[House Document 110-55]
[From the U.S. Government Publishing Office]



                                     

110th Congress, 1st Session - - - - - - - - - - - - - House Document 110-55

 
                  FISCAL YEAR 2008 BUDGET REQUEST ACT

                               __________

                                MESSAGE

                                  from

                     THEPRESIDENTOFTHEUNITEDSTATES

                              transmitting

    THE DISTRICT OF COLUMBIA'S FISCAL YEAR 2008 BUDGET REQUEST ACT, 
          PURSUANT TO PUB. L. 93-198, SEC. 446 (87 STAT. 806)




  September 4, 2007.--Message and accompanying papers referred to the 
         Committee on Appropriations and ordered to be printed
                                           The White House,
                                        Washington, August 9, 2007.
Hon. Nancy Pelosi,
Speaker of the House of Representatives,
Washington, DC.
    Dear Madam Speaker: Pursuant to my constitutional authority 
and as contemplated by section 446 of The District of Columbia 
Self-Governmental Reorganization Act as amended in 1989, I am 
transmitting the District of Columbia's 2008 Budget Request 
Act. This transmittal does not represent an endorsement of the 
contents of the D.C. government's requests.
    The proposed 2008 Budget Request Act reflects the major 
programmatic objectives of the Mayor and the Council of the 
District of Columbia. For 2008, the District estimates total 
revenues and expenditures of $8.38 billion.
            Sincerely,
                                                    George W. Bush.
    NOTE.--The following document reflects the ``District of 
Columbia Appropriations, Fiscal Year 2007'' Act and the 
``District of Columbia Appropriations, Fiscal Year 2008'' 
Request Act. The language enclosed in [ ] indicates language 
that is to be deleted from the FY 2007 Appropriations Act. The 
language shown in italics indicates new language in the FY 2008 
Request Act.

                                 AN ACT

               IN THE COUNCIL OF THE DISTRICT OF COLUMBIA

    To approve the request of the District of Columbia 
government for the fiscal year ending September 30, [2007] 
2008.
    BE IT ENACTED BY THE COUNCIL OF THE DISTRICT OF COLUMBIA, 
That this act may be cited as the ``Fiscal Year [2007] 2008 
Budget Request Act''.
    Sec. 2. The Council of the District of Columbia approves 
the following expenditure levels and appropriation language for 
the government of the District of Columbia for the fiscal year 
ending September 30, [2007] 2008.

         DIVISION A DISTRICT OF COLUMBIA APPROPRIATION REQUEST

                         TITLE I--FEDERAL FUNDS

                      DISTRICT OF COLUMBIA COURTS

           Federal Payment to the District of Columbia Courts

    For salaries and expenses for the District of Columbia 
Courts, [$218,912,000] $213,861,000 to be allocated as follows: 
for the District of Columbia Court of Appeals, [$9,198,000], 
$10,800,000 of which not to exceed $1,500 is for official 
reception and representation expenses; for the District of 
Columbia Superior Court, [$87,342,000] $98,359,000 of which not 
to exceed $1,500 is for official reception and representation 
expenses; for the District of Columbia Court System, 
[$41,643,000] $52,170,000 of which not to exceed $1,500 is for 
official reception and representation expenses; and 
[$80,729,000] $52,532,000 to remain available until September 
30, [2007] 2009 for capital improvements for District of 
Columbia courthouse facilities: Provided, That [notwithstanding 
any other provision of law, a single contract or related 
contracts for development and construction of facilities may be 
employed which collectively include the full scope of the 
project: Provided further, That the solicitation and contract 
shall contain the clause `availability of Funds' found at 48 
CFR 52.232-18: Provided further, That] funds made available for 
capital improvements shall be expended consistent with the 
General Services Administration master plan study and building 
evaluation report: Provided further, That notwithstanding any 
other provision of law, all amounts under this heading shall be 
apportioned quarterly by the Office of Management and Budget 
and obligated and expended in the same manner as funds 
appropriated for salaries and expenses of other Federal 
agencies, with payroll and financial services to be provided on 
a contractual basis with the General Services Administration 
(GSA), and such services shall include the preparation of 
monthly financial reports, copies of which shall be submitted 
directly by GSA to the President and to the Committees on 
Appropriations of the House of Representatives and Senate, the 
Committee on Government Reform of the House of Representatives, 
and the Committee on Homeland Security and Governmental Affairs 
of the Senate: Provided further, That 30 days after providing 
written notice to the Committees on Appropriations of the House 
of Representatives and Senate, the District of ColumbiaCourts 
may reallocate not more than $1,000,000 of the funds provided under 
this heading among the items and entities funded under this heading for 
operations, and not more than 4 percent of the funds provided under 
this heading for facilities.

            Defender Services in District of Columbia Courts

    For payments authorized under section 11-2604 and section 
11-2605, D.C. Official Code (relating to representation 
provided under the District of Columbia Criminal Justice Act), 
payments for counsel appointed in proceedings in the Family 
Court of the Superior Court of the District of Columbia under 
chapter 23 of title 16, D.C. Official Code, or pursuant to 
contractual agreements to provide guardian ad litem 
representation, training, technical assistance and such other 
services as are necessary to improve the quality of guardian ad 
litem representation, payments for counsel appointed in 
adoption proceedings under chapter 3 of title 16, D.C. Code, 
and payments for counsel authorized under section 21-2060, D.C. 
Official Code (relating to representation provided under the 
District of Columbia Guardianship, Protective Proceedings, and 
Durable Power of Attorney Act of 1986), $43,475,000, to remain 
available until expended: Provided, That [the funds provided in 
this Act under the heading `Federal Payment to the District of 
Columbia Courts' (other than the $80,729,000 provided under 
such heading for capital improvements for District of Columbia 
courthouse facilities) may also be used for payments under this 
heading: Provided further, That] in addition to the funds 
provided under this heading, the Joint Committee on Judicial 
Administration in the District of Columbia may use funds 
provided in this Act under the heading `Federal Payment to the 
District of Columbia Courts' (other than the [$80,729,000] 
$52,532,000 provided under such heading for capital 
improvements for District of Columbia courthouse facilities), 
to make payments described under this heading for obligations 
incurred during any fiscal year: Provided further, That funds 
provided under this heading shall be administered by the Joint 
Committee on Judicial Administration in the District of 
Columbia: Provided further, That notwithstanding any other 
provision of law, this appropriation shall be apportioned 
quarterly by the Office of Management and Budget and obligated 
and expended in the same manner as funds appropriated for 
expenses of other Federal agencies, with payroll and financial 
services to be provided on a contractual basis with the General 
Services Administration (GSA), and such services shall include 
the preparation of monthly financial reports, copies of which 
shall be submitted directly by GSA to the President and to the 
Committees on Appropriations of the House of Representatives 
and Senate, the Committee on Government Reform of the House of 
Representatives, and the Committee on Homeland Security and 
Governmental Affairs of the Senate.

 Federal Payment to the Court Services and Offender Supervision Agency 
                      for the District of Columbia


                     (Including Transfer of Funds)

    For salaries and expenses, including the transfer and hire 
of motor vehicles, of the Court Services and Offender 
Supervision Agency for the District of Columbia [and the Public 
Defender Service for the District of Columbia, ]as authorized 
by the National Capital Revitalization and Self-Government 
Improvement Act of 1997, [$209,594,000] $190,343,000, of which 
not to exceed $2,000 is for official receptions and 
representation expenses related to Community Supervision and 
Pretrial Services Agency programs; of which not to exceed 
$25,000 is for dues and assessments relating to the 
implementation of the Court Services and Offender Supervision 
Agency Interstate Supervision Act of 2002; of which not to 
exceed $400,000 for the Community Supervision program and 
$160,000 for the Pretrial Services program both of which remain 
until September 30, 2009 are for Information Technology 
infrastructure enhancement acquisitions; of which 
[$133,476,000] $140,449,000 shall be for necessary expenses of 
Community Supervision and Sex Offender Registration, to include 
expenses relating to the supervision of adults subject to 
protection orders or the provision of services for or related 
to such persons; of which [$45,220,000] $49,894,000 shall be 
available to the Pretrial Services Agency[; and of which 
$30,898,000 shall be transferred to the Public Defender Service 
for the District of Columbia]: Provided, That notwithstanding 
any other provision of law, all amounts under this heading 
shall be apportioned quarterly by the Office of Management and 
Budget and obligated and expended in the same manner as funds 
appropriated for salaries and expenses of other Federal 
agencies: Provided further, That the Director is authorized to 
accept and use gifts in the form of in-kind contributions of 
space and hospitality to support offender and defendant 
programs, and equipment and vocational training services to 
educate and train offenders and defendants: Provided further, 
That the Director shall keep accurate and detailed records of 
the acceptance and use of any gift or donation under the 
previous proviso, and shall make such records available for 
audit and public inspection: Provided further, That the Court 
Services and Offender Supervision Agency Director is authorized 
to accept and use reimbursement from the District of Columbia 
Government for space and services provided on a cost 
reimbursable basis[: Provided further, That for this fiscal 
year and subsequent fiscal years, the Public Defender Service 
is authorized to charge fees to cover costs of materials 
distributed and training provided to attendees of educational 
events, including conferences, sponsored by the Public Defender 
Service, and notwithstanding section 3302 of title 31, United 
States Code, said fees shall be credited to the Public Defender 
Service account to be available for use without further 
appropriation].

  Federal Payment for the Public Defender Service for the District of 
                                Columbia

    For salaries and expenses, including the transfer and hire 
of motor vehicles of the Public Defender Service for the 
District of Columbia, as authorized by the National Capital 
Revitalization and Self-Government Improvement Act of 1997, 
$32,710,000: Provided, That all amounts under this heading 
shall be apportioned quarterly by the Office of Management and 
Budget and obligated and expended in the same manner as funds 
appropriated for salaries and expenses of Federal agencies: 
Provided further, That beginning in fiscal year 2008 and 
thereafter, the Public Defender Service is authorized to charge 
fees to cover costs of materials distributed and training 
provided to attendees of educational events, including 
conferences, sponsored by the Public Defender Service, and 
notwithstanding 31 U.S.C. 3302, such fees shall be credited to 
this account, to be available until expended without further 
appropriation.

           DISTRICT OF COLUMBIA GENERAL AND SPECIAL PAYMENTS


              Federal Payment for Resident Tuition Support

    For a Federal payment to the District of Columbia, to be 
deposited into a dedicated account, for a nationwide program to 
be administered by the Mayor, for District of Columbia resident 
tuition support, [$33,200,000], $35,100,000 to remain available 
until expended: Provided, That such funds, including any 
interest accrued thereon, may be used on behalf of eligible 
District of Columbia residents to pay an amount based upon the 
difference between in-State and out-of-State tuition at public 
institutions of higher education, or to pay up to $2,500 each 
year at eligible private institutions of higher education: 
Provided further, That the awarding of such funds may be 
prioritized on the basis of a resident's academic merit, the 
income and need of eligible students and such other factors as 
may be authorized: Provided further, That the District of 
Columbia government shall maintain a dedicated account for the 
Resident Tuition Support Program that shall consist of the 
Federal funds appropriated to the Program in this Act and any 
subsequent appropriations, any unobligated balances from prior 
fiscal years, and any interest earned in this or any fiscal 
year: Provided further, That the account shall be under the 
control of the District of Columbia Chief Financial Officer, 
who shall use those funds solely for the purposes of carrying 
out the Resident Tuition Support Program: Provided further, 
That the Office of the Chief Financial Officer shall provide a 
quarterly financial report to the Committees on Appropriations 
of the House of Representatives and Senate for these funds 
showing, by object class, the expenditures made and the purpose 
therefore: Provided further, That in accordance with section 
6(b)(1) of the District of Columbia College Access Actof 1999, 
approved November 12, 1999 (113 Stat. 1329; D.C. Official Code 38-
2705(b)(1), not more than [$1,200,000] 7% of the total amount 
appropriated for this program may be used for administrative expenses.

   Federal Payment for Emergency Planning and Security Costs in the 
                          District of Columbia

    For necessary expenses, as determined by the Mayor of the 
District of Columbia in written consultation with the elected 
county or city officials of surrounding jurisdictions, 
[$8,533,000] $3,000,000 to remain available until expended, to 
reimburse the District of Columbia for the costs of providing 
public safety at events related to the presence of the national 
capital in the District of Columbia and for the costs of 
providing support to respond to immediate and specific 
terrorist threats or attacks in the District of Columbia or 
surrounding jurisdictions: Provided, That any amount provided 
under this heading shall be available only after such amount 
has been apportioned pursuant to chapter 15 of title 31, United 
States Code.

                 Federal Payment for School Improvement

    For a Federal payment for a school improvement program in 
the District of Columbia, [$40,000,000] $40,800,000, to be 
allocated as follows: for the District of Columbia Public 
Schools, $13,000,000 to improve public school education in the 
District of Columbia; for the State Education Office, 
$13,000,000 to expand quality public charter schools in the 
District of Columbia, to remain available until September 30, 
2009 unless such funds are to be used for the credit 
enhancement or revolving loan program and then such funds shall 
remain available until expended [expended to the extent that 
the appropriation or funds are used for public charter school 
credit enhancement and direct loans]; for the Secretary of the 
Department of Education, [$14,000,000] $14,800,000 to provide 
opportunity scholarships for students in the District of 
Columbia in accordance with division C, title III of the 
District of Columbia Appropriations Act, 2004, approved January 
23, 2004 (Public Law 108-199; 118 Stat. 126), of which up to 
[$1,000,000] $1,800,000 may be used to administer and fund 
assessments.

FEDERAL SUPPORT FOR ECONOMIC DEVELOPMENT AND MANAGEMENT REFORMS IN THE 
                                DISTRICT


        Federal Payment for Central Library and Branch Locations

    For a Federal payment to the District of Columbia, 
$10,000,000, to remain available until expended, for the 
Federal contribution toward costs associated with the 
renovation and rehabilitation of District libraries. 

 Federal Payment to the District of Columbia Water and Sewer Authority

    For a Federal payment to the District of Columbia Water and 
Sewer Authority, [$7,000,000] $12,000,000, to remain available 
until expended, to continue implementation of the Combined 
Sewer Overflow Long-Term Plan: Provided, That the District of 
Columbia Water and Sewer Authority [provides a 100 percent] 
provides a match of $7,000,000 and the District of Columbia 
provide a match of $5,000,000 in local funds for this payment: 
Provided further, That of these funds $5,000,000 federal and 
the matching $5,000,000 local shall be expended for water and 
sewer infrastructure improvements to support new development in 
the area surrounding the South East Federal Center in the 
District of Columbia. 

       [Federal Payment for the Anacostia Waterfront Initiative]

    [For a Federal payment to the District of Columbia 
Department of Transportation, $3,000,000 to remain available 
until September 30, 2007, for design and construction of a 
continuous pedestrian and bicycle trail system from the Potomac 
River to the District's border with Maryland.]

      Federal Payment to the Criminal Justice Coordinating Council

    For a Federal payment to the Criminal Justice Coordinating 
Council, $1,300,000, to remain available until expended, to 
support initiatives related to the coordination of Federal and 
local criminal justice resources in the District of Columbia.

            [Federal Payment for Transportation Assistance]

    [For a Federal payment to the District of Columbia 
Department of Transportation, $1,000,000, to operate a downtown 
circulator transit system.]

   [Federal Payment for Foster Care Improvements in the District of 
                               Columbia]

    [For the Federal payment to the District of Columbia for 
foster care improvements, $2,000,000 to remain available until 
expended: Provided, That $1,750,000 shall be for the Child and 
Family Services Agency; of which $1,000,000 shall be for a loan 
repayment program for social workers; of which $750,000 shall 
be for post-adoption services: Provided further, That $250,000 
shall be for the Washington Metropolitan Council of 
Governments, to continue a program in conjunction with the 
Foster and Adoptive Parents Advocacy Center, to provide respite 
care for and recruitment of foster parents: Provided further, 
That these Federal funds shall supplement and not supplant 
local funds for the purposes described under this heading.]

          Federal Payment for Consolidated Laboratory Facility

    For the Federal payment to the District of Columbia, 
$10,000,000 to remain available until September 30, 2009, for 
costs associated with the construction of a consolidated 
laboratory facility; Provided, That the District of Columbia 
provides a 100 percent match for this payment. 

    Federal Payment to Reimburse the Federal Bureau of Investigation


              [for Bioterrorism and Forensics Laboratory]

    For a Federal payment to the District of Columbia, 
$5,000,000 to remain available until September 30, [2008] 2010, 
for reimbursement to the Federal Bureau of Investigation for 
laboratory services for District of Columbia cases. Provided, 
That, such funds shall be used for: (1) Evidence examination 
and subsequent DNA analysis for the District of Columbia cold 
case DNA backlog; and (2) Expansion of resources dedicated to 
the processing of District of Columbia cases, including an 
increase in personnel, after September 1, 2007; and may be used 
for data entry and analysis for District of Columbia cold 
cases. [for costs associated with the construction of a 
bioterrorism and forensics laboratory. Provided, That the 
District of Columbia shall provide an additional $1,500,000 
with local funds as a condition of receiving this payment.]

 [Federal Payment to the Office of the Chief Financial Officer of the 
                         District of Columbia]

    [For a Federal payment to the Office of the Chief Financial 
Officer of the District of Columbia, $20,000,000 for upgrading 
and expanding public transportation capacity, in accordance 
with an expenditure plan submitted by the Mayor of the District 
of Columbia not later than 60 days after the enactment of this 
section.]

                       ADMINISTRATIVE PROVISIONS

                    Crime Victims Compensation Fund

    TREATMENT OF UNOBLIGATED BALANCES.--Section 16(d) of the 
Victims of Violent Crime Compensation Act of 1996, effective 
April 9, 1997 (D.C. Law 11-243; D.C. Official Code Sec. 4-
515(d)), is amended to read as follows--
    ``(d) Any unobligated balance existing in the Fund as of 
the end of each fiscal year (beginning with fiscal year 2006) 
shall be transferred from the Fund to the Crime Victims 
Assistance Fund established by Sec. 4-515.01 and shall be 
available for obligation and expenditures without fiscal year 
limitation. All such expenditures shall be in accordance with a 
plan developed by the District of Columbia which is submitted 
to the Committees on Appropriations of the Senate and House of 
Representatives, the Committee on Government Reform of the 
House of Representatives, and the Committee on Governmental 
Affairs of the Senate.''

       TITLE II--DISTRICT OF COLUMBIA FUNDS--SUMMARY OF EXPENSES

    The following amounts are appropriated for the District of 
Columbia for the current fiscal year out of the general fund of 
the District of Columbia, except as otherwise specifically 
provided: Provided, That notwithstanding any other provision of 
law, except as provided in section 450A of the District of 
Columbia Home Rule Act, approved November 2, 2000 (114 Stat. 
2440; D.C. Official Code, section 1-204.50a) and provisions of 
this Act:[, the] The total amount appropriated in this Act for 
operating expenses for the District of Columbia for fiscal year 
2008 [2007] under this heading shall not exceed the lesser of 
the sum of the total revenues of the District of Columbia for 
such fiscal year or [$9,110,361,000] $9,762,702,000 (of which 
[$5,271,162,000] $6,100,550,000 (including $348,929,000 from 
dedicated taxes) shall be from local funds, [$2,020,101,000] 
$2,015,854,000 shall be from Federal grant funds, 
[$1,811,214,000] $1,637,736,000 shall be from other funds, and 
[$7,885,000] $8,562,000 shall be from private funds), in 
addition, [$170,052,000]$117,200,000 from funds previously 
appropriated in this Act as Federal payments: Provided further, 
That of the local funds, [$284,287,000] $339,989,000 shall be 
derived from the District's general fund balance: Provided 
further, That of these funds the District's intradistrict 
authority shall be [$539,745,000] $648,290,000: in addition for 
capital construction projects there is appropriated an increase 
of [$2,444,170,000] $1,607,703,000, of which [$1,809,754,000] 
$1,042,712,000 shall be from local funds, [$49,867,000] 
$38,523,000 from the District of Columbia Highway Trust 
fund[s], [$52,000,000] $73,260,000 from the Local Street 
Maintenance fund, [$15,000,000] $75,000,000 from revenue bonds, 
[$18,200,000 from Certificates of Participation financing, 
$63,000,000 from financing for construction of a baseball 
stadium, $196,000,000 from financing for construction of a new 
hospital or other health facilities] $150,00,000 from financing 
for construction of a consolidated laboratory facility, 
$42,200,000 for construction of a baseball stadium, 
[$239,749,000] $186,008,000 from Federal grant funds, [$600,000 
from Qualified Zone Academy Bonds, ]and a rescission of 
[$116,245,000] $212,696,000 from local funds appropriated under 
this heading in prior fiscal years [(of which $187,450,000 are 
from local funds and $54,444,000 are from the Local Street 
maintenance fund),] for a net amount of [$2,327,925,000] 
$1,395,007,000, to remain available until expended: Provided 
further, That the amounts provided under this heading are to be 
allocated and expended as proposed under Title III of this Act, 
at the rate set forth under `District of Columbia Funds Summary 
of Expenses' as included in the Fiscal Year [2007]2008 Proposed 
Budget and Financial Plan submitted to the Congress by the 
District of Columbia on June 5, 2006[ as amended on January 16, 
2007]. Provided further, That this amount may be increased by 
proceeds of one-time transactions, which are expended for 
emergency or unanticipated operating or capital needs: Provided 
further, That such increases shall be approved by enactment of 
local District law and shall comply with all reserve 
requirements contained in the District of Columbia Home Rule 
Act approved December 24, 1973 (87 Stat. 777; D.C. Official 
Code Sec. l-201.01 et seq.), as amended by this Act: Provided 
further, That the Chief Financial Officer of the District of 
Columbia shall take such steps as are necessary to assure that 
the District of Columbia meets these requirements, including 
the apportioning by the Chief Financial Officer of the 
appropriations and funds made available to the District during 
fiscal year [2007] 2008, except that the Chief Financial 
Officer may not reprogram for operating expenses any funds 
derived from bonds, notes, or other obligations issued for 
capital projects.

                 TITLE III--DISTRICT OF COLUMBIA FUNDS


                          DIVISION OF EXPENSES


                           OPERATING EXPENSES


                   Governmental Direction and Support

    Governmental direction and support, [$591,505,000] 
$411,886,000 (including [$330,101,000] $337,173,000 from local 
funds, [$157,746,000) $24,244,000 from Federal grant funds, and 
[$103,658,000] $50,469,000 from other funds) Provided, That not 
to exceed [$9,300] $10,100 for the Mayor, [$9,300] $10,100 for 
the Chairman of the Council of the District of Columbia, 
[$9,300] $10,100 for the City Administrator, and [$9,300] 
$10,100 for the Office of the Chief Financial Officer shall be 
available from this appropriation for official reception and 
representation expenses: Provided further, That any program 
fees collected from the issuance of debt shall be available for 
the payment of expenses of the debt management program of the 
District of Columbia: Provided further, That no revenues from 
Federal sources shall be used to support the operations or 
activities of the Statehood Commission and Statehood Compact 
Commission: Provided further, That the District of Columbia 
shall identify the sources of funding for Admission to 
Statehood from its own locally generated revenues: [Provided 
further, That $49,000,000 of other funds appropriated under 
this heading shall remain available until expended for 
activities authorized through Community Health Care Financing 
Fund; ]Provided further, That [beginning in fiscal year 2007 
and each year thereafter, ]amounts appropriated by this act may 
be increased by the amount required to pay banking fees for 
maintaining the funds of the District of Columbia provided 
further, that of the funds appropriated to the District of 
Columbia by the Continuing Appropriations Resolution, 2007, 
approved February 15, 2007 (Pub. L. No. 110-5), under the 
Heading ``Governmental Direction and Support,'' $75,000 shall 
remain available until expended for the Office of Human Rights 
Language Access program; provided further, that not less than 
$2,950,000 shall be available from this appropriation for the 
Office of the Attorney General for the District of Columbia to 
award a grant to the District of Columbia Bar Foundation for 
the purpose of providing support to nonprofit organizations 
that deliver civil legal services to low-income and under-
served District residents pursuant to the Civil Legal Services 
Amendment Act of 2007, passed on 1st reading on May 15, 2007 
(Engrossed version of Bill 17-148); provided further, that not 
less than $250,000 of this appropriation shall be available to 
fund the District of Columbia Poverty Lawyer Loan Assistance 
Program established by the District of Columbia Poverty Lawyer 
Loan Assistance Repayment Program Act of 2006, effective March 
2, 2007 (D.C. Law 16-203; 53 DCR 9055).
    [: Provided, further, That no less than $3,200,000 shall be 
available from this appropriation to the Office of the Attorney 
General for the District of Columbia for the purpose of 
providing civil legal services to low-income people].

                  Economic Development and Regulation

    Economic development and regulation, [$543,135,000] 
$534,829,000 (including [$194,207,000] $241,755,000 from local 
funds (including $89,496,000 dedicated taxes), [$133,524,000] 
$140,005,000 from Federal grant funds, [$215,186,000] 
$152,989,000 from other funds, and [$217,000] $80,000 from 
private funds) of which [$13,000,000] $25,000,000 collected by 
the District of Columbia in the form of BID tax revenue shall 
be paid to the respective BIDs pursuant to the Business 
Improvement Districts Act of 1996, effective May 29, 1996 (D.C. 
Law 11-134; D.C. Official Code, sec. 2-1215.01 et seq.), [and 
the Business Improvement Districts Amendment Act of 1997 (D.C. 
Law 12-26; D.C. Official Code, sec. 2-1215.15 et seq.)]: 
Provided, That such funds are available for acquiring services 
provided by the General Services Administration: Provided 
further, That Business Improvement Districts shall be exempt 
from taxes levied by the District of Columbia: Provided 
further, That the District is authorized to transfer, either 
through a grant or as a direct payment, $1,200,000 in local 
funds to the Excel Institute: Provided further, That up to one 
percent of the local funds appropriated for the Department of 
Employment Services may be deposited into the Integrated 
Services Fund for At-Risk Children, Youth, and Families, 
established by Title V of the Fiscal Year 2007 Budget Support 
Act of 2006, effective March 2, 2007 (D.C. L16-192, Sec. 5203; 
53 DCR 6899; D.C. Official Code 41323.02) [passed on 1st 
reading on May 9, 2006 (Engrossed version of Bill 16-679), and 
used for the purposes set forth in Title V: Provided further, 
That amounts appropriated under this heading may be increased 
by an amount necessary to execute a transfer of applicable 
residual amounts from the District's general funds that to the 
special revenue Housing Production Trust fund in accordance 
with the Housing Production Trust Fund and New Communities 
Financing Clarification Act of 2006 (D.C. Law 16-192) enacted 
March 02, 2007[; passed on 1st reading on May 9, 2006 
(Engrossed version of Bill 16-679)]: Provided further, That 
[$115,578,000] $57,065,000 from dedicated taxes shall be to 
execute a transfer from the District's general funds to 
[establish a] the special revenue Housing Production Trust 
fund.

                       Public Safety and Justice

    Public safety and justice, [$949,393,000] $1,142,625,000 
(including [$888,003,000] $963,108,000 from local funds, 
[$6,084,000] $105,760,000 from Federal grant funds, 
[$55,292,000] $73,557,000 from other funds, and [$14,000] 
$200,000 from private funds) in addition, $1,300,000 from funds 
previously appropriated in this Act under the heading ``Federal 
Payment to the Criminal Justice Coordinating Council'' and 
$5,000,000 from funds previously appropriated in this Act under 
the heading ``Federal Payment to Reimburse the Federal Bureau 
of Investigation'': Provided, That not to exceed $750,000 shall 
be available from this appropriation for the Chief of Police 
for the prevention and detection of crime: Provided further, 
That the Mayor shall reimburse the District of Columbia 
National Guard for expenses incurred in connection with 
services that are performed in emergencies by the National 
Guard in a militia status and are requested by the Mayor, in 
amounts that shall be jointly determined and certified as due 
and payable for these services by the Mayor and the Commanding 
General of the District of Columbia National Guard: Provided 
further, That such sums as may be necessary for reimbursement 
to the District of Columbia National Guard under the preceding 
proviso shall be available from this appropriation, and the 
availability of the sums shall be deemed as constituting 
payment in advance for emergency services involved[.]: provided 
further, that not to exceed $3,700,000 of this appropriation 
shall be transferred from the Crime Victims Assistance Fund, 
established by section 16a of the Victims of Violent Crime 
Compensation Act of 1996, effective October 1, 2002 (D.C. Law 
14-190; D.C. Official Code Sec. 4-515.01), to the Shelter and 
Transitional Housing for Victims of Domestic Violence Fund 
Amendment Act of 2007, passed on 1st reading on May 15, 2007 
(Engrossed version of Bill 17-148), and shall remain available 
until expended.

                        Public Education System

    Public Education System, including the development of 
national defense education programs, [$1,415,333,000] 
$1,498,369,000 (including [$1,203,492,000] $1,261,690,000 from 
local funds, [$186,577,000] $208,314,000 from Federal grant 
funds, [$20,479,000] $22,313,000 from other funds, [$4,785,000] 
$6,053,000 from private funds), in addition, $35,100,000 from 
funds previously appropriated in this Act under the heading 
``Federal Payment for Resident Tuition Support'', and 
[$27,050,000] $26,000,000 from funds previously appropriated in 
this Act under the heading ``Federal Payment for School 
Improvement in the District of Columbia'' to be allocated as 
follows:
    (1) District of Columbia Public Schools.--[$979,100,000] 
$987,144,000 (including [$808,331,000] $796,247,000 from local 
funds, [$156,060,000] $174,930,000 from Federal grant funds, 
[$10,034,000] $10,004,000 from other funds, [$4,675,000] 
$5,962,000 from private funds), in addition, $13,000,000 from 
funds previously appropriated in this Act under the heading 
``Federal Payment for School Improvement [in the District of 
Columbia]'' shall be available for District of Columbia Public 
Schools: Provided, That [the amount appropriated under this 
heading may be increased by an amount not to exceed $14,000,000 
to remain available until expended from local fund balance: 
Provided further, That notwithstanding any other provision of 
law, rule, or regulation, the evaluation process and 
instruments for evaluating District of Columbia Public School 
employees shall be a non-negotiable item for collective 
bargaining purposes: Provided further, That] this appropriation 
shall not be available to subsidize the education of any 
nonresident of the District of Columbia at any District of 
Columbia public elementary or secondary school during fiscal 
year [2006] 2008 unless the nonresident pays tuition to the 
District of Columbia at a rate that covers 100 percent of the 
costs incurred by the District of Columbia that are 
attributable to the education of the nonresident (as 
established by the Superintendent of the District of Columbia 
Public Schools): Provided further, That not to exceed [$9,300] 
$10,100 for the Superintendent of Schools shall be available 
from this appropriation for official reception and 
representation expenses: Provided further, that no less than 
$12,516,000 shall be available from this appropriation for the 
Metropolitan Police Departments' provision of security for the 
District of Columbia Public Schools: [Provided further, That no 
less than $11,000,000 shall be available from this 
appropriation for the Metropolitan Police Department's 
provision of security for the District of Columbia Public 
Schools:) Provided further, That notwithstanding the amounts 
otherwise provided under this heading or any other provision of 
law, there shall be appropriated to the District of Columbia 
Public Schools on July 1, [2007] 2008, an amount equal to 10 
percent of the total amount of the local funds appropriations 
request provided for the District of Columbia Public Schools in 
the proposed budget of the District of Columbia for fiscal year 
[2008] 2009 (as submitted to Congress), and the amount of such 
payment shall be chargeable against the final amount provided 
for the District of Columbia Public Schools under the District 
of Columbia Appropriations Act, [2008] 2009[.] ;provided 
further, that of the local funds appropriated to the District 
of Columbia by the Continuing Appropriations Resolution, 2007 
approved February 15, 2007 (Pub.L. No. 110-5), under this 
heading, $5,000,000 in local funds shall remain available until 
expended to cover expenditures associated with the Blackman v. 
District of Columbia and Jones v. District of Columbia consent 
decree (``Blackman-Jones''); provided further, that $5,000,000 
in local funds for fiscal year 2008 funds shall remain 
available until expended for Blackman-Jones.
    [(2) Educational Investment Fund.--Of the funds 
appropriated under this heading in the District of Columbia 
Appropriations Act, 2006 (Public Law 109-115; 119 Stat. 2513), 
approved November 30, 2005, $1,200,000 in local funds shall 
remain available until expended for the District of Columbia 
Public Schools to fund the Parent Resource Center Initiative,]
    [(3)](2) Teachers' Retirement Fund.--[$14,600,000] 
$6,000,000 from local funds shall be available for the 
Teacher's Retirement Fund.
    [(4)](3) State Education Office.--[$54,023,000] $62,994,000 
(including [$14,507,000] $20,131,000 [$18,431,000] from local 
funds, [$29,727,000] $32,541,000 from Federal grant funds, and 
[$9,789,000] $10,322,000 from other funds), in addition, 
$35,100,000 from funds previously appropriated in this Act 
under the heading ``Federal Payment for Resident Tuition 
Support'' shall be available for the State Education Office and 
$13,000,000 from funds previously appropriated in this Act 
under the heading ``Federal Payment for School Improvement in 
the District of Columbia'' shall be available for the State 
Education Office: Provided, That of the amounts provided to the 
State Education Office, $1,000,000 from local funds shall 
remain available until June 30, [2008]2009 for an audit of the 
student enrollment of each District of Columbia Public School 
and of each District of Columbia public charter school. 
Provided further, That amounts appropriated under this heading 
may be increased by an amount not to exceed $9,600,000 to 
remain available until expended from the District of Columbia 
fund balance as necessary for direct loan and credit 
enhancement programs[.] :provided further, that to the extent 
that the District expends local funds for this purpose, the 
District may reimburse those local funds from Federal funds 
previously appropriated but made unavailable for the direct 
loan and credit enhancement programs if the Federal funds 
become available.
    [(5)](4) District of Columbia Public Charter Schools.--
[$266,066,000] $320,366,000 from local funds shall be available 
for District of Columbia public charter schools: Provided, That 
there shall be quarterly disbursement of funds to the District 
of Columbia public charter schools, with the first payment to 
occur within 15 days of the beginning of the fiscal year: 
Provided further, That if the entirety of this allocation has 
not been provided as payments to any public charter schools 
currently in operation through the per pupil funding formula, 
the funds shall remain available until expended for public 
education in accordance with section 2403(b)[(2)] of the 
District of Columbia School Reform Act of 1995, approved April 
26, 1996 (110 Stat. 1321; D.C. Official Code, sec. 38-
1804.03(b)[(2)]): Provided further, That of the amounts made 
available to District of Columbia public charter schools, 
$100,000 shall be made available to the Office of the Chief 
Financial Officer as authorized by section 2403(b)(S) of the 
District of Columbia School Reform Act of 1995, approved April 
26, 1996 (110 Stat. 1321; D.C. Official Code, sec. 38-
1804.03(b)(5): Provided further, That [$1,096,086] $320,366,000 
of this amount shall be available to the District of Columbia 
Public Charter School Board for administrative costs: Provided 
further, That notwithstanding the amounts otherwise provided 
under this heading or any other provision of law, there shall 
be appropriated to the District of Columbia public charter 
schools on July 1, [2007]2008, an amount equal to 25 percent of 
the total amount of the local funds appropriations request 
provided for payments to public charter schools in the proposed 
budget of the District of Columbia for fiscal year [2008]2009 
(as submitted to Congress), and the amount of such payment 
shall be chargeable against the final amount provided for such 
payments under the District of Columbia Appropriations Act, 
2008: Provided further, That the annual financial audit for the 
performance of an individual District of Columbia public 
charter school shall be funded by the charter school.
    [(6)](5) University of the District of Columbia Subsidy.--
[$59,546,000] $63,977,000 from local funds shall be available 
for the University of the District of Columbia subsidy: 
Provided, That this appropriation shall not be available to 
subsidize the education of nonresidents of the District of 
Columbia at the University of the District of Columbia, unless 
the Board of Trustees of the University of the District of 
Columbia adopts, for the fiscal year ending September 30, 
[2007]2008, a tuition rate schedule that will establish the 
tuition rate for nonresident students at a level no lower than 
the nonresident tuition rate charged at comparable public 
institutions of higher education in the metropolitan area: 
Provided further, That notwithstanding the amounts otherwise 
provided under this heading or any other provision of law, 
there shall be appropriated to the University of the District 
of Columbia on July 1, [2007]2008, an amount equal to 10 
percent of the total amount of the local funds appropriations 
request provided for the University of the District of Columbia 
in the proposed budget of the District of Columbia for fiscal 
year [2008]2009 (as submitted to Congress), and the amount of 
such payment shall be chargeable against the final amount 
provided for the University of the District of Columbia under 
the District of Columbia Appropriations Act, 2008: Provided 
further, That not to exceed [$9,300] $10,100 for the President 
of the University of the District of Columbia shall be 
available from this appropriation for official reception and 
representation expenses.
    [(7)](6) District of Columbia Public Libraries.--
[$41,998,000]$46,809,000 (including [$40,442,000] $45,239,000 
from local funds, [$790,000] $842,000 from Federal grant funds, 
[$656,000] $637,000 from other funds, and [$110,000] $91,000 
from private funds) shall be available for the District of 
Columbia Public Libraries: Provided, That not to exceed 
[$7,500] $8,100 for the Public Librarian shall be available 
from this appropriation for official reception and 
representation expenses[: Provided further, That not less than 
$1,000,000 shall be available for the District of Columbia 
Public Libraries' operating of full-service and interim branch 
libraries on Sundays].
    (7) Charter School Board.--$2,638,000 (including $1,288,000 
from local funds and $1,350,000 from other funds).
    (8) Department of Education.--$2,442,000 from local funds.
    (9) Office of Public Education Facilities Modernization--
$6,000,000 from local funds.

                         Human Support Services

    Human support services, [$2,923,171,000] $3,074,024,000 
(including [$1,369,566,000] $1,541,417,000 from local funds 
(including $10,000,000 in dedicated taxes), [$1,499,898,000] 
$1,499,176,000 from Federal grant funds, [$53,572,000] 
$32,388,000 from other funds, [$1,134,000] $1,042,000 from 
private funds): Provided, That [$30,280,000] $30,280,000 of 
this appropriation; to remain available until expended, shall 
be available solely for expenses associated with the District 
of Columbia employees' disability compensation 
program[:Provided further, That the funds appropriated in the 
District of Columbia Appropriations Act, 2006, approved 
November 30, 2005 (Public Law 109-115; 119 Stat. 2513), for the 
Grandparent Caregivers Pilot Program shall remain available 
until September 30, 2007: Provided further, That 
notwithstanding the provisions restricting the use of the 
Medicaid and Special Education Reform Fund in the District of 
Columbia Fiscal Year 2003 Appropriations Act, approved February 
20, 2003 (Public Law 108-7; 117 Stat. 117), the remaining 
balances shall be available for use by any District of Columbia 
Government agency in fiscal year 2007 and future fiscal years 
for the purposes established in sections 1553 and 1554 of the 
Medicaid and Special Education Reform Fund Establishment Act of 
2002, effective October 1, 2002 (D.C. Law 14-190; D.C. Official 
Code Sec. Sec. 4-204.53 and 4-204.54): Provided further, That 
the amounts appropriated under this heading may be increased by 
a District transfer of an amount not to exceed $13,000,000 from 
its general fund balance into the Medicaid and Special 
Education Reform Fund: Provided further, That the authority to 
expend funds transferred to the Medicaid and Special Education 
Reform Fund shall be effective only after certification by the 
Office of the Chief Financial Officer that the amount to be 
transferred is necessary to expend for the purposes established 
in sections 1553 and 1554 of the Medicaid and Special Education 
Reform Fund Establishment Act of 2002, effective October 1, 
2002 (D.C. Law 14-190; D.C. Official Code Sec. Sec. 4-204.53 
and 4204.54)): Provided further, That up to one percent of the 
local funds appropriated for the Child Family and Services 
Agency, the Department of Health, the Department of Human 
Services, the Department of Mental Health, and the Department 
of Youth Rehabilitation Services may be deposited into the 
Integrated Services Fund for At-Risk Children, Youth, and 
Families, established by Title V of the Fiscal Year 2007 Budget 
Support Act of 2006, approved March 2, 2007 (D.C. Law 16-192, 
Sec. 5203; 53 DCR 6899; D.C. Official Code 4-1323.02) [passed 
on 1st reading on May 9, 2006 (Engrossed version of Bill 16-
679), and used for the purposes set forth in Title V: Provided, 
further, That of the amount appropriated for services to the 
homeless no less than $300,000 shall be directed to Access 
Housing for services to homeless veterans]. Provided further, 
that of the local funds appropriated to the District of 
Columbia by the Continuing Appropriations Resolution, 2007, 
approved February 15, 2007 (Pub. L. No 110-5) under the Heading 
``Governmental Direction and Support'' for activities 
authorized through the Community Health Care Financing Fund, 
the Mayor is authorized to transfer amounts that remain 
available to this heading for use by the Department of Health, 
and such funds shall remain available until expended.

                              Public Works

    Public works, including rental of one passenger-carrying 
vehicle for use by the Mayor and three passenger-carrying 
vehicles for use by the Council of the District of Columbia and 
leasing of passenger-carrying vehicles, [$424,708,000] 
$593,711,000 (including [$351,396,000] $409,248,000 from local 
funds, [$18,691,000] $20,142,000 from Federal grant funds, 
[$700,000] $500,000 from private funds, and [$53,922,000] 
$163,822,000 from other funds[ in addition, $20,000,000 from 
funds previously appropriated in this Act under the heading 
``Federal Payment for Navy Yard Metro'')]: Provided, That this 
appropriation shall not be available for collecting ashes or 
miscellaneous refuse from hotels and places of business.

                          Financing and Other

    Financing and Other, [$772,938,000] $1,071,903,000 
(including [$749,433,000] 1,002,378,000 from local funds 
(including $46,397,000 from dedicated taxes) and [$23,505,000] 
$69,526,000 from other funds) to be allocated as follows:
    (1) Repayment of Loans and Interest--for payment of 
principal, interest, and certain fees directly resulting from 
borrowing by the District of Columbia to fund District of 
Columbia capital projects as authorized by sections 462, 475, 
and 490 of the District of Columbia Home Rule Act (D.C. 
Official Code, secs. 1-204.62, 1-204.75, and 1-204.90), 
[$405,114,000] $440,707,000 from local funds.
    (2) Short-Term Borrowing--for payment of interest on short-
term borrowing, [$8,000,000] $13, 334,000 from local funds.
    (3) Certificates of Participation--for principal and 
interest payments on the District's Certificates of 
Participation, issued to finance the ground lease underlying 
the building located at One Judiciary Square, [$31,225,000] 
$32,288,000 from local funds.
    (4) Settlements and Judgments--for making refunds and for 
the payment of legal settlements or judgments that have been 
entered against the District of Columbia government, 
[$15,655,000] $21,015,000 from local funds: Provided, That this 
appropriation shall not be construed as modifying or affecting 
the provisions of section 103 of this Act.
    (5) Wilson Building--for expenses associated with the John 
A. Wilson building, [$4,211,000] $4,190,000 from local funds.
    (6) Workforce Investments--for workforce investments, 
[$38,500,000] $21,044,000 from local funds, to be transferred 
by the Mayor of the District of Columbia within the various 
appropriation headings in this Act for which employees are 
properly payable.
    (7) Non-Departmental--to account for anticipated costs that 
cannot be allocated to specific agencies during the development 
of the proposed budget, [$45,942,000] $101,680,000 (including 
[$22,437,000] $32,154,000 from local funds and [$23,505,000] 
$69,526,000 from other funds) to be transferred by the Mayor of 
the District of Columbia within the various appropriations 
headings in this Act.
    (8) for Emergency Planning and Security Fund, [$10,500,000] 
$3,000,000 from funds previously appropriated in this Act under 
the heading ``Federal Payment for Emergency Planning and 
Security Costs in the District of Columbia''; provided, That 
notwithstanding any other law, the District of Columbia may 
charge obligations and expenditures that are pending 
reimbursement under the heading ``Federal Payment for Emergency 
Planning and Security Costs in the District of Columbia'' to 
this local appropriations heading.
    (9) Cash Reserve--for the cumulative cash reserve to be 
made available for expenditure consistent with the requirements 
established pursuant to section 202(j)(2) of the District of 
Columbia Financial Responsibility and Management Assistance Act 
of 1995, approved April 17, 1995 (109 Stat. 109; Pub. L. No. 
107-96; D.C. Official Code, sec. 47-392.02(j)(2)) for such 
reserve $50,000,000 from local funds.
    (10) Tax Increment Financing--the amounts appropriated 
herein may be increased by an amount not to exceed [$9,710,000] 
$16,200,000 from the District's general fund balance for a Tax 
Increment Financing program as may be necessary to meet the Tax 
Increment Financing requirements.
    (11) Equipment Lease Operating--[$43,955,000] $43,755,000 
from local funds.[: provided, That for equipment leases, the 
Mayor may finance $19,453,000 of equipment cost, plus cost of 
issuance not to exceed 2% of the par amount being financed on a 
lease purchase basis with a maturity not to exceed 5 years; ]
    (12) Emergency and Contingency Funds--For the emergency 
reserve fund and the contingency reserve fund under section 
450A of the District of Columbia Home Rule Act, approved 
November 2, 2000 (114 Stat. 2440; [(] D.C. Official Code, sec. 
1-204.50a), the amounts appropriated herein may be increased by 
such additional amounts [such additional amounts] from the 
funds of the District government [general fund balance] as are 
necessary to meet the balance requirements for such funds under 
section 450A
    (13) Pay-As-You-Go Capital funds--in lieu of capital 
financing, [$87,987,000] $108,152,000 from local funds to be 
transferred to the Capital Fund
    (14) Debt Issuance Costs--for the payment of debt service 
issuance costs, [$30,000,000] 60,000,000 from local funds
    (15) School Modernization Fund--for a School Modernization 
Fund, [$1,650,000] 6,435,000 from local funds
    (16) District Retiree Health Contribution--for a District 
Retiree Health Contribution, [$4,700,000] 110,907,000 from 
local funds to be derived from the District's general fund 
balance[: provided, That amounts placed in the District Retiree 
Health Contribution account shall be available to make 
necessary expenditures; beginning in fiscal year 2007 and each 
year thereafter, ]
    (17) Baseball Revenue--$46,397,000 from dedicated tax to 
account for the inflows and outflows of both operating and 
capital dollars in addition, the amounts appropriated herein 
may be increased by such amounts as may be necessary and as are 
consistent with the Ballpark Omnibus Financing And Revenue Act 
of 2004, effective April 08, 2005 (D.C. Law 15-320; D.C. 
Official Code Sec. 10-1601.01 et seq.) to pay debt service, and 
to maintain and replenish required reserves for baseball 
revenue bonds
    (18) Revenue Bonds--for the repayment of revenue bonds 
[$6,000,000] $12,000,000 from local funds.

            [Revised Revenue Estimate Contingency Priority]

    [If the Chief Financial Officer of the District of Columbia 
certifies through a revised revenue estimate that $74,859,000 
is available from local funds, the funds shall be allocated in 
accordance with the Allocation of Additional Revenue Act of 
2006 in the District of Columbia 2007 Budget Support Act of 
2006, passed on 1st reading on May 9, 2006 (Engrossed version 
of Bill 16-679). Appropriation of Additional Revenue Act of 
2006 in the District of Columbia 2007 Budget Support Act of 
2006.]

                       ENTERPRISE AND OTHER FUNDS


                       Water and Sewer Authority

    Pursuant to section 445a of the District of Columbia Home 
Rule Act, approved August 6, 1996 (110 Stat. 1698; D.C. 
Official Code Sec. 1-204.45a), which provides that the Council 
shall have no authority to revise the budget for the District 
of Columbia Water and Sewer Authority, of which 60% represents 
rate-payer revenue, the Council forwards this non-appropriated 
budget request: For operation of the Water and Sewer Authority, 
[$311,642,000] $341,186,000 from other funds, of which 
[$6,048,000] $5,355,000 shall be apportioned for repayment of 
loans and interest incurred for capital improvement projects 
and payable to the District's debt service fund. For 
construction projects, [$285,791,000] $466,584,000, to be 
distributed as follows: [$136,424,000] $13,781,000 for the Blue 
Plains Wastewater Treatment Plant, [$18,834,000] $110,503,000 
for the sewer program, [$50,000,000] $98,675,000 for 
thecombined sewer program, [$37,524,000] $193,782,000 for the water 
program, [$41,252,000] $19,175,000 for the Washington Aqueduct capital 
program and, [$1,757,000] $30,668,000 for the capital equipment 
program; in addition, [$7,000,000] $12,000,000 from funds previously 
appropriated in this Act under the heading ``Federal Payment to the 
District of Columbia Water and Sewer Authority'': Provided, That the 
requirements and restrictions that are applicable to general fund 
capital improvement projects and set forth in this Act under the 
Capital Outlay appropriation account shall apply to projects approved 
under this appropriation account. .

                          Washington Aqueduct

    For operation of the Washington Aqueduct, [$143,174,000] 
$49,815,000 from other funds.

             [Stormwater Permit Compliance Enterprise Fund]

    [For operation of the Stormwater Permit Compliance 
Enterprise Fund, $7,000,000 from other funds.]

              Lottery and Charitable Games Enterprise Fund

    For the Lottery and Charitable Games Enterprise Fund, 
established by the District of Columbia Appropriation Act, 
1982, approved December 4, 1981 (Pub. L. No. 97-91; 95 Stat. 
1174), for the purpose of implementing the Law to Legalize 
Lotteries, Daily Numbers Games, and Bingo and Raffles for 
Charitable Purposes in the District of Columbia (D.C. Law 3-
172; D.C. Official Code, sec. 3-1301 et seq. and sec. 22-1716 
et seq.), [$256,000,000] $266,700,000 from other funds: 
Provided, That the District of Columbia shall identify the 
source of funding for this appropriation title from the 
District's own locally generated revenues: Provided further, 
That no revenues from Federal sources shall be used to support 
the operations or activities of the Lottery and Charitable 
Games Control Board: Provided further, amounts appropriated 
herein may be increased by an amount necessary for [That] the 
Lottery and Charitable Games Enterprise Fund [is hereby 
authorized] to make transfers to the general fund of the 
District of Columbia, in excess of this appropriation, if such 
funds are available for transfer.

                  Sports and Entertainment Commission

    For the Sports and Entertainment Commission, 
[$195,314,000)] $58,529,000 from other funds to remain 
available until expended.

                 District of Columbia Retirement Board

    For the District of Columbia Retirement Board, established 
pursuant to section 121 of the District of Columbia Retirement 
Reform Act of 1979 (D.C. Official Code, sec. 1-711), 
[$34,423,000] $33,249,000 from the earnings of the applicable 
retirement funds to pay legal, management, investment, and 
other fees and administrative expenses of the District of 
Columbia Retirement Board: Provided, That the District of 
Columbia Retirement Board shall provide to the Congress and to 
the Council of the District of Columbia a quarterly report of 
the allocations of charges by fund and of expenditures of all 
funds: Provided further, That the District of Columbia 
Retirement Board shall provide the Mayor, for transmittal to 
the Council of the District of Columbia, an itemized accounting 
of the planned use of appropriated funds in time for each 
annual budget submission and the actual use of such funds in 
time for each annual audited financial report.

              Washington Convention Center Enterprise Fund

    For the Washington Convention Center Enterprise Fund, 
[$80,238,000] $88,742,000 from other funds.

              National Capital Revitalization Corporation

    For the National Capital Revitalization Corporation, 
[$51,592,000] $39,606,000 from other funds.

                 University of the District of Columbia

    For the University of the District of Columbia, 
[$104,095,000] $112,613,000 (including, [$59,546,000] 
$63,977,000 from local funds, [$18,580,000] $18,214,000 from 
Federal funds, [$24,934,000] $29,734,000 from other funds, and 
[$1,035,000] $687,000 from private funds): Provided, That this 
appropriation shall not be available to subsidize the education 
of nonresidents of the District of Columbia at the University 
of the District of Columbia, unless the Board of Trustees of 
the University of the District of Columbia adopts, for the 
fiscal year ending September 30, [2007] 2008, a tuition rate 
schedule that will establish the tuition rate for nonresident 
students at a level no lower than the nonresident tuition rate 
charged at comparable public institutions of higher education 
in the metropolitan area.

          District of Columbia of Personnel Agency Trust Fund

    For the District of Columbia of Personnel Agency Trust 
Fund, [$1,265,000] $1,500,000 from other funds.

             District of Columbia Public Library Trust Fund

    For the District of Columbia Public Library Trust Fund, 
$17,000 from other funds.

                   Unemployment Insurance Trust Fund

    For the Unemployment Insurance Trust Fund, $180,000,000 
from other funds.

                    Anacostia Waterfront Corporation

    For the Anacostia Waterfront Corporation, or its successor, 
[$36,000,000] $16,040,000 from local funds: Provided, That of 
the amount made available for capital expenditures under this 
heading in fiscal year 2007, $15,000,000 is rescinded[, of 
which $31,000,000 shall remain available until expended for 
capital expenditures].

                     Housing Production Trust Fund

    For the Housing Production Trust Fund, [$120,418,000] 
$122,703,000 in local funds (of which $122,703,000 is from 
dedicated taxes) to remain available until expended for 
purposes identified by the Housing Production Trust Fund Act of 
1988, effective March 16, 1989 (D.C. Law 7-202; D.C. Official 
Code Sec. 42-2801 et seq.).

                        Tax Increment Financing

    $16,200,000 from local funds for Tax Increment Financing.

                             Baseball Fund

    For the Baseball Fund, $164,101,000 of which ($157,l01,000 
from local funds (including $80,333,000 from dedicated taxes) 
and $7,000,000 from other funds) for the Baseball Fund.

                             CAPITAL OUTLAY

    For capital construction projects, an increase of 
[$2,444,170,000] $1,607,703,000, of which [$1,809,754,000] 
$1,042,712,000 shall be from local funds, [$49,867,000] 
$38,523,000 from the District of Columbia Highway Trust 
fund[s], [$52,000,000] $73,260,000 from the Local Street 
Maintenance fund, [$15,000,000] $75,000,000 from revenue bonds, 
[$18,200,000 from Certificates of Participation financing, 
$63,000,000 from financing for construction of a baseball 
stadium, $196,000,000 from financing for construction of a new 
hospital or other health facilities] $150,00,000 from financing 
for construction of a consolidated laboratory facility, 
$42,200,000 for construction of a baseball stadium, 
[$239,749,000] $186,008,000 from Federal grant funds, [$600,000 
from Qualified Zone Academy Bonds,] and a rescission of 
[$116,245,000] $212,696,000 from local funds appropriated under 
this heading in prior fiscal years [(of which $187,450,000 are 
from local funds and $54,444,000 are from the Local Street 
maintenance fund),] for a net amount of [$2,327,925,000] 
$1,395,007,000, to remain available until expended from funds 
previously appropriated in this Act under the heading ``Federal 
Payment for Central Library and Branch Location'':[;] in 
addition, [$5,000,000 from funds previously appropriated in 
this Act under the heading ``Federal Payment for the Anacostia 
Waterfront Initiative'' and $25,000,000] $10,000,000 to remain 
available until [expended] until September 30, 2009 from funds 
previously appropriated in this Act under the heading ``Federal 
Payment for Consolidated Laboratory Facility''. Provided, That 
funds for use of each capital project implementing agency shall 
be managed and controlled in accordance with all procedures and 
limitations established under the Financial Management System: 
Provided further, That all funds provided by this appropriation 
title shall be available only for the specific projects and 
purposes intended: Provided further, That amounts appropriated 
under this heading may be increased by the amount transferred 
from funds appropriated in this act as Pay-As-You-Go Capital 
funds: Provided further, That the Office of the Chief 
Technology Officer of the District of Columbia shall continue 
to implement the following information technology projects 
through completion of each such project on behalf of the 
District of Columbia Public Schools: Student Information System 
(project number T2240), Student Information System PCS (project 
number T2241), Enterprise Resource Planning (project number 
T2242), E-Rate (project number T2243), and SETS Expansion PCS 
(project number T2244): Provided further, That renovation of 
the office space of the Office of Attorney General at One 
Judiciary Square is authorized, subject to approval of 
financing for that purpose in accordance with laws enacted by 
the Council.

                      TITLE IV--GENERAL PROVISIONS

    SEC. 101. Whenever in this Act, an amount is specified 
within an appropriation for particular purposes or objects of 
expenditure, such amount, unless otherwise specified, shall be 
considered as the maximum amount that may be expended for said 
purpose or object rather than an amount set apart exclusively 
therefor.
    SEC. 102. Appropriations in this Act shall be available for 
expenses of travel and for the payment of dues of organizations 
concerned with the work of the District of Columbia government, 
when authorized by the Mayor, or, in the case of the Council of 
the District of Columbia, funds may be expended with the 
authorization of the Chairman of the Council.
    SEC. 103. There are appropriated from the applicable funds 
of the District of Columbia such sums as may be necessary for 
making refunds and for the payment of legal settlements or 
judgments that have been entered against the District of 
Columbia government.
    SEC. 104. (a) Except as provided in subsection (b), no part 
of this appropriation shall be used for publicity or propaganda 
purposes or implementation of any policy including boycott 
designed to support or defeat legislation pending before 
Congress or any State legislature.
    (b) The District of Columbia may use local funds provided 
in this title to carry out lobbying activities on any matter 
[other than--
    (1) the promotion or support of any boycott; or
    (2) statehood for the District of Columbia or voting 
representation in Congress for the District of Columbia].
    (c) Nothing in this section may be construed to prohibit 
any elected official from advocating with respect to any of the 
issues referred to in subsection (b).
    SEC. 105. (a) None of the funds provided under this title 
to the agencies funded by this title, both Federal and District 
government agencies, that remain available for obligation or 
expenditure in fiscal year [2006] 2008, or provided from any 
accounts in the Treasury of the United States derived by the 
collection of fees available to the agencies funded by this 
title, shall be available for obligation or expenditures for an 
agency through a reprogramming of funds which--
    (1) creates new programs;
    (2) eliminates a program, project, or responsibility 
center;
    (3) establishes or changes allocations specifically denied, 
limited or increased under this Act;
    (4) increases funds or personnel by any means for any 
program, project, or responsibility center for which funds have 
been denied or restricted;
    (5) reestablishes any program or project previously 
deferred through reprogramming;
    (6) augments any existing program, project, or 
responsibility center through a reprogramming of funds in 
excess of $3,000,000 or 10 percent, whichever is less; or
    (7) increases by 20 percent or more personnel assigned to a 
specific program, project or responsibility center,
unless, in the case of federal funds, the Committees on 
Appropriations of the House of Representatives and Senate are 
notified in writing 15 days in advance of the reprogramming and 
in the case of local funds, the Committees on Appropriations of 
the House of Representatives and Senate are provided summary 
reports on April 1, 2008 and October 1, 2008, setting forth 
detailed information regarding each such local funds 
reprogramming conducted subject to this subsection.
    (b) Except as otherwise provided in this Act, none the 
local funds contained in this Act may be available for 
obligation or expenditure for an agency through a transfer of 
any local funds in excess of $3,000,000from one appropriation 
heading to another unless the Committees on Appropriations of the House 
of Representatives and Senate are [notified in writing 15 days in 
advance of the transfer] provided summary reports on April 1, 2008 and 
October 1, 2008, setting forth detailed information regarding each 
reprogramming conducted subject to this subsection, except that in no 
event may the amount of any funds transferred exceed 4 percent of the 
local funds in the appropriations.
    (c) The District of Columbia Government is hereby 
authorized to approve and execute reprogramming and transfer 
requests of local funds under this Title to meet existing 
obligations through December 01, 2008.
    SEC. 106. Consistent with the provisions of section 1301(a) 
of title 31, United States Code, appropriations under this Act 
shall be applied only to the objects for which the 
appropriations were made except as otherwise provided by law.
    SEC. 107. Notwithstanding any other provisions of law[, the 
provisions of the District of Columbia Government Comprehensive 
Merit Personnel Act of 1978 (D.C. Law 2-139; D.C. Official 
Code, section 1-601.01 et seq.), enacted pursuant to section 
422(3) of the District of Columbia Home Rule Act (D.C. Official 
Code, section 1-2041.22(3)), shall apply with respect to the 
compensation of District of Columbia employees. For pay 
purposes, employees of the District of Columbia government 
shall not be subject to the provisions of title 5, United 
States Code.] (or 5 U.S.C. Sec. 8344(a)), the District 
Government Reemployed Annuitant Offset Amendment Act of 2004, 
effective December 7, 2004 (D.C. Law 15-207; 51 DCR 8799), 
shall apply to any individual employed in an appointive or 
elective position with the District of Columbia government 
after December 7, 2004. 
    SEC. 108. No later than 30 days after the end of the first 
quarter of fiscal year [2006] 2008, the Mayor of the District 
of Columbia shall submit to the Council of the District of 
Columbia and the Committees on Appropriations of the House of 
Representatives and Senate the new fiscal year [2006] 2008 
revenue estimates as of the end of such quarter. These 
estimates shall be used in the budget request for fiscal year 
[2007] 2009. The officially revised estimates at midyear shall 
be used for the midyear report.
    [SEC. 109. No sole source contract with the District of 
Columbia government or any agency thereof may be renewed or 
extended without opening that contract to the competitive 
bidding process as set forth in section 303 of the District of 
Columbia Procurement Practices Act of 1985 (D.C. Law 6-85; D.C. 
Official Code, section 2-303.03), except that the District of 
Columbia government or any agency thereof may renew or extend 
sole source contracts for which competition is not feasible or 
practical, but only if the determination as to whether to 
invoke the competitive bidding process has been made in 
accordance with duly promulgated rules and procedures and has 
been reviewed and certified by the Chief Financial Officer of 
the District of Columbia.]
    SEC. [110] 109. None of the Federal funds provided in this 
Act may be used by the District of Columbia to provide for 
salaries, expenses, or other costs associated with the offices 
of United States Senator or United States Representative under 
section 4(d) of the District of Columbia Statehood 
Constitutional Convention Initiatives of 1979 (D.C. Law 3-171; 
D.C. Official Code, section 1-123).
    [SEC. [111] 110. None of the Federal funds made available 
in this Act may be used to implement or enforce the Health Care 
Benefits Expansion Act of 1992 (D.C. Law 9-114; D.C. Official 
Code, section 32-701 et seq.) or to otherwise implement or 
enforce any system of registration of unmarried, cohabiting 
couples, including but not limited to registration for the 
purpose of extending employment, health, or governmental 
benefits to such couples on the same basis that such benefits 
are extended to legally married couples.]
    SEC. [112] 110. (a) Notwithstanding any other provision of 
this Act, the Mayor, in consultation with the Chief Financial 
Officer of the District of Columbia may accept, obligate, and 
expend Federal, private, and other grants received by the 
District government that are not reflected in the amounts 
appropriated in this Act.
    (b)(l) No such Federal, private, or other grant may be 
obligated, or expended pursuant to subsection (a) until--
    (A) the Chief Financial Officer of the District of Columbia 
submits to the Council a report setting forth detailed 
information regarding such grant; and
    (B) the Council has reviewed and approved the obligation, 
and expenditure of such grant.
    (2) For purposes of paragraph (l)(B), the Council shall be 
deemed to have reviewed and approved the obligation, and 
expenditure of a grant if--
    (A) no written notice of disapproval is filed with the 
Secretary of the Council within 14 calendar days of the receipt 
of the report from the Chief Financial Officer under paragraph 
(l)(A) or
    (B) if such a notice of disapproval is filed within such 
deadline, the Council does not by resolution disapprove the 
obligation, or expenditure of the grant within 30 calendar days 
of the initial receipt of the report from the Chief Financial 
Officer under paragraph (l)(A).
    (c) No amount may be obligated or expended from the general 
fund or other funds of the District of Columbia government in 
anticipation of the approval or receipt of a grant under 
subsection (b)(2) or in anticipation of the approval or receipt 
of a Federal, private, or other grant not subject to such 
subsection.
    (d) The Chief Financial Officer of the District of Columbia 
may adjust the budget for Federal, private, and other grants 
received by the District government reflected in the amounts 
appropriated in this title, or approved and received under 
subsection (b)(2) to reflect a change in the actual amount of 
the grant.
    (e) The Chief Financial Officer of the District of Columbia 
shall prepare a quarterly report setting forth detailed 
information regarding all Federal, private, and other grants 
subject to this section. Each such report shall be submitted to 
the Council of the District of Columbia, [and] to the 
Committees on Appropriations of the House of Representatives 
and Senate, and to the President not later than 15 days after 
the end of the quarter covered by the report.
    SEC. [113] 111. (a) Except as otherwise provided in this 
section, none of the funds made available by this Act or by any 
other Act may be used to provide any officer or employee of the 
District of Columbia with an official vehicle unless the 
officer or employee uses the vehicle only in the performance of 
the officer's or employee's official duties. For purposes of 
this paragraph, the term `official duties' does not include 
travel between the officer's or employee's residence and 
workplace, except in the case of--
    (l) an officer or employee of the Metropolitan Police 
Department who resides in the District of Columbia or is 
otherwise designated by the Chief of the Department;
    (2) at the discretion of the Fire Chief, an officer or 
employee of the District of Columbia Fire and Emergency Medical 
Services Department who resides in the District of Columbia and 
is on call 24 hours a day or is otherwise designated by the 
Fire Chief;
    (3) at the discretion of the Director of the Department of 
Corrections, an officer or employee of the District of Columbia 
Department of Corrections who resides in the District of 
Columbia and is on call 24 hours a day or is otherwise 
designated by the Director;
    [(3)] (4) the Mayor of the District of Columbia; and
    [(4)] (5) the Chairman of the Council of the District of 
Columbia.
    [(b) The Chief Financial Officer of the District of 
Columbia shall submit by March 1, 2006, an inventory, as of 
September 30, 2005, of all vehicles owned, leased or operated 
by the District of Columbia government. The inventory shall 
include, but not be limited to, the department to which the 
vehicle is assigned; the year and make of the vehicle; the 
acquisition date and cost; the general condition of the 
vehicle; annual operating and maintenance costs; current 
mileage; and whether the vehicle is allowed to be taken home by 
a District officer or employee and if so, the officer or 
employee's title and resident location.]
    [SEC. 114. None of the funds contained in this Act may be 
used for purposes of the annual independent audit of the 
District of Columbia government for fiscal year 2006 unless--
    (l) the audit is conducted by the Inspector General of the 
District of Columbia, in coordination with the Chief Financial 
Officer of the District of Columbia, pursuant to section 
208(a)( 4) of the District of Columbia Procurement Practices 
Act of 1985 (D.C. Official Code, section 2-302.8); and
    (2) the audit includes as a basic financial statement a 
comparison of audited actual year-end results with the revenues 
submitted in the budget document for such year and the 
appropriations enacted into law for such year using the format, 
terminology, and classifications contained in the law making 
the appropriations for the year and its legislative history.]
    [SEC. [115] 113. (a) None of the federal funds contained in 
this Act may be used by the Office of the Attorney General of 
the [District of Columbia Corporation Counsel] or any other 
officer or entity of the District government to provide 
assistance for any petition drive or civil action which seeks 
to require Congress to provide for voting representation in 
Congress for the District of Columbia.
    (b) Nothing in this section bars the Office of the Attorney 
General of the District of Columbia [Corporation Counsel] from 
reviewing or commenting on briefs in private lawsuits, or from 
consulting with officials of the District government regarding 
such lawsuits.]
    [SEC. [116] 114. (a) None of the federal funds contained in 
this Act may be used for any program of distributing sterile 
needles or syringes for the hypodermic injection of any illegal 
drug.
    (b) Any individual or entity who receives any funds 
contained in this Act and who carries out any program described 
in subsection (a) shall account for all funds used for such 
program separately from any funds contained in this Act.]
    [SEC. 117. None of the funds contained in this Act may be 
used after the expiration of the 60-day period that begins on 
the date of the enactment of this Act to pay the salary of any 
chief financial officer of any office of the District of 
Columbia government (including any independent agency of the 
District of Columbia) who has not filed a certification with 
the Mayor and the Chief Financial Officer of the District of 
Columbia that the officer understands the duties and 
restrictions applicable to the officer and the officer's agency 
as a result of this Act (and the amendments made by this Act), 
including any duty to prepare a report requested either in the 
Act or in any of the reports accompanying the Act and the 
deadline by which each report must be submitted: Provided, That 
the Chief Financial Officer of the District of Columbia shall 
provide to the Committees on Appropriations of the House of 
Representatives and Senate by April 1, 2006 and October 1, 
2006, a summary list showing each report, the due date, and the 
date submitted to the Committees.]
    [SEC. [118] 115. Nothing in this Act may be construed to 
prevent the Councilor Mayor of the District of Columbia from 
addressing the issue of the provision of contraceptive coverage 
by health insurance plans, but it is the intent of Congress 
that any legislation enacted on such issue should include a 
`conscience clause' which provides exceptions for religious 
beliefs and moral convictions.]
    [SEC. 119. The Mayor of the District of Columbia shall 
submit to the Committees on Appropriations of the House of 
Representatives and Senate, the Committee on Government Reform 
of the House of Representatives, and the Committee on 
Governmental Affairs of the Senate quarterly reports 
addressing--
    (1) crime, including the homicide rate, implementation of 
community policing, the number of police officers on local 
beats, and the closing down of open-air drug markets;
    (2) access to substance and alcohol abuse treatment, 
including the number of treatment slots, the number of people 
served, the number of people on waiting lists, and the 
effectiveness of treatment programs;
    (3) management of parolees and pre-trial violent offenders, 
including the number of halfway houses escapes and steps taken 
to improve monitoring and supervision of halfway house 
residents to reduce the number of escapes to be provided in 
consultation with the Court Services and Offender Supervision 
Agency for the District of Columbia;
    (4) education, including access to special education 
services and student achievement to be provided in consultation 
with the District of Columbia Public Schools and the District 
of Columbia public charter schools;
    (5) improvement in basic District services, including rat 
control and abatement;
    (6) application for and management of Federal grants, 
including the number and type of grants for which the District 
was eligible but failed to apply and the number and type of 
grants awarded to the District but for which the District 
failed to spend the amounts received; and
    (7) indicators of child well-being.]
    SEC. [120] 112. (a) No later than 30 calendar days after 
the date of the enactment of this Act, the Chief Financial 
Officer of the District of Columbia shall submit to the 
President and the appropriate committees of Congress, the 
Mayor, and the Council of the District of Columbia a revised 
appropriated funds operating budget in the format of the budget 
that the District of Columbia government submitted pursuant to 
section 442 of the District of Columbia Horne Rule Act (D.C. 
Official Code, section 1204.42), for all agencies of the 
District of Columbia government for fiscal year [2006] 2008 
that is in the total amount of the approved appropriation and 
that realigns all budgeted data for personal services and 
other-than-personal-services, respectively, with anticipated 
actual expenditures.
    (b) This section shall apply only to an agency where the 
Chief Financial Officer of the District of Columbia certifies 
that a reallocation is required to address unanticipated 
changes in program requirements.
    [SEC. 122. (a) None of the funds contained in this Act may 
be made available to pay--
    (1) the fees of an attorney who represents a party in an 
action or an attorney who defends an action brought against the 
District of Columbia Public Schools under the Individuals with 
Disabilities Education Act (20 U.S.C. 1400 et seq.) in excess 
of $4,000 for that action; or
    (2) the fees of an attorney or firm whom the Chief 
Financial Officer of the District of Columbia determines to 
have a pecuniary interest, either through an attorney, officer, 
or employee of the firm, in any special education diagnostic 
services, schools, or other special education service 
providers.
    (b) In this section, the term ``action'' includes an 
administrative proceeding and any ensuing or related 
proceedings before a court of competent jurisdiction.]
    [SEC. 123. The Chief Financial Officer of the District of 
Columbia shall require attorneys in special education cases 
brought under the Individuals with Disabilities Education Act 
(IDEA) in the District of Columbia to certify in writing that 
the attorney or representative rendered any and all services 
for which they receive awards, including those received under a 
settlement agreement or as part of an administrative 
proceeding, under the IDEA from the District of Columbia. As 
part of the certification, the Chief Financial Officer of the 
District of Columbia shall require all attorneys in IDEA cases 
to disclose any financial, corporate, legal, memberships on 
boards of directors, or other relationships with any special 
education diagnostic services, schools, or other special 
education service providers to which the attorneys have 
referred any clients as part of this certification. The Chief 
Financial Officer shall prepare and submit quarterly reports to 
the Committees on Appropriations of the House of 
Representatives and Senate on the certification of and the 
amount paid by the government of the District of Columbia, 
including the District of Columbia Public Schools, to attorneys 
in cases brought under IDEA. The Inspector General of the 
District of Columbia may conduct investigations to determine 
the accuracy of the certifications.]
    SEC. [124] 113. The amount appropriated by this Act may be 
increased by no more than [$42,000,000] $50,000,000 from funds 
identified in the comprehensive annual financial report as the 
District's fiscal year [2005] 2006 unexpended general fund 
surplus. The District may obligate and expend these amounts 
only in accordance with the following conditions:
    (1) The Chief Financial Officer of the District of Columbia 
shall certify that the use of any such amounts is not 
anticipated to have a negative impact on the District's long-
term financial, fiscal, and economic vitality.
    (2) The District of Columbia may only use these funds for 
the following expenditures:
    (A) One-time expenditures.
    (B) Expenditures to avoid deficit spending.
    (C) Debt Reduction.
    (D) Program needs.
    (E) Expenditures to avoid revenue shortfalls.
    (3) The amounts shall be obligated and expended in 
accordance with laws enacted by the Council in support of each 
such obligation or expenditure.
    (4) The amounts may not be used to fund the agencies of the 
District of Columbia government under court ordered 
receivership.
    (5) The amounts may not be obligated or expended unless the 
Mayor notifies the Committees on Appropriations of the House of 
Representatives and Senate not fewer than 30 days in advance of 
the obligation or expenditure.
    [SEC. 125. (a) The fourth proviso in the item relating to 
``Federal Payment for School Improvement'' in the District of 
Columbia Appropriations Act, 2005 (Public Law 108-335; 118 
Stat. 1327) is amended--
    (1) by striking ``$4,000,000'' and inserting ``$4,000,000, 
to remain available until expended,''; and
    (2) by striking ``$2,000,000 shall be for a new incentive 
fund'' and inserting ``$2,000,000, to remain available until 
expended, shall be for a new incentive fund''.
    (b) The amendments made by subsection (a) shall take effect 
as if included in the enactment of the District of Columbia 
Appropriations Act, 2005.]
    SEC. [126] 114. (a) To account for an unanticipated growth 
of revenue collections, the amount appropriated as District of 
Columbia Funds pursuant to this Act may be increased--
    (1) by an aggregate amount of not more than 25 percent, in 
the case of amounts proposed to be allocated as ``Other-Type 
Funds'' in the Fiscal Year [2006] 2008 Proposed Budget and 
Financial Plan submitted to Congress by the District of 
Columbia [on June 6, 2005]; and
    (2) by an aggregate amount of not more than 6 percent, in 
the case of any other amounts proposed to be allocated in such 
Proposed Budget and Financial Plan.
    (b) The District of Columbia may obligate and expend any 
increase in the amount of funds authorized under this section 
only in accordance with the following conditions:
    (1) The Chief Financial Officer of the District of Columbia 
shall certify--
    (A) the increase in revenue; and
    (B) that the use of the amounts is not anticipated to have 
a negative impact on the long-term financial, fiscal, or 
economic health of the District.
    (2) The amounts shall be obligated and expended in 
accordance with laws enacted by the Council of the District of 
Columbia in support of each such obligation and expenditure, 
consistent with the requirements of this Act.
    (3) The amounts may not be used to fund any agencies of the 
District government operating under court-ordered receivership.
    (4) The amounts may not be obligated or expended unless the 
Mayor has notified the Committees on Appropriations of the 
House of Representatives and Senate not fewer than 30 days in 
advance of the obligation or expenditure.
    [SEC. 127] 115. The Chief Financial Officer for the 
District of Columbia may, for the purpose of cash flow 
management, conduct short-term borrowing from the emergency 
reserve fund and from the contingency reserve fund established 
under section 450A of the District of Columbia Home Rule Act 
approved November 22, 2000 (114 Stat. 2440; D.C. Official Code 
Sec. 1-204.50a [Public Law 98-198]): Provided, That the amount 
borrowed shall not exceed 50 percent of the total amount of 
funds contained in both the emergency and contingency reserve 
funds at the time of borrowing: Provided further, That the 
borrowing shall not deplete either fund by more than 50 
percent: Provided further, That 100 percent of the funds 
borrowed shall be replenished within 9 months of the time of 
the borrowing or by the end of the fiscal year, whichever 
occurs earlier: Provided further, That in the event that short-
term borrowing has been conducted and the emergency or the 
contingency funds are later depleted below 50 percent as a 
result of an emergency or contingency, an amount equal to the 
amount necessary to restore reserve levels to 50 percent of the 
total amount of funds contained in both the emergency and 
contingency reserve fund must be replenished from the amount 
borrowed within 60 days.
    [SEC. [128] 120. (a) None of the federal funds contained in 
this Act may be used to enact or carry out any law, rule, or 
regulation to legalize or otherwise reduce penalties associated 
with the possession, use, or distribution of any schedule I 
substance under the Controlled Substances Act (21 U.S.C. 802) 
or any tetrahydrocannabinols derivative.
    (b) The Legalization of Marijuana for Medical Treatment 
Initiative of 1998, also known as Initiative 59, approved by 
the electors of the District of Columbia on November 3, 1998, 
shall not take effect.]
    [SEC. [129] 121. None of the federal funds appropriated 
under this Act shall be expended for any abortion except where 
the life of the mother would be endangered if the fetus were 
carried to term or where the pregnancy is the result of an act 
of rape or incest.]
    [SEC. 130. Section 7 of the District of Columbia Stadium 
Act of 1957 (Public Law 85-300, 71 Stat. 619), as amended, is 
further amended by inserting after paragraph (d)( 4) the 
following:
    ``(e)(1) Upon receipt of a written description from the 
District of Columbia of not more than 15 contiguous acres 
(hereinafter referred to as `the 15 acres'), within the area 
designated `D' on the revised map entitled `Map to Designate 
Transfer of Stadium and Lease of Parking Lots to the District' 
and bound by 21st Street, NE, Oklahoma Avenue, NE, Benning 
Road, NE, the Metro line, and C Street, NE, and execution of a 
long-term lease by the Mayor of the District of Columbia that 
is contingent upon the Secretary's conveyance of the 15 acres 
and for the purpose consistent with this paragraph, the 
Secretary shall convey the 15 acres described land to the 
District of Columbia for the purpose of siting, developing, and 
operating an educational institution for the public welfare, 
with first preference given to a pre-collegiate public boarding 
school.
    ``(2) Upon conveyance, the portion of the stadium lease 
that affects the 15 acres on the property and all the 
conditions associated therewith shall terminate, and the 15 
acres property shall be removed from the `Map to Designate 
Transfer of Stadium and Lease of Parking Lots to the District', 
and the long-term lease described in paragraph (1) shall take 
effect immediately. The Mayor of the District of Columbia shall 
execute and deliver a quitclaim deed to effectuate the 
District's responsibilities under this section.'']
    [SEC. 131. The authority that the Chief Financial Officer 
of the District of Columbia exercised with respect to personnel 
and the preparation of fiscal impact statements during a 
control period (as defined in Public Law 104-8) shall remain in 
effect until September 30, 2006.]
    [SEC. 132. The entire process used by the Chief Financial 
Officer to acquire any and all kinds of goods, works and 
services by any contractual means, including but not limited to 
purchase, lease or rental, shall be exempt from all of the 
provisions of the District of Columbia's Procurement Practices 
Act: Provided, That provisions made by this subsection shall 
take effect as if enacted in D.C. Law 11-259 and shall remain 
in effect until September 30, 2006.]
    [SEC. 134. The Chief Financial Officer of the District is 
hereby authorized to transfer $5,000,000 from the local funds 
appropriated for the Deputy Mayor for Economic Development to 
the Anacostia Waterfront Corporation and to reallocate the 
appropriation authority for such funds to a heading to be 
entitled ``Anacostia Waterfront Corporation'' in addition, an 
amount of $3,200,000 is hereby appropriated from the local 
funds made available to the Anacostia Waterfront Corporation in 
fiscal year 2005: Provided, That all of the funds made 
available herein to the Anacostia Waterfront Corporation shall 
remain available until expended.]
    [SEC. 135. Amounts appropriated in the Act for the 
Department of Health may be increased by $250,000 in local 
funds to remain available until expended to conduct a health 
study in Spring Valley.]
    [SEC. 136. Notwithstanding section 602(c)(1) of the 
District of Columbia Home Rule Act, amendments to the Ballpark 
Technical Amendments Act of 2005 and the Ballpark Fee Rebate 
Act of 2005 shall take effect on the date of the enactment by 
the District of Columbia.]
    SEC. 116. Amounts appropriated in this Act as operating 
funds may be transferred to the District of Columbia's 
enterprise and capital funds and such amounts, once transferred 
shall retain appropriation authority consistent with the 
provisions of this Act.
    SEC. 117. The Student Funding Formula Assessment, 
Educational Data Warehouse, and Enrollment Fund Establishment 
Amendment Act of 2007, passed on 1st reading on May 15, 2007, 
(Engrossed version of Bill 17-148) is enacted into law.
    SEC. [137] 118. Except as expressly provided otherwise, any 
reference to ``this Act'' contained in this division shall be 
treated as referring only to the provisions of this division.
    This division [Act] may be cited as the ``District of 
Columbia Appropriations Act, [2006] 2008''.

                             DIVISION--B\1\

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    \1\Provisions included under Division B shall be transmitted by the 
Mayor to the House Committee on Government Reform and the Senate 
Committee on Homeland Security and Governmental Affairs for enactment.
---------------------------------------------------------------------------

               DISTRICT OF COLUMBIA AUTHORIZATION REQUEST

    SEC. 201. The following proviso under the heading ``Lottery 
and Charitable Games Enterprise Fund'' in the District of 
Columbia Appropriations Act, 1982, approved December 4, 1981 
(95 Stat. 1174; Public Law 97-91), is repealed:
    ``Provided further, That the advertising, sale, operation, 
or playing of the lotteries, raffles, bingos, or other games 
authorized by D.C. Law 3-172 is prohibited on the Federal 
enclave, and in adjacent public buildings and land controlled 
by the Shipstead-Luce Act as amended by 53 Stat. 1144, as well 
as in the Old Georgetown Historic District''.
    SEC. 202. Section 11201 of the National Capital 
Revitalization and Self-Government Improvement Act of 1997, 
approved August 5, 1997 (111 Stat. 734; D.C. Official Code 
Sec. 24-101), is amended by adding a new subsection (a-1) to 
read as follows:
    ``(a-1) Reimbursement to District of Columbia Department of 
Corrections.--The United States Government shall reimburse the 
District of Columbia Department of Corrections its costs of 
providing custody and care for:
    ``(1) Felons committed by the Superior Court of the 
District of Columbia from the date of sentencing until transfer 
to a penal or correctional facility operated or contracted for 
by the Bureau of Prisons;
    ``(2) Previously sentenced felons committed to the 
Department of Corrections as violators of parole, supervised 
release, or probation from the date of commitment until 
transfer to a penal or correctional facility operated or 
contracted for by the Bureau of Prisons; and
    ``(3) Previously sentenced felons held by or committed to 
the Department of Corrections on writs from the date of 
commitment until transfer to a penal or correctional facility 
operated or contracted for by the Bureau of Prisons.''.
    Sec. 203. Notwithstanding any other law, the all entities 
within the District of Columbia shall be subject to the general 
sales tax of the District of Columbia for sales to the public 
in gift shops, restaurants, and similar facilities.
    SEC. 2040 Section 424a [as amended, 425] of the District of 
Columbia Home Rule Act, approved October 16, 2006 (120 Stat. 
2037; D.C. Official Code Sec. 1-204.25), is amended as follows:
    (a) Subsection (b)(3) is amended by striking the phrase 
``subordinate and independent agencies'' and inserting the 
phrase ``subordinate and independent agencies, including 
independent authorities'' in its place.
    (b) Subsection (c)(l) is amended by striking the phrase 
``subordinate and independent agencies'' and inserting the 
phrase ``subordinate and independent agencies, including 
independent authorities'' in its place.
    SEC. [204]205. Notwithstanding any other law (or 5 USC 
Sec. 8344(a)), the District Government Reemployed Annuitant 
Offset Amendment Act of 2004, effective December 7, 2004 (D.C. 
Law 15-207; 51 DCR 8799), shall apply to any individual 
employed in an appointive or elective position with the 
District of Columbia government after December 7, 2004.
    SEC. [205]206. The 2005 District of Columbia Omnibus 
Authorization Act (Public Law 109-356; 120 Stat. 2021) is 
amended as follows:
    (a) Section 101(c) is amended to read as follows:
    ``(c) EFFECTIVE DATE--This section shall apply fiscal year 
2006 and each succeeding fiscal year.''.
    (b) Section 102(a)(4) is amended to read as follows:
    ``(4) EFFECTIVE DATE--This section shall apply fiscal year 
2006 and each succeeding fiscal year.''.
    (c) Section 202(a) is amended as follows:
    (1) Paragraph (1) is amended by striking the phrase ``Sec. 
424. (a) IN GENERAL.'' and inserting the phrase ``Sec. 425. (a) 
IN GENERAL.'' in its place.
    (2) Paragraph (2) is amended by striking the phrase ``Sec. 
424a. Authority'' and inserting the phrase `` Sec. 425. 
Authority'' in its place.
    (d) Section 203(a) is amended as follows:
    (1) Paragraph (1) is amended as follows:
    (A) Strike the phrase ``Sec. 424b. The Chief'' and insert 
the phrase ``Sec. 426. The Chief'' in its place.
    (B) Strike the date ``1986'' and insert the date ``1985'' 
in its place.
    (2) Paragraph (2) is amended by striking the phrase ``Sec. 
424b. Procurement'' and inserting the phrase ``Sec. 426. 
Procurement'' in its place.
    [(c)] (e) Section 305(f) is amended to read as follows:
    ``(f) EFFECTIVE DATE--This section shall apply fiscal year 
2006 and each succeeding fiscal year.''.
    SEC. 207. The District of Columbia School Reform Act of 
1995, approved April 26, 1996 (110 Stat. 1321; D.C. Official 
Code Sec. 38-1800.01 et seq.) is amended as follows:
    (a) Section 2203(j)(1) (D.C. Official Code Sec. 38-
1802.03(j)(1)) is repealed
    (b) Section 2210(d) (D.C. Official Code Sec. 38-1802.10(d)) 
is repealed.
    SEC. [206] 208. The federal government shall compensate the 
District for use and occupancy of public space closed for the 
security of federal buildings within the District of Columbia 
and such compensation shall be deemed to be included in and 
available from the annual appropriations for each agency of the 
federal government.
    This Act may be cited as the ``District of Columbia Omnibus 
Authorization Act, [2006] 2008''.

                                  
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