[Congressional Record (Bound Edition), Volume 147 (2001), Part 12]
[House]
[Pages 17722-17725]
[From the U.S. Government Publishing Office, www.gpo.gov]



                               AMENDMENTS

  Under clause 8 of rule XVIII, proposed amendments were submitted as 
follows:

                               H.R. 2944

                       Offered By: Mr. Hostettler

       Amendment No. 1: At the end of the bill, insert after the 
     last section (preceding the short title) the following new 
     section:
       Sec. __. None of the funds contained in this Act may be 
     used to issue, administer, or enforce any order by the 
     District of Columbia Commission on Human Rights relating to 
     docket numbers 93-030-(PA) and 93-031-(PA).

                               H.R. 2944

                         Offered By: Ms. Norton

       Amendment No. 2. Strike ``DISTRICT OF COLUMBIA FUNDS'' and 
     all that follows through ``GENERAL PROVISIONS'' and insert 
     the following:

                       DISTRICT OF COLUMBIA FUNDS

                           OPERATING EXPENSES

                          Division 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 (Public Law 93-198; D.C. Official 
     Code, sec. 1-204.50a), the total amount appropriated in this 
     Act for operating expenses for the District of Columbia for 
     fiscal year 2002 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 $6,025,838,000 (of which 
     $124,163,000 shall be from intra-District funds and 
     $3,553,300,000 shall be from local funds): Provided further, 
     That this amount may be increased by (1) proceeds of one-time 
     transactions, which are expended for emergency or 
     unanticipated operating or capital needs or (2) additional 
     expenditures which the Chief Financial Officer of the 
     District of Columbia certifies will produce additional 
     revenues during such fiscal year at least equal to 200 
     percent of such additional expenditures, and which 
     certification shall be approved by the Council, contingent 
     upon (A) no written notice of disapproval being filed with 
     the Secretary to the Council within 14 calendar days after 
     the receipt of the certification from the Mayor, and no oral 
     notice of disapproval is given during a meeting of the 
     Council during such 14 calendar day period, the request shall 
     be deemed to be approved and (B) if notice of disapproval be 
     given during such initial 14 calendar day period, the Council 
     may approve or disapprove the certification by resolution 
     within 30 calendar days after the initial receipt of the 
     certification from the Mayor, or such certification shall be 
     deemed to be approved: 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 2002, 
     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.

                   Governmental Direction and Support

       Governmental direction and support, $284,559,000 (including 
     $228,471,000 from local funds, $38,809,000 from Federal 
     funds, and $17,279,000 from other funds): Provided, That not 
     to exceed $2,500 for the Mayor, $2,500 for the Chairman of 
     the Council of the District of Columbia, and $2,500 for the 
     City Administrator shall be available from this appropriation 
     for official purposes: 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 notwithstanding 
     any other provision of law, or Mayor's Order 86-45, issued 
     March 18, 1986, the Office of the Chief Technology Officer's 
     delegated small purchase authority shall be $500,000: 
     Provided further, That the District of Columbia government 
     may not require the Office of the Chief Technology Officer to 
     submit to any other procurement review process, or to obtain 
     the approval of or be restricted in any manner by any 
     official or employee of the District of Columbia government, 
     for purchases that do not exceed $500,000: Provided further, 
     That not later than the later of November 1, 2001, or 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 appropriate committees of Congress, the Mayor, 
     and the Council 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 Home Rule Act (Public Law 93-198; D.C. Official 
     Code, sec. 1-204.42), for all agencies of the District of 
     Columbia government for such fiscal year 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: 
     Provided further, That not less than $353,000 shall be 
     available to the Office of the Corporation Counsel to support 
     increases in the Attorney Retention Allowance: Provided 
     further, That not less than $50,000 shall be available to 
     support a mediation services program within the Office of the 
     Corporation Counsel: Provided further, That not less than 
     $50,000 shall be available to support a TANF Unit within the 
     Child Support Enforcement Division of the Office of the 
     Corporation Counsel: Provided further, That section 403 of 
     the District of Columbia Home Rule Act, approved December 24, 
     1973 (Public Law 93-198; D.C. Official Code, sec. 1-204.03), 
     is amended as follows:
       (1) Subsection (c) is amended by striking ``shall receive, 
     in addition to the compensation to which he is entitled as a 
     member of the Council, $10,000 per annum, payable in equal 
     installments, for each year he serves as Chairman, but the 
     Chairman''.
       (2) A new subsection (d) is added to read as follows:
       ``(d) Notwithstanding subsection (a), as of the effective 
     date of the District of Columbia Appropriations Act, 2001, 
     the Chairman shall receive compensation, payable in equal 
     installments, at a rate equal to $10,000 less than the 
     compensation of the Mayor.''.

                  Economic Development and Regulation

       Economic development and regulation, $230,878,000 
     (including $60,786,000 from local funds, $96,199,000 from 
     Federal funds, and $73,893,000 from other funds), of which 
     $15,000,000 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 
     (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 Department of 
     Consumer and Regulation Affairs use $50,000 of the receipts 
     from the net proceeds from the contractor (ASI) that handles 
     the District's occupational and professional licensing to 
     fund additional staff and equipment for the Rental Housing 
     Administration: Provided further, That the Department of 
     Consumer and Regulatory Affairs transfer all local funds 
     resulting from the lapse of personnel vacancies, caused by 
     transferring DCRA employees into NSO positions without 
     filling the resultant vacancies, into the revolving 5-513 
     fund to be used to

[[Page 17723]]

     implement the provisions in D.C. Act 13-578, the Abatement 
     and Condemnation of Nuisance Properties Omnibus Amendment Act 
     of 2000, pertaining to the prevention of the demolition by 
     neglect of historic properties: Provided further, That the 
     fees established and collected pursuant to D.C. Act 13-578 
     shall be identified, and an accounting provided, to the 
     District of Columbia Council's Committee on Consumer and 
     Regulatory Affairs: Provided further, That 18 percent of the 
     annual total amount in the 5-513 fund, up to $500,000, 
     deposited into the 5-513 fund on an annual basis, be used to 
     implement section 102 and other related sections of D.C. Act 
     13-578: Provided further, That the Department shall hire, 
     with the consultation and guidance of the Director of the 
     Office of Personnel on the necessary qualifications and 
     salary level, from these lapsed funds, as soon as possible, 
     but in no event later than November 1, 2001, a professional 
     human resources manager who will become part of the 
     Department's senior management team, and provide, in 
     consultation with its newly hired human resources 
     professional manager and the Office of Personnel, a detailed 
     plan to the Council's Committee on Consumer and Regulatory 
     Affairs, by December 1, 2001, for the use of the personal 
     services lapsed funds, including the 58 vacant positions 
     identified by the Department in fiscal year 2001, to 
     reclassify positions, augment pay scales once positions are 
     reclassified where needed to fill vacancies with qualified 
     and necessary personnel, and to fund these new and vacant 
     positions.

                       Public Safety and Justice

       Public safety and justice, including such sums as may be 
     necessary for making refunds and for the payment of judgments 
     that have been entered against the District of Columbia 
     government, $632,668,000 (including $593,618,000 from local 
     funds, $8,298,000 from Federal funds, and $30,752,000 from 
     other funds): Provided, That not to exceed $500,000 shall be 
     available from this appropriation for the Chief of Police for 
     the prevention and detection of crime: Provided further, That 
     no less than $173,000,000 shall be available to the 
     Metropolitan Police Department for salary in support of 3,800 
     sworn officers: Provided further, That no less than $100,000 
     shall be available in the Department of Corrections budget to 
     support the Corrections Information Council: Provided 
     further, That not less than $296,000 shall be available to 
     support the Child Fatality Review Committee: Provided 
     further, That nothing contained in this section shall be 
     construed as modifying or affecting the provisions of section 
     11(c)(3) of title XII of the District of Columbia Income and 
     Franchise Tax Act of 1947 (Public Law 84-460; 70 Stat. 78; 
     D.C. Official Code, sec. 47-1812.11(c)(3)): Provided further, 
     That notwithstanding any other provision of law, section 3703 
     of Title XXXVII of the Fiscal Year 2002 Budget Support Act of 
     2001 (D.C. Bill 14-144), adopted by the Council of the 
     District of Columbia, is enacted into law.

                        Public Education System

       Public education system, including the development of 
     national defense education programs, $1,106,165,000 
     (including $894,494,000 from local funds, $185,044,000 from 
     Federal funds, and $26,627,000 from other funds), to be 
     allocated as follows: $810,542,000 (including $658,624,000 
     from local funds, $144,630,000 from Federal funds, and 
     $7,288,000 from other funds), for the public schools of the 
     District of Columbia; $47,370,000 (including $19,911,000 from 
     local funds, $26,917,000 from Federal funds, $542,000 from 
     other funds), for the State Education Office, $17,000,000 
     from local funds, previously appropriated in this Act as a 
     Federal payment, for resident tuition support at public and 
     private institutions of higher learning for eligible District 
     of Columbia residents; and $142,257,000 from local funds for 
     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 not 
     later than 15 days after the beginning of each 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 be available for public education in 
     accordance with the School Reform Act of 1995 (Public Law 
     104-134; D.C. Official Code, sec. 38-1804.03(A)(2)(D)): 
     Provided further, That $480,000 of this amount shall be 
     available to the District of Columbia Public Charter School 
     Board for administrative costs: Provided further, That 
     $76,542,000 (including $45,912,000 from local funds, 
     $12,539,000 from Federal funds, and $18,091,000 from other 
     funds) shall be available for the University of the District 
     of Columbia, and $27,256,000 (including $26,030,000 from 
     local funds, $560,000 from Federal funds and $666,000 other 
     funds) for the Public Library: Provided further, That the 
     $1,007,000 enhancement shall be allocated such that $500,000 
     is used for facilities improvements for 8 of the 26 library 
     branches, $235,000 for 13 FTEs for the continuation of the 
     Homework Helpers Program, $143,000 for 2 FTEs in the 
     expansion of the Reach Out And Roar (ROAR) service to license 
     day care homes, and $129,000 for 3 FTEs to expand literacy 
     support into branch libraries: Provided further, That 
     $2,198,000 (including $1,760,000 from local funds, $398,000 
     from Federal funds and $40,000 from other funds) shall be 
     available for the Commission on the Arts and Humanities: 
     Provided further, That the public schools of the District of 
     Columbia are authorized to accept not to exceed 31 motor 
     vehicles for exclusive use in the driver education program: 
     Provided further, That not to exceed $2,500 for the 
     Superintendent of Schools, $2,500 for the President of the 
     University of the District of Columbia, and $2,000 for the 
     Public Librarian shall be available from this appropriation 
     for official purposes: Provided further, That none of the 
     funds contained in this Act may be made available to pay the 
     salaries of any District of Columbia Public School teacher, 
     principal, administrator, official, or employee who knowingly 
     provides false enrollment or attendance information under 
     article II, section 5 of the Act entitled ``An Act to provide 
     for compulsory school attendance, for the taking of a school 
     census in the District of Columbia, and for other purposes'', 
     approved February 4, 1925 (D.C. Official Code, sec. 38-201 et 
     seq.): 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 and secondary school during fiscal year 2002 
     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 which are attributable 
     to the education of the nonresident (as established by the 
     Superintendent of the District of Columbia Public Schools): 
     Provided further, 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, 2002, 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 the District of 
     Columbia Public Schools shall spend $1,200,000 to implement 
     D.C. Teaching Fellows Program in the District's 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 charter schools on July 1, 2002, an amount 
     equal to 25 percent of the total amount provided for payments 
     to public charter schools in the proposed budget of the 
     District of Columbia for fiscal year 2003 (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, 2003: 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, 2002, an amount equal to 10 percent of the total 
     amount provided for the District of Columbia Public Schools 
     in the proposed budget of the District of Columbia for fiscal 
     year 2003 (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, 2003: Provided 
     further, That no less than $200,000 be available for adult 
     education: Provided further, That the third sentence of 
     section 441 of the District of Columbia Home Rule Act, 
     approved December 24, 1973 (Public Law 93-198; D.C. Official 
     Code, sec. 1-204.41), is amended to read as follows: 
     ``However, the fiscal year for the Armory Board shall begin 
     on the first day of January and shall end on the thirty-first 
     day of December of each calendar year, and, beginning the 
     first day of July 2003, the fiscal year for the District of 
     Columbia Public Schools, District of Columbia Public Charter 
     Schools and the University of the District of Columbia shall 
     begin on the first day of July and end on the thirtieth day 
     of June of each calendar year.'': Provided further, That the 
     paragraph under the heading ``Public Education System'' in 
     Public Law 107-20, approved July 24, 2001, is amended to read 
     as follows:
       ``For an additional amount for `Public Education System', 
     $1,000,000 from local funds for the State Education Office 
     for a census-type audit of the student enrollment of each 
     District of Columbia Public School and of each public charter 
     school, to remain available until expended.''.

                         Human Support Services


                     (including transfer of funds)

       Human support services, $1,803,923,000 (including 
     $711,072,000 from local funds, $1,075,960,000 from Federal 
     funds, and $16,891,000 from other funds): Provided, That 
     $27,986,000 of this appropriation, to remain available until 
     expended, shall be available solely for District of Columbia 
     employees' disability compensation: Provided further, that 
     $75,000,000 shall be available from local funds for the 
     District of Columbia Health and Hospitals Public Benefit 
     Corporation (PBC) to support the continuation of services 
     provided by D.C. General Hospital and the PBC clinics, unless 
     the District of Columbia Supplemental Appropriations Act, 
     2001, does not contain additional funding for the Public 
     Benefit Corporation beyond the $45,313,000 subsidy contained 
     in the District of Columbia Health and Hospitals Public 
     Benefit Corporation title of the District of Columbia 
     Appropriations Act, 2001, approved November 22, 2000 (Public 
     Law 106-522; 114 Stat. 2440) or

[[Page 17724]]

     the Congress does not approve the Supplemental Appropriations 
     Act by August 4, 2001, in which case the $75,000,000 shall be 
     available to the Health Care Safety Net Administration 
     established by section 1802 of the Fiscal Year 2002 Budget 
     Support Act of 2001, D.C. Bill 14-144; $90,000,000 
     appropriated under District of Columbia Appropriations Act, 
     2001 (Public Law 106-522) to the Public Benefit Corporation 
     for restructuring shall be made available to the Department 
     of Health's Health Care Safety Net Administration for the 
     purpose of restructuring the delivery of health services in 
     the District of Columbia shall remain available until 
     expended: Provided further, That no less than $7,500,000 of 
     this appropriation, to remain available until expended, shall 
     be deposited in the Addiction Recovery Fund established 
     pursuant to section 5 of the Choice in Drug Treatment Act of 
     2000, effective July 8, 2000 (D.C. Law 13-146; D.C. Official 
     Code, sec. 7-3004), and used solely for the purpose of the 
     Drug Treatment Choice Program established pursuant to section 
     4 of the Choice in Drug Treatment Act of 2000 (D.C. Official 
     Code, sec. 7-3003): Provided further, That no less than 
     $500,000 of the $7,500,000 appropriated for the Addiction 
     Recovery Fund shall be used solely to pay treatment providers 
     who provide substance abuse treatment to TANF recipients 
     under the Drug Treatment Choice Program: Provided further, 
     That no less than $2,000,000 of this appropriation shall be 
     used solely to establish, by contract, a 2-year pilot 
     substance abuse program for youth ages 16 through 21 years of 
     age: Provided further, That no less than $60,000 be available 
     for a D.C. Energy Office Matching Grant: Provided further, 
     That no less than $2,150,000 be available for a pilot Interim 
     Disability Assistance program pursuant to title L of the 
     Fiscal Year 2002 Budget Support Act (D.C. Bill 14-144).

                              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, $300,151,000 
     (including $286,334,000 from local funds, $4,392,000 from 
     Federal funds, and $9,425,000 from other funds): Provided, 
     That this appropriation shall not be available for collecting 
     ashes or miscellaneous refuse from hotels and places of 
     business: Provided further, That no less than $650,000 be 
     available for a mechanical alley sweeping program: Provided 
     further, That no less than $6,400,000 be available for 
     residential parking enforcement: Provided further, That no 
     less than $100,000 be available for a General Counsel to the 
     Department of Public Works: Provided further, That no less 
     than $3,600,000 be available for ticket processing: Provided 
     further, That no less than 14 residential parking control 
     aides or 10 percent of the residential parking control force 
     be available for night time enforcement of out-of-state tags: 
     Provided further, That of the total of 3,000 additional 
     parking meters being installed in commercial districts and in 
     commercial loading zones none be installed at loading zones, 
     or entrances at apartment buildings and none be installed in 
     residential neighborhoods: Provided further, That no less 
     than $262,000 be available for taxicab enforcement 
     activities: Provided further, That no less than $241,000 be 
     available for a taxicab driver security revolving fund: 
     Provided further, That no less than $30,084,000 in local 
     appropriations be available to the Division of 
     Transportation, within the Department of Public Works: 
     Provided further, That no less than $12,000,000 in rights-of-
     way fees shall be available for the Local Roads, Construction 
     and Maintenance Fund: Provided further, That funding for a 
     proposed separate Department of Transportation is contingent 
     upon Council approval of a reorganization plan: Provided 
     further, That no less than $313,000 be available for 
     handicapped parking enforcement: Provided further, That no 
     less than $190,000 be available for the Ignition Interlock 
     Device Program: Provided further, That no less than $473,000 
     be available for the Motor Vehicle Insurance Enforcement 
     Program: Provided further, That $11,000,000 shall be 
     available for transfer to the Highway Trust Fund the Local 
     Roads, Construction and Maintenance Fund, upon certification 
     by the Chief Financial Officer that funds are available from 
     the 2001 budgeted reserve or where the Chief Financial 
     Officer certifies that additional local revenues are 
     available.

                         Receivership Programs

       For all agencies of the District of Columbia government 
     under court ordered receivership, $403,368,000 (including 
     $250,015,000 from local funds, $134,339,000 from Federal 
     funds, and $19,014,000 from other funds).

                         Workforce Investments

       For workforce investments, $42,896,000 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.

                                Reserve

       For replacement of funds expended, if any, during fiscal 
     year 2001 from the Reserve established by section 202(j) of 
     the District of Columbia Financial Responsibility and 
     Management Assistance Act of 1995 (Public Law 104-8), 
     $120,000,000 from local funds.

                             Reserve Relief

       For the purpose of spending funds made available through 
     the reduction from $150,000,000 to $120,000,000 in the amount 
     required for the Reserve established by section 202(j) of the 
     District of Columbia Financial Responsibility and Management 
     Assistance Act of 1995 (Public Law 104-8), $30,000,000: 
     Provided, That $12,000,000 shall be available to the District 
     of Columbia Public Schools and District of Columbia Public 
     Charter Schools for educational enhancements: Provided 
     further, That $18,000,000 shall be available pursuant to a 
     procedure established by local law: Provided further, That of 
     the $18,000,000, no funds shall be available for purposes 
     specified by local District law unless the Chief Financial 
     Officer of the District of Columbia certifies that the funds 
     are not required to address potential deficits.

                        Contingency Reserve Fund

       For the contingency reserve fund established under section 
     450A(b) of the District of Columbia Home Rule Act (Public Law 
     93-198; D.C. Official Code, sec. 1-204.50a(b)), the amount 
     provided for fiscal year 2002 under such section, to be 
     derived from local funds.

                    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 (Public Law 93-198; D.C. Official Code, secs. 
     1-204.62, 1-204.75, 1-204.90), $247,902,000 from local funds: 
     Provided, That any funds set aside pursuant to section 148 of 
     the District of Columbia Appropriations Act, 2000 (Public Law 
     106-113; 113 Stat. 1523) that are not used in the reserve 
     funds established herein shall be used for Pay-As-You-Go 
     Capital Funds: Provided further, That for equipment leases, 
     the Mayor may finance $14,300,000 of equipment cost, plus 
     cost of issuance not to exceed 2 percent of the par amount 
     being financed on a lease purchase basis with a maturity not 
     to exceed 5 years: Provided further, That $4,440,000 for the 
     Fire and Emergency Medical Services Department, $2,010,000 
     for the Department of Parks and Recreation, $7,850,000 for 
     the Department of Public Works: Provided further, That no 
     less than $533,000 be available for trash transfer capital 
     debt service.

                Repayment of General Fund Recovery Debt

       For the purpose of eliminating the $331,589,000 general 
     fund accumulated deficit as of September 30, 1990, 
     $39,300,000 from local funds, as authorized by section 461(a) 
     of the District of Columbia Home Rule Act, (105 Stat. 540; 
     D.C. Official Code, sec. 1-204.61(a)).

              Payment of Interest on Short-Term Borrowing

       For payment of interest on short-term borrowing, $500,000 
     from local funds.

                            Wilson Building

       For expenses associated with the John A. Wilson Building, 
     $8,859,000 from local funds.

                    Emergency Reserve Fund Transfer

       Subject to the issuance of bonds to pay the purchase price 
     of the District of Columbia's right, title, and, interest in 
     and to the Master Settlement Agreement, and consistent with 
     the Tobacco Settlement Trust Fund Establishment Act of 1999 
     (D.C. Official Code, sec. 7-1811.01(a)(ii)) and the Tobacco 
     Settlement Financing Act of 2000 (D.C. Official Code, sec. 7-
     1831.03 et seq.), there is transferred the amount available 
     pursuant thereto, but not to exceed $33,254,000, to the 
     Emergency Reserve Fund established pursuant to section 
     450A(a) of the District of Columbia Home Rule Act (Public Law 
     93-198; D.C. Official Code, sec. 1-204.50a(a)).

                        Non-Departmental Agency

       To account for anticipated costs that cannot be allocated 
     to specific agencies during the development of the proposed 
     budget including anticipated employee health insurance cost 
     increases and contract security costs, $5,799,000 from local 
     funds.

                       ENTERPRISE AND OTHER FUNDS

                       Water and Sewer Authority

       For operation of the Water and Sewer Authority, 
     $244,978,000 from other funds for fiscal year 2002. For 
     construction projects, $152,114,000, in the following capital 
     programs; $52,600,000 for the Blue Plains Wastewater 
     Treatment Plant, $11,148,000 for the sewer program, $109,000 
     for the combined sewer program, $118,000 for the stormwater 
     program, $77,957,000 for the water program, $10,182,000 for 
     the capital equipment program: Provided, That the 
     requirements and restrictions that are applicable to general 
     fund capital improvements projects and set forth in this Act 
     under the Capital Outlay appropriation title shall apply to 
     projects approved under this appropriation title.

                          Washington Aqueduct

       For operation of the Washington Aqueduct $46,510,000 from 
     other funds for fiscal year 2002.

              Stormwater Permit Compliance Enterprise Fund

       For operation of the Stormwater Permit Compliance 
     Enterprise Fund, $3,100,000 from other funds for fiscal year 
     2002.

              Lottery and Charitable Games Enterprise Fund

       For the Lottery and Charitable Games Enterprise Fund, 
     established pursuant to the District of Columbia 
     Appropriation Act, 1982

[[Page 17725]]

     (Public Law 97-91; 95 Stat. 1174, 1175), 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.), $229,688,000: 
     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.

                  Sports and Entertainment Commission

       For the Sports and Entertainment Commission, $9,127,000 
     from other funds: Provided, That the Mayor shall submit a 
     budget for the Armory Board for the forthcoming fiscal year 
     as required by section 442(b) of the District of Columbia 
     Home Rule Act (Public Law 93-198; 87 Stat. 824; D.C. Official 
     Code, sec. 1-204.42(b)).

                       Health Care Restructuring

       For the Public Benefit Corporation established by section 
     202 of the Health and Hospitals Public Benefit Corporation 
     Act of 1996 (D.C. Law 11-212; D.C. Official Code, sec. 44-
     1102.01), $78,235,000: Provided, That the District of 
     Columbia Supplemental Appropriations Act, 2001, contains 
     additional funding for the Public Benefit Corporation beyond 
     the $45,313,000 subsidy contained in the District of Columbia 
     Health and Hospitals Public Benefit Corporation title of the 
     District of Columbia Appropriations Act, 2001, approved 
     November 22, 2000 (Public Law 106-522; 114 Stat. 2440) and be 
     approved by Congress prior to August 4, 2001.
       For the Health Care Safety Net Administration established 
     by section 1802 of the Fiscal Year 2002 Budget Support Act of 
     2001, D.C. Bill 14-144, $78,235,000: Provided, That the 
     District of Columbia Supplemental Appropriations Act, 2001, 
     does not contain additional funding for the Public Benefit 
     Corporation beyond the $45,313,000 subsidy contained in the 
     District of Columbia Health and Hospitals Public Benefit 
     Corporation title of the District of Columbia Appropriations 
     Act, 2001, approved November 22, 2000 (Public Law 106-522; 
     114 Stat. 2440) or Congress has not approved the Supplemental 
     Appropriations Act by August 4, 2001.

                 District of Columbia Retirement Board

       For the District of Columbia Retirement Board, established 
     by section 121 of the District of Columbia Retirement Reform 
     Act of 1979 (93 Stat. 866; D.C. Official Code, sec. 1-711), 
     $13,388,000 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 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, 
     $57,278,000 from other funds.

                         Housing Finance Agency

       For the Housing Finance Agency, $4,711,000 from other 
     funds.

              National Capital Revitalization Corporation

       For the National Capital Revitalization Corporation, 
     $2,673,000 from other funds.

                             CAPITAL OUTLAY


                        (including rescissions)

       For construction projects, an increase of $1,550,786,700 of 
     which $1,348,782,387 shall be from local funds, $44,431,135 
     from Highway Trust, and $157,573,178 from Federal funds, and 
     a rescission of 476,182,431 from local funds appropriated 
     under this heading in prior fiscal years, for a net amount of 
     $1,074,604,269 to remain available until expended: 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 the capital budget of $83,400,000 for the Department of 
     Health shall not be available until the District of Columbia 
     Council's Committee on Human Services receives a report on 
     the use of any capital funds for projects on the grounds of 
     D.C. General Hospital: Provided further, That notwithstanding 
     the foregoing, all authorizations for capital outlay 
     projects, except those projects covered by the first sentence 
     of section 23(a) of the Federal Aid Highway Act of 1968 
     (Public Law 90-495; 82 Stat. 827), for which funds are 
     provided by this appropriation title, shall expire on 
     September 30, 2003, except authorizations for projects as to 
     which funds have been obligated in whole or in part prior to 
     September 30, 2003: Provided further, That upon expiration of 
     any such project authorization, the funds provided herein for 
     the project shall lapse: Provided further, That except for 
     funds approved in the budgets prior to the fiscal year 2002 
     budget and FL-MA2 in the Fiscal Year 2002 Budget Request, no 
     funds from any source may be expended to renovate, 
     rehabilitate or construct any facility within the boundaries 
     of census tract 68.04 for any purpose associated with the 
     D.C. Department of Corrections, the CSOSA, or the Federal 
     Bureau of Prisons unit such time as the Mayor shall present 
     to the Council for its approval, a plan for the development 
     of census tract 68.04 south of East Capitol Street, S.E., and 
     the housing of any misdemeanants, felons, ex-offenders, or 
     persons awaiting trial within the District of Columbia.

                           GENERAL PROVISIONS

                               H.R. 2944

                         Offered By: Ms. Norton

       Amendment No. 3: Strike sections 102, 104, 105, 106, 107, 
     108, 109, 111, 113, 114, 116, 117, 118, 120, 121, 122, 123, 
     124, 125, and 127 through 134.

                               H.R. 2944

                         Offered By: Ms. Norton

       Amendment No. 4: In lieu of the matter proposed to be 
     inserted by the amendment, insert the following new section:
       Sec. 134. None of the funds contained in this Act may be 
     used to infringe upon any right of association, guaranteed by 
     the first amendment to the Constitution, of any nonprofit, 
     voluntary membership organization, including the Boy Scouts 
     of America.


             CONGRESSIONAL RECORD 

                United States
                 of America

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which are not spoken by a member of the Senate on the floor.



September 24, 2001
                                                      September 24, 2001