment................. 84,000
For Expenses Incurred in Post Sentencing
Prosecution of all Cases of
Death Penalty............................... 175,000
For Expenses Incurred in Gang
Crime Prevention............................ 2,000,000
Total $41,181,100
Section 30. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Sections 5 and 240 of Article 72 as
follows:
(P.A. 91-706, Art. 72, Sec. 5)
Sec. 5. The following named amounts, or so much of those
amounts as may be necessary, respectively, for the objects
and purposes hereinafter named, are appropriated to the
Office of the Secretary of State to meet the ordinary,
contingent and distributive expenses of the following
organizational units of the Office of the Secretary of State:
EXECUTIVE GROUP
For Personal Services:
For Regular Positions:
Payable from General Revenue Fund ............. $ 4,164,200
For Extra Help:
Payable from General Revenue Fund ............. 38,200
For Employee Contribution to State
Employees' Retirement System:
Payable from General Revenue Fund ............ 3,882,500
Payable from Road Fund ....................... 1,706,400
Payable from Vehicle
Inspection Fund ............................. 42,700
For State Contribution to State
Employees' Retirement System:
Payable from General Revenue Fund ............ 420,300
For State Contribution to
Social Security:
Payable from General Revenue Fund ............ 336,000
For Contractual Services:
Payable from General Revenue Fund ............. 533,900
For Travel Expenses:
Payable from General Revenue Fund ............. 113,000
For Commodities:
Payable from General Revenue Fund ............. 45,300
For Printing:
Payable from General Revenue Fund ............. 12,700
For Equipment:
Payable from General Revenue Fund ............. 10,000
For Telecommunications:
Payable from General Revenue Fund ............ 176,500
GENERAL ADMINISTRATIVE GROUP
[February 16, 2001] 90
For Personal Services:
For Regular Positions:
Payable from General Revenue Fund ............. $40,730,400
Payable from Road Fund......................... 4,594,400
Payable from Securities Audit
and Enforcement Fund.......................... 2,405,900
Payable from Division of Corporations
Special Operations Fund....................... 477,300
Payable from Lobbyist Registration
Fund ......................................... 217,700
Payable from Registered Limited
Liability Partnership Fund.................... 63,700
For Extra Help:
Payable from General Revenue Fund ............. 665,400
Payable from Road Fund......................... 372,900
Payable from Securities Audit
and Enforcement Fund.......................... 11,400
Payable from Division of Corporations
Special Operations Fund....................... 19,800
For Employee Contribution to State
Employees' Retirement System:
Payable from Securities Audit
and Enforcement Fund......................... 96,200
Payable from Division of Corporations
Special Operations Fund...................... 19,800
Payable from Lobbyist Registration
Fund ........................................ 8,700
Payable from Registered Limited
Liability Partnership Fund................... 2,500
For State Contribution to
State Employees' Retirement System:
Payable from General Revenue
Fund ........................................ 4,139,600
Payable from Road Fund........................ 496,700
Payable from Securities Audit
and Enforcement Fund......................... 241,800
Payable from Division of Corporations
Special Operations Fund...................... 49,700
Payable from Lobbyist Registration
Fund ........................................ 21,800
Payable from Registered Limited
Liability Partnership Fund................... 6,400
For State Contribution to
Social Security:
Payable from General Revenue
Fund ........................................ 3,154,200
Payable from Road Fund........................ 366,200
Payable from Securities Audit
and Enforcement Fund......................... 182,500
Payable from Division of Corporations
Special Operations Fund...................... 60,100
Payable from Lobbyist Registration
Fund ........................................ 22,900
Payable from Registered Limited
Liability Partnership Fund................... 4,900
For Group Insurance:
Payable from Securities Audit
and Enforcement Fund.......................... 399,600
Payable from Division of Corporations
Special Operations Fund....................... 94,300
Payable from Lobbyist Registration
Fund ......................................... 37,000
Payable from Registered Limited
Liability Partnership Fund.................... 14,800
For Contractual Services:
Payable from General Revenue Fund ............. 14,830,900
91 [February 16, 2001]
Payable from Road Fund......................... 1,200,000
Payable from Securities Audit
and Enforcement Fund.......................... 362,700
Payable from Division of Corporations
Special Operations Fund....................... 293,800
Payable from Motor Fuel Tax Fund............... 475,700
Payable from Lobbyist Registration
Fund ......................................... 92,100
Payable from Registered Limited
Liability Partnership Fund.................... 500
For Travel Expenses:
Payable from General Revenue Fund ............. 273,700
Payable from Road Fund......................... 305,300
Payable from Securities Audit
and Enforcement Fund.......................... 248,100
Payable from Division of Corporations
Special Operations Fund....................... 3,400
Payable from Lobbyist Registration
Fund ......................................... 2,200
For Commodities:
Payable from General Revenue Fund ............. 1,016,400
Payable from Road Fund......................... 31,400
Payable from Securities Audit
and Enforcement Fund.......................... 19,500
Payable from Division of Corporations
Special Operations Fund....................... 9,700
Payable from Lobbyist Registration
Fund ......................................... 4,500
Payable from Registered Limited
Liability Partnership Fund.................... 1,100
For Printing:
Payable from General Revenue Fund ............. 841,300
Payable from Road Fund......................... 33,800
Payable from Securities Audit
and Enforcement Fund.......................... 20,000
Payable from Division of Corporations
Special Operations Fund....................... 7,600
Payable from Lobbyist Registration
Fund ......................................... 5,000
For Equipment:
Payable from General Revenue Fund ............. 1,302,700
Payable from Road Fund......................... 34,000
Payable from Securities Audit
and Enforcement Fund.......................... 77,000
Payable from Division of Corporations
Special Operations Fund....................... 8,500
Payable from Lobbyist Registration
Fund ......................................... 23,500
Payable from Registered Limited
Liability Partnership Fund.................... 0
For Electronic Data Processing:
Payable from General Revenue Fund.............. 3,050,000
Payable from Road Fund......................... 0
Payable from the Secretary of State
Special Services Fund......................... 4,000,000
For Telecommunications:
Payable from General Revenue Fund ............. 469,700
Payable from Road Fund......................... 75,500
Payable from Securities Audit
and Enforcement Fund.......................... 92,200
Payable from Division of Corporations
Special Operations Fund....................... 11,000
Payable from Lobbyist Registration
Fund ......................................... 3,000
Payable from Registered Limited
Liability Partnership Fund.................... 800
[February 16, 2001] 92
For Operation of Automotive Equipment:
Payable from General Revenue Fund ............. 372,000
For Refund of Fees and Taxes:
Payable from General Revenue Fund ............. 15,000
Payable from Road Fund......................... 1,275,500
For Refunds of Fees and Taxes
From Overpayments or Erroneous
Deposits Into the Road Fund:
No amounts may be transferred
from this appropriation for any
other purpose
Payable from General
Revenue Fund .........................2,400,000
MOTOR VEHICLE GROUP
For Personal Services:
For Regular Positions:
Payable from General Revenue Fund.............. $ 49,804,100
Payable from Road Fund......................... 31,826,500
Payable from Vehicle Inspection Fund........... 1,017,900
Payable from the Secretary of State
Special License Plate Fund.................... 424,500
Payable from Motor Vehicle Review
Board Fund.................................... 105,100
For Extra Help:
Payable from General Revenue Fund ............. 2,117,400
Payable from Road Fund......................... 3,384,500
Payable From Vehicle Inspection Fund........... 48,800
For Employees Contribution to
State Employees' Retirement System:
Payable from the Secretary of State
Special License Plate Fund................... 17,000
Payable from Motor Vehicle Review
Board Fund................................... 4,200
For State Contribution to
State Employees' Retirement System:
Payable from General Revenue Fund ........... 5,192,200
Payable from Road Fund........................ 3,521,100
Payable From Vehicle Inspection Fund.......... 106,700
Payable from the Secretary of State
Special License Plate Fund................... 42,400
Payable from Motor Vehicle Review
Board Fund................................... 10,500
For State Contribution to
Social Security:
Payable from General Revenue Fund ............ 3,868,500
Payable from Road Fund........................ 2,132,900
Payable From Vehicle Inspection Fund.......... 81,100
Payable from the Secretary of State
Special License Plate Fund................... 32,100
Payable from Motor Vehicle Review
Board Fund................................... 8,000
For Group Insurance:
Payable From Vehicle Inspection Fund........... 267,900
Payable from the Secretary of State
Special License Plate Fund.................... 111,000
For Contractual Services:
Payable from General Revenue Fund ............. 2,011,100
Payable from Road Fund......................... 13,161,600
Payable from Vehicle Inspection Fund........... 740,000
Payable from CDLIS AAMVANET
Trust Fund.................................... 500,000
Payable from the Secretary of State
Special License Plate Fund.................... 8,500
Payable from Motor Vehicle Review
Board Fund.................................... 85,000
93 [February 16, 2001]
For Travel Expenses:
Payable from General Revenue Fund ............. 183,900
Payable from Road Fund......................... 787,800
Payable from Vehicle Inspection Fund........... 500
Payable from the Secretary of State
Special License Plate Fund.................... 1,400
Payable from Motor Vehicle Review
Board Fund.................................... 2,500
For Commodities:
Payable from General Revenue Fund ............. 284,800
Payable from Road Fund......................... 6,198,500
Payable from Vehicle Inspection Fund........... 19,000
Payable from the Secretary of State
Special License Plate Fund.................... 406,400
For Printing:
Payable from General Revenue Fund ............. 328,300
Payable from Road Fund......................... 5,197,200
Payable from Vehicle Inspection Fund........... 60,000
Payable from the Secretary of State
Special License Plate Fund.................... 1
For Equipment:
Payable from General Revenue Fund ............. 53,100
Payable from Road Fund......................... 868,500
Payable from Vehicle Inspection Fund........... 4,000
Payable from the Secretary of State
Special License Plate Fund.................... 70,200
Payable from Motor Vehicle Review
Board Fund.................................... 1
Payable from CDLIS AAMVANET.................... 400,000
For Telecommunications:
Payable from General Revenue Fund ............. 112,300
Payable from Road Fund......................... 2,439,300
Payable from Vehicle Inspection Fund........... 3,500
Payable from the Secretary of State
Special License Plate Fund.................... 0
For Operation of Automotive Equipment:
Payable from Road Fund......................... 440,000
(P.A. 91-706, Art. 72, Sec. 240)
Sec. 240. The sum of $25,000 $17,000, or so much thereof
as may be necessary, is appropriated from the Mammogram Fund
to the Secretary of State for grants to the Susan G. Komen
Foundation for breast cancer research, education, screening,
and treatment.
Section 31. "AN ACT making appropriations and
reappropriations," Public Act 91-706, approved May 17, 2000,
is amended by changing Sections 10 and 25 of Article 74 as
follows:
(P.A. 91-706, Art. 74, Sec. 10)
Sec. 10. The amount of $6,500,000 $6,000,000, or so much
of that amount as may be necessary, is appropriated to the
State Treasurer from the Bank Services Trust Fund for the
purpose of making payments to financial institutions for
banking services pursuant to the State Treasurer's Bank
Services Trust Fund Act.
(P.A. 91-706, Art. 74, Sec. 25)
Sec. 25. The amount of $27,000,000 $19,000,000, or so
much of that amount as may be necessary, is appropriated to
the State Treasurer from the Transfer Tax Collection
Distributive Fund for the purpose of making payments to
counties pursuant to Section 13b of the Illinois Estate and
Generation-Skipping Transfer Tax Act.
Section 32. "AN ACT making appropriations and
reappropriations," Public Act 91-705, approved May 17, 2000,
is amended by changing Sections 25, 26, 35, 85, and 110 and
adding new Sections 104 and 106 to Article 15 as follows:
(P.A. 91-705, Art. 15, Sec. 25)
[February 16, 2001] 94
Sec. 25. The following amounts, or so much of those
amounts as may be necessary, respectively, for the objects
and purposes named, are appropriated to the State Board of
Education for Grants-In-Aid:
From the General Revenue Fund:
For compensation of Regional
Superintendents of Schools
and assistants under Section
18-5 of the School Code........ $7,382,100 $7,082,100
For payment of one time employer's
contribution to Teachers'
Retirement System as provided
in the Early Retirement Incentive
Provision of Public Act 87-1265
and under Section 16-133.2
of Illinois Pension Code....... 242,900 142,900
For orphanage tuition claims and
State owned housing claims
as provided under Section 18-3
of the School Code............. 16,000,000
For financial assistance to
Local Education Agencies for
the Philip J. Rock Center
and School as provided by
Section 14-11.02 of the
School Code.................... 2,960,000
For financial assistance to Local
Education Agencies for the
purpose of maintaining an
educational materials
coordinating unit as provided
for by Section 14-11.01
of the School Code............. 1,162,000
For reimbursement to school districts
for services and materials for
programs under Section 14A-5
of the School Code............. 19,695,800
For reimbursement to school districts
for extraordinary special education
and facilities under Section
14-7.02a of the School Code.... 228,367,500 241,500,000
For reimbursement to school districts
for services and materials used
in programs for the use of
disabled children under Section
14-13.01 of the School Code.... 300,225,000 298,500,000
For reimbursement on a current basis
only to school districts that
provide for education of
handicapped orphans from residential
institutions as well as foster
children who are mentally
impaired or behaviorally disordered
as provided under Section 14-7.03
of the School Code............. 127,000,000
For financial assistance to Local
Education Agencies with over
500,000 population to meet the
needs of those children who come
from environments where the
dominant language is other than
English under Section 34-18.2
of the School Code............. 35,333,200
For financial assistance to Local
Education Agencies with under 500,000
population to meet the needs of
95 [February 16, 2001]
those children who come from
environments where the dominant
language is other than English
under Section 10-22.38a of
the School Code................ 27,218,800
For distribution to eligible recipients
for establishing and maintaining
educational programs for Low
Incidence Disabilities......... 1,500,000
For reimbursement to school districts
for a portion of the cost of
transporting disabled students
under subsection (b) of
Section 14-13.01 of
the School Code................ 205,875,000 192,000,000
For reimbursement to school districts
and for providing free lunch and
breakfast programs under the
provision of the School Free
Lunch Program Act.............. 20,500,000
For providing the loan of textbooks
to students under Section 18-17 of
the School Code................ 30,192,100
Total, this Section $1,020,861,900
(P.A. 91-705, Art. 15, Sec. 26)
Sec. 26. The following amounts, or so much of those
amounts as may be necessary, respectively, for the objects
and purposes named, are appropriated to the State Board of
Education for Grants-In-Aid:
From the Education Assistance Fund:
For tuition of disabled children
attending schools under Section
14-7.02 of the School Code..... $ 48,000,000
For reimbursement to school districts
qualifying under Section 29-5
of The School Code for a portion
of the cost of transporting common
school pupils.................. 215,437,500 208,500,000
Total, this Section $256,500,000
(P.A. 91-705, Art. 15, Sec. 35)
Sec. 35. The following amounts, or so much of those
amounts as may be necessary, respectively, are appropriated
from the General Revenue Fund to the State Board of Education
for the objects and purposes named:
The following amount, or so much thereof as
may be necessary, is appropriated
from the General Revenue Fund
to the State Board of Education
as a consolidated appropriation
for all costs associated with
Regional Offices' of Education,
including, but not limited to:
ROE School Bus Driver Training,
ROE School Services, and ROE
Supervisory Expense............ $12,512,000
For operational costs and grants
for Mathematics Statewide...... 1,000,000
For costs associated with the
Reading Improvement Statewide
Program........................ 3,000,000
For all costs, including prior year claims
associated with Special Education
lawsuits, including Corey H.... 1,000,000
The following amount, or so much thereof as
may be necessary, is appropriated
from the General Revenue Fund
[February 16, 2001] 96
to the State Board of Education
as a consolidated appropriation
for all costs associated with career
awareness and development programs,
including, but not limited to:
Career Awareness & Development,
Jobs for Illinois Graduates and
Illinois Government Internship
Program........................ 5,247,700
For operational costs and grants
for Family Literacy............ 1,000,000
The following amount, or so much thereof
as may be necessary, is appropriated
from the General Revenue Fund
to the State Board of Education
as a consolidated appropriation
for all costs associated with
teacher education programs,
including, but not limited to:
National Board Certification, Teacher
of the Year and Teacher Framework
Implementation................. 1,740,000
For purposes of providing liability
coverage to certificated persons in
accordance with Section 2-3.124
of the School Code............. 400,000
For costs associated with regional
and local Optional Education Programs
for dropouts, those at risk of
dropping out, and Alternative
Education Programs for chronic
truants........................ 18,660,000
For costs associated with the Metro
East Consortium for Child
Advocacy....................... 250,000
For all costs associated with
Professional Development Statewide. 3,000,000
For costs associated with
funding Vocational Education
Staff Development.............. 1,299,800
For costs associated with the
Certificate Renewal Administrative
Payment Program................ 1,000,000
For operational costs and grants associated
with the Summer Bridges Program
to assist school districts which
had one or more schools with
a significant percentage of third
and sixth grade students in the
"does not meet" category on the
1998 State reading scores to achieve
standards in reading........... 23,000,000
For costs associated with the
Parental Involvement Campaign
Program........................ 1,500,000
The following amount, or so much thereof
as may be necessary, is appropriated
from the General Revenue Fund
to the State Board of Education
as a consolidated appropriation
for all costs associated with
standards, assessment and
accountability programs, including,
but not limited to: Arts Planning
K-6, Assessment Programs, Learning
Improvement and Quality Assurance
97 [February 16, 2001]
and Learning Standards......... 31,309,700 30,409,700
For operational costs associated with
administering the Reading
Improvement Block Grant........ 389,500
For operational costs associated with
administering the the Professional
Development Block Grant........ 427,500
For costs associated with the
Minority Transition Program.... 300,000
For funding the Golden Apple
Scholars Program............... 2,554,300
For all costs associated with vocational
education programs............. 53,874,500
The following amount, or so much thereof
as may be necessary, is appropriated
from the General Revenue Fund
to the State Board of Education
as a consolidated appropriation
for all costs associated with
student at-risk programs,
including, but not limited to:
Hispanic Student Dropout
Prevention Programs, Illinois
Partnership Academy and Urban
Education Partnership Programs. 2,649,600
For administrative costs associated
with Scientific Literacy, Mathematics
and the Center on Scientific Literacy. 2,255,000
For administrative costs associated
with the Substance Abuse and
Violence Prevention Programs... 248,000
For operational expenses of administering the
Early Childhood Block Grant.... 659,200
For operational costs and reimbursement
to a parent or guardian under the
transportation provisions of Section
29-5.2 of the School Code...... 16,120,000
For funding the Teachers Academy for
Math and Science in Chicago.... 5,880,000 5,500,000
For operational costs of the Residential
Services Authority for Behavior
Disorders and Severely Emotionally
Disturbed Children and Adolescents. 500,000
For costs associated with education
and related educational Services
to recipients of Public Assistance
as provided in Section 10-22.20
of the School Code and the
Adult Education Act
first and then for payment of
costs of education and education
related services as provided
for in Section 10-22.20
of the School Code and the
Adult Education Act............ 10,068,200
For costs associated with administering
Alternative Education Programs
for disruptive students pursuant to
Article 13A of the School Code. 16,852,000
For operational costs and grants
for schools associated with the
Academic Early Warning List and
other at-risk schools.......... 4,350,000
The following amount, or so much thereof
as may be necessary, is appropriated
from the General Revenue Fund to
[February 16, 2001] 98
the State Board of Education
as a consolidated appropriation
for all costs associated
with statewide regional programs,
including, but not limited to:
ROE Audits, ISBE Services as ROE,
ROE Technology, GED Testing,
Administrators Academy and the
Leadership Development Institute. 3,444,300
For costs associated with the
Association of Illinois Middle-Level
Schools Program................ 100,000
For costs associated with the
Environmental and Nature Training
Institute for Conservation Education
(E.N.T.I.C.E.) Program......... 300,000
For funding the Illinois State Board of
Education Technology Program... 880,000
Total, this Section $226,491,300
(P.A. 91-705, Art. 15, Sec. 85)
Sec. 85. The following amounts, or so much of those
amounts as may be necessary, respectively, are appropriated
to the State Board of Education for the following objects and
purposes:
Payable from the Common School Fund:
For general apportionment as provided
by Section 18-8 of
the School Code............ $2,520,250,000
Payable from the General Revenue Fund:
For summer school payments as provided
by Section 18-4.3 of the School Code. 6,500,000
For supplementary payments to school
districts as provided in Section
18-8.2, Section 18-8.3, Section
18-8.5, and Section 18-8A(5)(m)
of the School Code......... 4,200,000 7,200,000
Total, this Section $2,533,950,000
(P.A. 91-705, Art. 15, new Sec. 104)
Sec. 104. The amount of $6,955,000, or so much thereof
as may be necessary, is appropriated from the General Revenue
Fund to the State Board of Education for deposit into the
School District Emergency Financial Assistance Fund. The
State Board of Education may deposit $1,355,000 of this
amount into the fund immediately for grants under Article 1B
of the School Code. The State Board of Education may deposit
$5,600,000 of this amount into the fund if the April 2001
referendum in Round Lake is passed by the local voters under
Article 1B of the School Code.
(P.A. 91-705, Art. 15, new Sec. 106)
Sec. 106. The amount of $6,955,000, or so much of that
amount as may be necessary, is appropriated from the School
District Emergency Financial Assistance Fund to the State
Board of Education for emergency financial assistance
pursuant to Section 5/1B-8 of the School Code at the
approximate costs set forth below:
For a loan to Round Lake Area
Schools District #116 ......... $5,600,000
For a grant to Round Lake Area
Schools District #116 ......... 550,000
For the School District Emergency
Financial Assistance Fund ..... 805,000
Total $6,955,000
(P.A. 91-705, Art. 15, Sec. 110)
Sec. 110. The amount of $65,845,000 $65,000,000, or so
much of this amount as may be necessary, is appropriated from
the General Revenue Fund to the State Board of Education for
99 [February 16, 2001]
supplementary payments to school districts under subsection
(J) of Section 18-8.05 of the School Code.
Section 33. "AN ACT making appropriations and
reappropriations," Public Act 91-705, approved May 17, 2000,
is amended by changing Sections 55 and 75 of Article 12 as
follows:
(P.A. 91-705, Art. 12, Sec. 55)
Sec. 55. The following sum, or so much thereof as may be
necessary, is appropriated from the Federal State Student
Incentive Trust Fund to the Illinois Student Assistance
Commission for the following purpose:
Grants
For payment of grant awards to full-time and
part-time students eligible to receive such
awards, as provided by law........$2,350,000 $2,000,000
(P.A. 91-705, Art. 12, Sec. 75)
Sec. 75. The sum of $5,000,000 $3,000,000, or so much
thereof as may be necessary, is appropriated to the Illinois
Student Assistance Commission from the Federal Student Loan
Fund for transfer to the Student Loan Operating Fund for
activities related to the collection and administration of
default prevention fees.
ARTICLE 2
Section 1. In addition to any amounts previously
appropriated for such purposes, the amount of $5,000,000, or
so much thereof as may be necessary, is appropriated from the
General Revenue Fund to the Court of Claims to pay claims
under the Crime Victims Compensation Act.
Section 2. The following named amounts are appropriated
from the General Revenue Fund to the Court of Claims to pay
claims in conformity with awards and recommendations made by
the Court of Claims as follows:
No. 91-CC-1736, Nestor Ferro. Personal
Injury, against the Department of Corrections... $100,000.00
No. 92-CC-0252, Janet S. Gregory, Executor
of the Estate of Richie Todd Gregory, Jordan
Gregory, a Minor, by his Mother and Next Friend,
Janet Sue Gregory, Nicholas Gregory, a Minor, by
his Mother and Next Friend, Janet Sue Gregory
and Andre Garcia by his Mother and Next Friend,
Janet Sue Gregory. Wrongful Death, Survival and
the Structural Work Act, against the Department
of Central Management Services and State Police. $75,000.00
No. 94-CC-1303, Judy Cogan, Special
Administrator of the Estate of Edward Bishop.
Death, against the Department of Human Services:
DMHDD........................................... $75,000.00
No. 94-CC-2436, Myra J. Durbin. Personal
Injury, against the Department of Transportation. $15,000.00
No. 94-CC-3710, James Brandon Shaffer.
Personal Injury and property damage, against the
Department of Corrections....................... $12,000.00
No. 98-CC-2853, R.R. Donnelley & Sons
Company. Debt, against the Department of
Military Affairs................................ $40,358.04
No. 00-CC-3576, John Willis,Jr. Illegal
Incarceration, against the Department of
Corrections..................................... $125,035.97
No. 00-CC-4622, Indiana University. Debt,
against the Department of Human Services........ $114,000.00
No. 01-CC-0279, Perry Cobb. Illegal
Incarceration, against the Department of
Corrections..................................... $120,300.00
No 01-CC-0279, Darby Tillis. Illegal
Incarceration, against the Department of
Corrections..................................... $120,300.00
[February 16, 2001] 100
Section 3. The following named amounts are appropriated
to the Court of Claims from the Education Assistance Fund
007, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $1,352.00
Section 4. The following named amounts are appropriated
to the Court of Claims from State Fund 011, Road Fund, to pay
claims in conformity with awards and recommendations made by
the Court of Claims as follows:
No. 92-CC-0271, John M. Steinberg,
Administrator the Estate of Mary J. Steinberg,
Deceased; John M. Steinberg, Executor of the
Estate of Margaret I. Steinberg, Deceased; and
John M. Steinberg, Executor of the Estate of
Virgil J. Steinberg, Deceased. Death, against
the Department of Transportation................ $119,000.00
No. 92-CC-3059, Robert Gushes. Personal
Injury, against the Department of Transportation. $12,000.00
No. 94-CC-2474, John Alvarado. Personal
Injury, against the Department of Transportation. $85,000.00
No. 96-CC-0849, Jose Lara and Irma Lara.
Personal Injury, against the Department of
Transportation.................................. $8,000.00
Section 5. The following named amounts are appropriated
to the Court of Claims from State Fund 012, Motor Fuel Tax
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $231.20
Section 6. The following named amounts are appropriated
to the Court of Claims from State Fund 013, Alcoholism and
Substance Abuse Block Grant Fund, to pay claims in conformity
with awards and recommendations made by the Court of Claims
as follows:
No. 00-CC-1553, The Wells Center, Debt,
against the Department of Human Services: DASA.. $51,801.38
No. 00-CC-4520, HRDI. Debt, against
Department of Human Services: DASA.............. $15,827.18
Section 7. The following named amounts are appropriated
to the Court of Claims from State Fund 018, Transportation
Regulatory Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $2,720.62
Section 8. The following named amounts are appropriated
to the Court of Claims from State Fund 021, Financial
Institution Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $340.11
Section 9. The following named amounts are appropriated
to the Court of Claims from State Fund 022, General
Professions Dedicated Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $146.50
Section 10. The following named amounts are appropriated
to the Court of Claims from State Fund 041, Wildlife and Fish
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $7,678.08
101 [February 16, 2001]
Section 11. The following named amounts are appropriated
to the Court of Claims from State Fund 045, Agricultural
Premium Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $1,260.00
Section 12. The following named amounts are appropriated
to the Court of Claims from State Fund 047, Fire Prevention
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $20.84
Section 13. The following named amounts are appropriated
to the Court of Claims from State Fund 048, Rural/Downstate
Health Access Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
No. 00-CC-4695, Deborah L. Edberg, M.D.
Debt, against the Department of Public Health... $6,250.00
Section 14. The following named amounts are appropriated
to the Court of Claims from Federal Fund 052, Title III
Social Security and Employment Service Fund, to pay claims in
conformity with awards and recommendations made by the Court
of Claims as follows:
No. 00-CC-4700, Viasoft. Debt, against the
Department of Employment Security............... $97,500.00
For payments of awards for lapsed
appropriation claims less than $50,000.......... $140,291.90
Section 15. The following named amounts are appropriated
to the Court of Claims from State Fund 054, State Pensions
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $28.00
Section 16. The following named amounts are appropriated
to the Court of Claims from State Fund 057, Illinois State
Pharmacy Disciplinary Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $21.22
Section 17. The following named amounts are appropriated
to the Court of Claims from State Fund 059, Public Utility
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $944.31
Section 18. The following named amounts are appropriated
to the Court of Claims from Federal Fund 063, Public Health
Services Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
No. 01-CC-0329, Will County Health
Department. Debt, against the Department of
Public Health................................... $77,977.49
For payments of awards for lapsed
appropriation claims less than $50,000.......... $43,140.95
Section 19. The following named amounts are appropriated
to the Court of Claims from Federal Fund 065, Environmental
Protection Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $4,181.11
Section 20. The following named amounts are appropriated
to the Court of Claims from State Fund 091, Clean Air Act
Permit Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
[February 16, 2001] 102
For payments of awards for lapsed
appropriation claims less than $50,000.......... $461.98
Section 21. The following named amounts are appropriated
to the Court of Claims from State Fund 093, Illinois State
Medical Disciplinary Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $2,325.85
Section 22. The following named amounts are appropriated
to the Court of Claims from State Fund 113, Community Health
Center Care Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
No. 00-CC-4695, Deborah L. Edberg, M.D.
Debt, against the Department of Public Health... $16,000.00
Section 23. The following named amounts are appropriated
to the Court of Claims from State Fund 129, State Gaming
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $449.46
Section 24. The following named amounts are appropriated
to the Court of Claims from State Fund 163, Weights and
Measures Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $547.81
Section 25. The following named amounts are appropriated
to the Court of Claims from State Fund 175, Illinois School
Asbestos Abatement Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $783.89
Section 26. The following named amounts are appropriated
to the Court of Claims from State Fund 215, Capital
Development Board Revolving Fund, to pay claims in conformity
with awards and recommendations made by the Court of Claims
as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $235.00
Section 27. The following named amounts are appropriated
to the Court of Claims from State Fund 244, Savings and
Residential Finance Regulatory Fund, to pay claims in
conformity with awards and recommendations made by the Court
of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $523.20
Section 28. The following named amounts are appropriated
to the Court of Claims from State Fund 253, Horse Racing Tax
Allocation Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $5,750.00
Section 29. The following named amounts are appropriated
to the Court of Claims from State Fund 274, Self-Insurers
Administration Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $69.44
Section 30. The following named amounts are appropriated
to the Court of Claims from State Fund 297, Guardianship and
Advocacy Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
103 [February 16, 2001]
No. 00-CC-4023, Illinois Correctional
Industries. Debt, against the Guardianship and
Advocacy Commission............................. $54,900.48
For payments of awards for lapsed
appropriation claims less than $50,000.......... $493.88
Section 31. The following named amounts are appropriated
to the Court of Claims from State Fund 301, Working Capital
Revolving Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $3,330.68
Section 32. The following named amounts are appropriated
to the Court of Claims from State Fund 304, Statistical
Services Revolving Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
No. 01-CC-0150, Storage Technology
Corporation. Debt, against the Department of
Central Management Services..................... $52,300.00
For payments of awards for lapsed
appropriation claims less than $50,000.......... $17,430.44
Section 33. The following named amounts are appropriated
to the Court of Claims from State Fund 312, Communications
Revolving Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $53,791.86
Section 34. The following named amounts are appropriated
to the Court of Claims from State Fund 386, Appraisal
Administration Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $451.31
Section 35. The following named amounts are appropriated
to the Court of Claims from Federal Fund 404, Urban Planning
Assistance Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $32.90
Section 36. The following named amounts are appropriated
to the Court of Claims from Federal Fund 408, DHS Special
Purposes Trust Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $10,567.07
Section 37. The following named amounts are appropriated
to the Court of Claims from Federal Fund 447, GI Education
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $22.11
Section 38. The following named amounts are appropriated
to the Court of Claims from Federal Fund 476, Wholesome Meat
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $67.60
Section 39. The following named amounts are appropriated
to the Court of Claims from Federal Fund 488, Criminal
Justice Trust Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $185.00
Section 40. The following named amounts are appropriated
to the Court of Claims from Federal Fund 495, Old Age
Survivors Insurance Fund, to pay claims in conformity with
[February 16, 2001] 104
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $1,847.67
Section 41. The following named amounts are appropriated
to the Court of Claims from Federal Fund 561, SBE Federal
Department of Education Fund, to pay claims in conformity
with awards and recommendations made by the Court of Claims
as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $2,329.95
Section 42. The following named amounts are appropriated
to the Court of Claims from Federal Fund 592, DHS Federal
Projects Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $2,933.53
Section 43. The following named amounts are appropriated
to the Court of Claims from Federal Fund 607, Special
Projects Division Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $2,501.39
Section 44. The following named amounts are appropriated
to the Court of Claims from State Fund 614, Capital
Litigation Trust Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $1,525.00
Section 45. The following named amounts are appropriated
to the Court of Claims from Federal Fund 646, Alcoholism and
Substance Abuse Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
No. 99-CC-1591, Reimburse the General
Revenue Fund. Against the Department of Human
Services: DASA.................................. $83,888.05
No. 00-CC-2718, Board of Trustees of the
University of Illinois. Debt, against the
Department of Human Services: DASA.............. $44,005.99
Section 46. The following named amounts are appropriated
to the Court of Claims from Federal Fund 700, USDA Women,
Infants and Children Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $169.54
Section 47. The following named amounts are appropriated
to the Court of Claims from State Fund 708, Illinois
Standardbred Breeders Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $107.86
Section 48. The following named amounts are appropriated
to the Court of Claims from State Fund 711, State Lottery
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $6,067.46
Section 49. The following named amounts are appropriated
to the Court of Claims from Federal Fund 726, Federal
Industrial Services Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
105 [February 16, 2001]
For payments of awards for lapsed
appropriation claims less than $50,000.......... $9.07
Section 50. The following named amounts are appropriated
to the Court of Claims from State Fund 762, Local Initiative
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $15,016.64
Section 51. The following named amounts are appropriated
to the Court of Claims from State Fund 795, Bank and Trust
Company Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $1,044.00
Section 52. The following named amounts are appropriated
to the Court of Claims from State Fund 796, Nuclear Safety
Emergency Preparedness Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $316.42
Section 53. The following named amounts are appropriated
to the Court of Claims from Federal Fund 798, Rehabilitation
Services Elementary & Secondary Education Act Fund, to pay
claims in conformity with awards and recommendations made by
the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $1,633.00
Section 54. The following named amounts are appropriated
to the Court of Claims from State Fund 802, Personal Property
Tax Replacement Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $27.60
Section 55. The following named amounts are appropriated
to the Court of Claims from State Fund 828, Hazardous Waste
Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $7,278.78
Section 56. The following named amounts are appropriated
to the Court of Claims from Federal Fund 872, Maternal and
Child Health Services Block Grant Fund, to pay claims in
conformity with awards and recommendations made by the Court
of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $50,620.17
Section 57. The following named amounts are appropriated
to the Court of Claims from State Fund 884, D.N.R. Special
Projects Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $19,538.70
Section 58. The following named amounts are appropriated
to the Court of Claims from State Fund 888, Design
Professionals Administration and Investigation Fund, to pay
claims in conformity with awards and recommendations made by
the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $23.10
Section 59. The following named amounts are appropriated
to the Court of Claims from State Fund 905, Illinois Forestry
Development Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $193.08
[February 16, 2001] 106
Section 60. The following named amounts are appropriated
to the Court of Claims from State Fund 906, State Police
Services Fund, to pay claims in conformity with awards and
recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $455.81
Section 61. The following named amounts are appropriated
to the Court of Claims from State Fund 920, Metabolic
Screening and Treatment Fund, to pay claims in conformity
with awards and recommendations made by the Court of Claims
as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $16,245.47
Section 62. The following named amounts are appropriated
to the Court of Claims from State Fund 957, Child Support
Enforcement Trust Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
No. 00-CC-0893, Clerk of the Circuit Court
of Cook County. Debt, against the Department of
Public Aid...................................... $270,512.11
For payments of awards for lapsed
appropriation claims less than $50,000.......... $35,719.13
Section 63. The following named amounts are appropriated
to the Court of Claims from State Fund 962, Park and
Conservation Fund, to pay claims in conformity with awards
and recommendations made by the Court of Claims as follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $161.22
Section 64. The following named amounts are appropriated
to the Court of Claims from Federal Fund 888, Attorney
General Federal Grant Fund, to pay claims in conformity with
awards and recommendations made by the Court of Claims as
follows:
For payments of awards for lapsed
appropriation claims less than $50,000.......... $90.00
ARTICLE 99
Section 99. Effective Date. This Act takes effect upon becoming
law.".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
HOUSE BILL 447. Having been printed, was taken up and read by title
a second time.
The following amendments were offered in the Committee on State
Government Administration, adopted and printed:
AMENDMENT NO. 1 TO HOUSE BILL 447
AMENDMENT NO. 1. Amend House Bill 447 as follows:
on page 1, line 10, before the comma, by inserting the following:
"or a dog that is being trained to be a guide or leader dog"; and
on page 2, line 10, by replacing "dogs or guide dogs" with "dogs, guide
dogs, or hearing dogs"; and
on page 2, line 11, by replacing "," with ",; and
on page 2, line 12, after "purpose," by inserting:
"or a dog that is being trained to be a support dog, guide dog, or
hearing dog,".
There being no further amendments, the foregoing Amendment No. 1
was ordered engrossed; and the bill, as amended, was advanced to the
order of Third Reading.
107 [February 16, 2001]
RECALLS
By unanimous consent, on motion of Representative Righter, HOUSE
BILL 305 was recalled from the order of Third Reading to the order of
Second Reading and held on that order.
At the hour of 4:02 o'clock p.m., Representative Currie moved that
the House do now adjourn.
The motion prevailed.
And in accordance therewith and pursuant to HOUSE JOINT RESOLUTION
5, the House stood adjourned until Wednesday, February 21, 2001, at
11:30 o'clock a.m.
[February 16, 2001] 108
NO. 1
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
QUORUM ROLL CALL FOR ATTENDANCE
FEB 16, 2001
0 YEAS 0 NAYS 114 PRESENT
P ACEVEDO P FEIGENHOLTZ P LINDNER P POE
P BASSI P FLOWERS P LYONS,EILEEN P REITZ
P BEAUBIEN P FORBY P LYONS,JOSEPH P RIGHTER
P BELLOCK P FOWLER E MATHIAS P RUTHERFORD
P BERNS P FRANKS P MAUTINO P RYAN
P BIGGINS P FRITCHEY P MAY P RYDER
P BLACK P GARRETT P McAULIFFE P SAVIANO
P BOLAND P GILES P McCARTHY P SCHMITZ
P BOST P GRANBERG P McGUIRE P SCHOENBERG
P BRADLEY P HAMOS P McKEON P SCOTT
P BRADY P HANNIG P MENDOZA P SCULLY
P BROSNAHAN P HARTKE P MEYER P SLONE
P BRUNSVOLD E HASSERT P MILLER P SMITH
P BUGIELSKI P HOEFT E MITCHELL,BILL P SOMMER
P BURKE P HOFFMAN P MITCHELL,JERRY P SOTO
P CAPPARELLI P HOLBROOK P MOFFITT E STEPHENS
P COLLINS P HOWARD P MOORE P STROGER
E COULSON P HULTGREN P MORROW P TENHOUSE
P COWLISHAW P JOHNSON P MULLIGAN P TURNER,ART
P CROSS P JONES,JOHN P MURPHY P TURNER,JOHN
P CROTTY P JONES,LOU P MYERS P WAIT
P CURRIE P JONES,SHIRLEY P NOVAK P WINKEL
P CURRY P KENNER P O'BRIEN P WINTERS
P DANIELS P KLINGLER P O'CONNOR P WIRSING
P DART P KOSEL P OSMOND P WOJCIK
P DAVIS,MONIQUE P KRAUSE P OSTERMAN P YARBROUGH
P DAVIS,STEVE P KURTZ P PANKAU P YOUNGE
P DELGADO P LANG P PARKE P ZICKUS
P DURKIN P LAWFER P PERSICO P MR. SPEAKER
P ERWIN P LEITCH
E - Denotes Excused Absence
109 [February 16, 2001]
NO. 2
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 21
VEH CD-DRIVING WHILE UNINSURED
THIRD READING
PASSED
FEB 16, 2001
106 YEAS 1 NAYS 5 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI P FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH Y RIGHTER
Y BELLOCK Y FOWLER E MATHIAS Y RUTHERFORD
Y BERNS Y FRANKS A MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND P GILES Y McCARTHY Y SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
Y BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
P BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI Y HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON Y HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW Y JOHNSON Y MULLIGAN P TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL Y OSMOND Y WOJCIK
N DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ Y PANKAU P YOUNGE
Y DELGADO Y LANG Y PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
[February 16, 2001] 110
NO. 3
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 43
AG GRANTS-ANIMAL AGRICULTURE
THIRD READING
PASSED
FEB 16, 2001
112 YEAS 0 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH Y RIGHTER
Y BELLOCK Y FOWLER E MATHIAS Y RUTHERFORD
Y BERNS Y FRANKS A MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES Y McCARTHY Y SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
Y BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI Y HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON Y HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW Y JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL Y OSMOND Y WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ Y PANKAU Y YOUNGE
Y DELGADO Y LANG Y PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
111 [February 16, 2001]
NO. 4
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 111
INS SERIOUS MENTAL ILLNESS
THIRD READING
PASSED
FEB 16, 2001
87 YEAS 25 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
N BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH N RIGHTER
Y BELLOCK Y FOWLER E MATHIAS N RUTHERFORD
Y BERNS Y FRANKS A MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
N BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES Y McCARTHY N SCHMITZ
N BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
N BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI N HOEFT E MITCHELL,BILL N SOMMER
Y BURKE Y HOFFMAN N MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON N HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW N JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS N JONES,JOHN Y MURPHY N TURNER,JOHN
Y CROTTY Y JONES,LOU N MYERS N WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN N WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR N WIRSING
Y DART N KOSEL N OSMOND N WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ N PANKAU Y YOUNGE
Y DELGADO Y LANG N PARKE Y ZICKUS
Y DURKIN N LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN N LEITCH
E - Denotes Excused Absence
[February 16, 2001] 112
NO. 5
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 127
HOSPICE LICENSE PLATES
THIRD READING
PASSED
FEB 16, 2001
106 YEAS 6 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN N FORBY Y LYONS,JOSEPH Y RIGHTER
Y BELLOCK N FOWLER E MATHIAS N RUTHERFORD
Y BERNS Y FRANKS A MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES N McCARTHY Y SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
Y BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER N SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI N HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON Y HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW Y JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL Y OSMOND Y WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ Y PANKAU Y YOUNGE
Y DELGADO Y LANG Y PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
113 [February 16, 2001]
NO. 6
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 161
VEH CD-FLASHING LIGHTS-SIRENS
THIRD READING
PASSED
FEB 16, 2001
102 YEAS 11 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH N RIGHTER
N BELLOCK Y FOWLER E MATHIAS Y RUTHERFORD
N BERNS Y FRANKS Y MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES Y McCARTHY N SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
N BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI Y HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD N MOORE Y STROGER
E COULSON N HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW N JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL N OSMOND Y WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE N KURTZ Y PANKAU Y YOUNGE
Y DELGADO Y LANG N PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
[February 16, 2001] 114
NO. 7
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 153
INS CHARITABLE RISK POOL TAXES
THIRD READING
PASSED
FEB 16, 2001
113 YEAS 0 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH Y RIGHTER
Y BELLOCK Y FOWLER E MATHIAS Y RUTHERFORD
Y BERNS Y FRANKS Y MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES Y McCARTHY Y SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
Y BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI Y HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON Y HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW Y JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL Y OSMOND Y WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ Y PANKAU Y YOUNGE
Y DELGADO Y LANG Y PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
115 [February 16, 2001]
NO. 8
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 314
FOOD ANIMAL INSTITUTE
THIRD READING
PASSED
FEB 16, 2001
113 YEAS 0 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH Y RIGHTER
Y BELLOCK Y FOWLER E MATHIAS Y RUTHERFORD
Y BERNS Y FRANKS Y MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES Y McCARTHY Y SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
Y BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI Y HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON Y HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW Y JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL Y OSMOND Y WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ Y PANKAU Y YOUNGE
Y DELGADO Y LANG Y PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
[February 16, 2001] 116
NO. 9
STATE OF ILLINOIS
NINETY-SECOND
GENERAL ASSEMBLY
HOUSE ROLL CALL
HOUSE BILL 508
VEH CD-FARM TANK TRAILERS
THIRD READING
PASSED
FEB 16, 2001
113 YEAS 0 NAYS 0 PRESENT
Y ACEVEDO Y FEIGENHOLTZ Y LINDNER Y POE
Y BASSI Y FLOWERS Y LYONS,EILEEN Y REITZ
Y BEAUBIEN Y FORBY Y LYONS,JOSEPH Y RIGHTER
Y BELLOCK Y FOWLER E MATHIAS Y RUTHERFORD
Y BERNS Y FRANKS Y MAUTINO Y RYAN
Y BIGGINS Y FRITCHEY Y MAY Y RYDER
Y BLACK Y GARRETT Y McAULIFFE Y SAVIANO
Y BOLAND Y GILES Y McCARTHY Y SCHMITZ
Y BOST Y GRANBERG Y McGUIRE Y SCHOENBERG
Y BRADLEY Y HAMOS Y McKEON Y SCOTT
Y BRADY Y HANNIG Y MENDOZA Y SCULLY
Y BROSNAHAN Y HARTKE Y MEYER Y SLONE
Y BRUNSVOLD E HASSERT Y MILLER Y SMITH
Y BUGIELSKI Y HOEFT E MITCHELL,BILL Y SOMMER
Y BURKE Y HOFFMAN Y MITCHELL,JERRY Y SOTO
Y CAPPARELLI Y HOLBROOK Y MOFFITT E STEPHENS
Y COLLINS Y HOWARD Y MOORE Y STROGER
E COULSON Y HULTGREN Y MORROW Y TENHOUSE
Y COWLISHAW Y JOHNSON Y MULLIGAN Y TURNER,ART
Y CROSS Y JONES,JOHN Y MURPHY Y TURNER,JOHN
Y CROTTY Y JONES,LOU Y MYERS Y WAIT
Y CURRIE Y JONES,SHIRLEY Y NOVAK Y WINKEL
Y CURRY Y KENNER Y O'BRIEN Y WINTERS
Y DANIELS Y KLINGLER Y O'CONNOR Y WIRSING
Y DART Y KOSEL Y OSMOND Y WOJCIK
Y DAVIS,MONIQUE Y KRAUSE Y OSTERMAN Y YARBROUGH
Y DAVIS,STEVE Y KURTZ Y PANKAU Y YOUNGE
Y DELGADO Y LANG Y PARKE Y ZICKUS
Y DURKIN Y LAWFER Y PERSICO Y MR. SPEAKER
Y ERWIN Y LEITCH
E - Denotes Excused Absence
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