From 83df332603efa9e3e0c67309492c54a32ed698bd Mon Sep 17 00:00:00 2001 From: Alexis Byrd Date: Wed, 2 Oct 2024 10:37:26 -0400 Subject: [PATCH 1/5] 10-2-24 commits --- .../code/titles/99/1-1162.27(Perm).xml | 40 ++ .../code/titles/99/1-1162.32(Perm).xml | 29 ++ .../code/titles/99/1-301.192(Perm).xml | 148 +++++++ .../council/code/titles/99/1-307.90(Perm).xml | 34 ++ .../council/code/titles/99/1-309.11(Perm).xml | 3 + .../council/code/titles/99/1-309.13(Perm).xml | 375 ++++++++++++++++++ .../council/code/titles/99/1-309.14(Perm).xml | 49 +++ .../code/titles/99/1-325.351(Perm).xml | 38 ++ .../council/code/titles/99/1-328.04(Perm).xml | 3 + .../council/code/titles/99/1-328.11(Perm).xml | 111 ++++++ .../council/code/titles/99/1-515.05(Perm).xml | 73 ++++ .../council/code/titles/99/1-623.41(Perm).xml | 32 ++ .../code/titles/99/10-1202.03(Perm).xml | 134 +++++++ .../code/titles/99/10-1202.04(Perm).xml | 158 ++++++++ .../code/titles/99/10-551.07e(Perm).xml | 3 + 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us/dc/council/code/titles/99/6-231(Perm).xml | 39 ++ us/dc/council/code/titles/99/index.xml | 52 ++- us/dc/council/periods/24/laws/24-318.xml | 4 +- us/dc/council/periods/25/index.xml | 2 + us/dc/council/periods/25/laws/25-142.xml | 4 +- us/dc/council/periods/25/laws/25-175.xml | 15 +- 57 files changed, 4444 insertions(+), 11 deletions(-) create mode 100644 us/dc/council/code/titles/99/1-1162.27(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-1162.32(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-301.192(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-307.90(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-309.13(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-309.14(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-325.351(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-328.11(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-515.05(Perm).xml create mode 100644 us/dc/council/code/titles/99/1-623.41(Perm).xml create mode 100644 us/dc/council/code/titles/99/10-1202.03(Perm).xml create mode 100644 us/dc/council/code/titles/99/10-1202.04(Perm).xml create mode 100644 us/dc/council/code/titles/99/10-551.07f(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-1382(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-1383(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-1411.05a(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-1431.03a(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-354.13(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-381.02(Perm).xml create mode 100644 us/dc/council/code/titles/99/2-579(Perm).xml create mode 100644 us/dc/council/code/titles/99/23-501(Perm).xml create mode 100644 us/dc/council/code/titles/99/3-151(Perm).xml create mode 100644 us/dc/council/code/titles/99/3-154(Perm).xml create mode 100644 us/dc/council/code/titles/99/38-2901(Perm).xml create mode 100644 us/dc/council/code/titles/99/38-2902(Perm).xml create mode 100644 us/dc/council/code/titles/99/38-2903(Perm).xml create mode 100644 us/dc/council/code/titles/99/4-1701.01(Perm).xml create mode 100644 us/dc/council/code/titles/99/4-521(Perm).xml create mode 100644 us/dc/council/code/titles/99/4-753.08(Perm).xml create mode 100644 us/dc/council/code/titles/99/42-2501(Perm).xml create mode 100644 us/dc/council/code/titles/99/42-2603(Perm).xml create mode 100644 us/dc/council/code/titles/99/42-2604(Perm).xml create mode 100644 us/dc/council/code/titles/99/42-3504.01(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4665(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4801(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4802(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4803(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4804(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4806(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4808(Perm).xml create mode 100644 us/dc/council/code/titles/99/47-4810(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-202(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-226.01(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-229(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-229.01(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-229.02(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-229.03(Perm).xml create mode 100644 us/dc/council/code/titles/99/6-231(Perm).xml diff --git a/us/dc/council/code/titles/99/1-1162.27(Perm).xml b/us/dc/council/code/titles/99/1-1162.27(Perm).xml new file mode 100644 index 0000000000..610355ff22 --- /dev/null +++ b/us/dc/council/code/titles/99/1-1162.27(Perm).xml @@ -0,0 +1,40 @@ + +
+ 1-1162.27(Perm) + Persons required to register. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + Except as provided in § 1-1162.28, a person shall register with the Director of Government Ethics pursuant to § 1-1162.29 and pay the required registration fee if the person receives compensation or expends funds in an amount of $250 or more in any 3-consecutive-calendar-month period for lobbying. A person who receives compensation from more than one source shall register under this section if the person receives an aggregate amount of $250 or more in any 3-consecutive-calendar-month period for lobbying. Failure to register as required by this section shall result in a civil penalty. + + + (b) + + (1) + Except as provided in paragraph (2) of this subsection, the registration fee for lobbyists shall be $250. + + + (2) + The registration fee for lobbyists who lobby solely for nonprofit organizations shall be $50. For the purposes of this paragraph, the term "nonprofit organization" means an organization exempt from taxation under section 501(c)(3) of the Internal Revenue Code of 1986, approved October 22, 1986 (68A Stat. 163; 26 U.S.C. § 501(c)(3)). + + + + (c) + + (1) + There is established as a nonlapsing fund the Lobbyist Administration and Enforcement Fund (“Lobbyist Fund”), which shall be administered by the Board. The funds in the Lobbyist Fund shall be used by the Board solely for the purpose of administering and enforcing this subchapter. + + + (2) + All fees collected under subsection (b) of this section by the Board shall be deposited into the Lobbyist Fund. All funds deposited into the Lobbyist Fund, and any interest earned on those funds, shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time, but shall be continually available for the uses and purposes set forth in paragraph (1) of this subsection without regard to fiscal year limitation, subject to authorization by Congress. + + + + Apr. 27, 2012, D.C. Law 19-124, § 227, 59 DCR 1862 + Oct. 8, 2016, D.C. Law 21-160, § 1012(c), 63 DCR 10775 + Oct. 30, 2018, D.C. Law 22-168, § 1083(bb), 65 DCR 9388 + This section is referenced in § 1-1161.01. + +
diff --git a/us/dc/council/code/titles/99/1-1162.32(Perm).xml b/us/dc/council/code/titles/99/1-1162.32(Perm).xml new file mode 100644 index 0000000000..d13e26114f --- /dev/null +++ b/us/dc/council/code/titles/99/1-1162.32(Perm).xml @@ -0,0 +1,29 @@ + +
+ 1-1162.32(Perm) + Penalties; prohibition from serving as lobbyist; citizen suits. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + Notwithstanding § 1-1162.21 and except as provided in subsection (c) of this section, any person who willfully and knowingly violates any of the provisions of this part shall be fined not more than $5,000, or imprisoned for not more than 12 months, or both. + + + (b) + In addition to the penalties provided for in subsection (a) of this section, any person convicted of the misdemeanor specified in that section may be prohibited from serving as a lobbyist for a period of 3 years from the date of the conviction. + + + (c) + Any person who files a report or registration form required under this part in an untimely manner shall be assessed a civil penalty of $10 per day up to 30 days (excluding Saturdays, Sundays, and holidays) that the report or registration form is late. The Board may waive the penalty imposed under this subsection for good cause shown. + + + (d) + Should any provision of this subchapter not be enforced by the Board, a citizen of the District of Columbia may bring suit in the nature of mandamus in the Superior Court of the District of Columbia, directing the Board to enforce the provisions of this part. Reasonable attorneys fees may be awarded to the citizen against the District should he or she prevail in this action, or if it is settled in substantial conformity with the relief sought in the petition prior to order by the court. + + + Apr. 27, 2012, D.C. Law 19-124, § 232, 59 DCR 1862 + Oct.30, 2018, D.C. Law 22-168, § 1083(ee), 65 DCR 9388 + This section is referenced in § 1-1001.02. + +
diff --git a/us/dc/council/code/titles/99/1-301.192(Perm).xml b/us/dc/council/code/titles/99/1-301.192(Perm).xml new file mode 100644 index 0000000000..0f47f9561e --- /dev/null +++ b/us/dc/council/code/titles/99/1-301.192(Perm).xml @@ -0,0 +1,148 @@ + +
+ 1-301.192(Perm) + Deputy Mayor for Public Safety and Justice grant-making authority. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Deputy Mayor for Public Safety and Justice ("Deputy Mayor") shall have grant-making authority for the purpose of providing grants to support the Safe Passage Safe Blocks program, which provides a presence and safe passage for students and families as they travel to and from school. + + + (b) + + (1) + The Deputy Mayor for Public Safety and Justice ("Deputy Mayor") shall establish a pilot, under which the Deputy Mayor shall have grantmaking authority to issue grants to eligible organizations, as described in paragraph (2) of this subsection, solely for the purpose of creating or augmenting a Safe Commercial Corridors Program, which shall promote public safety and health through evidence-based activities for residents, workers, and visitors within the area served by the organization and the surrounding area ("commercial district"). + + + (2) + To be eligible for a grant under this subsection, an organization shall: + + (A) + Serve the District's residents, workers, business owners, property owners, and visitors of a commercial corridor in the Downtown, Shaw, or Adams Morgan neighborhoods; and + + + (B) + Engage in the maintenance of public and commercial spaces in a commercial corridor in the Downtown, Shaw, or Adams Morgan neighborhoods. + + + + (3) + An organization seeking a grant under this subsection shall submit to the Deputy Mayor a proposed Safe Commercial Corridors Program application, in a form prescribed by the Deputy Mayor, which shall include: + + (A) + A description of the public safety and health problems faced in the commercial district; + + + (B) + A Safe Commercial Corridors Program Plan describing how the applicant proposes to spend the grant funds in evidence-based ways to address the public safety and health problems identified in the application and to promote improvements in public safety and health in the commercial district; + + + (C) + A Clean Hands certification; and + + + (D) + Any additional information requested by the Deputy Mayor. + + + + (4) + A Safe Commercial Corridors Program Plan may include the following activities: + + (A) + Relationship-building with residents, workers, businesses, and regular visitors; + + + (B) + Connecting residents, workers, visitors, and businesses with resources available through District government agencies and direct service providers; + + + (C) + Providing safe passage for individuals who request accompaniment walking to transit or their vehicles; + + + (D) + Assisting business owners with improvements to their security and safety systems and protocols; + + + (E) + Responding to individuals with substance use disorders and implementing harm-reduction strategies; + + + (F) + Implementing de-escalation techniques; + + + (G) + Deterring crime and public safety violations; + + + (H) + Liaising with residents, workers, businesses, visitors, District public safety and health agencies, direct service providers in the community, and others as appropriate; + + + (I) + Providing culturally competent services and programming; and + + + (J) + Implementing other innovative strategies to promote public safety. + + + + (5) + Organizations receiving funds pursuant to this subsection shall endeavor to coordinate with other organizations receiving funds pursuant to this subsection and to share results and lessons learned from implementation of a Safe Commercial Corridors Program and other public safety efforts implemented by the organization. + + + (6) + A grant awarded pursuant to this subsection may be used to pay for the costs of: + + (A) + Salary and fringe benefits for staff; + + + (B) + Equipment, training, training materials, uniforms, first aid and other medical materials and equipment, and other materials and equipment for purposes of implementing the Safe Commercial Corridors Program; and + + + (C) + Other costs that support improved public safety and health pursuant to the Safe Commercial Corridors Program Plan. + + + + (7) + An organization receiving a grant pursuant to this subsection shall submit a report to the Deputy Mayor by the end of each fiscal year in which funds are received containing the following: + + (A) + An evaluation of the success of its Safe Commercial Corridors Program, including a detailed description of the program activities; + + + (B) + A description of any training or support provided to program staff; + + + (C) + A summary of the number and types of interactions between program staff and residents, visitors, businesses, and other individuals; + + + (D) + Evidence indicating the impact of the program activities on public safety and health indicators; and + + + (E) + Any other data or information as required by the Deputy Mayor. + + + + + (c) + Not Funded. + + + Sept. 14, 2011, D.C. Law 19-21, § 3023 + as added Sept. 6, 2023, D.C. Law 25-50, § 3022, 70 DCR 10366 + June 8, 2024, D.C. Law 25-175, § 2(b), 71 DCR 2732 + +
diff --git a/us/dc/council/code/titles/99/1-307.90(Perm).xml b/us/dc/council/code/titles/99/1-307.90(Perm).xml new file mode 100644 index 0000000000..5bdff554bb --- /dev/null +++ b/us/dc/council/code/titles/99/1-307.90(Perm).xml @@ -0,0 +1,34 @@ + +
+ 1-307.90(Perm) + Coverage. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Agency shall offer health centers medical malpractice insurance that is consistent with coverage offered in the market. + + + (b) + The insurance policies and coverage offered pursuant to this part shall be established by the Risk Officer with the advice of the Advisory Council and subject to the approval of the Commissioner. + + + (c) + Any policy offered by the Agency shall state that the liability of the Agency shall be limited to the funds in the Captive Trust Fund. + + + July 18, 2008, D.C. Law 17-196, § 11, 55 DCR 6261 + Dec. 24, 2013, D.C. Law 20-61, § 1032(g), 60 DCR 12472 + Oct. 8, 2016, D.C. Law 21-160, § 1032(e), 63 DCR 10775 + July 3, 2018, D.C. Law 22-123, § 2(f), 65 DCR 5088 + Applicability of D.C. Law 20-61: Section 11001 of D.C. Law 20-61 provided that, except as otherwise provided, the act shall apply as of October 1, 2013. + Section 1031 of D.C. Law 20-61 provided that Subtitle D of Title I of the act may be cited as the “Captive Insurance Amendment Act of 2013”. + For temporary (90 days) amendment of this section, see § 1032(g) of the Fiscal Year 2014 Budget Support Congressional Review Emergency Act of 2013 (D.C. Act 20-204, October 17, 2013, 60 DCR 15341, 20 DCSTAT 2311). + For temporary (90 days) amendment of this section, see § 1032(g) of the Fiscal Year 2014 Budget Support Emergency Act of 2013 (D.C. Act 20-130, July 30, 2013, 60 DCR 11384, 20 DCSTAT 1827). + For temporary (90 days) amendment of this section, see § 2(e) of the Captive Earthquake Property Insurance Congressional Review Emergency Act of 2013 (D.C. Act 20-85, June 19, 2013, 60 DCR 9536, 20 DCSTAT 1441). + For temporary (90 days) amendment of this section, see § 2(e) of the Captive Earthquake Property Insurance Emergency Act of 2013 (D.C. Act 20-39, March 20, 2013, 60 DCR 4663, 20 DCSTAT 523). + For temporary (225 days) amendment of this section, see § 2(e) of the Captive Earthquake Property Insurance Temporary Amendment Act of 2013 (D.C. Law 20-9, June 22, 2013, 60 DCR 6407, 20 DCSTAT 1277). + The 2013 amendment by D.C. Law 20-61 rewrote this section. + +
diff --git a/us/dc/council/code/titles/99/1-309.11(Perm).xml b/us/dc/council/code/titles/99/1-309.11(Perm).xml index af216025ec..bab9b63d10 100644 --- a/us/dc/council/code/titles/99/1-309.11(Perm).xml +++ b/us/dc/council/code/titles/99/1-309.11(Perm).xml @@ -2,6 +2,9 @@
1-309.11(Perm) Advisory Neighborhood Commissions — Meetings; bylaws governing operation and internal structure; officers; open meetings. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + (a) Reserved. diff --git a/us/dc/council/code/titles/99/1-309.13(Perm).xml b/us/dc/council/code/titles/99/1-309.13(Perm).xml new file mode 100644 index 0000000000..ed66a58ca2 --- /dev/null +++ b/us/dc/council/code/titles/99/1-309.13(Perm).xml @@ -0,0 +1,375 @@ + +
+ 1-309.13(Perm) + Advisory Neighborhood Commissions — Funds; audit of accounts; employees; financial reports; publications. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + Each Commission shall receive an annual allocation pursuant to § 1-207.38 to be distributed quarterly during the fiscal year, except that if the District's appropriations act for the fiscal year has not become effective at the beginning of the fiscal year, each Commission shall receive its first quarterly allocation for the fiscal year if and when a continuing resolution is adopted by the Congress of the United States. + + + (b) + + (1) + Each Commission shall by resolution designate a commercial bank, savings and loan association, credit union, or any combination thereof, which is insured by the government of the United States pursuant to 12 U.S.C. § 1811 et seq. and which is located within the District of Columbia, as a depository of all funds received by the Commission. + + + (2) + Each Commission shall request a District of Columbia Tax Identification Number and include the phrase "District of Columbia Government" in each account name within 90 days after June 27, 2000. + + + (3) + Each Commission shall establish no more than one checking or negotiable order of withdrawal account. The Commission may deposit into any savings account created pursuant to this section funds not immediately needed for the operation of the Commission. + + + + (b-1) + + (1) + Each Commission may obtain one debit card associated with the Commission's checking account. + + + (2) + Each Commission that obtains a debit card shall do so according to a procedure determined by the OANC that limits monthly debit card expenditures relative to the Commission's quarterly allotment. + + + + (c) + The treasurer of each Commission shall file with the Office of the District of Columbia Auditor ("Auditor"), within 30 days of assuming the office of treasurer or within 30 days of any change in the requested information, on a form provided by the Auditor, a statement that includes the treasurer's name, home and business address and telephone number, the location of the books and records of the Commission and the name and location of any depository of the Commission's funds, including account numbers. The treasurer and Chairperson shall file with the Auditor and maintain in force during their occupancy of their respective offices, a cash or surety bond in an amount and on a form satisfactory to the Auditor. Participation by a Commission in the Advisory Neighborhood Commission Security Fund established by § 1-309.14 shall satisfy the requirement of a cash or surety bond. The bylaws adopted by each Commission shall include a provision for filling in a timely manner a vacancy in the office of treasurer from among the remaining Commissioners. No expenditure shall be made by a Commission during a vacancy in the office of treasurer or at any time when a current and accurate statement and bond or its equivalent are not on file with the Auditor. + + + (c-1) + The treasurer of each Commission shall maintain an up-to-date treasurer's report that shall be available for any Commissioner or member of the public to review at each regular public Commission meeting. + + + (d) + + (1) + The Auditor shall audit the financial accounts of selected Commissions and maintain a database of financial information of each Commission for historical and expenditure trend analysis. The Auditor shall produce and submit to the Council a consolidated annual report of the financial activity of all the Commissions. + + + (2) + The Auditor may audit the financial accounts of a Commission, at the discretion of the Auditor, upon the request by a member of the Council or a Commissioner of the Commission for which an audit is requested. The findings and recommendations of any audit shall be forwarded to the affected Commission, the Council, the Mayor, the Office of Advisory Neighborhood Commissions, the Office of the Inspector General, the Office of the Attorney General for the District of Columbia, and any other law enforcement agency with jurisdiction over alleged improper conduct. + + + (3) + In a case in which an Auditor's report details a violation of this part, the affected Commission shall, within 90 days, provide in writing to the Auditor, its response to each of the alleged infractions. If the audited Commission fails to respond within 90 days, its next scheduled quarterly allotments shall be forfeited until the response has been filed. + + + + (e) + Each Commission shall, by resolution, designate the location at which the Commission's books and records shall be maintained which shall, if the Commission has a regular office, be the Commission office. The Auditor shall have access to the books and records of each Commission pursuant to § 1-204.55(c), and may issue subpoenas to banking and financial institutions requiring the production of financial documents and statements pursuant to an audit conducted under this part. Such financial documents shall include, but not be limited to, bank statements, canceled checks, and signature cards. The Auditor may apply to the Superior Court of the District of Columbia for an order enforcing the subpoena. Any failure to obey the order of the court may be punished by the Superior Court as civil contempt. + + + (f) + + (1) + Any expenditure of funds by a Commission shall be recorded by the treasurer in the Commission's books of accounts. No expenditure of any amount shall be made without the specific authorization of the Commission, except for reimbursements approved by the Commission treasurer under subsection (l-1) of this section. The depository in which the Commission maintains a checking account shall be immediately notified of any change in Commission officers. + + + (2) + + (A) + An expenditure made by check shall: + + (i) + Be signed by at least 2 officers of the Commission, one of whom shall be the treasurer or Chairperson; + + + (ii) + Be pre-numbered; + + + (iii) + Be issued in consecutive order; and + + + (iv) + Bear the name of the Commission and "District of Columbia Government" on its face. + + + + (B) + Before signature, the check shall contain: + + (i) + The date of payment; + + + (ii) + The name of the payee; + + + (iii) + The amount of the payment; and + + + (iv) + A note describing the purpose of the payment. + + + + (C) + No check may be made payable to cash. + + + + (2A) + + (A) + An expenditure made by debit card shall be: + + (i) + Made in the name of the Commission; + + + (ii) + Authorized by at least 2 officers of the Commission, one of whom shall be the Treasurer or Chairperson; and + + [(iii)] Conducted according to a procedure determined by the OANC. + + + (B) + The Treasurer shall retain written documentation of authorizations, which shall bear the signatures of the 2 officers who authorized the expenditure pursuant to subparagraph (A)(ii) of this paragraph. + + + + (3) + A Commission may provide reimbursement for an authorized purchase made with a personal credit card, debit card, or cashier's check that is documented with a receipt, a copy of which shall be submitted to the Commission. + + + + (g) + Disbursements of Commission funds exceeding $50 for personal service expenditures shall be specifically approved by the Commission at a public meeting prior to the disbursement. The approval shall be recorded in the minutes of the Commission meeting. Any personal services payment shall name the person who is to receive the payments, the rate of compensation, and the maximum hours of service, if less than full-time compensation. If an expenditure is made without the required authorization of the Commission, the expenditure shall be deemed to be a personal expense of the Commissioner who authorized the payment, unless the Commission subsequently approves the expenditure within 90 days. If the Commission fails to approve the expense within 90 days, the Office of the Attorney General for the District of Columbia, upon notification by the OANC, shall institute any actions necessary to recover Commission funds. + + + (h) + Each Commission may establish a petty cash fund not to exceed $200 at any one time in accordance with procedures established for imprest funds by the D.C. Controller. The fund shall be reimbursed by the treasurer upon presentation of appropriate supporting documents. The treasurer may disburse to another Commissioner or employee of the Commission an amount not in excess of $200 for authorized Commission expenditures through a Commission-established petty cash fund. A record of disbursements from the petty cash fund shall be kept by the treasurer in a manner consistent with other accounts of the Commission. + + + (i) + A Commission shall maintain its accounts on a fiscal year basis beginning October 1 and ending the following September 30. + + + (j) + + (1) + The treasurer of a Commission shall prepare a quarterly financial report on a form provided by the OANC. The financial report shall be presented to the Commission for its consideration at a Commission meeting within 45 days after the end of the quarter. A copy of the approved financial report, signed by the Chairperson, the secretary, and the treasurer, shall be filed, along with a record of the vote adopting the report, with the OANC within 15 days of approval. Each quarterly report shall include copies of canceled checks, bank statements, grant request letters and grant disbursements, invoices and receipts, executed contracts, details about all contributions received during the time period covered by the quarterly report, the minutes of all meetings indicating the Commission's approval of disbursements during the time period covered by the quarterly report, and certification of the Commission's approval of the quarterly report signed by the Commission's Secretary. The Commission shall make available for on-site review to the OANC, upon the OANC's request, originals of documents required to be submitted with quarterly financial reports pursuant to this section. A financial report shall be available for public inspection during the normal office hours of the Commission. + + + (2) + No quarterly allotment shall be forwarded to a Commission until all reports of financial activity for the quarters preceding the immediate previous quarter are approved by the OANC. If a Commission fails to file 3 consecutive quarterly reports that meet the requirements of paragraph (1) of this subsection, it shall relinquish its checkbook and access to its debit card to the OANC, whose permission will be needed for any expenditure made by check or debit card until the Commission files the required financial reports. Upon receiving and approving all outstanding quarterly financial reports from the Commission, the OANC shall immediately return the checkbook and access to the debit card to the Commission. The Mayor, upon the request of the OANC, may issue official instructions to any pertinent banking institution to freeze accounts held by a Commission that has not complied with this paragraph. + + + (3) + + (A) + + (i) + If a Commission has failed to timely file 2 or more quarterly reports approved by the OANC, the Commission shall forfeit the allotments associated with the most recent untimely quarterly report and shall forfeit additional allotments until the Commission files the required reports. + + + (ii) + If a Commission had not received a quarterly allotment by the last day of the fiscal year because it failed to file a quarterly allotment approved by the OANC, the Commission shall forfeit the unclaimed allotment or allotments. + + + (iii) + All funds forfeited pursuant to this paragraph shall be deposited in the Advisory Neighborhood Commissions Technical Support and Assistance Fund established in § 1-309.13a. + + + + (B) + Sub-subparagraph (i) of subparagraph (A) of this paragraph shall not apply to the failure to file quarterly reports covering periods prior to the 2020 fiscal year. + + + + + (k) + Reserved. + + + (l) + + (1) + A Commission shall expend funds received through the annual allocation received pursuant to subsection (a) of this section, or other donated funds, for public purposes within the Commission area or for the functioning of the Commission office, including staff salaries, Commissioner training, property liability insurance, legal expenses for Commission representation by an attorney licensed in the District before an agency, board, or commission of the District government, and nominal refreshments at Commission meetings. Nominal refreshments shall be limited to $100 worth of food and nonalcoholic beverages per regular public Commission meeting, and any refreshments purchased shall be available to the public. Expenditures may be in the form of grants by the Commission for public purposes within the Commission area pursuant to subsection (m) of this section. A public purpose shall be a purpose that benefits the community as a whole and is not done for the primary purpose of benefitting a private entity. A Commission may expend its funds for Commissioner training on subjects pertaining to their official duties when such training is not available from government sources. A Commission may expend its funds to purchase insurance or obtain indemnification against any loss in connection with the assets of the Commission or any liability in connection with the activities of the Commission, such insurance or indemnification to be purchased or obtained in such amounts and from such sources as the Commission deems to be appropriate. Funds may be used to pay the local transportation expenses of a Commissioner if the Commissioner is officially representing the Commission or a committee of the Commission at public hearings or meetings or is engaged in official Commission business. Where a Commissioner submits a complete and valid application for reimbursement for travel or childcare expenses under subsection (l-1) of this section, a Commission shall reimburse that Commissioner for all requested expenses for which the Commissioner qualifies under subsection (l-1) [of this section]. + + + (2) + No Commission may expend funds except as authorized under this part. Prohibited expenditures include those for any purpose that involves partisan political activity, legal expenses other than for Commission representation before an agency, board, or commission of the District government, or travel outside of the Washington metropolitan area. + + + (3) + Commissions shall use staff payroll forms provided by the OANC. + + + + (l-1) + + (1) + A Commission shall expend funds to reimburse any Commissioner who submits a complete application for reimbursement from the Commission allotment for qualifying travel or childcare expenses incurred to carry out qualifying official duties of the Commissioner in accordance with this subsection; provided, that the maximum total reimbursement that any individual Commissioner may receive under this subsection in a single calendar year shall be $500. + + + (2) + An application for reimbursement shall be completed using a form created by the OANC, which shall be available to individual Commissioners upon request, and which shall indicate any attachments required to demonstrate that the expense qualifies under this subsection. A Commission Treasurer shall not approve the release of Commission funds under this subsection except where the application for reimbursement meets all requirements under this subsection. To qualify for reimbursement under this subsection, a Commissioner shall submit an application within 30 days of incurring the relevant expense. Upon approving an application for reimbursement under this subsection, the Commission Treasurer shall electronically transmit the application to the OANC, which shall maintain electronic copies of all applications. The Commission Treasurer shall ensure that applications submitted under this subsection are included in quarterly financial reports of the Commission prepared pursuant to subsection (j) of this section. + + + (3) + For the purposes of this subsection, the term: + + (A) + "Qualifying official duties" shall be limited to the following: + + (i) + Attending regular and special public meetings of the Commission on which the Commissioner sits; + + + (ii) + Delivering official testimony on behalf of the Commission as a whole, or a committee of the Commission at an official proceeding of any agency, board, or commission within the District government that receives public testimony, or before the Council; + + + (iii) + Attending meetings of a Commission committee on which the Commissioner sits; + + + (iv) + Traveling to and from the offices of government entities in order to participate in meetings on behalf of the Commission; and + + + (v) + Attending training provided under this part. + + + + (B) + "Qualifying travel or childcare expenses" shall be limited to the following, to the extent they are incurred to perform qualifying official duties under this subsection: + + (i) + Expenses for public transportation provided by the Washington Metropolitan Area Transit Authority; and + + + (ii) + Expenses charged to the Commissioner for childcare services that comply with all licensing requirements of the Office of the State Superintendent of Education. + + + + + (4) + Notwithstanding this subsection, the OANC may approve Commission reimbursements to Commissioners for local transportation expenses, other than qualifying travel expenses, pursuant to subsection (l)(1) of this section. + + + + (m) + + (1) + A grant may not be awarded unless the grant is awarded pursuant to a vote of the Commission at a public meeting following the public presentation of the grant request. A Commission may approve grants only to organizations that are public in nature and benefit persons who reside or work within the Commission area. The services provided by the grantee organization must not be duplicative of any that are already performed by the District government. + + + (2) + An applicant for a grant shall submit an application in writing to the Commission and to the OANC. The application shall be in the form of a template designed by the OANC, and shall contain: + + (A) + A description of the proposed project for which the grant is requested; + + + (B) + A statement of expected public benefits; + + + (C) + The total cost of the proposed project, including other sources of funding, if any; and + + + (D) + An accounting by the grantees of the expected overhead costs the grantees will incur in carrying out the grant. No Commission shall provide a grant for which the grantee estimates that the overhead costs would exceed 15% of the entire grant amount. + + + + (3) + Within 60 days following the issuance of a grant, and every 90 days thereafter during the life of the grant, the grant recipient shall forward to the Commission and the OANC a statement as to the use of the funds consistent with the grant application, complete with receipts that support the expenditures. The OANC: + + (A) + May prohibit all Commissions from providing a grant to any past grant recipient that used grant funds contrary to the associated grant agreement; and + + + (B) + Shall maintain a list, available to any Commissioner upon request, of prohibited grantees identified pursuant to subparagraph (A) of this paragraph. + + + + (4) + Grant disbursements shall be included in quarterly financial reports submitted to the OANC. + + + + (n) + The Mayor may, pursuant to subchapter I of Chapter 5 of Title 2, issue rules to implement the provisions of this section. The proposed rules shall be submitted to the Council for a 45-day period of review, excluding Saturdays, Sundays, legal holidays, and days of Council recess. If the Council does not approve or disapprove the proposed rules, in whole or in part, by resolution within this 45-day review period, the proposed rules shall be deemed approved. + + + (o) + A Commission may employ any person necessary to provide administrative support to the Commission. A Commission shall establish position descriptions for employees that shall, at a minimum, broadly identify the qualifications and duties of the employees. A Commission employee shall serve at the pleasure of the Commission. An employee of the Commission shall be considered an employee of the District of Columbia government for the purposes of subchapters XXI, XXII, and XXIII of Chapter 6 of Title 1. Except for out of pocket expenses approved by the Commission, Commissioners shall not be compensated for personal services rendered on behalf of the Commission. + + + (p) + Any Commissioner within an individual Commission shall have equal access to the Commission office and its records in order to carry out Commission duties and responsibilities. Moreover, any person has a right to inspect, and at his or her discretion, to copy any public record of the Commission, except as otherwise expressly provided by § 2-534, in accordance with reasonable procedures that shall be issued by the Commission after notice and comment concerning the time and place of access. + + + (q) + Upon the request of a Commission, evidenced by a properly adopted resolution signed or transmitted by the Chairperson and secretary, the Mayor shall provide that Commission with suitable office space in a District-owned or leased building. The Mayor shall acknowledge receipt of the resolution within 15 days and shall provide the Commission with a list of available office space within 45 days thereafter. The space shall be a minimum of 250 square feet and shall be the sole office of the Commission. The space shall be located within the Commission's boundaries. If no such space is available, then the space shall be located within the ward boundaries of the Commission. If District-owned or leased office space cannot be provided, the Mayor shall assist the Commission in locating appropriate office space in the ward in which the Commission is located, and may seek to reprogram funds up to $600 per month to cover the rental of office space for the respective Commission. Furnishings, equipment, telephone service, and supplies for the office space shall be provided from the Commission's funds. There shall be a written lease between the Mayor or District agency and the Commission, which shall specify what operating costs, such as utilities, janitorial services, and security, shall be paid by the Commission. + + + (r) + Any document created by requirement of this part, and any equipment purchased by, or on behalf of, a Commission, is the property of the District, and not the property of any Commissioner or other individual. + + + (s) + Commissioners shall attend at least one training session per year conducted by the OANC pursuant to § 1-309.15(c)(5). + + + (t) + For the purposes of this section, the term "debit card" means a card issued by a bank allowing the cardholder to draw funds from a specific account, established at that bank, that does not allow for any funds to be borrowed from the issuing bank. + + + Oct. 10, 1975, D.C. Law 1-21, § 16 + as added Mar. 26, 1976, D.C. Law 1-58, § 2, 22 DCR 5465 + Oct. 26, 1977, D.C. Law 2-30, § 2(c), 24 DCR 3723 + Mar. 6, 1991, D.C. Law 8-203, § 3(f), 37 DCR 8420 + Mar. 16, 1993, D.C. Law 9-190, § 2, 39 DCR 9003 + Feb. 5, 1994, D.C. Law 10-68, § 3(b), 40 DCR 6311 + Apr. 9, 1997, D.C. Law 11-198, § 401, 43 DCR 4569 + Jul. 24, 1998, D.C. Law 12-140, § 2, 45 DCR 2978 + Mar. 26, 1999, D.C. Law 12-175, § 1702, 45 DCR 7193 + Jun. 27, 2000, D.C. Law 13-135, § 3(d), 47 DCR 2741 + Mar. 6, 2002, D.C. Law 14-80, § 2(a), 48 DCR 11268 + Jan. 29, 2008, D.C. Law 17-79, § 2, 54 DCR 11644 + Apr. 7, 2017, D.C. Law 21-269, § 2(h), 64 DCR 2162 + Oct. 30, 2018, D.C. Law 22-168, § 1062, 65 DCR 9388 + Feb. 22, 2019, D.C. Law 22-201, § 2, 65 DCR 12331 + Sept. 11, 2019, D.C. Law 23-16, § 1012, 66 DCR 8621 + Mar. 19, 2020, D.C. Law 23-68, § 3, 67 DCR 743 + Dec. 3, 2020, D.C. Law 23-149, § 1032(a), 67 DCR 10493 + For temporary (90 day) amendment of section, see § 2 of Advisory Neighborhood Commissions Clarification Congressional Review Emergency Amendment Act of 2008 (D.C. Act 17-248, January 23, 2008, 55 DCR 1253). + For temporary (90 day) amendment of section, see § 2 of Advisory Neighborhood Commissions Clarification Emergency Amendment Act of 2007 (D.C. Act 17-157, October 18, 2007, 54 DCR 10924). + For temporary (90 day) amendment of section, see § 2 of Advisory Neighborhood Commissions Clarification Congressional Review Emergency Amendment Act of 2006 (D.C. Act 16-577, December 19, 2006, 54 DCR 33). + For temporary (90 day) amendment of section, see § 2(a) of Advisory Neighborhood Commission Congressional Review Emergency Amendment Act of 2001 (D.C. Act 14-104, July 23, 2001, 48 DCR 7149). + For temporary (90 day) amendment of section, see § 2(a) of Advisory Neighborhood Commission Emergency Amendment Act of 2001 (D.C. Act 14-56, May 2, 2001, 48 DCR 4410). + For temporary (90-day) amendment of section, see § 2 of the Advisory Neighborhood Commissions Management Control Congressional Review Emergency Amendment Act of 2000 (D.C. Act 13-317, April 17, 2000, 47 DCR 2877). + For temporary (90-day) amendment of section, see § 2 of the Advisory Neighborhood Commissions Management Control Emergency Amendment Act of 1999 (D.C. Act 13-207, December 8, 1999, 46 DCR 10470). + For temporary (90-day) amendment of section, see § 2 of the Advisory Neighborhood Commissions Management Control and Funding Congressional Review Emergency Amendment Act of 1999 (D.C. Act 13-67, May 10, 1999, 46 DCR 4471). + For temporary (90-day) amendment of section, see § 1302 of the Fiscal Year 1999 Budget Support Congressional Review Emergency Act of 1999 (D.C. Act 13-41, March 31, 1999, 46 DCR 3446). + For temporary (90 day) amendment of section, see § 2 of the Advisory Neighborhood Commissions Management Control and Funding Emergency Amendment Act of 1998 (D.C. Act 12-619, January 22, 1999, 46 DCR 1339). + For temporary (90 day) amendment of section, see § 1302 of the Fiscal Year 1999 Budget Support Emergency Act of 1998 (D.C. Act 12-401, July 13, 1998, 45 DCR 4794) and § 1302 of the Fiscal Year 1999 Budget Support Congressional Review Emergency Act of 1998 (D.C. Act 12-564, January 12, 1999, 46 DCR 669). + For temporary (90 day) amendment of section, see § 401 of the Fiscal Year 1997 Budget Support Congressional Adjournment Emergency Amendment Act of 1997 (D.C. Act 12-2, February 19, 1997, 44 DCR 1590). + Section 4(b) of D.C. Law 16-261 provided that the act shall expire after 225 days of its having taken effect. + Section 2 of D.C. Law 16-261 added subsec. (f-1) to read as follows: “(f-1) A Commission may provide reimbursements for authorized and properly documented purchases made with credit cards.” + For temporary (225 day) amendment of section, see § 2(a) of Advisory Neighborhood Commission Temporary Amendment Act of 2001 (D.C. Law 14-21, September 6, 2001, law notification 48 DCR 9091). + For temporary (225 day) amendment of section, see § 2 of Advisory Neighborhood Commissions Management Control Temporary Amendment Act of 2000 (D.C. Law 13-93, April 12, 2000, law notification 47 DCR 2844). + For temporary (225 day) amendment of section, see § 2 of Advisory Neighborhood Commissions Management Control and Funding Temporary Amendment Act of 1999 (D.C. Law 12-276, April 27, 1999, law notification 46 DCR 4282). + For temporary (225 day) amendment of section, see § 401 of Fiscal Year 1997 Budget Support Temporary Amendment Act of 1996 (D.C. Law 11-226, April 9, 1997, law notification 44 DCR 2584). + 1973 Ed., § 1-711. + 1981 Ed., § 1-264. + This section is referenced in § 1-309.10, § 1-309.11, and § 1-309.12. + Criminal justice supervisory board, promulgation of rules of procedure, see § 3-904. + +
diff --git a/us/dc/council/code/titles/99/1-309.14(Perm).xml b/us/dc/council/code/titles/99/1-309.14(Perm).xml new file mode 100644 index 0000000000..0bda46a899 --- /dev/null +++ b/us/dc/council/code/titles/99/1-309.14(Perm).xml @@ -0,0 +1,49 @@ + +
+ 1-309.14(Perm) + Advisory Neighborhood Commission Security Fund. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established, for the purpose of insuring Advisory Neighborhood Commissions against unauthorized expenditures or loss of funds, an Advisory Neighborhood Commission Security Fund (“Fund”) to be held in the custody of a Board of Trustees (“Trustees”) composed of the Secretary of the District of Columbia, the General Counsel to the Council of the District of Columbia, and the District of Columbia Auditor. The Executive Director of the Office of Advisory Neighborhood Commissions shall serve as a non-voting Trustee. The Trustees shall have exclusive authority and discretion in its fiduciary capacity to manage and control the Fund. The Fund shall not be held liable for any loss as the result of an expenditure authorized by a vote of a Commission. + + + (b) + Each Advisory Neighborhood Commission may become a participant of the Fund upon payment to the Fund of an annual contribution at the beginning of the fiscal year in an amount to be determined by the Trustees. A Commission shall be eligible to participate in the Fund if the treasurer and the Chairperson of the Commission agree, on a form to be provided by the Trustees, to be personally liable to the Fund for any sum paid out by the Fund as a result of the treasurer or Chairperson’s wrongful misappropriation or loss of Commission monies. + + + (c) + If, in any fiscal year, the Trustees determine that there are sufficient assets in the Fund to cover reasonably expected losses, the Trustees may waive or delay monetary contributions for any Commission that made a contribution in the most recent fiscal year for which the Fund required a contribution. + + + (d) + If a participating Commission suffers a monetary loss that may be reimbursed by the Fund, the Commission may request reimbursement upon a written application form provided by the Trustees. The application form shall be signed by a majority of the members of the participating Commission on a form provided by the Trustees. The Trustees shall consider the request at a public meeting held in accordance with § 1-207.42. Notice of the meeting shall be published in the District of Columbia Register no later than 30 days prior to the meeting and shall be sent by registered mail to the Chairperson of the Commission and the treasurer of the Commission at the time that the loss was incurred. + + + (e) + Assets of the Fund shall be held in an interest bearing account located in the District of Columbia. + + + (f) + The Fund shall publish an annual financial report in the District of Columbia Register no later than 90 days after the end of each fiscal year. + + + Oct. 10, 1975, D.C. Law 1-21, § 17 + as added Mar. 6, 1991, D.C. Law 8-203, § 3(g), 37 DCR 8420 + Feb. 5, 1994, D.C. Law 10-68, § 3(c), 40 DCR 6311 + June 27, 2000, D.C. Law 13-135, § 4, 47 DCR 2741 + For temporary (90-day) amendment of section, see § 3 of the Advisory Neighborhood Commissions Management Control Congressional Review Emergency Amendment Act of 2000 (D.C. Act 13-317, April 17, 2000, 47 DCR 2877). + For temporary (90-day) amendment of section, see § 3 of the Advisory Neighborhood Commissions Management Control Emergency Amendment Act of 1999 (D.C. Act 13-207, December 8, 1999, 46 DCR 10470). + For temporary (90-day) amendment of section, see § 3 of the Advisory Neighborhood Commissions Management Control and Funding Congressional Review Emergency Amendment Act of 1999 (D.C. Act 13-67, May 10, 1999, 46 DCR 4471). + For temporary amendment of section, see § 3 of the Advisory Neighborhood Commissions Management Control and Funding Emergency Amendment Act of 1998 (D.C. Act 12-619, January 22, 1999, 46 DCR 1339). + For temporary (225 day) amendment of section, see § 3 of Advisory Neighborhood Commissions Management Control Temporary Amendment Act of 2000 (D.C. Law 13-93, April 12, 2000, law notification 47 DCR 2844). + For temporary (225 day) amendment of section, see § 3 of Advisory Neighborhood Commissions Management Control and Funding Temporary Amendment Act of 1999 (D.C. Law 12-276, April 27, 1999, law notification 46 DCR 4282). + and in subsec. (d), substituted “Chairperson” for “Chairman”. + “An Advisory Neighborhood Commission shall be eligible to participate in the Fund if the treasurer of the Commission agrees, on a form to be provided by the Trustees, to be personally liable to the Fund for any sum paid out by the Fund as a result of the treasurer’s wrongful misappropriation or loss of Commission monies.”; + D.C. Law 13-135, in subsec. (a) inserted the second sentence relating to the Executive Director serving as a non-voting Trustee; in subsec. (b), rewrote the second sentence, which formerly read: + 1981 Ed., § 1-264.1. + This section is referenced in § 1-309.13. + +
diff --git a/us/dc/council/code/titles/99/1-325.351(Perm).xml b/us/dc/council/code/titles/99/1-325.351(Perm).xml new file mode 100644 index 0000000000..21a9b19e1e --- /dev/null +++ b/us/dc/council/code/titles/99/1-325.351(Perm).xml @@ -0,0 +1,38 @@ + +
+ 1-325.351(Perm) + Housing Preservation Fund. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established as a special fund the Housing Preservation Fund ("Fund"), which shall be administered by the Department of Housing and Community Development in accordance with subsections (c) and (d) of this section. + + + (b) + In Fiscal Year 2018, $10 million from local appropriations shall be deposited into the Fund. + + + (c) + Money in the Fund shall be used to provide debt or equity to finance housing preservation activities, including acquisition bridge loans, predevelopment expenses, environmental remediation, critical repairs, and other activities necessary to preserve the affordability of housing units; provided, that for any property benefited by an expenditure of funds pursuant to this subsection, a covenant shall be recorded with respect to affordability, the terms and conditions of which shall be determined by the Mayor. + + + (d) + Money in the Fund shall not be used to provide debt or equity to finance housing preservation activities involving any property identified in section 2(a) of the Historic Preservation of Derelict District Properties Act of 2016, effective March 11, 2017 (D.C. Law 21-223; 64 DCR 182). + + + (e) + + (1) + The money deposited into the Fund shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time. + + + (2) + Subject to authorization in an approved budget and financial plan, any funds appropriated in the Fund shall be continually available without regard to fiscal year limitation. + + + + Dec. 13, 2017, D.C. Law 22-33, § 2032, 64 DCR 7652 + +
diff --git a/us/dc/council/code/titles/99/1-328.04(Perm).xml b/us/dc/council/code/titles/99/1-328.04(Perm).xml index b4a457f7d8..27fd3e3812 100644 --- a/us/dc/council/code/titles/99/1-328.04(Perm).xml +++ b/us/dc/council/code/titles/99/1-328.04(Perm).xml @@ -2,6 +2,9 @@
1-328.04(Perm) Deputy Mayor for Planning and Economic Development grant-making authority. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + (a) The Deputy Mayor for Planning and Economic Development ("Deputy Mayor") shall have grant-making authority for the purpose of providing: diff --git a/us/dc/council/code/titles/99/1-328.11(Perm).xml b/us/dc/council/code/titles/99/1-328.11(Perm).xml new file mode 100644 index 0000000000..358c3752f5 --- /dev/null +++ b/us/dc/council/code/titles/99/1-328.11(Perm).xml @@ -0,0 +1,111 @@ + +
+ 1-328.11(Perm) + Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + For the purposes of this part, the term: + + (1) + “Candidate” shall have the same meaning as provided in § 1-1161.01(6). + + + (2) + “Contribution” shall have the same meaning as provided in § 1-1161.01(10). + + + (3) + “Covered recipient” means: + + (A) + An elected District official who is or could be involved in influencing or approving the award of a grant; + + + (B) + A candidate for elective District office who is or could be involved in influencing or approving the award of a grant; + + + (C) + A political committee affiliated with a District candidate or elected District official described in subparagraphs (A) and (B) of this paragraph; + + + (D) + A constituent-service program or fund, or substantially similar entity, controlled, operated, or managed by: + + (i) + An elected District official who is or could be involved in influencing or approving the award of a grant; or + + + (ii) + A person under the supervision, direction, or control of an elected District official who is or could be involved in influencing or approving the award of a grant; + + + + (E) + A political party; or + + + (F) + An entity or organization: + + (i) + That a candidate or elected District official described in subparagraphs (A) and (B) of this paragraph, or a member of his or her immediate family, controls; or + + + (ii) + In which a candidate or elected District official described in subparagraphs (A) and (B) of this paragraph has an ownership interest of 10% or more. + + + + + (4) + “Election” shall have the same meaning as provided in § 1-1161.01(15). + + + (5) + “Grant” means financial assistance to a person to support or stimulate the accomplishment of a public purpose as defined by the law that authorizes the grant; provided, that the organization, not the District, defines the specific services, the service levels, and the program approach for carrying out the grant. + + + (6) + “Grant program” means the management or administration by a grantor of grant-making or grant-issuing authority as covered by this part. + + + (7) + “Grantee” means a person that receives funds under a grant program. + + + (8) + “Grantor” means a District agency, board, commission, instrumentality, or program designated by law as the grant-managing entity for a grant program. + + + (9) + “Immediate family” shall have the same meaning as provided in § 1-1161.01(26). + + + (10) + “Person” shall have the same meaning as provided in § 1-1161.01(42). + + + (11) + “Political committee” shall have the same meaning as provided in § 1-1161.01(44). + + + (12) + “Political party” shall have the same meaning as provided in § 1-1161.01(45). + + + + Dec. 24, 2013, D.C. Law 20-61, § 1092, 60 DCR 12472 + Oct. 22, 2015, D.C. Law 21-36, § 1053(a), 62 DCR 10905 + Applicability of D.C. Law 20-61: Section 11001 of D.C. Law 20-61 provided that, except as otherwise provided, the act shall apply as of October 1, 2013. + Section 1091 of D.C. Law 20-61 provided that Subtitle J of Title I of the act may be cited as the “Grant Administration Act of 2013”. + For temporary (90 days) amendment of this section, see § 1053(a) of the Fiscal Year 2016 Budget Support Emergency Act of 2015 (D.C. Act 21-127, July 27, 2015, 62 DCR 10201). + For temporary (90 days) addition of this section, see § 1092 of the Fiscal Year 2014 Budget Support Congressional Review Emergency Act of 2013 (D.C. Act 20-204, October 17, 2013, 60 DCR 15341, 20 DCSTAT 2311). + For temporary (90 days) addition of this section, see § 1092 of the Fiscal Year 2014 Budget Support Emergency Act of 2013 (D.C. Act 20-130, July 30, 2013, 60 DCR 11384, 20 DCSTAT 1827). + The 2015 amendment by D.C. Law 21-36 rewrote the section. + This section is referenced in § 1-325.162, § 1-325.211, § 1-325.222, § 1-328.04, § 2-1313, § 2-1373, § 2-1392, § 7-736.01, § 7-1141.06, and § 32-1603. + +
diff --git a/us/dc/council/code/titles/99/1-515.05(Perm).xml b/us/dc/council/code/titles/99/1-515.05(Perm).xml new file mode 100644 index 0000000000..1b1334c93a --- /dev/null +++ b/us/dc/council/code/titles/99/1-515.05(Perm).xml @@ -0,0 +1,73 @@ + +
+ 1-515.05(Perm) + Hardship Waivers. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + + (1) + When an employee in a subordinate agency suffers an extraordinary hardship because of exceptional circumstances beyond the employee's control, the employee may request that the Mayor suspend the residency requirements of §§ 1-515.02 and 1-515.03, Chapter 6 of this title, or other relevant District law for a period of no more than one year for such individual employee. + + + (2) + The Mayor shall: + + (A) + Review the request; + + + (B) + Verify if the hardship exists and necessitates residence outside of the District; + + + (C) + Determine if a waiver is in the best interest of District government; and + + + (D) + Determine whether to grant or deny a hardship waiver request within 30 days. + + + + + (b) + + (1) + When an employee of an independent agency or the Council suffers an extraordinary hardship because of exceptional circumstances beyond the employee's control, the employee may request that the personnel authority suspend the residency requirements of §§ 1-515.02 and 1-515.03, Chapter 6 of this title, or other relevant District law for a period of no more than one year for such individual employee. + + + (2) + The personnel authority shall: + + (A) + Review the request; + + + (B) + Verify if the hardship exists and necessitates residence outside of the District, + + + (C) + Determine if a waiver is in the best interest of District government; and + + + (D) + Determine whether to grant or deny a hardship waiver request within 30 days. + + + + + (c) + Notwithstanding subsections (a) and (b) of this section, a waiver of a residency requirement granted to an employee before May 23, 2019, shall continue to apply for as long as the employee holds the position for which the residency waiver was granted. + + + Feb. 6, 2008, D.C. Law 17-108, § 105 + as added May 23, 2019, D.C. Law 22-315, § 2, 66 DCR 1983 + 2001 Ed., § 1-515.01. + Section 7094 of D.C. Law 17-219 repealed section 301 of D.C. Law 17-108. + D.C. Law 17-353 validated a previously made technical correction in subsec. (a). + +
diff --git a/us/dc/council/code/titles/99/1-623.41(Perm).xml b/us/dc/council/code/titles/99/1-623.41(Perm).xml new file mode 100644 index 0000000000..8768a5ec98 --- /dev/null +++ b/us/dc/council/code/titles/99/1-623.41(Perm).xml @@ -0,0 +1,32 @@ + +
+ 1-623.41(Perm) + Adjustments in compensation for disability or death. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Mayor shall award an across-the-board increase in compensation for disability or death whenever an across-the-board increase is awarded pursuant to §§ 1-611.05 and 1-611.06. The percentage amount and effective date of those increases shall be the same as for any increase granted under these sections. + + + (b) + For the purposes of this section, the term "across-the-board increase" means a general pay and salary increase of general applicability that applies to a claimant's service or specific pay schedule. + + + (c) + This section shall not apply to any collective bargaining agreements that are to the contrary. + + + Mar. 3, 1979, D.C. Law 2-139, § 2341, 25 DCR 5740 + Mar. 15, 1990, D.C. Law 8-92, § 2, 37 DCR 778 + Apr. 5, 2005, D.C. Law 15-290, § 2(g), 52 DCR 1449 + Dec. 15, 2015, D.C. Law 21-39, § 2, 62 DCR 13744 + The 2015 amendment by D.C. Law 21-39 would have rewritten the section. + “On or after April 1, 1990, increases in compensation payable due to disability or death shall be in the same percentage amount and shall have the same effective date as any base salary increase granted, pursuant to §§ 1-611.05 and 1-611.06, to employees in the Career and Excepted Services not covered by collective bargaining. To be eligible for the increase, the disability or death of the employee must have occurred at least 1 year prior to the effective date of the increase.” + D.C. Law 15-290 rewrote the section which had read: + 1973 Ed., § 1-353.41. + 1981 Ed., § 1-624.41. + This section is referenced in § 1-623.33. + +
diff --git a/us/dc/council/code/titles/99/10-1202.03(Perm).xml b/us/dc/council/code/titles/99/10-1202.03(Perm).xml new file mode 100644 index 0000000000..4cf305ff44 --- /dev/null +++ b/us/dc/council/code/titles/99/10-1202.03(Perm).xml @@ -0,0 +1,134 @@ + +
+ 10-1202.03(Perm) + General powers of Authority. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + In addition to the general delegation of powers contained in § 10-1202.09 and subject to the limitations contained in § 10-1202.04, the Authority shall possess the following powers: + + (1) + To sue and be sued, including the power to bring actions, complaints, and implead in any judicial, administrative, arbitrational, or other action or proceeding and, to the extent permitted by law, to have actions brought against it, and to be impleaded and to defend in these proceedings; + + + (2) + To have a seal and alter the seal at its pleasure; + + + (3) + To make and alter by-laws, rules and regulations, not inconsistent with law, for the administration and regulation of its business and affairs; + + + (4) + To elect, appoint, or hire officers, employees, advisors, consultants, or other agents of the Authority, including experts and fiscal agents, define their duties, and fix their compensation; + + + (5) + To acquire, by purchase, gift, lease, or otherwise and to own, hold, improve, and use and to sell, convey, exchange, transfer, lease, sublease, and dispose of real and personal property of every kind and character, or any interest therein, for its corporate purposes; + + + (6) + To issue regulations and establish policies for contracting and procurement, provided that these regulations and policies shall provide for the following: + + (A) + Submission of quarterly reports to the Council regarding the Authority's progress on issues related to local and minority contracting and the hiring of District residents; and + + + (B) + Remedies (including but not limited to cease and desist orders) for noncompliance with any law or regulation contained herein including subchapters VIII and X of Chapter 2 of Title 2, and all successor acts thereto; + + + + (7) + To accept loans or grants of money, materials, or property of any kind from the United States, or any agency or instrumentality thereof, or the District, upon terms and conditions as may be imposed upon the Authority to the extent that the terms and conditions are not inconsistent with the limitations and laws of the District and are otherwise within the powers of the Authority; + + + (8) + To borrow money for any of its corporate purposes and to provide for the payment of the same, as may be permitted under Chapter 2 of Title 1, and the laws of the District; + + + (9) + To issue revenue bonds pursuant to § 10-1202.10; + + + (10) + To enter into contracts, joint ventures, or other agreements with the District, the United States, other public entities, and private entities to achieve its purposes; + + + (10A) + To maintain an office or offices at any location in the District; + + + (10B) + To establish standards for the use of and attendance at its facilities; + + + (10C) + To fix, revise, charge, and collect fees, rents, or other charges for the use of, or attendance at, its facilities and for services rendered in connection with the use of, or attendance at, its facilities; + + + (10D) + To manage parking lots, concessions, and other ancillary properties and services at facilities under its jurisdiction; + + + (10E) + To furnish such services to renters, lessees, and other occupants and users of its facilities as in its judgment is necessary or suitable for carrying out its purposes; + + + (10F) + To provide through its employees, or by the grant of one or more concessions, or both, for the furnishing of services and things for the accommodation of persons admitted to or using any of its facilities or portions of its facilities; + + + (10G) + To provide for the insurance of any property, operations, members of the Board of Directors, officers, agents, or employees of the Authority against any risk or hazard; + + + (10H) + To develop, construct, maintain, operate, acquire, own, equip, improve, rehabilitate, expand, and maintain convention, sports, entertainment, and recreation facilities in the District; + + + (10I) + To establish one or more nonprofit or for-profit subsidiaries to perform any of its functions under this chapter; + + + (10J) + To hold an ownership interest in, and operate, a professional sports team or team franchise on a temporary or permanent basis; + + + (10K) + To issue large capital grants pursuant to § 10-1202.08(g) to support cultural institutions operating in the District of Columbia; + + + (10L) + To issue grants pursuant to § 10-1202.08(h) to support go-go music in the District of Columbia. + + + (11) + To exercise any power usually possessed by public enterprises or private corporations performing similar functions which is not in conflict with Chapter 2 of Title 1, or the laws of the District; + + + (12) + To sell or dispense, or to permit others to sell or dispense, alcoholic beverages for consumption on the premises, but only upon and within the territorial limits of the property of or under the management and control of the Authority. The Authority shall not have the power to sell or dispense alcoholic beverages in unbroken packages for the purpose of permitting the unbroken packages to be carried off the premises. The Authority shall determine and regulate by resolution the conditions under which the sales or dispensing of alcoholic beverages for consumption on the premises shall be made or shall be permitted, including the hours and days during which the sale or dispensing of alcoholic beverages shall be made or shall be permitted; + + + (13) + To do all things necessary or convenient to carry out the powers expressly provided by this chapter; and + + + (14) + Subject to Council approval by resolution, to enter into agreements or arrangements to limit interest rate risk, to facilitate the issuance of variable rate obligations or obligations with an effective variable rate and to better manage assets; the agreements or arrangements shall only be entered into in conjunction with the issuance of bonds, notes or other obligations by the Authority; and the Authority shall retain the right to discontinue or terminate any such agreement when in the reasonable opinion of the chief financial officer of the Authority it is in the best interest of the Authority. + + + Sept. 28, 1994, D.C. Law 10-188, § 203, 41 DCR 5333 + Aug. 12, 1998, D.C. Law 12-142, § 2(b), 45 DCR 4826 + Mar. 3, 2010, D.C. Law 18-111, § 2081(e), 57 DCR 181 + Oct. 8, 2016, D.C. Law 21-160, § 2172, 63 DCR 10775 + Sept. 11, 2019, D.C. Law 23-16, § 7192(c), 66 DCR 8621 + Dec. 3, 2020, D.C. Law 23-149, § 7032(a), 67 DCR 10493 + For effective date of D.C. Law 12-142, see Historical and Statutory Notes following § 10-1202.01. + For temporary (90 day) amendment of section, see § 2081(e) of Fiscal Year Budget Support Congressional Review Emergency Amendment Act of 2009 (D.C. Act 18-260, January 4, 2010, 57 DCR 345). + For temporary (90 day) amendment of section, see § 2081(e) of Fiscal Year 2010 Budget Support Second Emergency Act of 2009 (D.C. Act 18-207, October 15, 2009, 56 DCR 8234). + D.C. Law 18-111, in par. (4), substituted “employees, advisors, consultants,” for “employees,”; in par. (10), substituted “contracts, joint ventures, or other agreements” for “contracts”; added pars. (10A) to (10J); and rewrote par. (12), which had read as follows: “(12) To sell or dispense, upon obtaining a license from the Alcoholic Beverage Control Board pursuant to Title 25, or to permit others to sell or dispense, upon obtaining a license from the Alcoholic Beverage Control Board, alcoholic beverages for consumption on the premises, but only upon and within the territorial limits of the property of or under the management and control of the Authority. The Authority shall not have the power to sell or dispense alcoholic beverages in unbroken packages for the purpose of permitting the unbroken packages to be carried off the premises. The Authority shall determine and regulate by resolution the conditions under which the sales or dispensing of alcoholic beverages for consumption on the premises shall be made or shall be permitted;”. + 1981 Ed., § 9-804. + +
diff --git a/us/dc/council/code/titles/99/10-1202.04(Perm).xml b/us/dc/council/code/titles/99/10-1202.04(Perm).xml new file mode 100644 index 0000000000..d113c51104 --- /dev/null +++ b/us/dc/council/code/titles/99/10-1202.04(Perm).xml @@ -0,0 +1,158 @@ + +
+ 10-1202.04(Perm) + Limitations on Authority’s powers. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Authority may not adopt an inducement resolution or a resolution authorizing a bond issuance, except for the purpose of refinancing, refunding, or reissuing bonds, unless the proposal has been submitted to the Council for a 30-day review period, excluding Saturdays, Sundays, holidays, and days of Council recess. If, during the 30-day review period, the Council does not adopt a resolution disapproving the submitted proposal, the Authority may take action to implement the proposal. In the event a proposal is disapproved, the Council shall state the reasons for disapproval in the disapproval resolution. The Authority may modify the proposal to address the concerns of the Council, and resubmit the proposal, as modified, for an additional 30-day review period excluding Saturdays, Sundays, holidays, and days of Council recess. + + + (a-1) + + (1) + Notwithstanding the provisions of subsection (a) of this section, the Authority may, without submission to the Council, adopt inducement resolutions or resolutions authorizing the issuance of bonds and may issue bonds to: + + (A) + Acquire one or more parcels of real property within the new convention center hotel site; provided, that the Council has approved the contract for the purchase; and + + + (B) + To pay certain costs of the development of the new convention center hotel. + + + + (2) + The bonds may be secured, in whole or in part, by: + + (A) + The tax increment financing note, and security provided therefor, issued pursuant to subchapter II of this chapter; + + + (B) + A mortgage on real property; or + + + (C) + Available revenues, assets, or other property of the Authority (including lease payments assigned to the Authority pursuant to § 10-1202.22), subject to preexisting agreements with holders of the bonds of the Authority. + + + + + (b) + Except as provided in § 10-1202.13, no revenues collected on behalf of the Authority and transferred to or deposited in the Washington Convention Center Fund established pursuant to § 10-1202.08 shall be commingled with any funds of the District. + + + (c) + With regard to the design of the new convention center: + + (1) + The Authority shall design and construct a new convention center to minimize the life cycle cost, and dependence on petroleum-based fuels of the facility by utilizing energy efficiency, water conservation, or solar or other renewable energy technologies. + + + (2) + The Authority shall ensure that the design and construction of the new convention center shall employ state-of-the-art design, engineering, and technology to minimize energy consumption per-gross-square-foot to the extent that the payback period for capital costs incurred to reduce annual operating costs shall be less than 10 years. + + + (3) + The Authority may assist the District in public street and alley improvements on, or adjacent to, frontages facing the new convention center. These improvements may include streetscape improvements, landscaping, street furniture, lighting, banners, sidewalks, curbs, or building facades. + + + + (d) + The Authority shall in no way interfere with or attempt to acquire site control or ownership of the existing convention center without submission of a resolution to the Council for its approval. + + + (e) + In the event that the Authority constructs the new convention center below ground, the District shall retain ownership of up to 15% of the developed air rights, for the purpose of providing economic development opportunities for community development corporations engaged in neighborhood economic development, with the ability to become a joint-venture partner on commercial or residential development over the New Convention Center, provided that the sale or lease of the air rights is not needed to finance the new convention center. + + + (f) + Any and all reasonable, necessary, and verified preconstruction costs for the new convention center that are borne by the District government shall be reimbursed by the Authority. + + + (g) + + (1) + The Authority shall adopt an organizational approach for development of the new convention center whereby the Authority's staff, augmented by management and technical personnel of a Program Manager, or Program Management Consultant, will manage and oversee all activities during every phase of the development program. The Authority shall complete the new convention center construction project using any of the following contracting methods: + + (A) + When the plans and specifications and the guaranteed maximum price drawings for the new convention center are complete, the Authority shall issue a Request for a Proposal for a developer. On the basis of the submitted proposals, the Authority shall select the developer who shall complete the design and construct the new convention center for a guaranteed price by assembling the necessary team of designers, architects, developers, and others, and posting a performance bond, or obtaining other insurance, to insure that design and time requirements shall be met for the guaranteed price; or + + + (B) + When the plans and specifications and the guaranteed maximum price drawings for the new convention center are complete, the Authority shall issue a Request for a Proposal for a construction manager that shall require proposals containing the construction-manager fee, the guaranteed maximum price of completing the design and constructing the new convention center, and sharing with the Authority any savings between total costs and the guaranteed maximum price. On the basis of the submitted proposals, the Authority shall select the construction manager who shall complete the design and construct the new convention center for a guaranteed price by assembling the necessary team of designers, architects, developers, and others, and posting a performance bond, or obtaining other insurance, to insure that design and time requirements shall be met for the guaranteed price. + + + + (2) + The Authority's contract with the developer or construction manager selected pursuant to paragraph (1) of this subsection shall require all developer and construction-manager contracts to comply with subchapters VIII and X of Chapter 2 of Title 2, and all successor acts thereto. + + + + (h) + At least 51% of the Authority's employees shall be District residents. At least 51% of every contractor's employees hired after the contractor enters into a contract with the Authority, or with the developer or construction manager, to work on projects of the Authority shall be District residents. + + + (i) + The Authority's contract with the developer or construction manager selected pursuant to subsection (g)(1) of this section shall require the developer or construction manager to demonstrate that the developer or construction manager is able to furnish labor that can work in harmony with all other elements of labor employed or to be employed on the project. + + + (j) + All operating costs of the existing convention center shall be the responsibility of the Authority after September 28, 1994. + + + (k) + All land and improvements acquired by the Authority to construct the new convention center shall be held in the name of the Authority, except that title to the property shall not be transferred by the Authority to any person or entity other than the District government. + + + (l) + Repealed. + + + (m) + The Authority shall not obligate or expend funds in Fiscal Year 2021, 2022, 2023, or 2024 to do the following: + + (1) + Purchase all or a portion of the property comprising the Robert F. Kennedy Memorial Stadium, as that term is defined by § 3-330; or + + + (2) + Induce a National Football League team to locate in the District. + + + + Sept. 28, 1994, D.C. Law 10-188, § 204, 41 DCR 5333 + Apr. 3, 2001, D.C. Law 13-255, § 2, 48 DCR 727 + Sept. 19, 2006, D.C. Law 16-163, § 114(b), 53 DCR 5430 + Apr. 15, 2008, D.C. Law 17-144, § 3(b), 55 DCR 2527 + Oct. 22, 2009, D.C. Law 18-78, § 2(b), 56 DCR 6959 + Mar. 3, 2010, D.C. Law 18-111, § 2081(f), 57 DCR 181 + Feb. 26, 2015, D.C. Law 20-155, § 9019, 61 DCR 9990 + Sept. 11, 2019, D.C. Law 23-16, § 7232(a), 66 DCR 8621 + Dec. 3, 2020, D.C. Law 23-149, § 7032(b), 67 DCR 10493 + Nov. 13, 2021, D.C. Law 24-45, § 7143, 68 DCR 10163 + Sept. 21, 2022, D.C. Law 24-167, § 7124(a), 69 DCR 9223 + Sept. 6, 2023, D.C. Law 25-50, § 7075, 70 DCR 10366 + For temporary (90 days) amendment of this section, see § 9019 of the Fiscal Year 2015 Budget Support Second Congressional Review Emergency Act of 2014 (D.C. Act 20-566, January 9, 2015, 62 DCR 884, 21 STAT 541). + For temporary (90 days) amendment of this section, see § 9019 of the Fiscal Year 2015 Budget Support Congressional Review Emergency Act of 2014 (D.C. Act 20-449, October 10, 2014, 61 DCR 10915, 20 STAT 4188). + For temporary (90 days) amendment of this section, see §§ 9019 and 9029 of the Fiscal Year 2015 Budget Support Emergency Act of 2014 (D.C. Act 20-377, July 14, 2014, 61 DCR 7598, 20 STAT 3696). + For temporary (90 day) amendment of section, see § 2081(f) of Fiscal Year Budget Support Congressional Review Emergency Amendment Act of 2009 (D.C. Act 18-260, January 4, 2010, 57 DCR 345). + For temporary (90 day) amendment of section, see § 2081(f) of Fiscal Year 2010 Budget Support Second Emergency Act of 2009 (D.C. Act 18-207, October 15, 2009, 56 DCR 8234). + For temporary (90 day) amendment of section, see § 2(b) of New Convention Center Hotel Emergency Amendment Act of 2009 (D.C. Act 18-186, August 12, 2009, 56 DCR 6967). + For temporary (90 day) amendment of section, see § 114(b) of New Convention Center Hotel Omnibus Financing and Development Emergency Act of 2006 (D.C. Act 16-404, June 26, 2006, 53 DCR 5404). + The 2015 amendment by D.C. Law 20-155 repealed (l). + D.C. Law 18-111, in subsec. (b), substituted “Washington Convention Center Fund” for “Washington Convention Center Authority Fund”. + D.C. Law 18-78, in subsec. (a-1)(2)(C), substituted “property of the Authority (including lease payments assigned to the Authority pursuant to § 10-1202.22)” for “property of the Authority”. + D.C. Law 17-144, in subsec. (a-1)(1)(B), deleted “and the expansion of the new convention center” following “hotel”. + D.C. Law 13-255 added subsec. (l). + 1981 Ed., § 9-805. + This section is referenced in § 2-223.01, § 10-1202.02, § 10-1202.03, § 10-1202.06, § 10-1202.08, and § 10-1202.10. + Section 9029 of D.C. Law 20-155 provided that the amendment by § 9019 of the act shall apply as of September 30, 2014. + Washington Convention Center Authority Dedicated Tax Revenue Bond Resolution of 1998: Pursuant to Resolution 12-591, effective July 7, 1998, the Council approved the Washington Convention Center Authority’s proposal for the issuance of Dedicated Tax Revenue Bonds to finance a New Convention Center and to authorize an increase in the capital replacement reserve and the operating reserve. + Resolution 15-371, the “Transfer of Site Control of the Old Washington Convention Center Property to the Washington Convention Center Authority Approval Resolution of 2003”, was approved effective December 16, 2003. + Resolution 15-95, the “Shaw Community Development Fund Approval Resolution of 2003”, was approved effective May 6, 2003. + +
diff --git a/us/dc/council/code/titles/99/10-551.07e(Perm).xml b/us/dc/council/code/titles/99/10-551.07e(Perm).xml index 138c68925f..f3ef9b4ff5 100644 --- a/us/dc/council/code/titles/99/10-551.07e(Perm).xml +++ b/us/dc/council/code/titles/99/10-551.07e(Perm).xml @@ -2,6 +2,9 @@
10-551.07e(Perm) Government Space Maintenance and Repair Transparency Dashboard. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + (a) Beginning no later than October 1, 2022, the Department shall publish a dashboard referencing all open District of Columbia Public School campus facility maintenance work orders, updated at least weekly to reflect changes in work order status and newly opened work orders. diff --git a/us/dc/council/code/titles/99/10-551.07f(Perm).xml b/us/dc/council/code/titles/99/10-551.07f(Perm).xml new file mode 100644 index 0000000000..bb392d3f1d --- /dev/null +++ b/us/dc/council/code/titles/99/10-551.07f(Perm).xml @@ -0,0 +1,66 @@ + +
+ 10-551.07f(Perm) + DCPS facilities work order requests. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Department's Facilities Management Division shall: + + (1) + Provide relevant DCPS school-based staff with training at least annually in how to enter, track, and manage work order requests in CMMS; + + + (2) + Ensure that relevant DCPS school-based staff receive automatic email notifications from CMMS regarding status changes for work order requests at the DCPS facility; and + + + (3) + + (A) + Create a mechanism to collect feedback from relevant DCPS school-based staff on whether a work order request has been completed to the DCPS facility's satisfaction, which shall remain open for feedback for at least 14 calendar days from the date a work order request is deemed completed by the Department. + + + (B) + + (i) + If the relevant DCPS school-based staff's feedback affirms that the work has been completed to their satisfaction, the Department may close the work order. + + + (ii) + If the relevant DCPS school-based staff indicates that the work has not been completed satisfactorily, the work order shall remain open and shall be timely re-completed by the Department to the relevant DCPS school-based staff's satisfaction. + + + (iii) + If the DCPS school-based staff fails to provide feedback within the 14-calendar-day timeframe, is physically unable to review the work, or believes that they lack sufficient training to assess the work, a Department representative shall verify that the work order has been completed based on a review of available evidence before closing the work order request. + + + + (C) + The Department shall keep records on the usage of the mechanism established by this paragraph and the number of instances in which a Department representative verified completed work. + + + + + (b) + For purposes of this section, the term: + + (1) + "CMMS" means the Department's Computerized Maintenance Management System. + + + (2) + "DCPS" means the District of Columbia Public Schools. + + + (3) + "Relevant DCPS school-based staff" means the principal, building foreman, or other school staff member designated by the principal of a District of Columbia Public Schools facility. + + + + Sept. 14, 2011, D.C. Law 19-21, § 1028f + as added Mar. 5, 2024, D.C. Law 25-139, § 2(b), 71 DCR 879 + +
diff --git a/us/dc/council/code/titles/99/2-1382(Perm).xml b/us/dc/council/code/titles/99/2-1382(Perm).xml new file mode 100644 index 0000000000..233076f05e --- /dev/null +++ b/us/dc/council/code/titles/99/2-1382(Perm).xml @@ -0,0 +1,23 @@ + +
+ 2-1382(Perm) + Establishment of the Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs; Advisory Committee. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established within the Executive Office of the Mayor, the Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs (“Office”). The Office shall administer such programs as shall be delegated to it by the Mayor and the Council to promote the welfare of the lesbian, gay, bisexual, transgender, and questioning community. + + + (b) + The Mayor shall establish an Advisory Committee, consisting of not more than 25 public members, whose members shall be representative of the diversity of people and ideas within the lesbian, gay, bisexual, transgender, and questioning community. The Advisory Committee shall include, at a minimum, representation from the lesbian, gay, bisexual, transgender, and questioning community organizations representing health, social service, religious, and human rights issues and its members shall be representative of the diversity in the community with regard to socioeconomic status, religion, race, ethnicity, gender identification, age, and families. The Advisory Committee shall advise the Director and the Mayor on issues relating to the lesbian, gay, bisexual, transgender, and questioning community and on issues relating to the mission of the Office. + + + Apr. 4, 2006, D.C. Law 16-89, § 3, 53 DCR 1084 + Oct. 22, 2015, D.C. Law 21-36, § 1022(b), 62 DCR 10905 + For temporary (90 days) amendment of this section, see § 1022(b) of the Fiscal Year 2016 Budget Support Emergency Act of 2015 (D.C. Act 21-127, July 27, 2015, 62 DCR 10201). + The 2015 amendment by D.C. Law 21-36 substituted “Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs” for “Office of Gay, Lesbian, Bisexual, and Transgender Affairs” throughout the section; and substituted “lesbian, gay, bisexual, transgender, and questioning community” for “gay, lesbian, bisexual and transgender community” throughout the section. + This section is referenced in § 2-1381. + +
diff --git a/us/dc/council/code/titles/99/2-1383(Perm).xml b/us/dc/council/code/titles/99/2-1383(Perm).xml new file mode 100644 index 0000000000..a3163a9bd5 --- /dev/null +++ b/us/dc/council/code/titles/99/2-1383(Perm).xml @@ -0,0 +1,106 @@ + +
+ 2-1383(Perm) + Appointment of Director; compensation; staff. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + + (1) + The Office shall be administered by the Director, who shall be appointed by the Mayor. The Director shall devote his or her full time to the duties of the Office. His or her annual compensation shall not be lower than a DS-15, step one, or equivalent compensation pursuant to §§ 1-610.51 through 1-610.63. + + + (2) + The Office shall have sufficient full-time employees to perform the Office's duties, with a minimum of 2 full-time employees, plus any temporary staff approved by the Office of Budget and Planning. + + + + (b) + The Director shall: + + (1) + Serve as an advocate for the lesbian, gay, bisexual, transgender, and questioning community in the District of Columbia; + + + (2) + Assist community organizations in developing and submitting grant applications; + + + (3) + Provide information and technical assistance with respect to programs and services for the lesbian, gay, bisexual, transgender, and questioning community to the Mayor, the Council, other District of Columbia agencies and departments, and the community; + + + (4) + File an annual report on the operation of the Office with the Mayor and the Council; + + + (5) + Identify areas of need for service or improvement of services and bring them to the attention of the Mayor, with suggestions for satisfying such needs, including conducting or funding research and demonstration projects to test the suggestions; + + + (6) + Assure necessary control, evaluation, audit, and reporting on programs funded through the Office; + + + (7) + Accept volunteer services and funds from the public and private sectors to supplement the budget in carrying out the planning duties and responsibilities of the Office; + + + (8) + Meet with the lesbian, gay, bisexual, transgender, and questioning services coordinators within each department and agency of the District government as a group, at least once a month to coordinate activities within the government involving the lesbian, gay, bisexual, transgender, and questioning community; + + + (9) + Meet with each department and agency director to establish a lesbian, gay, bisexual, transgender, and questioning services coordinator; + + + (10) + Work with the Department of Health's lesbian, gay, bisexual, transgender, and questioning services coordinator to ensure that the Department's annual report on the status of lesbian, gay, bisexual, transgender, and questioning health in the District of Columbia is comprehensive and receives an appropriate response; + + + (11) + Issue grants to organizations that provide services to LGBTQ residents of the District of Columbia or in furtherance of the mission of the Office or the purposes of this chapter; + + + (12) + Implement the grant program created by § 2-1384; and + + + (13) + No later than July 31, 2022, in coordination with the Advisory Committee and after consultation with the LGBTQ community, submit to the Council a report on the state of LGBTQ Community Businesses that shall include: + + (A) + An evaluation of the state of the LGBTQ Community Business economy and how that economy has changed over time; + + + (B) + The economic and social value of the LGBTQ Community Business economy to the District as a whole; + + + (C) + The key challenges currently faced by LGBTQ Community Businesses; + + + (D) + Recommendations for maintaining vibrant and diverse LGBTQ Community Businesses; and + + + (E) + Recommendations for ensuring that LGBTQ Community Businesses remain open and welcoming to all members of the LGBTQ community. + + + + + Apr. 4, 2006, D.C. Law 16-89, § 4, 53 DCR 1084 + Mar. 2, 2007, D.C. Law 16-191, § 122(b), 53 DCR 6794 + May 3, 2014, D.C. Law 20-100, § 3(b), 61 DCR 1873 + Oct. 22, 2015, D.C. Law 21-36, § 1022(c), 62 DCR 10905 + Nov. 13, 2021, D.C. Law 24-45, § 1142(b), 68 DCR 010163 + For temporary (90 days) amendment of this section, see § 1022(c) of the Fiscal Year 2016 Budget Support Emergency Act of 2015 (D.C. Act 21-127, July 27, 2015, 62 DCR 10201). + The 2015 amendment by D.C. Law 21-36 substituted “full time” for “full-time” in (a)(1); substituted “lesbian, gay, bisexual, transgender, and questioning community” for “gay, lesbian, bisexual and transgender community” in (b)(1); substituted “lesbian, gay, bisexual, transgender, and questioning community” for “Gay, Lesbian, Bisexual and Transgender community” in (b)(3); rewrote (b)(8); substituted “lesbian, gay, bisexual, transgender, and questioning services coordinator” for “Gay, Lesbian, Bisexual and Transgender Program Coordinator” in (b)(9); and rewrote (b)(10). + The 2014 amendment by D.C. Law 20-100 substituted “sufficient full-time employees to perform the Office’s duties, with a minimum of 2 full-time employees” for “2 full-time employees” in (a)(2); and added (b)(11) and (b)(12) and made related changes. + D.C. Law 16-191, in subsec. (b)(9), validated a previously made technical correction. + +
diff --git a/us/dc/council/code/titles/99/2-1411.05a(Perm).xml b/us/dc/council/code/titles/99/2-1411.05a(Perm).xml new file mode 100644 index 0000000000..f5773b4a17 --- /dev/null +++ b/us/dc/council/code/titles/99/2-1411.05a(Perm).xml @@ -0,0 +1,79 @@ + +
+ 2-1411.05a(Perm) + Mandatory workplace training. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + + (1) + The Office shall provide a sexual-harassment training course for employees of businesses that employ an employee who is paid in accordance with § 32-1003(f) or shall certify a list of providers who may provide such training in accordance with the requirements set forth in this section. + + + (2) + The Office shall consult with groups representing victims, workers, and employers in the creation of a sexual-harassment training course. + + + (3) + The training shall include how to respond to, intervene in, and prevent sexual harassment by co-workers, management, and patrons. + + + (4) + The Office may delegate its responsibilities under this subsection to another agency subordinate to the Mayor. + + + + (b) + Employees of businesses that employ an employee who is paid in accordance with § 32-1003(f) shall receive the training according to the following schedule: + + (1) + Each employee shall receive training either in person or online no later than 90 days after hire, unless the employee has participated in training within the past 2 years. + + + (2) + Employees hired before October 1, 2020, shall have 2 years from that applicability date to attend training either in person or online. + + + (3) + Managers shall attend in-person training at least once every 2 years. + + + + (c) + Owners or operators of businesses that employ an employee who is paid in accordance with § 32-1003(f) shall attend training either in person or online at least once every 2 years. + + + (d) + If an employee, manager, owner, or operator of a business that employs an employee who is paid in accordance with § 32-1003(f) participates in training from a provider certified by the Office, the employer shall submit a certification to the Office that the employee, manager, owner, or operator has completed the training required in subsection (a) of this section and shall do so no later than 30 business days after completion of the training. + + + (e) + The Office shall maintain records of each individual who has taken the training required by subsection (a) of this section for at least 5 years. + + + (f) + Each employer that employs an employee who is paid in accordance with § 32-1003(f) shall: + + (1) + No later than July 1, 2019, file with the Office a policy outlining how employees can report instances of sexual harassment to management and to the Office; + + + (2) + No later than July 1, 2019, distribute the employer's sexual-harassment policy to employees and post the policy in a conspicuous place accessible to all employees in or about the premises of the employer; + + + (3) + No later than December 13, 2018, document instances of sexual harassment reported to management, including whether the reported harasser was a non-managerial employee, managerial employee, owner, or operator; and + + + (4) + No later than July 1, 2019, and annually thereafter, report to the Office the number of instances of sexual harassment reported to management and the total number of reported harassers who were non-managerial employees, managerial employees, owners, or operators. + + + + Oct. 20, 1999, D.C. Law 13-38, § 206a + as added Dec. 13, 2018, D.C. Law 22-196, § 5, 65 DCR 12049 + +
diff --git a/us/dc/council/code/titles/99/2-1431.03a(Perm).xml b/us/dc/council/code/titles/99/2-1431.03a(Perm).xml new file mode 100644 index 0000000000..b1ac220469 --- /dev/null +++ b/us/dc/council/code/titles/99/2-1431.03a(Perm).xml @@ -0,0 +1,132 @@ + +
+ 2-1431.03a(Perm) + Establishment of the Office for the Deaf, Deafblind, and Hard of Hearing. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established an Office for the Deaf, Deafblind, and Hard of Hearing. + + + (b) + The purpose of ODDHH is to advance the civil rights of the deaf, deafblind, and hard of hearing communities by ensuring and overseeing District-wide compliance with laws that affect the deaf, deafblind, and hard of hearing communities. + + + (c) + + (1) + ODDHH shall be headed by a Director, who shall be deaf, deafblind, or hard of hearing and who shall be appointed by the Mayor with the advice and consent of the Council in accordance with § 1-523.01(a). + + + (2) + The Director shall serve as the Chief Administrative Officer and may organize personnel, re-delegate authority, develop programs, and take other action consistent with appropriations and other applicable law. Annual compensation for the Director shall be fixed in accordance with subchapter X-A of Chapter 6 of Title 1. + + + (3) + If the position of Director is vacant or about to be vacant, the Mayor shall seek and receive input on the selection of the Director from organizations representing the interests of the deaf, deafblind, and hard of hearing communities. + + + + (d) + The Director shall endeavor to hire qualified individuals who are members of the deaf, deafblind, and hard of hearing communities. + + + (e) + ODDHH shall: + + (1) + Advocate for the adoption of laws, policies, and programs that benefit the deaf, deafblind, and hard of hearing communities; + + + (2) + Provide community outreach, training, and education on issues affecting the deaf, deafblind, and hard of hearing communities; + + + (3) + Provide information about existing programs and services for the deaf, deafblind, and hard of hearing communities; + + + (4) + Refer members of the deaf, deafblind, and hard of hearing communities with problems or concerns to the appropriate District agency or organization; + + + (5) + Assist educational institutions, employment agencies, social service agencies, and businesses comply with District and federal laws that affect the deaf, deafblind, and hard of hearing communities; + + + (6) + Provide members of the deaf, deafblind, and hard of hearing communities with access to specialized services, including case management, interpreter services, technology services, such as assistive listening devices, independent living services, and information services; + + + (7) + Maintain a registry of available qualified interpreters in the District and work to increase the number of qualified interpreters in the District; + + + (8) + Create and distribute visor communication cards to the Metropolitan Police Department containing instructions on how to effectively communicate with a deaf, deafblind, or hard of hearing motorist, along with images of common traffic situations; + + + (9) + Assist agencies in developing policies and practices that consider the needs of the deaf, deafblind, and hard of hearing communities; + + + (10) + Ensure District-wide compliance with laws and policies that protect the civil rights of the deaf, deafblind, and hard of hearing communities; + + + (11) + Assist agencies and the Council with referrals to qualified interpreters; + + + (12) + Coordinate with the appropriate agencies to provide: + + (A) + All members of the deaf, deafblind, and hard of hearing communities who are children with support and access, from birth, to all services necessary to ensure language access and developmental support; and + + + (B) + The deaf, deafblind, and hard of hearing communities with support and access to workforce development opportunities; + + + + (13) + Provide training to agencies and the Council on: + + (A) + The needs of the deaf, deafblind, and hard of hearing communities as it relates to each agency's and the Council's functions and mission; + + + (B) + Cultural awareness of the deaf, deafblind, and hard of hearing communities; and + + + (C) + Basic sign language communication; and + + + + (14) + Within one year of the December 8, 2020, and annually thereafter, submit to the Council and the Mayor a report that includes: + + (A) + An analysis of the accessibility of District programs for the deaf, deafblind, and hard of hearing communities; + + + (B) + An evaluation of the availability of American Sign Language interpretation, real-time captioning, assistive listening systems, and other language access measures for the deaf, deafblind, and hard of hearing communities, at agencies and the Council; and + + + (C) + Recommendations for new laws, policies, or programs that address the needs of the deaf, deafblind, and hard of hearing communities. + + + + + Mar. 8, 2007, D.C. Law 16-239, § 4a + as added Dec. 8, 2020, D.C. Law 23-152, § 2(c), 67 DCR 12254 + This section is referenced in § 2-1431.01. + +
diff --git a/us/dc/council/code/titles/99/2-354.13(Perm).xml b/us/dc/council/code/titles/99/2-354.13(Perm).xml new file mode 100644 index 0000000000..55747bcf6a --- /dev/null +++ b/us/dc/council/code/titles/99/2-354.13(Perm).xml @@ -0,0 +1,86 @@ + +
+ 2-354.13(Perm) + Competition exemptions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + Contracts for the following procurements shall be exempt from the competition requirements established by this chapter: + + (1) + Artistic services or works of art; + + + (2) + Commodities or contractual services if federal or District law prescribes with whom the District must contract; + + + (3) + Legal services or negotiation services in connection with proceedings before administrative agencies or state or federal courts, including experts, attorneys, and mediators; + + + (4) + Copyrighted or patented materials, including technical pamphlets, published books, maps, and testing or instructional materials; provided, that the materials are purchased directly from the owner of the copyright or patent; + + + (5) + Memberships in trade or professional organizations; + + + (6) + Entertainers; + + + (7) + Job-related seminars and training for District employees; + + + (8) + Maintenance and support of existing software and technology to the extent that the creator of the intellectual property is still protected and is the only source of the maintenance and support of the existing software and technology; + + + (9) + Public transit farecards, passes, and tokens; + + + (10) + Personal property or services provided by another public entity, agency, or authority; + + + (11) + Postage; + + + (12) + Purchases of advertising in all media, including electronic, print, radio, and television; provided, that they are purchased directly from the media outlet; + + + (13) + Trade and career fairs for District employees; + + + (14) + Special event venues and related services as dictated by the establishment; + + + (15) + Subscriptions for periodicals and newspapers; + + + (16) + Ticket purchases for special events, tourist attractions, and amusement parksand + + + (17) + Professional development training which supports principal, teacher, and student achievement, health, and safety; and + + + (18) + A new Long-Term Subsidy Contract to continue providing affordable housing units created or maintained by an existing Long-Term Subsidy Contract, pursuant to § 6-227, if the proposed contractor is the same as the contractor for the existing Long-Term Subsidy Contract or is the existing contractor's successor-in-interest for the affordable housing units created or maintained under the existing Long-Term Subsidy Contract. + + + Apr. 8, 2011, D.C. Law 18-371, § 413, 58 DCR 1185 + Apr. 11, 2019, D.C. Law 22-294, § 401, 66 DCR 1707 + Apr. 20, 2024, D.C. Law 25-159, § 2, 66 DCR 1707 + +
diff --git a/us/dc/council/code/titles/99/2-381.02(Perm).xml b/us/dc/council/code/titles/99/2-381.02(Perm).xml new file mode 100644 index 0000000000..294309f7b0 --- /dev/null +++ b/us/dc/council/code/titles/99/2-381.02(Perm).xml @@ -0,0 +1,98 @@ + +
+ 2-381.02(Perm) + False claims liability, treble damages, costs, and civil penalties; exceptions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + Any person who commits any of the following acts shall be liable to the District for 3 times the amount of damages which the District sustains because of the act of that person. A person who commits any of the following acts shall also be liable to the District for the costs of a civil action brought to recover penalties or damages, and shall be liable to the District for a civil penalty of not less than $5,500, and not more than $11,000, for each false or fraudulent claim for which the person: + + (1) + Knowingly presents, or causes to be presented, a false or fraudulent claim for payment or approval; + + + (2) + Knowingly makes, uses, or causes to be made or used, a false record or statement material to a false or fraudulent claim; + + + (3) + Has possession, custody, or control of property or money used, or to be used, by the District and knowingly delivers, or causes to be delivered, less than all of that money or property; + + + (4) + Is authorized to make or deliver a document certifying receipt of property used, or to be used, by the District and, intending to defraud the District, makes or delivers the receipt without completely knowing that the information on the receipt is true; + + + (5) + Knowingly buys, or receives as a pledge of an obligation or debt, public property from an officer or employee of the District who lawfully may not sell or pledge property; + + + (6) + Knowingly makes, uses, or causes to be made or used, a false record or statement material to an obligation to pay or transmit money or property to the District, or knowingly conceals or knowingly and improperly avoids or decreases an obligation to pay or transmit money or property to the District; + + + (7) + Conspires to commit a violation of paragraph (1), (2), (3), (4), (5), or (6) of this subsection; + + + (8) + Is a beneficiary of an inadvertent submission of a false or fraudulent claim to the District, subsequently discovers the falsity of the claim, and fails to disclose the false or fraudulent claim to the District; or + + + (9) + Is the beneficiary of an inadvertent payment or overpayment by the District of monies not due and knowingly fails to repay the inadvertent payment or overpayment to the District. + + + + (b) + Notwithstanding subsection (a) of this section, the court may assess not more than two times the amount of damages which the District sustains because of the act of the person, and there shall be no civil penalty, if the court finds all of the following: + + (1) + The person committing the violation furnished officials of the District responsible for investigating false claims violations with all information known to that person about the violation within 30 days after the date on which the person first obtained the information; + + + (2) + The person fully cooperated with any investigation by the District; and + + + (3) + At the time the person furnished the District with information about the violation, no criminal prosecution, civil action, or administrative action had commenced with respect to the violation, and the person did not have actual knowledge of the existence of an investigation into the violation. + + + + (c) + Liability pursuant to this section shall be joint and several for any act committed by 2 or more persons. + + + (d) + This section shall not apply to claims, records, or statements made pursuant to those portions of Title 47 that refer or relate to taxation, unless: + + (1) + + (A) + The claim, record, or statement was made on or after January 1, 2015; and + + + (B) + The District taxable income, District sales, or District revenue of the person against whom the action is being brought equals $1 million for any taxable year subject to any action brought pursuant to this part, and the damages pleaded in the action total $350,000 or more; or + + + + (2) + The claim, record, or statement was made on or after January 1, 2015, and relates to the classification of real property as vacant or blighted pursuant to An Act To provide for the abatement of nuisances in the District of Columbia by the Commissioners of said District, and for other purposes, approved April 14, 1906 (34 Stat. 114; D.C. Official Code § 42-3131.01 et seq.). + + + + Feb. 21, 1986, D.C. Law 6-85, § 814, 32 DCR 7396 + as added May 8, 1998, D.C. Law 12-104, § 2(g), 45 DCR 1687 + Mar. 19, 2013, D.C. Law 19-232, § 2(b), 59 DCR 13632 + Mar. 16, 2021, D.C. Law 23-180, § 2(a), 68 DCR 1019 + Nov. 13, 2021, D.C. Law 24-45, § 1112, 68 DCR 10163 + The 2013 amendment by D.C. Law 19-232 rewrote (a) and (d). + 1981 Ed., § 1-1188.14. + 2001 Ed., § 2-308.14. + This section is referenced in § 2-308.14, § 2-381.01, § 2-381.03, § 2-381.05, and § 2-381.10. + +
diff --git a/us/dc/council/code/titles/99/2-579(Perm).xml b/us/dc/council/code/titles/99/2-579(Perm).xml new file mode 100644 index 0000000000..c7e8b72508 --- /dev/null +++ b/us/dc/council/code/titles/99/2-579(Perm).xml @@ -0,0 +1,62 @@ + +
+ 2-579(Perm) + Enforcement; authority. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Office of Open Government may bring a lawsuit in the Superior Court of the District of Columbia for injunctive or declaratory relief for any violation of this subchapter before or after the meeting in question takes place; provided, that the Council shall adopt its own rules for enforcement related to Council meetings. Nothing in this subchapter shall: + + (1) + Be construed to create or imply a private cause of action for a violation of this subchapter; or + + + (2) + Restrict the private right of action citizens have under § 1-207.42. + + + + (b) + In any lawsuit filed under this section, the burden shall be on the public body to sustain its action or proposed action. The court shall determine the matter de novo and may examine the record of a closed meeting to determine whether this section has been violated. + + + (c) + If the court finds that a public body plans to hold a closed meeting or portion of a meeting in violation of subsection (d) of this section, the court may: + + (1) + Enjoin the public body from closing the meeting or portion of the meeting; + + + (2) + Order that future meetings of the same kind be open to the public; or + + + (3) + Order that the record of a meeting be made public. + + + + (d) + If the court finds that a resolution, rule, act, regulation, or other official action was taken, made, or enacted in violation of this subchapter, the court may order an appropriate remedy, including requiring additional forms of notice, postponing a meeting, or declaring action taken at a meeting to be void. Actions shall not be declared void unless the court finds that the balance of equities compels the action or the court concludes that the violation was not harmless. + + + (e) + If the court finds that a member of a public body engages in a pattern or practice of willfully participating in one or more closed meetings in violation of the provisions of this subchapter, the court may impose a civil fine of not more than $250 for each violation. + + + (f) + The court may grant such additional relief as it finds necessary to serve the purposes of this subchapter. + + + (g) + A public body may seek an advisory opinion from the Office of Open Government regarding compliance with this subchapter. + + + Oct. 21, 1968, Pub. L. 90-614, title IV, § 409 + as added Mar. 31, 2011, D.C. Law 18-350, § 2, 58 DCR 734 + Oct. 30, 2018, D.C. Law 22-168, § 1084(c), 65 DCR 9388 + This section is referenced in § 2-593. + +
diff --git a/us/dc/council/code/titles/99/23-501(Perm).xml b/us/dc/council/code/titles/99/23-501(Perm).xml new file mode 100644 index 0000000000..a05976cf15 --- /dev/null +++ b/us/dc/council/code/titles/99/23-501(Perm).xml @@ -0,0 +1,43 @@ + +
+ 23-501(Perm) + Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + As used in subchapters II, IV, and V of this chapter — + + (1) + The term “judicial officer” means a judge of the Superior Court of the District of Columbia or of the United States District Court for the District of Columbia, or a United States commissioner or magistrate for the District of Columbia. + + + (2) + The term “law enforcement officer” means an officer or member of the Metropolitan Police Department of the District of Columbia, or of any other police force operating in the District of Columbia; an investigative officer or agent of the United States; animal control officer employed by the District of Columbia; or the Fire Marshal and any member of the Fire and Arson Investigation Unit of the Fire Prevention Bureau of the Fire Department of the District of Columbia, for the purpose of enforcing arson and the fire safety laws of the District of Columbia, who is so designated in writing by the Fire Chief. + + + (3) + The term “prosecutor” means the United States Attorney for the District of Columbia or his assistant, the Corporation Counsel of the District of Columbia [Attorney General for the District of Columbia] or his assistant, or an attorney employed by, and who has entered an appearance on behalf of, the United States or the District of Columbia in a criminal case or in an investigation being conducted by a grand jury. + + + (4) + “Field arrest” means a non-custodial arrest made pursuant to § 23-584 that requires the person to appear within 15 days before an official of the relevant law enforcement agency to complete the arrest process. + + + (5) + “Release on citation” means the process by which a person arrested for eligible misdemeanors may be released on his or her promise to appear at a future date in court, or at some other designated place. + + + (6) + “Releasing official” shall have the same meaning as provided in § 23-1110(a)(1). + + + July 29, 1970, 84 Stat. 613, Pub. L. 91-358, title II, § 210(a) + Oct. 18, 1988, D.C. Law 7-176, § 9(b), 35 DCR 4787 + Mar. 26, 1999, D.C. Law 12-176, § 4, 45 DCR 5662 + Apr. 24, 2015, D.C. Law 20-243, § 2(a)(2), 61 DCR 8320 + For temporary amendment of section, see § 4 of the Arson Investigators Emergency Amendment Act of 1998 (D.C. Act 12-406, July 13, 1998, 45 DCR 4833),§ 4 of the Arson Investigators Congressional Review Emergency Amendment Act of 1998 (D.C. Act 12-466, October 28, 1998, 45 DCR 7838), and § 4 of the Arson Investigators Second Congressional Review Emergency Amendment Act of 1998 (D.C. Act 12-539, December 24, 1998, 46 DCR 297). + The 2015 amendment by D.C. Law 20-243 added (4), (5), and (6). + 1973 Ed., § 23-501. + 1981 Ed., § 23-501. + +
diff --git a/us/dc/council/code/titles/99/3-151(Perm).xml b/us/dc/council/code/titles/99/3-151(Perm).xml new file mode 100644 index 0000000000..b727f87c61 --- /dev/null +++ b/us/dc/council/code/titles/99/3-151(Perm).xml @@ -0,0 +1,61 @@ + +
+ 3-151(Perm) + Establishment of the Criminal Code Reform Commission. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Criminal Code Reform Commission ("Commission"") is established as an independent agency, as that term is defined in § 1-603.01(13). + + + (b) + The Commission shall be composed of the Executive Director and such staff as necessary to complete the work of the Commission. + + + (c) + + (1) + The Executive Director shall be appointed by the Chairman of the Council, in consultation with the chairperson of the Council committee with jurisdiction over the Commission, subject to the approval of a majority of the Council. The Executive Director shall serve for a term of 3 years. + + + (2) + Repealed. + + + (3) + The Executive Director shall receive an annual salary consistent with the District of Columbia Government Salary Schedule for Excepted Service (ES) employees, at no lower than Grade 10, exclusive of fringe benefits. The Executive Director serving as of July 13, 2022, shall receive such salary retroactive to March 26, 2022. + + + + (d) + The Executive Director shall: + + (1) + Be a member in good standing of the District of Columbia Bar; + + + (2) + Be responsible for and oversee the daily operations of the Commission; + + + (3) + Supervise Commission staff; and + + + (4) + Develop and institute internal policies, procedures, and processes to ensure efficient operations. + + + + (e) + All employees of the Commission shall be, or shall become no later than 180 days after hire, District residents. + + + Oct. 8, 2016, D.C. Law 21-160, § 3122, 63 DCR 10775 + Dec. 3, 2020, D.C. Law 23-149, § 3002(a), 67 DCR 10493 + Sept. 21, 2022, D.C. Law 24-167, § 3063(a), 69 DCR 9223 + Sept. 6, 2023, D.C. Law 25-50, § 8002(i), 70 DCR 10366 + +
diff --git a/us/dc/council/code/titles/99/3-154(Perm).xml b/us/dc/council/code/titles/99/3-154(Perm).xml new file mode 100644 index 0000000000..a90ea8ffb2 --- /dev/null +++ b/us/dc/council/code/titles/99/3-154(Perm).xml @@ -0,0 +1,48 @@ + +
+ 3-154(Perm) + Reporting requirements. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + Until March 31, 2021, the Commission shall file quarterly reports with the Council that provide a summary of activities during the prior quarter. + + + (b) + Before March 31, 2021, the Commission shall file a report with the Council that includes: + + (1) + A summary and copy of all recommendations for reforms to criminal statutes developed by the Commission during the previous calendar year; + + + (2) + A summary and copy of comments received from the Advisory Group during the previous calendar year and their disposition; + + + (3) + A summary of other Commission activities during the previous calendar year; + + + (4) + A description of any problems discovered with prior Commission work or changes to prior work that are necessary due to legislative changes or court rulings; + + + (5) + A description of any issues that could delay or prevent the Commission from timely fulfilling its statutory duties; and + + + (6) + A work plan and schedule, or revisions to an existing work plan and schedule, for carrying out the responsibilities of the Commission to meet statutory requirements. + + + + (c) + Before March 31, 2022, and annually thereafter, the Commission shall file an annual report with the Council of its activities during the previous calendar year. + + + Oct. 8, 2016, D.C. Law 21-160, § 3125, 63 DCR 10775 + Dec. 3, 2020, D.C. Law 23-149, § 3002(d), 67 DCR 10493 + +
diff --git a/us/dc/council/code/titles/99/38-2901(Perm).xml b/us/dc/council/code/titles/99/38-2901(Perm).xml new file mode 100644 index 0000000000..bf3419f7c3 --- /dev/null +++ b/us/dc/council/code/titles/99/38-2901(Perm).xml @@ -0,0 +1,321 @@ + +
+ 38-2901(Perm) + Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + For the purposes of this chapter, the term: + + (a) + For the purposes of this chapter, the term: + + (1) + "Adult education" means services or instruction below the college level for adults who: + + (A) + Lack sufficient mastery of basic educational skills to enable them to function effectively in society; + + + (B) + Do not have a certificate of graduation from a school providing secondary education and who have not achieved an equivalent level of education; or + + + (C) + Have limited ability in speaking, reading, writing, or understanding the English language and whose native language is a language other than English. + + + + (1A) + "Allowable special education costs" means costs incurred for the following purposes: + + (A) + Instruction, salaries, benefits, supplies, textbooks, and other expenses, including: + + (i) + The cost of salaries and benefits of special education program teachers, regular program teachers, and teacher aides, allocated to the corresponding working time that each person devotes to special education, including services required by an individualized education program; + + + (ii) + Teaching supplies and textbooks for special education programs; + + + (iii) + The purchase, rental, repair, and maintenance of instructional equipment required to implement a student's individualized education program; + + + (iv) + Professional development activities for teachers who work with, or provide services to, students with disabilities; + + + (v) + Contracted services, including fees paid for professional services, advice, and consultation regarding children with disabilities under the IDEA, and the delivery of special education services by public or private entities; and + + + (vi) + Transportation costs for special education instructional personnel who travel on an itinerant basis from school to school or to in-state and out-of-state individualized education program meetings; + + + + (B) + Related services as defined in 34 CFR § 300.34 and supplementary aids and services as defined in 34 CFR § 300.42 and also including the following: + + (i) + Salaries and benefits of professional supportive personnel, corresponding to the working time that each person devotes to implementing services required pursuant to an individualized education program ("IEP") as defined in 34 CFR § 300.22. + + + (ii) + Salaries and benefits of clerical personnel who assist professional personnel in supportive services, corresponding to the working time that each person devotes to special education services or program; + + + (iii) + Supplies for related services and supplementary aids and services; + + + (iv) + Contracted services, including fees paid for professional advice and consultation regarding children with disabilities under the IDEA or related services and supplementary aids and services, and the delivery of such services by public or private agencies; + + + (v) + Transportation for special education-related services personnel and providers of supplementary aides who travel from school to school or to in-state and out-of-state individualized education program meetings; and + + + (vi) + Equipment purchase, rental, repair, and maintenance required to implement related services and supplementary aids and services as required by a student's individualized education program; + + + + (C) + Administrative expenses related to the direct implementation of IDEA Part B programmatic and fiscal requirements within the public school, including: + + (i) + Salaries and benefits of staff who ensure programmatic and fiscal requirements of IDEA are being implemented, corresponding to the working time that each person devotes to the implementation of IDEA; + + + (ii) + Contracted services, including fees paid for professional services, advice, and consultation regarding the implementation of IDEA, and the delivery of special education services to students with IEPs by public or private entities; + + + + (D) + Assistive technology devices for students with IEPs, not including medical devices surgically implanted (i.e., cochlear implant); + + + (E) + Implementation of due process hearing decisions; + + + (F) + Implementation of compensatory education plans; + + + (G) + Implementation of coordinated early intervening services programs (CEIS) as defined in 34 CFR § 300.226; and + + + (H) + Transition of a student back into public schools in the District who, as a result of an IEP decision or due process hearing decision, is currently attending non-public schools. + + + + (1B) + "Alternative program" means specialized instruction for students under court supervision or who have a history of being on short- or long-term suspension or who have been expelled from school, or who meet other criteria as defined by the State Education Office through rulemaking. To qualify as an alternative program, a school must meet the criteria and rules set by the State Education Office. An alternative program may describe an entire school or a specialized program within a school. + + + (2) + Repealed. + + + (2A) + "At-risk" means a DCPS student or a public charter school student who is identified as one or more of the following: + + (A) + Homeless; + + + (B) + In the District's foster care system; + + + (C) + Qualifies for the Temporary Assistance for Needy Families program or the Supplemental Nutrition Assistance Program; or + + + (D) + A high school student that is one year older, or more, than the expected age for the grade in which the student is enrolled. + + + + (2B) + "At-Risk High School Over-age Supplement" means weighting provided in addition to the at-risk weight for a student who is at-risk because the student is a high school student that is one year older, or more, than the expected age for the grade in which the student is enrolled. + + + (2C) + "Central administration" means the functions necessary for the governance of a school district as a whole, including general oversight and management of support services such as procurement, human resources, and financial administration. The term "central administration" does not include any functions that are: + + (A) + Budgeted at the individual school level; or + + + (B) + Budgeted centrally and which support costs associated with programs and services provided at the school level or directly to students. + + + + (3) + "Consumer Price Index" ("CPI") means the Consumer Price Index for all urban consumers for Washington, DC-MD-VA, Index Base Period 1982-84 or its successor, as issued by the United States Department of Labor, Bureau of Labor Statistics. + + + (4) + "District of Columbia Public Schools" ("DCPS") means the public local education system under the control of the Board of Education or of the Emergency Transitional Education Board of Trustees in its function. The term does not include Public Charter Schools. + + + (4A) + "Elementary ELL" means students who are LEP/NEP and enrolled in grades pre-kindergarten 3 through 5. + + + (5) + "Foundation" or "foundation level" means the amount of funding per weighted student needed to provide adequate regular education services to students. Regular education services do not include special education, language minority education, summer school, capital costs, state education agency functions or services funded through federal and other non-appropriated revenue sources. + + + (6) + "Full-time equivalent" means student enrollment the equal of: + + (A) + Five hours or more per school day for a minimum of 180 school days for students enrolled in grades pre-school through 12; or + + + (B) + Three hours per day for a minimum of 4 days per week for 36 weeks per school year for adult enrollment. + + + + (6A) + "Intensive Program of Special Education Services" means specialized special education services of at least 30 hours per student per week for students with one or more disabling conditions in a self-contained setting during regular school hours. + + + (7) + "Limited English Proficient/Non-English Proficient" ("LEP/NEP") means students identified in accordance with federal law as entitled to English as a second language or bilingual services on the basis of their English language proficiency. + + + (8) + "Per student funding formula" ("Formula") means the formula used to determine annual operating funding for DCPS and Public Charter Schools on a uniform per student basis, pursuant to § 38-1804.01. + + + (9) + "Public Charter School" means a publicly funded school established pursuant to subchapter II of Chapter 18 of this title; and except as provided in §§ 38-1802.12(d)(5) and 38-1802.13(c)(5), is not a part of the DCPS. + + + (10) + "Residential school" means a DCPS or Public Charter School that provides students with room and board in a residential setting, in addition to their instructional program. + + + (10A) + "Resident student" means a minor enrolled in a District of Columbia public school or public charter school who has a parent, guardian, or custodian residing in the District of Columbia or an adult enrolled in a District of Columbia public school or a public charter school who resides in the District of Columbia as determined pursuant to Chapter 3 of this title [§ 38-302 et seq.]. + + + (10B) + "Secondary ELL" means students who are LEP/NEP and enrolled in: + + (A) + Grades 6 through 12 at a DCPS or public charter school; + + + (B) + An alternative program; + + + (C) + Adult education; or + + + (D) + Grades 6 through 12 at a special education school. + + + + (10C) + "Self-Contained (Dedicated) Special Education School" means a school that has the capacity to provide all the facilities and services needed to meet the educational and therapeutic needs of its students, which may share a campus or only a building with a general education school. + + + (11) + "Special education" means specialized services for students identified as having disabilities, as provided in section 101(a)(1) of the Individuals with Disabilities Education Act, approved April 13, 1970 (84 Stat. 175; 20 U.S.C. § 1401(a)(1)), or students who are individuals with a disability as provided in section 7(8) of the Rehabilitation Act of 1973, approved September 26, 1973 (87 Stat. 359; 29 U.S.C. § 706(8)). + + + (11A) + Repealed. + + + (11B) + "Special Education Compliance Funding" means funds provided to public schools through the "Formula" to support activities required to address identified noncompliance with federal and local laws and regulations regarding the provision of special education services to students with disabilities. + + + (11C) + "Special Education Payment" means funding appropriated by the District through the "Formula" in the following budget categories: Special education schools, Special Education Add-ons, Special Education Capacity Fund, Special Education Compliance Fund, Residential Add-ons for Special Education, and Special Education Add-ons for Students with Extended School Year ("ESY") Indicated in Their Individualized Education Programs. + + + (11D) + "Special Education School" means a separate DCPS or public charter day school or residential school dedicated exclusively to serving special education students at levels 4 or 5. + + + (12) + "State level costs" means costs incurred by the DCPS in its function as a state education agency, including the census of minors pursuant to § 38-204, impact aid surveys, issuance of work permits, conduct of hearings and appeals, employee certification, administration of federal aid to agencies or institutions outside of the DCPS or Public Charter Schools administration. For purposes of the Formula, transportation of students with disabilities and payment of tuition for private placements of children with disabilities are considered state level costs. + + + (13) + "Summer school" means an accelerated instructional program provided outside the regular school year of 180 days for students in targeted grades or grade spans pursuant to promotion policies of the District of Columbia Public Schools and public charter schools. + + + (14) + "Weighting" is a multiplication factor applied to the foundation cost for student counts in certain grade levels or special needs programs to account for differences in the cost of educating these students. + + + + Mar. 26, 1999, D.C. Law 12-207, § 102, 45 DCR 8095 + Oct. 1, 2002, D.C. Law 14-190, § 3402(a), 49 DCR 6968 + Apr. 13, 2005, D.C. Law 15-348, § 101(a), 52 DCR 1991 + Mar. 2, 2007, D.C. Law 16-192, § 4002(a), 53 DCR 6899 + Apr. 24, 2007, D.C. Law 16-305, § 57(a), 53 DCR 6198 + Sept. 18, 2007, D.C. Law 17-20,§ 4002(a), 54 DCR 7052 + Sept. 14, 2011, D.C. Law 19-21, § 4003(a), 58 DCR 6226 + Feb. 22, 2014, D.C. Law 20-87, § 4(a), 61 DCR 309 + Feb. 26, 2015, D.C. Law 20-155, § 4012, 61 DCR 9990 + Sept. 11, 2019, D.C. Law 23-16, § 4003(a), 66 DCR 8621 + Nov. 13, 2021, D.C. Law 24-45, § 4002(a), 68 DCR 10163 + For temporary (90 days) amendment of this section, see § 4012 of the Fiscal Year 2015 Budget Support Second Congressional Review Emergency Act of 2014 (D.C. Act 20-566, January 9, 2015, 62 DCR 884, 21 STAT 541). + For temporary (90 days) amendment of this section, see § 4012 of the Fiscal Year 2015 Budget Support Congressional Review Emergency Act of 2014 (D.C. Act 20-449, October 10, 2014, 61 DCR 10915, 20 STAT 4188). + For temporary (90 days) amendment of this section, see § 4012 of the Fiscal Year 2015 Budget Support Emergency Act of 2014 (D.C. Act 20-377, July 14, 2014, 61 DCR 7598, 20 STAT 3696). + For temporary addition of chapter, see §§ 2-15 of the Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Second Emergency Act of 1998 (D.C. Act 12-392, July 17, 1998, 45 DCR 6433), and §§ 2-15 of the Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Congressional Review Emergency Act of 1999 (D.C. Act 13-15, February 10, + Section 18(b) of D.C. Law 12-180 provided that this act shall expire after 225 days of its having taken effect. + Section 2 of D.C. Law 12-180 enacted §§ 31-2901 through 31-2912, comprising Chapter 29 of Title 31 1981 Ed. . + Section 6(b) of D.C. Law 15-67 provided that the act shall expire after 225 days of its having taken effect. + “(10A) ‘Resident student’ means a minor enrolled in a District of Columbia public school or public charter school who has a parent, guardian, or custodian residing in the District of Columbia or an adult enrolled in a District of Columbia public school or a public charter school who resides in the District of Columbia.” + Section 2(a) of D.C. Law 15-67 added par. (10A) to read as follows: + Section 6(b) of D.C. Law 14-38 provided that the act shall expire after 225 days of its having taken effect. + “(10A) ‘Resident student’ means a student who is enrolled in a District of Columbia public school or a public charter school, and is an adult who resides in the District of Columbia, or is a minor who has a parent, guardian, or custodian residing in the District of Columbia.”. + Section 2(a) of D.C. Law 14-38 added a new paragraph (10A) to read as follows: + Section 4(b) of D.C. Law 14-6 provided that the act shall expire after 225 days of its having taken effect. + “(11A) ‘Special education school’ means a specialized instructional program for students with disabilities as described in paragraph (11) of this section whose individual education plan calls for full-time placement in special education services.” + Section 2(a) of D.C. Law 14-6 added a new par. (11A) to read as follows: + Section 4(b) of D.C. Law 13-262 provided that the act shall expire after 225 days of its having taken effect. + “(11A) ‘Special education school’ means a specialized instructional program for students with disabilities as described in paragraph (11) of this section whose individual education plan calls for full-time placement in special education services.” + Section 2(a) of D.C. Law 13-262 added (11A) to read as follows: + Section 6(b) of D.C. Laws 13-427 provided that the act shall expire after 225 days of its having taken effect. + “(10A) ‘Resident student’ means a student who is enrolled in a District of Columbia public school or a public charter school, and is an adult who resides in the District of Columbia, or is a minor who has a parent, guardian, or custodian residing in the District of Columbia.”. + Section 2(a) of D.C. Laws 13-427 added paragraph 10A to read as follows: + The 2015 amendment by D.C. Law 20-155 rewrote (1B). + The 2014 amendment by D.C. Law 20-87 added (2A) and (2B). + D.C. Law 19-21 redesignated par. (1A) as (1B) and par. (11A) as (11D); and added pars. (1A) and (11A) to (11C). + D.C. Law 17-20 added pars. (6A) and (10B). + D.C. Law 16-305, in par. (12), substituted “students with disabilities” for “handicapped students” and “children with disabilities” for “handicapped children”. + D.C. Law 16-192 added par. (1A); repealed par. (2); and rewrote pars. (6) and (13). + D.C. Law 15-348 added par. (10A). + D.C. Law 14-190 added par. (11A). + 1981 Ed., § 31-2901. + This section is referenced in § 38-1804.01, § 38-2601.02, § 38-2652, § 38-2831, and § 38-2905. + Short title: Section 4001 of D.C. Law 17-20 provided that subtitle A of title IV of the act may be cited as the “Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2007”. + Short title: Section 4001 of D.C. Law 16-192 provided that subtitle A of title IV of the act may be cited as the “Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2006”. + Short title of subtitle A of title XXXIV of Law 14-190: Section 3401 of D.C. Law 14-190 provided that subtitle A of title XXXIV of the act may be cited as the Uniform Per Student Funding Formula for Public School and Public Charter Schools Amendment Act of 2002. + Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Act: D.C. Law 12-207 provided that this chapter may be cited as the “Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Act of 1998.” + +
diff --git a/us/dc/council/code/titles/99/38-2902(Perm).xml b/us/dc/council/code/titles/99/38-2902(Perm).xml new file mode 100644 index 0000000000..a9b49c5af8 --- /dev/null +++ b/us/dc/council/code/titles/99/38-2902(Perm).xml @@ -0,0 +1,62 @@ + +
+ 38-2902(Perm) + Applicability of Formula. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Formula shall apply to operating budget appropriations for District of Columbia resident students in DCPS and Public Charter Schools of the District of Columbia. The student count to which the Formula is applied shall not include students enrolled in private institutions providing special education services paid by the District of Columbia or to nonresident students subject to the requirement of paying tuition pursuant to Chapter 3 of this title. + + + (b) + The Formula shall apply only to operating budget appropriations from the District of Columbia General Fund for DCPS and Public Charter Schools; except, that the Formula shall not apply to: + + (1) + For Fiscal Year 2022 and 2023, funding allocated to a DCPS school to meet the requirement of § 38-2907.01 [Repealed by emergency act] that the school be provided with not less than 95% of its prior year allocation of Formula funds; + + + (2) + Funds from federal or other revenue sources; + + + (3) + Funds appropriated to other agencies and funds of the District government; + + + (4) + Any program operated by DCPS that provides special education outreach, referral, and evaluation services for children under 5 years 11 months of age ("eligible children"), if the program serves eligible children who have not yet entered the school system or are homeschooled; or + + + (5) + IMPACTplus bonus payments. + + + + (b-1) + Starting in Fiscal Year 2025, the cost of IMPACTplus bonus payments shall be paid from operating budget appropriations from the General Fund for DCPS and included in the Formula. + + + (c) + The Formula shall apply only to Public Charter Schools until the DCPS student enrollment count is verified by an independent contractor who shall perform a census on the student enrollment of the DCPS. The count shall include the information provided in § 38-1804.02(b). + + + Mar. 26, 1999, D.C. Law 12-207, § 103, 45 DCR 8095 + Nov. 13, 2021, D.C. Law 24-45, § 4002(b), 68 DCR 10163 + Sept. 21, 2022, D.C. Law 24-167, § 4002(a), 69 DCR 9223 + Sept. 6, 2023, D.C. Law 25-50, § 4002(a), 70 DCR 10366 + For temporary (90 day) amendment of section, see § 2(b) of Uniform Per Student Funding Formula For Public Schools and Public Charter Schools Emergency Amendment Act of 2001 (D.C. Act 14-18, March 16, 2001, 48 DCR 2691). + For temporary (90 day) amendment of section, see § 2(b) of the Uniform Per Student Funding Formula Emergency Amendment Act of 2000 (D.C. Act 13-485, December 18, 2000, 48 DCR 20). + For temporary addition of chapter, see note to § 38-2901. + See Historical and Statutory Notes following § 38-2901. + Section 4(b) of D.C. Law 14-6 provided that the act shall expire after 225 days of its having taken effect. + Section 2(b) of D.C. Law 14-6, in subsec. (a), added the following to the end: “For purposes of adult education only, as defined in section 102(1), the Formula shall apply to the University of the District of Columbia (‘UDC’).”; in subsec. (b), substituted “, for public charter schools, and for the adult education program of UDC” for “and for”; and repealed subsec. (c). + Section 4(b) of D.C. Law 13-262 provided that the act shall expire after 225 days of its having taken effect. + “(c) Repealed.” + “(b) The Formula shall apply only to operating budget appropriations from the District of Columbia General Fund for DCPS, for public charter schools, and for the adult education program of UDC Public Charter Schools. It shall not apply to funds from federal or other revenue sources, or to funds appropriated to other agencies and funds of the District government.” + “(a) The Formula shall apply to operating budget appropriations for District of Columbia resident students in DCPS and Public Charter Schools of the District of Columbia. The student count to which the Formula is applied shall not include students enrolled in private institutions providing special education services paid by the District of Columbia or to nonresident students subject to the requirement of paying tuition pursuant to 38-302 through 38-306. For purposes of adult education only, as defined in section 102(1), the Formula shall apply to the University of the District of Columbia (‘UDC’). + Section 2(b) of D.C. Law 13-262, rewrote this section to read as follows: + 1981 Ed., § 31-2902. + +
diff --git a/us/dc/council/code/titles/99/38-2903(Perm).xml b/us/dc/council/code/titles/99/38-2903(Perm).xml new file mode 100644 index 0000000000..06924f0f54 --- /dev/null +++ b/us/dc/council/code/titles/99/38-2903(Perm).xml @@ -0,0 +1,90 @@ + +
+ 38-2903(Perm) + Foundation level. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The foundation level or cost of providing public education services is $13,046 per student for Fiscal Year 2024 and subsequent fiscal years. The foundation level may be revised in subsequent years in accordance with provisions for inflation, revenue unavailability, and periodic review and revision of the Formula, pursuant to §§ 38-2909 [repealed], 38-2910, and 38-2911. + + + (b) + By December 31, 2018, and annually thereafter, the Mayor shall transmit to the Council the algorithm that will be used to determine the next fiscal year's Formula foundation level, which shall include variables for the cost of teachers and other classroom-based personnel and for both school-based and non-school-based administrative personnel. The Office of the State Superintendent of Education shall publish the algorithm on its website. + + + Mar. 26, 1999, D.C. Law 12-207, § 104, 45 DCR 8095 + Oct. 1, 2002, D.C. Law 14-190, § 3402(b), 49 DCR 6968 + June 5, 2003, D.C. Law 14-307, § 102(a), 49 DCR 11664 + Nov. 13, 2003, D.C. Law 15-39, § 312(a), 50 DCR 5668 + Dec. 7, 2004, D.C. Law 15-205, § 4002(a), 51 DCR 8441 + Oct. 20, 2005, D.C. Law 16-33, § 4012(a), 52 DCR 7503 + Mar. 2, 2007, D.C. Law 16-192, § 4002(b), 53 DCR 6899 + Sept. 18, 2007, D.C. Law 17-20, § 4002(b), 54 DCR 7052 + Aug. 16, 2008, D.C. Law 17-219, § 4016(a), 55 DCR 7598 + Sept. 24, 2010, D.C. Law 18-223, § 4022(a), 57 DCR 6242 + Apr. 8, 2011, D.C. Law 18-370, § 402(a), 58 DCR 1008 + Sept. 14, 2011, D.C. Law 19-21, § 4003(b), 58 DCR 6226 + Sept. 20, 2012, D.C. Law 19-168, § 4002(a), 59 DCR 8025 + Dec. 24, 2013, D.C. Law 20-61, § 4002(a), 60 DCR 12472 + Feb. 26, 2015, D.C. Law 20-155, § 4002(a), 61 DCR 9990 + Oct. 8, 2016, D.C. Law 21-160, § 4002(a), 63 DCR 10775 + Dec. 13, 2017, D.C. Law 22-33, § 4002(a), 64 DCR 7652 + July 3, 2018, D.C. Law 22-124, § 201(a), 65 DCR 5091 + Oct. 30, 2018, D.C. Law 22-168, § 4002(a), 65 DCR 9338 + Sept. 11, 2019, D.C. Law 23-16, § 4003(b), 66 DCR 8621 + Dec. 3, 2020, D.C. Law 23-149, § 4002(a), 67 DCR 10493 + Nov. 13, 2021, D.C. Law 24-45, § 4002(c), 68 DCR 10163 + Sept. 21, 2022 D.C. Law 24-167, § 4002(b), 69 DCR 9223 + Sept. 6, 2023, D.C. Law 25-50, § 4002(b), 70 DCR 10366 + Applicability of D.C. Law 20-61: Section 11001 of D.C. Law 20-61 provided that, except as otherwise provided, the act shall apply as of October 1, 2013. + For temporary (90 days) amendment of this section, see § 4002(a) of the Fiscal Year 2015 Budget Support Second Congressional Review Emergency Act of 2014 (D.C. Act 20-566, January 9, 2015, 62 DCR 884, 21 STAT 541). + For temporary (90 days) amendment of this section, see § 4002(a) of the Fiscal Year 2015 Budget Support Congressional Review Emergency Act of 2014 (D.C. Act 20-449, October 10, 2014, 61 DCR 10915, 20 STAT 4188). + For temporary (90 days) amendment of this section, see § 4002(a) of the Fiscal Year 2015 Budget Support Emergency Act of 2014 (D.C. Act 20-377, July 14, 2014, 61 DCR 7598, 20 STAT 3696). + For temporary (90 days) amendment of this section, see § 4002(a) of the Fiscal Year 2014 Budget Support Congressional Review Emergency Act of 2013 (D.C. Act 20-204, October 17, 2013, 60 DCR 15341, 20 DCSTAT 2311). + For temporary (90 days) amendment of this section, see § 4002(a) of the Fiscal Year 2014 Budget Support Emergency Act of 2013 (D.C. Act 20-130, July 30, 2013, 60 DCR 11384, 20 DCSTAT 1827). + For temporary (90 day) amendment of section, see § 4002(a) of Fiscal Year 2013 Budget Support Congressional Review Emergency Act of 2012 (D.C. Act 19-413, July 25, 2012, 59 DCR 9290). + For temporary (90 day) amendment of section, see § 4002(a) of Fiscal Year 2013 Budget Support Emergency Act of 2012 (D.C. Act 19-383, June 19, 2012, 59 DCR 7764). + For temporary (90 day) amendment of section, see § 4003(b) of Fiscal Year 2012 Budget Support Emergency Act of 2011 (D.C. Act 19-93, June 29, 2011, 58 DCR 5599). + For temporary (90 day) amendment of section, see § 402(a) of Fiscal Year 2011 Supplemental Budget Support Emergency Act of 2010 (D.C. Act 18-694, January 19, 2011, 58 DCR 662). + For temporary (90 day) amendment of section, see § 4022(a) of Fiscal Year 2011 Budget Support Emergency Act of 2010 (D.C. Act 18-463, July 2, 2010, 57 DCR 6542). + For temporary (90 day) amendment of section, see § 4002(b) of Fiscal Year 2008 Budget Support Emergency Act of 2007 (D.C. Act 17-74, July 25, 2007, 54 DCR 7549). + For temporary (90 day) amendment of section, see § 4002(b) of Fiscal Year 2007 Budget Support Congressional Review Emergency Act of 2007 (D.C. Act 17-1, January 16, 2007, 54 DCR 1165). + For temporary (90 day) amendment of section, see § 4002(b) of Fiscal Year 2007 Budget Support Congressional Review Emergency Act of 2006 (D.C. Act 16-499, October 23, 2006, 53 DCR 8845). + For temporary (90 day) amendment of section, see § 4002(b) of Fiscal Year 2007 Budget Support Emergency Act of 2006 (D.C. Act 16-477, August 8, 2006, 53 DCR 7068). + For temporary (90 day) amendment of section, see § 4012(a) of Fiscal Year 2006 Budget Support Emergency Act of 2005 (D.C. Act 16-168, July 26, 2005, 52 DCR 7667). + For temporary (90 day) amendment of section, see § 4002(a) of Fiscal Year 2005 Budget Support Congressional Review Emergency Act of 2004 (D.C. Act 15-594, October 26, 2004, 51 DCR 11725). + For temporary (90 day) amendment of section, see § 4002(a) of Fiscal Year 2005 Budget Support Emergency Act of 2004 (D.C. Act 15-486, August 2, 2004, 51 DCR 8236). + For temporary (90 day) amendment of section, see § 312(a) of Fiscal Year 2004 Budget Support Congressional Review Emergency Act of 2003 (D.C. Act 15-149, September 22, 2003, 50 DCR 8360). + For temporary (90 day) amendment of section, see § 312(a) of Fiscal Year 2004 Budget Support Emergency Act of 2003 (D.C. Act 15-105, June 20, 2003, 50 DCR 5613). + For temporary (90 day) amendment of section, see § 102(a) of Fiscal Year 2003 Budget Support Amendment Second Congressional Review Emergency Act of 2003 (D.C. Act 15-103, June 20, 2003, 50 DCR 5499). + For temporary (90 day) amendment of section, see § 3302(b) of Fiscal Year 2003 Budget Support Emergency Act of 2002 (D.C. Act 14-453, July 23, 2002, 49 DCR 8026). + For temporary (90 day) amendment of section, see § 102(a) of the Fiscal Year 2003 Budget Support Amendment Congressional Review Emergency Act of 2003 (D.C. Act 15-27, February 24, 2003, 50 DCR 2151). + For temporary (90 day) amendment of section, see § 102(a) of Fiscal Year 2003 Budget Support Amendment Emergency Act of 2002 (D.C. Act 14-544, December 4, 2002, 49 DCR 11700). + For temporary addition of chapter, see note to § 38-2901. + See Historical and Statutory Notes following § 38-2901. + The 2015 amendment by D.C. Law 20-155 substituted “$ 9,492 per student for Fiscal Year 2015” for “$ 9,306 per student for fiscal year 2014” in the first sentence. + The 2013 amendment by D.C. Law 20-61 substituted “$9,306 per student for fiscal year 2014” for “$9,124 per student for fiscal year 2013” in the first sentence. + The 2012 amendment by D.C. Law 19-168 substituted “$9,124 per student for fiscal year 2013” for “$8,945 per student for fiscal year 2012” in the first sentence. + D.C. Law 19-21 substituted “$8,945 per student for fiscal year 2012” for “$8,770 per student for fiscal year 2011”. + D.C. Law 18-370 substituted “$8,770 per student for fiscal year 2011” for “$8,945 per student for fiscal year 2011”. + D.C. Law 18-223 substituted “$8,945 per student for fiscal year 2011” for “$8,770 per student for fiscal year 2009”. + D.C. Law 17-219 substituted “$8,770 per student for fiscal year 2009” for “$8,322.00 per student for fiscal year 2008”. + D.C. Law 17-20 substituted “$8,322.00 per student for fiscal year 2008” for “$8,002.06 per student for FY 2007”. + D.C. Law 16-192 substituted “$8,002.06 per student for FY 2007” for “$7,307.47 per student for FY 2006”. + D.C. Law 16-33 substituted “7,307.47 per student for FY 2006” for “$6,903.60 per student for FY 2005”. + D.C. Law 15-205 substituted “$6,903.60 per student for FY 2005 and subsequent fiscal years” for “$6,551 per student for 2004”. + D.C. Law 15-39 substituted “$6,551 per student for FY 2004” for “$6,419 per student for 2003”. + D.C. Law 14-307 substituted “$6,419” for “$6,555”. + D.C. Law 14-190 substituted “$6,555 per student for 2003” for “$5,500 per-student for FY 1999,”. + 1981 Ed., § 31-2903. + Section 4001 of D.C. Law 20-61 provided that Subtitle A of Title IV of the act may be cited as the “Funding for Public Amendment Act of 2013”. + Short title: Section 401 of D.C. Law 18-370 provided that subtitle A of title IV of the act may be cited as “Funding for Public Schools and Public Charter Schools Amendment Act of 2010”. + Short title: Section 4021 of D.C. Law 18-223 provided that subtitle C of title IV of the act may be cited as the “Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2010”. + Short title: Section 4015 of D.C. Law 17-219 provided that subtitle H of title IV of the act may be cited as the “Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2008”. + Short title of subtitle B of title IV of Law 16-33: Section 4011 of D.C. Law 16-33 provided that subtitle B of title IV of the act may be cited as the Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2005. + Short title of subtitle A of title IV of Law 15-205: Section 4001 of D.C. 15-205 provided that subtitle A of title IV of the act may be cited as the Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2004. + Short title of subtitle B of title III of Law 15-39: Section 311 of D.C. Law 15-39 provided that subtitle B of title III of the act may be cited as the Uniform Per Student Funding Formula for Public Schools and Public Charter Schools Amendment Act of 2003. + +
diff --git a/us/dc/council/code/titles/99/4-1701.01(Perm).xml b/us/dc/council/code/titles/99/4-1701.01(Perm).xml new file mode 100644 index 0000000000..c58f98e7ac --- /dev/null +++ b/us/dc/council/code/titles/99/4-1701.01(Perm).xml @@ -0,0 +1,107 @@ + +
+ 4-1701.01(Perm) + Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + For the purposes of this chapter, the term: + + (1) + “Adequate notice” means written notice of termination from eligible employment provided within 15 days of termination and separate written confirmation by the provider of eligible employment. + + + (2) + Repealed. + + + (3) + “Administrator” means the entity designated to administer the LRAP, established pursuant to § 4-1704.01. + + + (4) + “Applicant” means an individual who applies for assistance from the LRAP. + + + (5) + “ATJ” means the Access to Justice Grant Funding for Civil Legal Services. + + + (6) + “Bar Foundation” means the District of Columbia Bar Foundation. + + + (7) + “Deputy Mayor” means the Deputy Mayor for Public Safety and Justice or the Office of the Deputy Mayor for Public Safety and Justice, as the context requires. + + + (8) + “Eligible debt” means outstanding principal, interest, and related expenses from loans obtained for reasonable educational expenses made by government and commercial lending institutions or educational institutions, but does not include loans extended by a private individual or group of individuals, including families. + + + (9) + “Eligible employment” means those areas of legal practice certified by the Administrator to serve the public interest, including employment with legal organizations that qualify for District of Columbia Bar Foundation funding, but does not include employment with the District of Columbia government or federal government or with or as the Administrator; and + + (A) + Working not less than 35 hours per week where such hours are fully devoted to eligible employment, hereinafter “full-time employment”; or + + + (B) + Working not less than 17 hours per week where such hours are fully devoted to eligible employment, hereinafter “part-time employment.” + + + + (10) + “Full-time employment” means not less than 35 hours of work per week. + + + (11) + “Initiative” means the Access to Justice Initiative established pursuant to § 4-1702.01. + + + (12) + “Involuntary termination” means termination for budgetary or inadequate funding reasons, as confirmed, in writing, by the eligible employer. + + + (13) + “Lawyer” means a graduate of an accredited law school who is: + + (A) + Licensed to practice in the District of Columbia; + + + (B) + Authorized under the provisions of Rule 49(c)(9) of the District of Columbia Court of Appeals to practice law before that court; or + + + (C) + A member in good standing of the highest court of any state who has submitted an application for admission to the District of Columbia Bar. + + + + (14) + “LRAP” means the District of Columbia Poverty Lawyer Loan Repayment Assistance Program. + + + (15) + “Participant” means an eligible lawyer whose application to the LRAP has been approved. + + + (16) + “Reasonable educational expenses” means the cost of tuition as well as the costs of education considered to be required by the school’s degree program, such as fees for housing, transportation and commuting costs, books, supplies, and educational equipment and materials that are part of the estimated student budget of the school in which the participant was enrolled. + + + (17) + “Service obligation” means the period of eligible employment necessary to sustain participation in the LRAP, which shall not be less than 45 weeks within the 12-month period for which the participant applied for assistance. + + + Sept. 24, 2010, D.C. Law 18-223, § 101 + as added Sept. 14, 2011, D.C. Law 19-21, § 3002(b), 58 DCR 6226 + June 19, 2013, D.C. Law 19-320, § 504(a), 60 DCR 3390 + Dec. 13, 2017, D.C. Law 22-33, § 3042(a), 64 DCR 7652 + May 10, 2019, D.C. Law 22-313, § 9(a), 66 DCR 1627 + For temporary (90 days) amendment of this section, see § 504(a) of the Omnibus Criminal Code Amendment Congressional Review Emergency Act of 2013 (D.C. Act 20-44, April 1, 2013, 60 DCR 5381, 20 DCSTAT 1281). + For temporary amendment of (9), see § 504(a) of the Omnibus Public Safety and Justice Amendment Act of 2012 (D.C. Act 19-599, January 14, 2013, 60 DCR 1017). + The 2013 amendment by D.C. Law 19-320 added the semicolon and “and” to the end of (9); and added (9)(A) and (9)(B). + +
diff --git a/us/dc/council/code/titles/99/4-521(Perm).xml b/us/dc/council/code/titles/99/4-521(Perm).xml new file mode 100644 index 0000000000..bbbf4554bc --- /dev/null +++ b/us/dc/council/code/titles/99/4-521(Perm).xml @@ -0,0 +1,46 @@ + +
+ 4-521(Perm) + Shelter and Transitional Housing for Victims of Domestic Violence Fund. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + For the purposes of this section, the term: + + (1) + “Fund” means the Shelter and Transitional Housing for Victims of Domestic Violence Fund. + + + (2) + “Operating expenses” means: + + (A) + Those costs incurred in providing counseling and case management to victims of domestic violence and their children; and + + + (B) + Monthly rent, utilities, and building maintenance for the residential facilities in which victims of domestic violence and their children are housed. + + + + + (b) + There is established as a nonlapsing, interest-bearing fund the Shelter and Transitional Housing for Victims of Domestic Violence Fund, which shall be administered by the Deputy Mayor for Public Safety and Justice and used for the purpose of awarding grants to organizations that provide services to victims of domestic violence in emergency shelters and transitional housing to reimburse them for their operating expenses. + + + (c) + All funds deposited into the Fund shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time, but shall be continually available for the uses and purposes set forth in subsection (b) of this section without regard to fiscal year limitation, subject to authorization by Congress. + + + (d) + The Chief Financial Officer shall transfer $3.7 million from the Crime Victims Assistance Fund to the Fund on or before October 1, 2007. Other funds may be deposited into the Fund from sources identified by District law. + + + Sept. 18, 2007, D.C. Law 17-20, § 3013, 54 DCR 7052 + Sept. 14, 2011, D.C. Law 19-21, § 9048, 58 DCR 6226 + For temporary (90 day) addition, see § 3013 of Fiscal Year 2008 Budget Support Emergency Act of 2007 (D.C. Act 17-74, July 25, 2007, 54 DCR 7549). + D.C. Law 19-21, in subsec. (b), substituted “Deputy Mayor for Public Safety and Justice” for “Office of Victim Services”. + +
diff --git a/us/dc/council/code/titles/99/4-753.08(Perm).xml b/us/dc/council/code/titles/99/4-753.08(Perm).xml new file mode 100644 index 0000000000..ef7520a676 --- /dev/null +++ b/us/dc/council/code/titles/99/4-753.08(Perm).xml @@ -0,0 +1,261 @@ + +
+ 4-753.08(Perm) + Emergency rental assistance. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + + (1) + To qualify for emergency rental assistance funds made available pursuant to this section ("Emergency Rental Assistance Funds"), an applicant unit shall be required to meet only the following eligibility criteria: + + (A) + Be living in the District of Columbia at the time of application; + + + (B) + Be presented with an emergency situation that he or she has no other available resources to resolve, while still meeting other basic needs; and + + + (C) + Have a net income, combined with the net income of any other individual within the applicant unit that, in the 30 days immediately preceding the date of application, does not exceed 40% of the Area Median Income for the District of Columbia for the specified household size. + + + + (2) + + (A) + To qualify for Emergency Rental Assistance Funds, an applicant unit may be required to document or otherwise establish: + + (i) + That the applicant unit is living in the District of Columbia at the time of application; + + + (ii) + The applicant unit's household income and assets; + + + (iii) + The number of bedrooms in the unit occupied by the applicant unit; + + + (iv) + The number of people in the applicant unit's household; and + + + (v) + The facts and circumstances surrounding rental arrearages, the security or damage deposit, or the first month's rent, including that the applicant unit is responsible for payment. + + + + (B) + Other than the requirements listed in subparagraph (A) of this paragraph, no other documentation or proof shall be required. + + + + (3) + Provided that an applicant unit is eligible to receive Emergency Rental Assistance Funds, but is unable to provide sufficient documentation or proof for the purposes of paragraph (2)(A) of this subsection, an unsworn declaration made under penalty of perjury shall be considered sufficient documentation or proof to establish eligibility. + + + (4) + To qualify for Emergency Rental Assistance Funds, an applicant unit shall not be required to provide documentation or proof that the members of the applicant unit are related by blood, legal adoption, marriage or domestic partnership, or legal guardianship. + + + (5) + Case management or other services shall not be required as a condition to qualify for Emergency Rental Assistance Funds. + + + + (b) + + (1) + Emergency Rental Assistance Funds shall not be paid to the applicant unit but instead directly to a vendor providing a service to the applicant unit or into the court registry. + + + (2) + If eviction is imminent, or if the applicant unit has a current rent arrearage at least 30 days past due, Emergency Rental Assistance Funds may be utilized to pay rent arrearages, late fees, or associated court fees. + + + (3) + + (A) + The total payment of Emergency Rental Assistance Funds on behalf of an applicant unit for rent arrearages, late fees, and associated court fees shall not exceed an amount equal to 5 times the applicable fair market monthly rent for the Washington-Arlington-Alexandria Metropolitan area based on unit size and zip code, as established by the U.S. Department of Housing and Urban Development; provided, that the total payment limit may be waived if: + + (i) + The applicant unit lives with 6 or more individuals and reasonable alternatives to the existing housing arrangement are not available; + + + (ii) + An individual living with the applicant unit has a physical or mental disability or an extended illness such that loss of existing housing would pose a serious threat to the health or safety of that individual; or + + + (iii) + The applicant unit is applying for Emergency Rental Assistance Funds during a public health emergency declared pursuant to § 7-2304.01, or within 180 days after its conclusion. + + + + (B) + During a public health emergency, and for 180 days after its conclusion, an arrearage paid with Emergency Rental Assistance Funds may be for as many months of rent as the total number of months that the public health emergency has been in effect or was in effect. + + + + (4) + No payment shall be made when payment of Emergency Rental Assistance Funds up to the amount authorized by this section would not substantially alleviate an emergency situation during the 30-day period immediately following the authorization of payment unless the applicant unit demonstrates that a housing provider will: + + (A) + Accept partial payment in full satisfaction of the outstanding rent due; or + + + (B) + Enter into a longer-term repayment plan for the payment of the remaining balance of unpaid rent. + + + + (5) + + (A) + The use of Emergency Rental Assistance Funds to cover a security or damage deposit shall only be authorized if the housing provider does not waive the deposit and: + + (i) + The applicant unit is or will become homeless if assistance is not provided; or + + + (ii) + The purpose of the assistance is to reunite a child less than 18 years of age with his or her family or to prevent separation of a child less than 18 years of age from his or her family. + + + + (B) + The maximum payment for a security or damage deposit shall be the actual amount of the deposit, which may not exceed the amount of one month's unsubsidized rent, as specified by the housing provider. + + + + (6) + + (A) + Assistance may be authorized for the first month's rent if: + + (i) + The applicant unit is eligible for a security deposit payment as pecified in paragraph (5)(A) of this subsection; + + + (ii) + The first month's rent must be paid in conjunction with the security deposit in order for the applicant unit to assume tenancy; and + + + (iii) + The applicant unit has no other means of paying for the first month's rent at the time it is required. + + + + (B) + The maximum emergency assistance payment for the first month's rent under this paragraph shall not exceed the actual amount of one month's unsubsidized rent, as specified by the housing provider. + + + + + (c) + An applicant unit that has met the eligibility standards set forth in this section shall qualify for Emergency Rental Assistance Funds; except, that the agency may provide funding on a first come, first served basis and subject to the availability of funds. + + + (c-1) + + (1) + Beginning October 31, 2023, the Mayor shall transmit a report to the Council every month that funds remain available for the Emergency Rental Assistance Program that provides the following information related to the program: + + (A) + The number of applications: + + (i) + Received in the current fiscal year; + + + (ii) + Pending review; + + + (iii) + Approved with funds disbursed; + + + (iv) + Approved and pending payment; + + + (v) + Denied; and + + + (vi) + In the process of an appeal; + + + + (B) + The amount of funding for the current fiscal year that has been: + + (i) + Disbursed; + + + (ii) + Committed; and + + + (iii) + Remaining; and + + + + (C) + The projected date funds will be exhausted based on application and payment trends. + + + + (2) + + (A) + The reports required by paragraph (1) of this subsection shall be posted conspicuously on the Department of Human Services website and the application portal website for Emergency Rental Assistance funds. + + + (B) + The Mayor shall not pass costs incurred or administrative obligations required pursuant to paragraph (1) of this subsection on to community-based organizations that support the disbursal of Emergency Rental Assistance funds; except, that the Mayor may request the cooperation of community-based organizations to provide accurate reporting. + + + + (3) + The Mayor shall provide one month of public notice before the anticipated closing date of the application portal for Emergency Rental Assistance funds. + + + (4) + When the application portal for Emergency Rental Assistance funds closes due to projected funding exhaustion, the Mayor shall report quarterly to the Council the number of inquiries or requests related to emergency rental assistance received through any means by the Department of Human Services. + + + + (d) + For purposes of this section, the term: + + (1) + "Applicant unit" means an individual who is applying for Emergency Rental Assistance Funds pursuant to this section for his or her own needs or the needs of those with whom he or she lives. + + + (2) + "Basic needs" includes groceries, childcare, utilities, and car payments. + + + (3) + "Emergency situation" means a situation in which immediate action is necessary to avoid homelessness or eviction, to re-establish a home, or otherwise to prevent displacement from a home. + + + (4) + "Living in the District of Columbia" means that an individual is maintaining a home in the District as his or her principal residence or, if he or she is homeless, that he or she is physically present in the District and not a resident of another state. + + + + Oct. 22, 2005, D.C. Law 16-35, § 8f + as added Mar. 10, 2023, D.C. Law 24-287, § 101(b), 70 DCR 538 + Sept. 6, 2023, D.C. Law 25-50, § 2122, 70 DCR 10366 + +
diff --git a/us/dc/council/code/titles/99/42-2501(Perm).xml b/us/dc/council/code/titles/99/42-2501(Perm).xml new file mode 100644 index 0000000000..023df45263 --- /dev/null +++ b/us/dc/council/code/titles/99/42-2501(Perm).xml @@ -0,0 +1,73 @@ + +
+ 42-2501(Perm) + Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + For the purposes of this chapter, the term: + + (1) + “Agency” means the District of Columbia Housing Finance Agency. + + + (2) + “Agreement” means the housing allowance agreement required, pursuant to § 42-2504, to be entered into between a Participant and the District of Columbia government. + + + (3) + “Deferred payment loan” means funds made available to Participants in the Program by the District to assist with the purchase of housing units and for which payment of the principal is deferred until the property is sold, transferred, or otherwise ceases to be the principal residence of the Participant. + + + (4) + “Department” means the District of Columbia Department of Housing and Community Development. + + + (4A) + “Educator" means: + + (A) + A principal, assistant principal, school teacher or instructor, assistant teacher, or a paraprofessional who is employed by or has accepted an offer of employment with the District of Columbia Public Schools or a District of Columbia public charter school; or + + + (B) + An employee working as a full-time professor or instructor at the University of the District of Columbia; + + + + (4B) + "First-responder" means a District of Columbia police officer, correctional officer, firefighter, paramedic, or emergency medical technician, or an individual who has accepted an offer of employment as a District of Columbia police officer, correctional officer, firefighter, paramedic, or emergency medical technician. + + + (5) + “First-time homebuyer” means a purchaser who has no ownership interest in a principal residence at any time during the 3-year period ending on the date of the application for assistance, but includes an applicant who has divorced or separated during the 3-year period where a formal settlement did not convey an ownership interest in a principal residence which had been jointly owned. + + + (6) + “Household” means all of the persons living in a housing unit. + + + (7) + “Housing unit” means any room or group of rooms forming a single-family residential unit, including a semi-detached condominium, cooperative, or semi-detached or detached home that is used or intended to be used for living, sleeping, and the preparation and eating of meals by human occupants. + + + (8) + “Matching contribution” means those funds made available to Participants in the Program by the District to assist the Participants in saving toward a down payment. + + + (9) + “Participant” means a person who has applied to the Program and who has met the eligibility requirements set forth in § 42-2503. + + + (10) + “Program” means the District of Columbia Government Employer-Assisted Housing Program established pursuant to § 42-2502. + + + May 9, 2000, D.C. Law 13-96, § 2, 47 DCR 1081 + Dec. 13, 2017, D.C. Law 22-33, § 2012(a), 64 DCR 7652 + Sept. 21, 2022, D.C. Law 24-167, § 2152(a), 69 DCR 9223 + Section 11 of D.C. Law 13-96 provided: “This act shall apply as of October 1, 1997.” + For temporary (90-day) addition of section, see § 2 of the Government Employer-Assisted Housing Legislative Review Emergency Amendment Act of 1999 (D.C. Act 13-258, February 9, 2000, 47 DCR 1124). + For temporary (90-day) addition of section, see § 2 of the Government Employer-Assisted Housing Emergency Amendment Act of 1999 (D.C. Act 13-188, December 1, 1999, 46 DCR 10407). + +
diff --git a/us/dc/council/code/titles/99/42-2603(Perm).xml b/us/dc/council/code/titles/99/42-2603(Perm).xml new file mode 100644 index 0000000000..0ca1ad1bf9 --- /dev/null +++ b/us/dc/council/code/titles/99/42-2603(Perm).xml @@ -0,0 +1,24 @@ + +
+ 42-2603(Perm) + Availability; use prescribed by Mayor. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + The Fund shall be available without fiscal year limitation for the purpose of providing financial assistance for down payments or interim financing to recipients for the purpose of purchasing or securing housing, including single family homes, condominium units, or occupancy rights to cooperative housing in the District of Columbia as their principal place of residence and of providing financial assistance to District of Columbia government employees eligible under the District of Columbia Employer-Assisted Housing Program to purchase a home in the District of Columbia. Under terms and conditions prescribed by the Mayor of the District of Columbia (“Mayor”), the Fund shall be used for making loans and providing other forms of financial assistance. The assistance provided pursuant to the Fund may be used in conjunction with other available home assistance programs. + + Sept. 12, 1978, D.C. Law 2-103, § 4, 25 DCR 1977 + Oct. 24, 1981, D.C. Law 4-44, § 2(c), 28 DCR 4265 + June 11, 1992, D.C. Law 9-118, § 8(c), 39 DCR 3189 + Mar. 20, 1998, D.C. Law 12-60, § 1101, 44 DCR 7378 + May 9, 2000, D.C. Law 13-96, § 9(c), 47 DCR 1081 + Section 11 of D.C. Law 13-96 provided: “This act shall apply as of October 1, 1997.” + For temporary (90-day) amendment of section, see § 9(c) of the Government Employer-Assisted Housing Legislative Review Emergency Amendment Act of 1999 (D.C. Act 13-258, February 9, 2000, 47 DCR 1124). + For temporary (90-day) amendment of section, see § 9(c) of the Government Employer-Assisted Housing Emergency Amendment Act of 1999 (D.C. Act 13-188, December 1, 1999, 46 DCR 10407). + D.C. Law 13-96 rewrote the first sentence which formerly provided: “The Fund shall be available without fiscal year limitation for the purpose of providing financial assistance for down payments or interim financing to recipients for the purpose of purchasing or securing housing, including single family homes, condominium units, or occupancy rights to cooperative housing in the District of Columbia as their principal place of residence and of providing financial assistance to District of Columbia government employees eligible under the District of Columbia Employer-Assisted Housing Program to purchase a home in the District of Columbia.” + 1973 Ed., § 45-1803. + 1981 Ed., § 45-2203. + Section 1101 of D.C. Law 12-60 repealed the District of Columbia Employer-Assisted Housing Act of 1992, D.C. Law 9-118. + Repeal of Law 9-118 + +
diff --git a/us/dc/council/code/titles/99/42-2604(Perm).xml b/us/dc/council/code/titles/99/42-2604(Perm).xml new file mode 100644 index 0000000000..0090bb474e --- /dev/null +++ b/us/dc/council/code/titles/99/42-2604(Perm).xml @@ -0,0 +1,67 @@ + +
+ 42-2604(Perm) + Promulgation of rules and regulations by Mayor; review by Council; contents of loan agreements. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Mayor is authorized to promulgate rules and regulations to govern the operation of the Fund, including but not limited to, rules and regulations establishing standards for determining the eligibility and selection of applicants; procedures for applying for assistance and for notifying applicants (including the development of appropriate forms); and criteria for determining the terms and conditions under which loans or other forms of financial assistance may be made from the Fund which, among things, shall reflect the ability of the recipient to pay and may provide for the deferred payment or forgiveness of loans. The rules and regulations issued by the Mayor for the purpose of implementing the provisions of this subchapter shall be submitted by the Mayor to the Council of the District of Columbia for a 45 calendar day review period, excluding days of Council recess. No such rules or regulations shall take effect until the end of the 45 calendar day period beginning on the day such rules or regulations are transmitted by the Mayor to the Chairman of the Council, and then only if during such period, the Council does not adopt a resolution disapproving such rules and regulations in whole or in part. + + + (b) + Any loan agreement entered into pursuant to such rules and regulations shall provide that: + + (1) + All applicants for and recipients of financial assistance from the Funds shall be tenant organizations (as defined in § 42-3401.03(18) or a first time homebuyer seeking to purchase housing in the District of Columbia as a primary residence including, but not limited to, single family homes, condominium units, or occupancy rights to cooperative housing. For the purposes of this section, the term “first time homebuyer” means a real property purchaser who had no ownership interest in his or her principal residence at any time during the 3 year period ending on the date of his or her application for assistance, but including an applicant who has divorced or separated during the 3 year period where a formal settlement has been made under which the applicant does not receive an ownership interest in a primary residence which had been jointly owned, and who has no other current ownership interest in residential real property. + + + (1A) + Priority in the allocation of assistance under the Fund shall be given to residents of the District of Columbia and District of Columbia residents who are low income, elderly, displaced applicants, or residents with disabilities. + + + (2) + If the home purchased ceases to be the primary residence of the recipient of financial assistance from the Fund, the payments to such Fund by the recipient shall be accelerated on terms and conditions prescribed by the Mayor; provided, that such obligation shall not be inconsistent with the applicable law or regulations of any federal home purchase assistance program made available to the recipient. + + + (3) + Repealed. + + + + (c) + + (1) + No later than 120 days after October 1, 2022, the Mayor shall issue updated rules that will allow organizations that meet the following criteria to provide homebuyer education and counseling and to underwrite eligibility for the Home Purchase Assistance Program: + + (A) + The organization is approved by the United States Department of Housing and Urban Development to provide housing counseling services, including homebuyer education workshops, pre-purchase counseling, and financial management. + + + (B) + The organization provides access to below market, fixed-rate mortgages with no down payment or closing costs. + + + + (2) + The rules shall require any such organizations to provide closing disclosure verifying the mortgage and use of any Home Purchase Assistance Program funds. + + + + Sept. 12, 1978, D.C. Law 2-103, § 5, 25 DCR 1977 + Oct. 24, 1981, D.C. Law 4-44, § 2(d), 28 DCR 4265 + Sept. 23, 1986, D.C. Law 6-151, § 2(b), 33 DCR 4783 + Apr. 20, 1999, D.C. Law 12-259, § 2(b), 46 DCR 1316 + Apr. 24, 2007, D.C. Law 16-305, § 61, 53 DCR 6198 + Sept. 21, 2022, D.C. Law 24-167, § 2062(b), 69 DCR 9223 + Resolution 16-651, the “Home Purchase Assistance Program Approval Resolution of 2006”, was approved effective May 29, 2006. + D.C. Law 16-305, in subsec. (b)(1A), substituted “displaced applicants, or residents with disabilities” for “handicapped, disabled, or displaced applicants”. + 1973 Ed., § 45-1804. + 1981 Ed., § 45-2204. + This section is referenced in § 47-3502. + Lower income homeownership households, qualifications, see § 47-3502. + Home Purchase Assistance Program Loan Repayment Resolution of 1998: Pursuant to Resolution 12-(PR12-890), effective October 7, 1998, the Council approved the amendment of Chapter 25 of the Home Purchase Assistance Program Regulations to authorize the use of loan repayment funds to pay reasonable administrative costs associated with making loans. + Because of the enactment of subchapter II of this chapter by D.C. Law 12-266, “subchapter” has been substituted for “chapter” in the second sentence of (a). + +
diff --git a/us/dc/council/code/titles/99/42-3504.01(Perm).xml b/us/dc/council/code/titles/99/42-3504.01(Perm).xml new file mode 100644 index 0000000000..6b2e682825 --- /dev/null +++ b/us/dc/council/code/titles/99/42-3504.01(Perm).xml @@ -0,0 +1,102 @@ + +
+ 42-3504.01(Perm) + Rental unit fee. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + + (1) + Each housing provider not exempt from rental control pursuant to § 42-3502.05(a) or (e), except those exempt pursuant to § 42-3502.05(a)(3), shall pay an annual rental unit fee of $30 for each rental unit in a housing accommodation registered by the housing provider. The rental unit fee shall be: + + (A) + Paid to the District government at the time the housing provider applies for a basic business license or a renewal of the basic business license, or in the case of a housing accommodation for which no basic business license is required, at the time and in the manner that the licensing agency may determine; and + + + (B) + Deposited as set forth in paragraph (2) of this subsection. + + + + (2) + + (A) + $21.50 of each rental unit fee shall be deposited in the fund established pursuant to § 42-3131.01(b). + + + (B) + $3.50 of each rental unit fee shall be deposited in the Rental Unit Fee Fund established pursuant to § 42-3504.02. + + + (C) + The remainder shall be deposited into the Tenant-Based Rental Assistance Fund established pursuant to § 6-231. + + + + + (b) + Repealed. + + + (c) + A nonprofit rental housing provider shall be exempt from the rental unit fee if the provider: + + (1) + Establishes rent schedules for 440 or more subsidized housing units affordable to tenants from low-income, very-low income, or extremely low-income households, as these incomes are defined in § 42-2801; and + + + (2) + Does not receive subsidies but whose income-restricted units would otherwise satisfy the eligibility requirements under: + + (A) + The Housing Choice Voucher Program under 42 U.S.C. § 1437(f); or + + + (B) + The Low Income Housing Tax Credit under 26 U.S.C. § 42. + + + + + (d) + For the purposes of this section, the term "nonprofit rental housing provider" means an organization operating rental units or housing accommodations on a nonprofit basis under which no part of the net earnings of the housing provider inure to the benefit of or are distributable to its directors, officers, or any other private individual except as reasonable compensation for services rendered to the nonprofit housing provider. + + + July 17, 1985, D.C. Law 6-10, § 401, 32 DCR 3089 + Sept. 30, 1993, D.C. Law 10-25, § 401, 40 DCR 5489 + Oct. 19, 2000, D.C. Law 13-172, § 1202(a), 47 DCR 6308 + Dec. 7, 2004, D.C. Law 15-205, § 2092, 51 DCR 8441 + Mar. 2, 2007, D.C. Law 16-192, § 2172, 53 DCR 6899 + Mar. 3, 2010, D.C. Law 18-111, § 2131, 57 DCR 181 + Sept. 14, 2011, D.C. Law 19-21, §§ 2002, 9033, 58 DCR 6226 + Sept. 20, 2012, D.C. Law 19-168, § 7032, 59 DCR 8025 + Dec. 13, 2017, D.C. Law 22-33, § 2212(b), 64 DCR 7652 + July 3, 2018, D.C. Law 22-113, § 2, 65 DCR 5026 + Oct. 30, 2018, D.C. Law 22-168, §§ 2222(a), 2223, 2282(f), 65 DCR 9388 + Section 907 of D.C. Law 6-10, as amended by § 2(d) of D.C. Law 8-48 and § 818 of D.C. Law 11-52, provided that all subchapters of the act, except III and V, shall terminate on December 31, 2000. + For temporary (90 day) amendment of section, see § 2131 of Fiscal Year Budget Support Congressional Review Emergency Amendment Act of 2009 (D.C. Act 18-260, January 4, 2010, 57 DCR 345). + For temporary (90 day) amendment of section, see § 2131 of Fiscal Year 2010 Budget Support Second Emergency Act of 2009 (D.C. Act 18-207, October 15, 2009, 56 DCR 8234). + For temporary (90 day) amendment of section, see § 2172 of Fiscal Year 2007 Budget Support Congressional Review Emergency Act of 2007 (D.C. Act 17-1, January 16, 2007, 54 DCR 1165). + For temporary (90 day) amendment of section, see § 2172 of Fiscal Year 2007 Budget Support Congressional Review Emergency Act of 2006 (D.C. Act 16-499, October 23, 2006, 53 DCR 8845). + For temporary (90 day) amendment of section, see § 2172 of Fiscal Year 2007 Budget Support Emergency Act of 2006 (D.C. Act 16-477, August 8, 2006, 53 DCR 7068). + For temporary (90 day) amendment of section, see § 2092 of Fiscal Year 2005 Budget Support Congressional Review Emergency Act of 2004 (D.C. Act 15-594, October 26, 2004, 51 DCR 11725). + For temporary (90 day) amendment of section, see § 2092 of Fiscal Year 2005 Budget Support Emergency Act of 2004 (D.C. Act 15-486, August 2, 2004, 51 DCR 8236). + For temporary (90 day) amendment of section, see § 1202(a) of the Fiscal Year 2001 Budget Support Congressional Review Emergency Act of 2000 (D.C. Act 13-438, October 20, 2000, 47 DCR 8740). + For temporary (90-day) amendment of section, see § 1202(a) of the Fiscal Year 2001 Budget Support Emergency Act of 2000 (D.C. Act 13-376, July 24, 2000, 47 DCR 6574). + For temporary (225 day) amendment of section, see § 401 of Omnibus Budget Support Temporary Act of 1993 (D.C. Law 10-11, August 6, 1993, law notification 40 DCR 6213). + The 2012 amendment by D.C. Law 19-168 added (c) and (d). + D.C. Law 19-21, in subsec. (a), substituted “basic business license” for “business license”, “the basic business license” for “the license”, “no license” for “no basic business license”, and “The fees shall be deposited in the fund established pursuant to § 42-3131.01(b).” for “Fees shall be deposited in a timely manner in depositories designated by the District government for those purposes; provided, that a portion of fees collected shall be deposited in the fund established by subsection (b) of this section to fund a housing provider ombudsman and an Advisory Neighborhood Commission liaison; provided further, that a portion of fees collected from the prior fiscal year shall be deposited in the fund established by subsection (b) of this section for use by the Office of the Chief Tenant Advocate.”; and repealed subsec. (b), which had read as follows: “(b) There is established as a nonlapsing fund the Office of the Chief Tenant Advocate Rental Accommodations Fee Fund (’Fund’). All funds deposited into the Fund, and any interest earned on those funds, shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time, but shall be continually available for the uses and purposes set forth in this section without regard to fiscal year limitation, subject to authorization by Congress.” + D.C. Law 18-111 rewrote the section, which had read as follows: “Each housing provider required to register under this chapter, including those otherwise exempt from rental control and registration pursuant to § 42-3502.05(a)(3), shall pay a fee of $17 for each rental unit in a housing accommodation registered by the housing provider. The fee shall be paid annually to the District government at the time the housing provider applies for a business license or a renewal of the license; or in the case of a housing accommodation for which no license is required, at the time and in the manner the Commission may determine. Fees shall be deposited in a timely manner in depositories designated by the District government for those purposes; provided, that a portion of fees collected shall be deposited in a special account to fund a housing provider ombudsman and an Advisory Neighborhood Commission liaison; provided further, that a portion of fees collected shall be deposited in a special account for use by the Office of the Chief Tenant Advocate.” + D.C. Law 16-192 substituted “$17” for “$16”; deleted “tenant ombudsman and a” following “special account to fund a”; and substituted “liaison; provided further, that a portion of fees collected shall be deposited in a special account for use by the Office of the Chief Tenant Advocate.” for “liaison.”. + D.C. Law 15-205 substituted “$16” for “$15” and substituted “; provided, that a portion of fees collected shall be deposited in a special account to fund a tenant ombudsman and a housing provider ombudsman and an Advisory Neighborhood Commission liaison.” for “; provided, that fees collected during fiscal year 2001 shall be deposited in the fund established by § 6-711.01 to be used for the purposes of the fund.” + D.C. Law 13-172 added the proviso at the end of the third sentence. + 1981 Ed., § 45-2541. + Housing Finance Agency, assisted housing projects, eviction procedures, see § 42-2703.08. + Short title: Section 2001 of D.C. Law 19-21 provided that subtitle A of title II of the act may be cited as “Housing Business License Rental Unit Fee Clarification Amendment Act of 2011”. + Short title: Section 2130 of D.C. Law 18-111 provided that subtitle N of title II of the act may be cited as the “Rental Unit Fee Amendment Act of 2009”. + Short title: Section 2171 of D.C. Law 16-192 provided that subtitle N of title II of the act may be cited as the “Office of the Chief Tenant Advocate Funding Act of 2006”. + Short title of subtitle H of title II of Law 15-205: Section 2091 of D.C. Law 15-205 provided that subtitle H of title II of the act may be cited as the Tenant and Housing Provider Ombudsmen Amendment Act of 2004. + +
diff --git a/us/dc/council/code/titles/99/47-4665(Perm).xml b/us/dc/council/code/titles/99/47-4665(Perm).xml new file mode 100644 index 0000000000..ad03216491 --- /dev/null +++ b/us/dc/council/code/titles/99/47-4665(Perm).xml @@ -0,0 +1,300 @@ + +
+ 47-4665(Perm) + Creative and Open Space Modernization tax rebate. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + For the purposes of this section, the term: + + (1) + "Directly related entity" means a qualified entity that is closely associated with an occupant, including: + + (A) + A subsidiary or parent company of an occupant; + + + (B) + A special purpose vehicle of an occupant; + + + (C) + A holding company of an occupant; + + + (D) + An operating company of an occupant; + + + (E) + A flow-through entity of an occupant; + + + (F) + A company otherwise substantially sharing, directly or indirectly, common directors, officers, employees, facilities, or profits with an occupant. + + + + (2) + "Eligible building" means: + + (A) + A nonresidential building; or + + + (B) + A building used for both residential and nonresidential purposes. + + + + (3) + "Eligible premises" means a nonresidential, interior portion of an eligible building that is used as an office (including ancillary uses) by a qualified entity under a lease, sublease, or purchase and sale agreement. + + + (4) + "Occupancy commencement" means the date on which an occupant or a directly related entity takes possession of eligible premises or the occupancy date for eligible premises agreed to in a lease, sublease, or purchase and sale agreement by an occupant, whichever occurs first. + + + (5) + "Occupant" means a qualified entity that executes: + + (A) + A lease or sublease for at least 50,000 square feet of net rentable area of eligible premises within the District for a minimum term of 12 years, under which the qualified entity or a directly related entity occupies and uses the eligible premises, or will occupy and use the eligible premises, on or after the commencement date; or + + + (B) + A purchase and sale agreement for at least 50,000 square feet of net area of eligible premises within the District, under which the qualified entity or a directly related entity occupies and uses the eligible premises, or will occupy and use the eligible premises, on or after the commencement date. + + + + (6) + "Public benefit" means an undertaking by an occupant or a directly related entity that the Mayor, in the Mayor's sole discretion, determines will have a material, positive impact on the District. The term "public benefit" may include: + + (A) + Providing employment or contracting opportunities for District residents and Certified Business Enterprises; + + + (B) + Providing low-income or underserved individuals or communities in the District with reduced-price or free products, services, or commercial or community space; + + + (C) + Providing economic opportunities, training, or jobs for individuals or communities beyond those offered through the normal course of business; or + + + (D) + Providing innovation-and-technology-related educational, training, or internship opportunities for students in the District. + + + + (7) + + (A) + "Qualified entity" means an individual or entity: + + (i) + Organized for profit and leasing or owning an office in the District; + + + (ii) + Having 2 or more employees in the District; and + + + (iii) + Deriving at least 51% of its gross revenues earned in the District from business operations in one of the following target sectors: + + (I) + Education and Research, including educational institutions and companies conducting scientific research and development, especially those in the energy and data science fields; + + + (II) + Consulting Services, including management, engineering, and other specialized firms providing informational or strategic consulting resources to clients; + + + (III) + Communications and Design, including firms working in marketing, design, media, and communication, including publishers of written or digital media content; + + + (IV) + Hospitality, Tourism, and Entertainment, including hotels, entertainment, nightlife, arts venues, restaurants, and other firms offering tourism and hospitality services; + + + (V) + Life Sciences and HealthTech, including organizations conducting research, development and manufacturing of pharmaceuticals, biotechnology-based food and medicines, and other products; or + + + (VI) + Technology, including businesses creating, implementing, and connecting technological systems and processes, such as Cybersecurity, Artificial Intelligence, and other emerging industries. + + + + + (B) + The term "qualified entity" shall not include: + + (i) + An individual or entity that derives 51% or more of its gross revenues from the operation in the District of: + + (I) + An on-line or brick and mortar retail store; + + + (II) + An electronic equipment facility that is primarily occupied, or intended to be occupied, by electronic and computer equipment that provides electronic data switching, transmission, or telecommunication functions between computers, both inside and outside the facility; or + + + (III) + A building or construction company; or + + + + (ii) + A professional athletic team, as defined in § 47-2002.05(a)(3). + + + + + (8) + "Qualified occupant improvement" means an improvement to eligible premises made pursuant to a lease, sublease, or purchase and sale agreement by an occupant or a directly related entity that is substantially completed no later than one year after occupancy commencement. + + + (9) + "Total value of qualified occupant improvements" means the amount expended by an occupant or a directly related entity to make qualified occupant improvements. + + + + (b) + An occupant that leases, subleases, or executes a purchase and sale agreement for eligible premises taxable under Chapter 8 of this title or § 47-1005.01 may receive to the extent provided by this section, a rebate of the real property or possessory interest tax paid with respect to the eligible premises for the portion of the tax year that the eligible premises are occupied by the occupant or a directly related entity if: + + (1) + The occupant is liable under the lease, sublease, or purchase and sale agreement for its proportionate share of the real property or possessory interest tax for the tax lot on which the eligible building is located; + + + (2) + The occupant has been certified as eligible for a rebate by the Mayor under subsection (e) of this section; + + + (3) + The real property or possessory interest tax has been paid for the year during which the rebate is sought; + + + (4) + The occupant complies with the requirements of subsection (d) of this section during the tax year for which the rebate is sought; and + + + (5) + No abatement of the real property or possessory interest tax on the eligible building pursuant to § 47-811.03 has been claimed for the tax year for which the rebate is sought. + + + + (c) + + (1) + The amount of the rebate provided pursuant to this section to a single occupant or any directly related entity in a single year shall be equal, subject to the availability of funds, to the least of the following: + + (A) + 10% of the total value of any qualified occupant improvements substantially completed during the preceding 5 years, as certified by the Mayor pursuant to subsection (e)(3) of this section; + + + (B) + The portion of the real property or possessory interest tax paid during the year for which the rebate is sought, either directly or indirectly, by the occupant or by a directly related entity under the occupant's or directly related entity's lease, sublease, or purchase and sale agreement; or + + + (C) + $1 million. + + + + (2) + The amount of the rebate calculated pursuant to paragraph (1) of this subsection shall be reduced by the amount of any grant received by the occupant or by a directly related entity pursuant to [§ 1-325.172(c)(4)], as certified by the Mayor to the Office of Tax and Revenue. + + + (3) + No later than December 31 of the year following the tax year for which the taxes to be rebated were paid, payment of the rebate of real property or possessory interest tax shall be made to the person who paid the tax; provided, that the payer is eligible to receive the rebate payment. + + + + (d) + No later than September 15 of the tax year in which the tax was paid as provided under § 47-811 or § 47-1005.01, the Mayor shall certify to the Office of Tax and Revenue, in a form and medium specified by the Office of Tax and Revenue, each property or portion thereof eligible to receive the rebate provided by this section and the amount of the rebate. The certification shall be accompanied by a statement from the Mayor specifying the amount of funds available under subsection (f) of this section for real property or possessory interest tax abatement for each property identified in the certification. The rebate paid for any property shall not exceed the amount of tax paid with respect to such property for the tax year, taking into account any other applicable abatements, exemptions, or reductions. Each applicant for a rebate shall furnish to the Mayor: + + (1) + A copy of the occupant's lease, sublease, or purchase and sale agreement including any provisions requiring the occupant to pay a portion of the property or possessory interest tax for the tax lot on which the eligible building is located; + + + (2) + Documentation that the occupant has paid its proportional share of the real property or possessory interest tax to date, as required under the lease, sublease, or purchase agreement for the eligible premises, to be supplemented by the occupant once it has made its final payment for the calendar year; and + + + (3) + An itemization of the square footage of the eligible premises actually occupied by the occupant or a directly related entity and the period of such occupancy during the tax year. + + + + (e) + + (1) + An occupant who seeks to be considered eligible for a rebate provided under this section shall file with the Mayor on or after June 1, 2016, in a manner and form as the Mayor may prescribe, an eligibility certification application, which shall include: + + (A) + The identity of the occupant, including the occupant's taxpayer identification number, and the identity of any directly related entity that may be occupying all or part of the eligible premises, including the directly related entity's taxpayer identification number; + + + (B) + A description of the eligible building, by square and lot, parcel, or reservation or possessory interest account number, and of the eligible premises, including floors, location, and square footage; + + + (C) + The estimated cost of making any qualified occupant improvements to the eligible premises; + + + (D) + The date of occupancy commencement and the anticipated duration of the lease or sublease or the holding period if purchased; + + + (E) + A description of the public benefit that the occupant proposes to furnish; and + + + (F) + Any other information that the Mayor considers necessary. + + + + (2) + The Mayor shall review the occupant's eligibility certification application. If the Mayor determines that the occupant has proposed to furnish a public benefit and that the tenant is otherwise eligible, the Mayor shall certify the tenant's eligibility to receive a rebate pursuant to this section. The certification shall be made before the date of occupancy commencement or within 45 days after the eligibility certification application is received, whichever is later in time. + + + (3) + Within 60 days following substantial completion of qualified occupant improvements, the occupant shall submit to the Mayor an itemization of the total value of qualified occupant improvements, together with supporting documentation. Within 60 days following the receipt of this submission, the Mayor shall review and certify the total value of qualified occupant improvements. + + + (4) + No later than the date the certification is made as provided in subsection (d) of this section, the Mayor shall certify to the Office of Tax and Revenue whether the tenant has furnished or has made substantial progress toward furnishing a public benefit. If the Mayor certifies that a tenant has not furnished or made substantial progress toward furnishing a public benefit, the Office of Tax and Revenue shall not pay a rebate to the tenant for that calendar year. + + + (5) + If at any time the Mayor determines that an occupant has become ineligible for a rebate under this section, either for failure to make substantial progress toward furnishing a public benefit or for some other reason, the Mayor immediately shall notify the Office of Tax and Revenue and thereafter the Office of Tax and Revenue shall not pay to the tenant any rebate pursuant to this section. + + + + (f) + + (1) + Notwithstanding any other provision of this section, the total combined rebate payments per fiscal year for all occupants under this section, beginning in Fiscal Year 2017, shall not exceed $3 million. + + + (2) + Notwithstanding paragraph (1) of this subsection, the total combined rebate payments for Fiscal Year 2021 for all occupants under this section shall not exceed $580,366. + + + + Oct. 22, 2015, D.C. Law 21-36, § 2172(b), 62 DCR 10905 + Oct. 8, 2016, D.C. Law 21-160, § 2002(b), 63 DCR 10775 + Dec. 13, 2017, D.C. Law 22-33, § 7232(c), 64 DCR 7652 + Dec. 3, 2020, D.C. Law 23-149, § 2053, 67 DCR 10493 + Sept. 6, 2023, D.C. Law 25-50, § 2072, 70 DCR 10366 + For temporary (90 days) addition of this section, see § 2172(b) of the Fiscal Year 2016 Budget Support Emergency Act of 2015 (D.C. Act 21-127, July 27, 2015, 62 DCR 10201). + +
diff --git a/us/dc/council/code/titles/99/47-4801(Perm).xml b/us/dc/council/code/titles/99/47-4801(Perm).xml new file mode 100644 index 0000000000..436febda43 --- /dev/null +++ b/us/dc/council/code/titles/99/47-4801(Perm).xml @@ -0,0 +1,58 @@ + +
+ 47-4801(Perm) + Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + For the purposes of this chapter, the term: + + (1) + "Administrative costs" means the costs of the Department to administer, manage, and monitor the Low-Income Housing Tax Credit Program, including personnel costs. + + + (1A) + "Commissioner" means the Commissioner of the Department of Insurance, Securities, and Banking. + + + (2) + "Department" means the Department of Housing and Community Development, or its successor agency. + + + (3) + "Developer" means a person or entity that proposes to cause the acquisition, rehabilitation, or construction of affordable housing using tax credits provided under the District of Columbia's Low-Income Housing Tax Credit Program. + + + (4) + "Director" means the Director of the Department. + + + (5) + "District of Columbia low-income housing tax credit" means the tax credit established by § 47-4802 pursuant to the Low-Income Housing Tax Credit Program. + + + (6) + "Federal low-income housing tax credit" means a tax credit claimed pursuant to section 42 of the Internal Revenue Code of 1986, approved October 22, 1986 (100 Stat. 2085; 26 U.S.C. § 42) ("1986 Internal Revenue Code"). + + + (7) + [Repealed]. + + + (8) + "Qualified project" means a rental housing development in the District that receives an allocation of federal low-income housing tax credits under 26 U.S.C. § 42(h)(1) or (4) after October 1, 2021, and with respect to which an extended low-income housing commitment pursuant to 26 U.S.C. § 42(h)(6)(B) between the owner of the rental housing development and the Department is executed on or after October 1, 2021. + + + (9) + "User fee" means a fee charged by the Department to a developer in connection with the District of Columbia's Low-Income Housing Tax Credit Program, including application, reservation, allocation, and monitoring fees. + + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + Dec. 3, 2020, D.C. Law 23-149, § 7202(b), 67 DCR 10493 + Nov. 12, 2021, D.C. Law 24-45, § 2212(a), 68 DCR 10163 + For temporary (90 days) amendment of this section, see § 2(b) of the ABLE Program Trust Establishment Emergency Act of 2015 (D.C. Act 21-161, Oct. 19, 2015, 62 DCR 13725). + For temporary (90 days) addition of this chapter, see § 7142 of the Fiscal Year 2015 Budget Support Second Congressional Review Emergency Act of 2014 (D.C. Act 20-566, January 9, 2015, 62 DCR 884, 21 STAT 541). + For temporary (90 days) addition of this chapter, see § 7142 of the Fiscal Year 2015 Budget Support Congressional Review Emergency Act of 2014 (D.C. Act 20-449, October 10, 2014, 61 DCR 10915, 20 STAT 4188). + For temporary (90 days) addition of this chapter, see § 7152 of the Fiscal Year 2015 Budget Support Emergency Act of 2014 (D.C. Act 20-377, July 14, 2014, 61 DCR 7598, 20 STAT 3696). + +
diff --git a/us/dc/council/code/titles/99/47-4802(Perm).xml b/us/dc/council/code/titles/99/47-4802(Perm).xml new file mode 100644 index 0000000000..f2a6036fbd --- /dev/null +++ b/us/dc/council/code/titles/99/47-4802(Perm).xml @@ -0,0 +1,32 @@ + +
+ 47-4802(Perm) + Credit established. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established a District of Columbia low-income housing tax credit. + + + (b) + [Repealed]. + + + (c) + [Repealed]. + + + (d) + Only qualified projects are eligible for a District of Columbia low-income housing tax credit. + + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + Oct. 22, 2015, D.C. Law 21-36, § 7047, 62 DCR 10905 + Oct. 8, 2016, D.C. Law 21-160, § 7132, 63 DCR 10775 + Dec. 3, 2020, D.C. Law 23-149, § 7202(c), 67 DCR 10493 + For temporary (90 days) amendment of this section, see § 7017 of the Fiscal Year 2016 Budget Support Emergency Act of 2015 (D.C. Act 21-127, July 27, 2015, 62 DCR 10201). + The 2015 amendment by D.C. Law 21-36 substituted “tax year 2016” for “tax year 2015” in (a)(2). + +
diff --git a/us/dc/council/code/titles/99/47-4803(Perm).xml b/us/dc/council/code/titles/99/47-4803(Perm).xml new file mode 100644 index 0000000000..2d6d27d371 --- /dev/null +++ b/us/dc/council/code/titles/99/47-4803(Perm).xml @@ -0,0 +1,89 @@ + +
+ 47-4803(Perm) + Eligibility. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + An owner of a qualified project may receive a District of Columbia low-income housing tax credit with respect to that qualified project in an amount up to 25% of the value of the federal low-income housing tax credit received with respect to the qualified project. + + + (b) + + (1) + If the owner of a qualified project transfers, sells, or assigns a District of Columbia low-income housing tax credit to another taxpayer, pursuant to § 47-4806, the District of Columbia low-income housing tax credit shall not be taken, pursuant to subsection (c) of this section, against taxes imposed under this title unless the owner has filed with the Department, in a form determined by the Department, an affidavit certifying that: + + (A) + The owner of the qualified project received, as consideration for transferring, selling, or assigning the District of Columbia low-income housing tax credit, an amount that exceeds the lesser of $0.70 per $1.00 in District of Columbia low-income housing tax credit or 80% of the per dollar sale price for a federal low-income housing tax credit associated with the qualified project that the owner has transferred, sold, or assigned; and + + + (B) + The value received by the owner of the qualified project was used to ensure financial feasibility of the qualified project. + + + + (2) + The Department shall deliver to the Chief Financial Officer and the Commissioner an annual report certifying the ongoing eligibility of an eligible project to receive federal low-income housing tax credits. + + + + (c) + + (1) + The District of Columbia low-income housing tax credit may be claimed against taxes imposed under Chapter 18 of this title or § 47-2608(a)(1). + + + (2) + The District of Columbia low-income housing tax credit may be claimed equally for 10 years, subtracted from the tax otherwise due for each taxable period and shall not be refundable; provided, that the credit may not be taken against any tax that is dedicated in whole or in part to the Healthy DC and Heath Care Expansion Fund established by § 31-3514.02. + + + (3) + If the District of Columbia low-income housing tax credit is claimed against taxes imposed under Chapter 18 of this title, any amount of the low-income housing tax credit that exceeds the tax due for a taxable year may be carried forward to any of the 10 remaining subsequent taxable years for taxes imposed under Chapter 18 of this title. If the District of Columbia low-income housing tax credit is claimed against taxes imposed under § 47-2608(a)(1), any amount of the credit that exceeds the tax due for a taxable year may be carried forward to any of the 10 remaining subsequent taxable years for taxes imposed under § 47-2608(a)(1). + + + + (d) + + (1) + All or any portion of District of Columbia tax credits issued in accordance with the provisions of this section may be transferred, sold, assigned, or allocated to parties who are eligible pursuant to [this chapter]. + + + (2) + An owner of a qualified project shall certify to the Chief Financial Officer the amount of credit allocated to the owner. The owner of the qualified project shall provide to the Chief Financial Officer appropriate information so that the low-income housing tax credit can be properly allocated. + + + + (e) + If the recapture of District of Columbia low-income housing tax credits is required pursuant to § 47-4804(a) or (b), any statement submitted to the Chief Financial Officer and the Commissioner as provided in this section shall include the: + + (1) + Proportion of the District of Columbia credit required to be recaptured; + + + (2) + Identity of each transferee, purchaser, assignee, or party to whom a credit is allocated; and + + + (3) + Amount of credit previously allocated to such transferee, purchaser, assignee, or party to whom a credit is allocated. + + + + (f) + + (1) + A District of Columbia low-income housing tax credit allowed under this section shall not be denied with respect to any qualified project merely by reason of a right of first refusal held by the tenants, in cooperative form or otherwise, or resident management corporation of such building or by a qualified nonprofit organization, as defined in section 42 of the 1986 Internal Revenue Code, as amended and in effect for the taxable year, or government agency to purchase the qualified District of Columbia project after the close of the compliance period for a price which is not less than the minimum purchase price determined under paragraph (2) of this subsection. + + + (2) + The minimum purchase price shall be an amount equal to the sum of the principal amount of outstanding indebtedness secured by the building, other than indebtedness incurred within the 5-year period ending on the date of the sale pursuant to paragraph (1) of this subsection, and all federal and District taxes attributable to the sale. + + + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + Dec. 3, 2020, D.C. Law 23-149, § 7202(d), 67 DCR 10493 + Nov. 13, 2021, D.C. Law 24-45, § 2212(b), 68 DCR 10163 + +
diff --git a/us/dc/council/code/titles/99/47-4804(Perm).xml b/us/dc/council/code/titles/99/47-4804(Perm).xml new file mode 100644 index 0000000000..4416813745 --- /dev/null +++ b/us/dc/council/code/titles/99/47-4804(Perm).xml @@ -0,0 +1,20 @@ + +
+ 47-4804(Perm) + Recapture. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The owner of a qualified project eligible for the District of Columbia low-income housing tax credit shall submit a copy of the eligibility statement issued by the Department with respect to the qualified project at the time of filing the return required to be filed by the owner pursuant to § 47-1805.02. In the case of failure to attach the eligibility statement, a credit under this section shall not be allowed with respect to such qualified project for that year until the copy is provided to the Chief Financial Officer and the Commissioner. + + + (b) + If under section 42 of the 1986 Internal Revenue Code, as amended and in effect for the taxable year, a portion of any federal low-income housing tax credits taken on a low-income qualified project is required to be recaptured, the District of Columbia low-income housing tax credit authorized by this chapter with respect to such qualified District of Columbia project shall also be recaptured by the Office of Chief Financial Officer or Commissioner of Insurance, Securities, and Banking. The District of Columbia recapture amount shall be equal to the amount of the District of Columbia low-income housing tax credits previously claimed times a fraction, the numerator of which shall be the amount of recaptured federal low-income housing tax credits and the denominator of which shall be the amount of federal low-income housing tax credits previously claimed. + + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + Dec. 3, 2020, D.C. Law 23-149, § 7202(e), 67 DCR 10493 + +
diff --git a/us/dc/council/code/titles/99/47-4806(Perm).xml b/us/dc/council/code/titles/99/47-4806(Perm).xml new file mode 100644 index 0000000000..bd7971446d --- /dev/null +++ b/us/dc/council/code/titles/99/47-4806(Perm).xml @@ -0,0 +1,43 @@ + +
+ 47-4806(Perm) + Transfer, sale, assignment, or allocation. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + + (1) + All or any portion of credits issued in accordance with the provisions of this section may be transferred, sold, or assigned to another taxpayer. There is no limit on the total number of transactions for the transfer, sale, or assignment of all or part of the total credit authorized under this section. Collectively, all transfers, sales, assignments, and allocations pursuant to paragraph (2) of this subsection are subject to the maximum credit allowable to a particular qualified project. + + + (2) + A tax credit earned or purchased by, or transferred or assigned to, a partnership, limited liability company, S corporation, or other pass-through entity may be allocated to the partners, members, or shareholders of that entity in accordance with the provisions of any agreement among the partners, members, or shareholders and without regarding to the ownership interest of the partners, members, or shareholders in the qualified project. A partner, member, or shareholder to whom a tax credit is allocated may further allocate all or part of the allocated credit as provided in this subsection or may transfer, sell, or assign the allocated credit as provided in paragraph (1) of this subsection. There is no limit on the total number of allocations of all or part of the total credit authorized under this section; however, collectively, all transfers, sales, assignments, and allocations, made pursuant to this subsection, are subject to the maximum credit allowable to a particular qualified project. + + + + (b) + An owner, transferee, purchaser, assignee, or taxpayer to whom a tax credit is allocated pursuant to subsection (a)(2) of this section, desiring to make a transfer, sale, assignment, or allocation pursuant to subsection (a)(2) of this section, shall submit to the Chief Financial Officer and the Commissioner a statement that describes the amount of District of Columbia low-income housing tax credit for which such transfer, sale, assignment, or allocation of District of Columbia low-income housing tax credit is eligible. The owner, transferor, seller, assignor, or taxpayer who is allocating, pursuant to subsection (a)(2) of this section, the tax credit, as applicable, shall provide to the Chief Financial Officer and the Commissioner appropriate information so that the low-income housing tax credit can be properly allocated. + + + (c) + If the recapture of District of Columbia low-income housing tax credits is required pursuant to § 47-4804, any statement submitted to the Chief Financial Officer as required in subsection (b) of this section shall include the: + + (1) + Proportion of the District of Columbia low-income housing tax credit required to be recaptured; + + + (2) + Identity of each transferee subject to recapture; and + + + (3) + Amount of credit previously transferred, sold, assigned, or allocated to such transferee, purchaser, assignee, or taxpayer to whom a credit is allocated. + + + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + Dec. 3, 2020, D.C. Law 23-149, § 7202(g), 67 DCR 10493 + +
diff --git a/us/dc/council/code/titles/99/47-4808(Perm).xml b/us/dc/council/code/titles/99/47-4808(Perm).xml new file mode 100644 index 0000000000..0f519c591c --- /dev/null +++ b/us/dc/council/code/titles/99/47-4808(Perm).xml @@ -0,0 +1,12 @@ + +
+ 47-4808(Perm) + Expiration of credits. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + Except for unused credits carried forward pursuant to § 47-4803(c) and for credits claimed under regulations promulgated by the Department consistent with the special rule set forth in section 42(f)(2) of the 1986 Internal Revenue Code , as amended and in effect for the taxable year, a qualified District of Columbia project shall not be eligible for any District of Columbia low-income housing tax credits for more than 11 taxable years. + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + +
diff --git a/us/dc/council/code/titles/99/47-4810(Perm).xml b/us/dc/council/code/titles/99/47-4810(Perm).xml new file mode 100644 index 0000000000..6189d521cd --- /dev/null +++ b/us/dc/council/code/titles/99/47-4810(Perm).xml @@ -0,0 +1,13 @@ + +
+ 47-4810(Perm) + Fees. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + The Department may charge a user fee equal to up to 1% of the District of Columbia low-income housing tax credits awarded to a qualified project to pay for the administrative costs associated with the establishment of a District of Columbia low-income housing tax credit. The user fee shall be deposited into the Low-Income Housing Tax Credit Fund, as established in § 42-2853.02. + + Feb. 26, 2015, D.C. Law 20-155, § 7142(b), 61 DCR 9990 + For temporary (90 days) addition of § 47-4811.01, concerning the ABLE Program Trust [see now § 47-4902], see § 2(c) of the ABLE Program Trust Establishment Emergency Act of 2015 (D.C. Act 21-161, Oct. 19, 2015, 62 DCR 13725). + +
diff --git a/us/dc/council/code/titles/99/6-201(Perm).xml b/us/dc/council/code/titles/99/6-201(Perm).xml index dce5c8a083..0a30f38f34 100644 --- a/us/dc/council/code/titles/99/6-201(Perm).xml +++ b/us/dc/council/code/titles/99/6-201(Perm).xml @@ -2,6 +2,9 @@
6-201(Perm) Definitions. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + For the purposes of this chapter, the term: (1) diff --git a/us/dc/council/code/titles/99/6-202(Perm).xml b/us/dc/council/code/titles/99/6-202(Perm).xml new file mode 100644 index 0000000000..b179af716e --- /dev/null +++ b/us/dc/council/code/titles/99/6-202(Perm).xml @@ -0,0 +1,166 @@ + +
+ 6-202(Perm) + Establishment of District of Columbia Housing Authority; purposes of Authority; Fund. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established, as an independent authority of the District government, the District of Columbia Housing Authority. The Authority shall be a corporate body, intended, created, and empowered to effectuate the purposes stated in this chapter, and shall have a legal existence separate from the District government. The Authority shall be the successor in interest to the housing authority created by subchapter II of Chapter 2 of Title 6 [repealed]. All real and personal property, assets, records, and obligations, and all unexpended balances of appropriations, allocations, and other funds available or to be made available relating to the powers, duties, functions, operations, and administration of the DPAH and of the authority created under subchapter II of Chapter 2 of Title 6 shall become the property of the Authority on May 9, 2000, without further action. + + + (b) + The Authority shall govern public housing and implement the Housing Act of 1937 in the District, and shall be responsible for providing decent, safe, and sanitary dwellings, and related facilities, for persons and families of low-and moderate-income in the District. + + + (b-1) + + (1) + + (A) + Beginning on December 1, 2022, and monthly thereafter, the Authority shall submit a report to the Mayor, Attorney General, and each Councilmember that details: + + (i) + The amount of operating reserves, expressed in dollars and in months of expenses, for the public housing program, Housing Choice Voucher Program, and the Authority's operations overall; + + + (ii) + The number of vacant public housing units classified by repair status, such as move-in ready, repairs in progress, and offline due to major repair needs; + + + (iii) + The average length of time that public housing units have been vacant in the prior year, by repair status; and + + + (iv) + A detailed accounting of expenses paid for with District funds in the prior month and the expenses budgeted for payment with District funds in the remainder of the fiscal year. + + + + (B) + In lieu of a monthly report, the Authority may provide the Mayor, Attorney General, and each Councilmember with access to an online database through which the above reports can be generated. + + + + (2) + If HUD designates the Authority as a Standard Performer or High Performer in HUD's Public Housing Assessment System or if the Authority demonstrates that the lack of such a designation is solely due to the presence of HUD's Moving to Work agreement with the Authority, the requirements of paragraph (1) of this subsection shall be waived for 12 months from the date such designation was received from HUD or documented by the Authority. + + + + (c) + There is established the District of Columbia Housing Authority Fund ("Authority Fund"), which shall be a proprietary fund in the nature of an enterprise fund as classified under § 47-373 and administered by the Authority in accordance with generally accepted accounting principles. All revenues, rents, proceeds, and monies, from whatever source derived, that are collected or received by the Authority shall be credited to the Authority Fund and shall not at any time be transferred to, lapse into, or be commingled with the General Fund of the District or any other fund or account of the District; provided, that funds may be paid out of the Authority Fund to the District Treasurer to pay for goods, services, or property, or other things of value, if any, purchased by the Authority from the District. + + + (c-1) + + (1) + There is established as a special fund the DCHA Rehabilitation and Maintenance Fund ("R&M Fund"), which shall be administered by the Office of the Chief Financial Officer ("OCFO"). Once the Authority has provided documentation of planned encumbrances and expenditures consistent with the authorized uses of the R&M Fund, the OCFO shall advance funds to the Authority for use in accordance with paragraphs (3) and (4) of this subsection. + + + (2) + Revenue from the following sources shall be deposited in the R&M Fund: + + (A) + $15 million of one-time resource allocated in Fiscal Year 2016 from existing resources within the Authority; + + + (B) + Annual appropriations; + + + (C) + Any remaining local funds available to the Authority for the Local Rent Supplement Program at the conclusion of each fiscal year; and + + + (D) + Pursuant to § 42-2857.01(e)(1C)(D), revenue from the sale of property disposed of by the Department of Housing and Community Development. + + + + (3) + Money in the R&M Fund shall be used for maintenance, repair, and rehabilitation projects that will increase the availability of public housing units for existing District of Columbia residents listed on the Authority's waitlist or prevent existing residents from being displaced; provided, that in Fiscal Year 2020, the Authority shall expend no less than $1 million on the repair and maintenance of public housing properties located within the boundaries of Ward 1. + + + (4) + Money in the R&M Fund shall not be used to fund: + + (A) + Any major rehabilitation or maintenance on any occupied unit set to be demolished or otherwise removed from the Authority inventory within 9 months, other than to protect the health or safety of tenants; + + + (B) + Any repair, maintenance, or rehabilitation of any vacant unit planned to be demolished or otherwise removed from the Authority inventory within 9 months; and + + + (C) + Any administrative or overhead costs not directly and specifically attributable to maintenance, repair, and rehabilitation projects. + + + + (5) + + (A) + The money deposited into the R&M Fund, and interest earned, shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time. + + + (B) + Subject to authorization in an approved budget and financial plan, any funds appropriated in the R&M Fund shall be continually available without regard to fiscal year limitation. + + + + (6) + By March 1 of each year, the Authority shall submit a report to the Mayor and to each Councilmember that details: + + (A) + The number of vacant public housing units within the District, and, for each unit, the address and unit number, the needed repairs for the unit, and a budget for renovating the unit; + + + (A-i) + The number and location of units that were made available to new tenants during the prior year as a result of R&M Fund investments, including the number that were made available to existing District residents; and + + + (B) + The Authority's planned use of money in the R&M Fund for the succeeding fiscal year, identifying the following: + + (i) + The address of each public housing unit to be repaired, rehabilitated, or renovated; + + + (ii) + The nature of the repair, rehabilitation, or renovation to be undertaken; + + + (iii) + The number of residents, if any, in each unit to be repaired, rehabilitated, or renovated, including adults and children; + + + (iv) + The estimated cost of the repair, rehabilitation, or renovation to be performed; and + + + (v) + The share of the estimated cost, if any, to be financed by the federal government. + + + + + + (d) + Notwithstanding subsection (c) of this section, or any other provision of this chapter, any funds provided to the Authority from the local revenues of the District shall be held separate and apart from the Authority Fund and shall be held and expended for the use and benefit of the District for the purposes and uses provided in the approved budget and financial plan. The Authority shall expend, and account for the expenditure of, funds in the same manner as all other agencies of the District government. At the end of each fiscal year, except as provided in subsection (c-1)(2)(C) of this section, the unexpended amount of such funds shall revert to the fund balance of the General Fund of the District of Columbia. + + + May 9, 2000, D.C. Law 13-105, § 3, 47 DCR 1325 + Oct. 20, 2005, D.C. Law 16-33, § 2022, 52 DCR 7503 + Oct. 8, 2016, D.C. Law 21-160, § 5132, 63 DCR 10775 + Dec. 13, 2017, D.C. Law 22-33, § 2102, 64 DCR 7652 + Oct. 30, 2018, D.C. Law 22-168, § 2242, 65 DCR 9388 + Sept. 11, 2019, D.C. Law 23-16, § 2232, 66 DCR 8621 + Sept. 6, 2023, D.C. Law 25-50, § 2132(a), 70 DCR 10366 + Short title of subtitle C of title II of Law 16-33: Section 2021 of D.C. Law 16-33 provided that subtitle C of title II of the act may be cited as the District Support for Public Housing Amendment Act of 2005. + For temporary (90 day) amendment of section, see § 2022 of Fiscal Year 2006 Budget Support Emergency Act of 2005 (D.C. Act 16-168, July 26, 2005, 52 DCR 7667). + For temporary (90-day) addition of section, see notes following § 6-201. + D.C. Law 16-33 added subsec. (d). + This section is referenced in § 6-201. + +
diff --git a/us/dc/council/code/titles/99/6-226.01(Perm).xml b/us/dc/council/code/titles/99/6-226.01(Perm).xml new file mode 100644 index 0000000000..1004284ac7 --- /dev/null +++ b/us/dc/council/code/titles/99/6-226.01(Perm).xml @@ -0,0 +1,164 @@ + +
+ 6-226.01(Perm) + Rent Supplement Program Funds. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + Housing Authority Rent Supplement Program Fund. + + (1) + There is established as a special fund the Housing Authority Rent Supplement Program Fund, which shall be administered by the Authority in accordance with paragraph (3) of this subsection. + + + (2) + There shall be deposited into the Housing Authority Rent Supplement Program Fund: + + (A) + Money appropriated for sponsor-based voucher assistance; + + + (B) + Money appropriated for capital-based assistance; + + + (C) + Money appropriated to the Authority for tenant-based voucher assistance; + + + (D) + Money appropriated to the Authority for the ongoing provision of project-based voucher assistance previously awarded by the Department of Housing and Community Development; + + + (E) + Money for project-based voucher assistance transferred to the Housing Authority Rent Supplement Program Fund pursuant to § 6-227(b-1)(3); + + + (F) + Money for tenant-based voucher assistance transferred to the Housing Authority Rent Supplement Program Fund pursuant to subsection (c)(4) of this section; and + + + (G) + Money remaining in the Rent Supplement Fund, established by § 6-226(d)(1) [repealed], at the end of Fiscal Year 2021. + + + + (3) + Money in the Housing Authority Rent Supplement Program Fund shall be used solely to: + + (A) + Provide sponsor-based voucher assistance and capital-based assistance; + + + (B) + Provide project-based voucher assistance to projects awarded such assistance by the Authority before October 1, 2021; + + + (C) + Provide project-based voucher assistance to projects awarded such assistance by the Department of Housing and Community Development after September 30, 2021, including assistance from funds transferred to the Housing Authority Rent Supplement Program Fund from the Rent Supplement Program Project-Based Allocation Fund established by subsection (b) of this section; + + + (D) + Provide tenant-based voucher assistance, including assistance from funds transferred from the Rent Supplement Program Tenant-Based Allocation Fund established by subsection (c) of this section; and + + + (E) + Provide new tenant-based voucher assistance to families on the Housing Choice Voucher Program wait list. + + + + (4) + + (A) + The money deposited into the Housing Authority Rent Supplement Program Fund but not expended in a fiscal year shall not revert to the unassigned fund balance of the General Fund of the District of Columbia at the end of any fiscal year or at any other time. + + + (B) + Subject to authorization in an approved budget and financial plan, any funds in the Housing Authority Rent Supplement Program Fund shall be continually available without regard to fiscal year limitation. + + + + + (b) + Rent Supplement Program Project-Based Allocation Fund. + + (1) + There is established as a special fund the Rent Supplement Program Project-Based Allocation Fund, which shall be administered by the Department of Housing and Community Development in accordance with paragraph (3) of this subsection. + + + (2) + Amounts appropriated for new project-based voucher assistance shall be deposited into the Rent Supplement Program Project-Based Allocation Fund. + + + (3) + + (A) + Money in the Rent Supplement Program Project-Based Allocation Fund shall be used to fund awards to applicants selected for project-based voucher assistance as defined in § 6-201(39A) and shall be transferred to the Housing Authority Rent Supplement Program Fund as described in § 6-227(b-1)(3). + + + (B) + Money in the Rent Supplement Program Project-Based Allocation Fund may be used to increase the amount of project-based voucher assistance previously awarded to an applicant to account for a documented need to increase the proposed rent charged on a rental unit. + + + + (4) + + (A) + The money deposited into the Rent Supplement Program Project-Based Allocation Fund shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time. + + + (B) + Subject to authorization in an approved budget and financial plan, any funds appropriated in the Rent Supplement Program Project-Based Allocation Fund shall be continually available without regard to fiscal year limitation. + + + + + (c) + Rent Supplement Program Tenant-Based Allocation Fund. + + (1) + There is established as a special fund the Rent Supplement Program Tenant-Based Allocation Fund, which shall be administered by the Department of Human Services in accordance with paragraph (3) of this subsection. + + + (2) + The following funds shall be deposited into the Rent Supplement Program Tenant-Based Allocation Fund: + + (A) + Amounts appropriated to the Department of Human Services for new tenant-based voucher assistance; and + + + (B) + Any unspent local dollars appropriated for supportive services, as that term is defined in § 4-751.01(39), for the Targeted Affordable Housing Program or a permanent housing program, as that term is defined in § 4-751.01(27C), in the operating budget of the Department of Human Services at the end of each fiscal year. + + + + (3) + Money in the Rent Supplement Program Tenant-Based Allocation Fund shall be used in a fiscal year to fund awards to applicants selected for tenant-based voucher assistance, to the extent that the dollar amount of all new or previously awarded tenant-based voucher assistance awarded to applicants in that fiscal year or a prior fiscal year, for which the Authority continues to be obligated to make payments, exceeds the amount of money deposited into the Housing Authority Rent Supplement Program Fund during the then-current fiscal year for the ongoing provision of tenant-based voucher assistance pursuant to subsection (a)(2)(C) of this section. + + + (4) + Money in the Rent Supplement Program Tenant-Based Allocation Fund shall, at the direction of the Director of the Department of Human Services, be transferred to the Housing Authority Rent Supplement Program Fund when such funding is necessary to fund the award of new tenant-based vouchers because the dollar amount of tenant-based vouchers for which the Authority would be obligated to make payments would otherwise exceed the amount of money deposited into the Housing Authority Rent Supplement Program Fund during the applicable fiscal year for the ongoing provision of tenant-based voucher assistance pursuant to subsection (a)(2)(C) of this section. + + + (5) + + (A) + The money deposited into the Rent Supplement Program Tenant-Based Allocation Fund shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time. + + + (B) + Subject to authorization in an approved budget and financial plan, any funds appropriated in the Rent Supplement Program Tenant-Based Allocation Fund shall be continually available without regard to fiscal year limitation. + + + + (6) + For the purposes of this subsection, the phrase "new tenant-based voucher assistance" means, with respect to the amount of money to be deposited into the Rent Supplement Program Tenant-Based Allocation Fund, the amount of money appropriated to the Department of Human Services in a fiscal year for the provision of tenant-based voucher assistance. + + + + May 9, 2000, D.C. Law 13-105, § 26a-1 + as added Nov. 13, 2021, D.C. Law 24-45, § 2042(c), 68 DCR 10163 + +
diff --git a/us/dc/council/code/titles/99/6-229(Perm).xml b/us/dc/council/code/titles/99/6-229(Perm).xml new file mode 100644 index 0000000000..5aedc8f071 --- /dev/null +++ b/us/dc/council/code/titles/99/6-229(Perm).xml @@ -0,0 +1,16 @@ + +
+ 6-229(Perm) + Capital-based assistance. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + Funds remaining in the Rent Supplement Fund at the end of any fiscal year that are not needed by the Authority to satisfy its current contractual obligations for project-based, sponsor-based, or tenant-based assistance, including any rent increase adjustments, shall be allocated for a reserve equal to $5.88 million plus 2 months of program payment obligations for its then current contractual obligations, with all remaining funds to be allocated as capital gap financing for the construction or rehabilitation of housing units for which project-based or sponsor-based assistance was previously awarded as an operating subsidy. The funding shall be distributed in the form of construction or capital improvement grants. All units constructed or improved with funds allocated pursuant to this section shall comply with all applicable requirements promulgated by the Authority pursuant to §§ 6-226, 6-227, and 6-228. + + May 9, 2000, D.C. Law 13-105, § 26d + as added Mar. 3, 2010, D.C. Law 18-111, § 2241(b), 57 DCR 181 + For temporary (90 day) addition, see § 2241(b) of Fiscal Year Budget Support Congressional Review Emergency Amendment Act of 2009 (D.C. Act 18-260, January 4, 2010, 57 DCR 345). + For temporary (90 day) addition, see § 2241(b) of Fiscal Year 2010 Budget Support Second Emergency Act of 2009 (D.C. Act 18-207, October 15, 2009, 56 DCR 8234). + This section is referenced in § 6-226. + +
diff --git a/us/dc/council/code/titles/99/6-229.01(Perm).xml b/us/dc/council/code/titles/99/6-229.01(Perm).xml new file mode 100644 index 0000000000..675b7d856d --- /dev/null +++ b/us/dc/council/code/titles/99/6-229.01(Perm).xml @@ -0,0 +1,148 @@ + +
+ 6-229.01(Perm) + Housing Authority Rent Supplement Program quarterly reporting. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Authority shall submit to the Mayor and the Council, within 30 days after the end of each fiscal quarter, a Rent Supplement Program report. + + + (b) + Each report shall include the following information with respect to the Housing Authority Rent Supplement Program Fund: + + (1) + The total amount of money in the fund at the beginning and end of the reporting period; + + + (2) + The amount of money in the fund allocated to project-based voucher assistance at the beginning of the reporting period, the amount of money expended from the fund on project-based voucher assistance during the reporting period, and the amount of money in the fund allocated to project-based voucher assistance at the end of the reporting period; + + + (3) + The amount of money in the fund allocated to sponsor-based voucher assistance at the beginning of the reporting period, the amount of money expended from the fund on sponsor-based voucher assistance during the reporting period, and the amount of money in the fund allocated to sponsor-based voucher assistance at the end of the reporting period; + + + (4) + The amount of money in the fund allocated to tenant-based voucher assistance at the beginning of the reporting period, the amount of money expended from the fund on tenant-based voucher assistance during the reporting period, and the amount of money in the fund allocated to tenant-based voucher assistance at the end of the reporting period; + + + (5) + The amount of money in the fund allocated to capital assistance at the beginning of the reporting period, the amount of money expended from the fund on capital assistance during the reporting period, and the amount of money in the fund allocated to capital assistance at the end of the reporting period; and + + + (6) + The amount of money expended from the fund during the reporting period on administrative costs, which shall include a breakdown by category of expense. + + + + (c) + Each report shall include the following information with respect to project-based voucher assistance: + + (1) + For each project that has a contract with the Authority for project-based voucher assistance, the name of, address of, number of total housing units in, number of units subsidized by project-based voucher assistance ("project-based units") in, and contract end date of the project; + + + (2) + For each project listed pursuant to paragraph (1) of this subsection: + + (A) + The dollar amount of project-based voucher assistance received during the reporting quarter; + + + (B) + The occupancy status of each project-based unit; + + + (C) + The contract rent for each project-based unit, including both the tenant-paid portion of the rent and project-based subsidy amount associated with the unit; and + + + (D) + The income level at the most recent income certification of the household occupying the unit. + + + + (3) + The name of, address of, number of project-based units in, and project-based voucher assistance contract end date of, each project that has a contract with the Authority for project-based voucher assistance that is scheduled to expire within 24 months after the last day of the reporting period; + + + (4) + The name of, address of, number of project-based units in, and contract end date of each project whose contract with the Authority for project-based voucher assistance expired during the reporting period; + + + (5) + The name of, address of, and number of project-based units to be located in each project that has been awarded project-based voucher assistance but for which a contract with the Authority for such assistance has not been entered into, along with the date by which the Authority expects to enter into such a contract. + + + + (d) + Each report shall include the following information with respect to sponsor-based voucher assistance: + + (1) + The name and address of each nonprofit organization or landlord ("sponsor") with sponsor-based vouchers, along with the number of vouchers issued to the sponsor; + + + (2) + For each sponsor listed pursuant to paragraph (1) of this subsection, the following information with respect to each sponsor-based unit of the sponsor: + + (A) + The address of the sponsor-based unit; + + + (B) + The occupancy level of each sponsor-based unit, defined as the number of days in the reporting quarter the unit was leased to a household eligible for Rent Supplement Program assistance; + + + (C) + The contract rent of the unit, including the tenant-paid portion of the rent and the sponsor-based subsidy amount allocated to the unit; and + + + (D) + The income level at last income certification of the household occupying the sponsor-based unit. + + + + + (e) + Each report shall include the following information with respect to tenant-based voucher assistance: + + (1) + The number of households, categorized separately as individual households and family households, receiving tenant-based voucher assistance on the first day and last day of the reporting quarter, listed separately by the program in which the household is participating, including the Permanent Supportive Housing and Targeted Affordable Housing program; + + + (2) + The total dollar amount of rental payments made for tenant-based voucher recipients during the reporting quarter and fiscal year to date, listed separately by the program in which the household is participating, including the Permanent Supportive Housing and Targeted Affordable Housing program; + + + (3) + The average monthly rent of housing units leased by households receiving tenant-based voucher assistance, listed separately by the program in which the household is participating, including the Permanent Supportive Housing and Targeted Affordable Housing program; + + + (4) + The number of households receiving tenant-based vouchers at the beginning of the fiscal year that were no longer receiving tenant-based vouchers on the last day of the reporting quarter, listed separately by the program in which the household is participating, including the Permanent Supportive Housing and Targeted Affordable Housing program; and + + + (5) + Tenant-based voucher assistance funding spent on security deposits, administrative services, and any other non-rental expenses, by expenditure type, during the reporting quarter and fiscal year to date. + + + + (f) + Each report shall include the following information with respect to capital-based assistance: + + (1) + The name of, address of, and number of project-based and sponsor-based units in each project that received capital-based assistance during the reporting quarter; and + + + (2) + The dollar amount of capital assistance provided to each project listed pursuant to paragraph (1) of this subsection. + + + + May 9, 2000, D.C. Law 13-105, § 26d-1 + as added Nov. 13, 2021, D.C. Law 24-45, § 2042(f), 68 DCR 10163 + +
diff --git a/us/dc/council/code/titles/99/6-229.02(Perm).xml b/us/dc/council/code/titles/99/6-229.02(Perm).xml new file mode 100644 index 0000000000..6f88a14936 --- /dev/null +++ b/us/dc/council/code/titles/99/6-229.02(Perm).xml @@ -0,0 +1,40 @@ + +
+ 6-229.02(Perm) + Rent Supplement Program Project-Based Allocation Fund quarterly reporting. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Department of Housing and Community Development shall submit to the Council, within 30 days after the end of each fiscal quarter, a Project-Based Rent Supplement Program report. + + + (b) + Each report shall include the following information with respect to the Rent Supplement Program Project-Based Allocation Fund: + + (1) + The total amount of money in the fund at the beginning and end of the reporting period; + + + (2) + The amount of money in the fund transferred to the Authority for project-based voucher assistance during the reporting period, listed separately by the project for which the funds were awarded; + + + (3) + The amount of money in the fund awarded to projects that do not yet have a certificate of occupancy, listed separately by project; + + + (4) + For each project that has been awarded project-based voucher assistance, the developer, address, planned number of total housing units, planned number of units subsidized by project-based voucher assistance, planned period of project-based voucher assistance, date of award, expected completion date, and whether the project is new construction or existing housing rehabilitation or preservation; and + + + (5) + The amount of money expended from the fund during the reporting period on administrative costs, which shall contain a breakdown by category of expense. + + + + May 9, 2000, D.C. Law 13-105, § 26d-2 + as added Nov. 13, 2021, D.C. Law 24-45, § 2042(f), 68 DCR 10163 + +
diff --git a/us/dc/council/code/titles/99/6-229.03(Perm).xml b/us/dc/council/code/titles/99/6-229.03(Perm).xml new file mode 100644 index 0000000000..5672a7c93d --- /dev/null +++ b/us/dc/council/code/titles/99/6-229.03(Perm).xml @@ -0,0 +1,48 @@ + +
+ 6-229.03(Perm) + Rent Supplement Program Tenant-Based Allocation Fund quarterly reporting. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + The Department of Human Services shall submit to the Council, within 30 days after the end of each fiscal quarter, a Rent Supplement Program Tenant-Based Allocation Fund report. + + + (b) + Each report shall include the following information with respect to the Rent Supplement Program Tenant-Based Allocation Fund: + + (1) + The total amount of money in the fund at the beginning and end of the reporting period; + + + (2) + The amount of money in the fund transferred to the Authority for each tenant-based voucher assistance program during the reporting period, listed separately by the program + + (A) + In which the household is currently participating, including the Permanent Supportive Housing, Targeted Affordable Housing program, and the Rapid Rehousing program if applicable, and categorized by individual households and family households; and + + + (B) + To which the household is being referred, including the Permanent Supportive Housing and Targeted Affordable Housing program; + + + + (3) + The amount of money remaining in the fund at the end of the reporting period, listed separately by the program in which the household is participating, including the Permanent Supportive Housing, Targeted Affordable Housing program, and the Rapid Rehousing program, and categorized by individual households and family households; + + + (4) + The number of households, categorized separately as individual households and family households, matched with a tenant-based voucher assistance program during the reporting quarter, listed separately by the program in which the household is participating, including the Permanent Supportive Housing and Targeted Affordable Housing program; and + + + (5) + The amount of money expended from the fund during the reporting period on administrative costs, which shall contain a breakdown by category of expense. + + + + May 9, 2000, D.C. Law 13-105, § 26d-3 + as added Nov. 13, 2021, D.C. Law 24-45, § 2042(f), 68 DCR 10163 + +
diff --git a/us/dc/council/code/titles/99/6-231(Perm).xml b/us/dc/council/code/titles/99/6-231(Perm).xml new file mode 100644 index 0000000000..86a3d8e35e --- /dev/null +++ b/us/dc/council/code/titles/99/6-231(Perm).xml @@ -0,0 +1,39 @@ + +
+ 6-231(Perm) + Tenant-Based Rental Assistance Fund. + + *NOTE: This codification is not the most current, due to recent law changes. To see the current law (including emergency and temporary legislation, if relevent) click this link: Current Version* + + + (a) + There is established as a special fund the Tenant-Based Rental Assistance Fund ("Fund"), which shall be administered by the Authority in accordance with subsection (c) of this section. + + + (b) + Revenue from the rental unit fee, reserved pursuant to § 42-3504.01(a)(2)(C), shall be deposited into the Fund. + + + (c) + Money in the Fund shall be used to fund the Rental Assistance for Unsubsidized Seniors Program established by § 6-230. + + + (d) + + (1) + Money deposited into the Fund shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time. + + + (2) + Subject to authorization in an approved budget and financial plan, any funds appropriated in the Fund shall be continually available without regard to fiscal year limitation. + + + + (e) + The Authority, pursuant to subchapter I of Chapter 5 of Title 2, may issue rules to implement the provisions of this section. + + + May 9, 2000, D.C. Law 13-105, § 26f + as added Oct. 30, 2018, D.C. Law 22-168, § 2192 65 DCR 9388 + +
diff --git a/us/dc/council/code/titles/99/index.xml b/us/dc/council/code/titles/99/index.xml index 36d139692f..abdf1dfe49 100644 --- a/us/dc/council/code/titles/99/index.xml +++ b/us/dc/council/code/titles/99/index.xml @@ -3,6 +3,56 @@ Title 99 Reserved sections. + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + + @@ -29,8 +79,6 @@ - - diff --git a/us/dc/council/periods/24/laws/24-318.xml b/us/dc/council/periods/24/laws/24-318.xml index aa43c29180..c83a0fd2ca 100644 --- a/us/dc/council/periods/24/laws/24-318.xml +++ b/us/dc/council/periods/24/laws/24-318.xml @@ -269,11 +269,11 @@
3 The lead-in language of section 1042 of the Office on Aging Reporting Requirements Act of 2015, effective October 22, 2015 (D.C. Law 21-36; D.C. Official Code § 7-521), is amended by striking the phrase "The Mayor shall submit biannual reports to the Council, no later than 30 days after the end of the 2nd and 4th quarters of each fiscal year," and inserting the phrase "The Mayor shall submit annual reports to the Council, no later than 30 days after the end of each fiscal year," in its place. - +
4 diff --git a/us/dc/council/periods/25/index.xml b/us/dc/council/periods/25/index.xml index fba481bde6..4b4215c718 100644 --- a/us/dc/council/periods/25/index.xml +++ b/us/dc/council/periods/25/index.xml @@ -34,6 +34,8 @@ Laws + + diff --git a/us/dc/council/periods/25/laws/25-142.xml b/us/dc/council/periods/25/laws/25-142.xml index b0a8d90dda..67750b7714 100644 --- a/us/dc/council/periods/25/laws/25-142.xml +++ b/us/dc/council/periods/25/laws/25-142.xml @@ -108,7 +108,7 @@ - +
. @@ -136,7 +136,7 @@ The date of publication of the notice of the certification shall not affect the applicability of this act.
- +
4 diff --git a/us/dc/council/periods/25/laws/25-175.xml b/us/dc/council/periods/25/laws/25-175.xml index dc28e51b65..c274300b40 100644 --- a/us/dc/council/periods/25/laws/25-175.xml +++ b/us/dc/council/periods/25/laws/25-175.xml @@ -183,7 +183,8 @@ - (b) + [(b-1)] + A new section 3024 is added to read as follows:
@@ -5445,11 +5446,13 @@ (1) Sections 2, 5, 9, 14, 16, 28(b) and (c), 30(f), (g), (h), and (k), 32, 33, amendatory section 7 in section 37, 40, 41, and 44 shall apply upon the date of inclusion of their fiscal effect in an approved budget and financial plan. - + + - + + @@ -5468,8 +5471,10 @@ Not Funded - - + From 53528cdbdd405af7d156d91f3c62763df7b84698 Mon Sep 17 00:00:00 2001 From: Alexis Byrd Date: Thu, 3 Oct 2024 09:12:39 -0400 Subject: [PATCH 2/5] 10-3-24 commits --- us/dc/council/periods/18/laws/18-111.xml | 13 ++++++++++--- us/dc/council/periods/18/laws/18-370.xml | 2 +- us/dc/council/periods/22/laws/22-33.xml | 2 +- us/dc/council/periods/25/index.xml | 2 -- 4 files changed, 12 insertions(+), 7 deletions(-) diff --git a/us/dc/council/periods/18/laws/18-111.xml b/us/dc/council/periods/18/laws/18-111.xml index b64065bab9..2752206233 100644 --- a/us/dc/council/periods/18/laws/18-111.xml +++ b/us/dc/council/periods/18/laws/18-111.xml @@ -94,8 +94,15 @@ 2175
-
- + + + Chapter + 20 + Use of District Buildings. + + +
+ 3021 Relocation of headquarters for Fire and Emergency Medical Services Department and Department of Corrections. @@ -151,7 +158,7 @@ location of a headquarters for both agencies;
- + 4091 Bertie Backus Middle School building and site. The University of the District of Columbia shall have exclusive use of the diff --git a/us/dc/council/periods/18/laws/18-370.xml b/us/dc/council/periods/18/laws/18-370.xml index 54c99c2b10..6451041b8e 100644 --- a/us/dc/council/periods/18/laws/18-370.xml +++ b/us/dc/council/periods/18/laws/18-370.xml @@ -15,7 +15,7 @@ E�ROLLED ORIGI�AL 1 AN ACT IN THE COUNCIL OF THE DISTRICT OF COLUMBIA To amend the District of Columbia Government Comprehensive Merit Personnel Act of 1978 to modify the percentage of the subscription charge that the District government contributes to employee health benefit plans; to exempt the University of the District of Columbia from section 1023, 1024, and 1143 of the Fiscal Year 2011 Budget Support Act of 2010; to amend Chapter 3 of Title 47 of the District of Columbia Official Code to require the Chief Financial Officer to submit a quarterly summary on all reprogramming, intra- District transfers, and certain other budget modifications to the Council and the Mayor, to update budgeting terms, and to reform reprogramming requirements and procedures; to amend An Act To grant additional powers to the Commissioners of the District of Columbia, and for other purposes to make a conforming amendment; to repeal the Financial Stability Measures Emergency Act of 2010 and the Financial Stability Measures Clarification Emergency Amendment Act of 2010; to amend the Neighborhood Investment Act of 2004 to establish a spending plan for fiscal year 2011; to amend the Uniform Per Student Funding Formula for Public Schools and Public Charter Schools and Tax Conformity Clarification Amendment Act of 1998 to modify the per student foundation level for fiscal year 2010 and to provide for a supplemental allocation for extended school days; to amend the District of Columbia School Reform Act of 1995 to authorize supplemental school funding through certain grants and special payments; and to amend the State Education Office Establishment Act of 2000 to authorize the Office of the State Superintendent for Education to issue grants in support of special education services; to amend the Healthy Schools Act of 2010; to grant the University of the District of Columbia exclusive use of P.R. Harris; to authorize the District of Columbia Public Library to issue grants and execute contracts pursuant to its authority granted in the Reserve for African-American Civil War Records Act of 2009; to amend the Grandparent Caregivers Pilot Program Establishment Act of 2005 to provide greater flexibility in the establishment of the rate of the grandparent caregivers subsidy; to amend the Hospital Assessment Act of 2010 to modify the amount of the assessment imposed on hospitals for each hospital bed; to amend the District of Columbia Public Assistance Act of 1982 and title 29 of the District of Columbia Municipal Regulations to reduce the maximum benefit for an individual receiving Temporary Assistance to Needy Families benefits; to amend the District of Columbia Health Professional Recruitment Program Act of 2005 by repealing references to federal tax implications, modifying the default and breach of contract terms, and modifying the suspension, waiver, and terminations procedures; to modify the amount of funding dedicated to the streetscape survival program and to provide no interest loans to businesses affected by streetscape E�ROLLED ORIGI�AL 2 construction; to amend the Clean and Affordable Energy Amendment Act of 2008 to modify the funding amounts allocated from the Sustainable Energy Trust Fund and the Energy Assistance Trust Fund; to repeal section 9(c) of the Department of Transportation Establishment Act of 2002 and to make other amendments; to amend Chapter 1 of Title 47 of the District of Columbia Official Code to authorize the collection and payment of debts through the United States Treasury Offset Program; to amend the Kenilworth Avenue Northeast Redevelopment Project Real Property Limited Tax Abatement Assistance Act of 2010 to repeal the subject-to-appropriations provision; to amend the 2323 Pennsylvania Avenue Southeast Redevelopment Project Real Property Tax Abatement Assistance Act of 2010 to repeal the subject-to-appropriations provision; to amend Chapter 46 of Title 47 of the District of Columbia Official Code to provide an abatement of real property taxes for 4427 Hayes Street, N.E located in Ward 7; to amend the Renovation Penalty Abatement Act of 2010 to repeal the subject-to- appropriations provision; to amend the Renovation Penalty Act of 2010 to repeal the subject-to-appropriations clause; to amend the Job Growth Incentive Act of 2010 to repeal the subject-to-appropriations clause; to amend Chapter 46 of Title 47 of the District of Columbia Official Code to provide an exemption from real property taxation for the International House of Pancakes Restaurant 3221 located on Lot 819, Square 5912, in Ward 8; to amend Chapter 10 of Title 47 of the District of Columbia Official Code to modify an exemption from taxation for certain real property described as Lot 857, Square 2084, owned by Tregaron Conservancy; to amend D.C. Official Code § 47- 334(1) and D.C. Official Code § 47-335.02 to make necessary technical changes; to amend the Law to Legalize Lotteries, Daily Numbers Games and Bingo and Raffles for Charitable Purposes in the District of Columbia to define lottery and lottery game; to authorize the expenditure of funds to assist the Rhode Island Avenue Metro Station project; to amend the Ballpark Omnibus Financing and Revenue Act to require that excess funds in the Ballpark Revenue Fund be used to repay the ballpark bonds; to amend the Fiscal Year 2011 Budget Support Act of 2010 to make technical and clarifying changes; to amend Chapter 46 of Title 47 of the District of Columbia Code to provide real property and transfer tax exemptions for the Central Union Mission, Inc to amend Chapter 46 of Title 47 of the District of Columbia Code to provide a real property tax exemption for the Adams Morgan Hotel project; to transfer funds from certain special purpose and dedicated revenue accounts to unrestricted balance of the General Fund; and to modify the funding allocations for certain capital projects. BE IT ENACTED BY THE COUNCIL OF THE DISTRICT OF COLUMBIA, That this act may be cited as the “Fiscal Year 2011 Supplemental Budget Support Act of 2010”. TITLE I. GOVERNMENT DIRECTION AND SUPPORT SUBTITLE A. HEALTH BENEFIT PLAN CONTRIBUTION Sec. 101. Short title. This subtitle may be cited as the “Health Benefit Plan District Contribution Amendment Act of 2010”. E�ROLLED ORIGI�AL 3 Sec. 102. Section 2109 of the District of Columbia Government Comprehensive Merit Personnel Act of 1978, effective October 1, 1987 (D.C. Law 7-27; D.C. Official Code § 1- 621.09 is amended as follows a) Subsection (a) is amended as follows 1) Strike the phrase “an amount equal to 75%” and insert the phrase “an amount equal to 72%” in its place 2) Strike the phrase “exceed 75%” and insert the phrase “exceed 72%” in its place b) Subsection (h) is amended as follows 1) Paragraph (1) is amended by striking the phrase “exceed 75%” and inserting the phrase “exceed 72%” in its place 2) Paragraph (2) is amended as follows A) Strike the phrase “an amount equal to 75%” and insert the phrase “an amount equal to 72%” in its place B) Strike the phrase “contribute 25%” and insert the phrase “contribute 28%” in its place 3) Paragraph (3) is amended as follows A) Strike the phrase “an amount equal to 75%” and insert the phrase “an amount equal to 72%” in its place B) Strike the phrase “contribute 25%” and insert the phrase “contribute 28%” in its place c) Subsection (j) is amended as follows 1) Paragraph (1) is amended as follows A) Strike the phrase “an amount equal to 75%” and insert the phrase “an amount equal to 72%” in its place B) Strike the phrase “contribute 25%” and insert the phrase “contribute 28%” in its place 2) Paragraph (2) is amended by striking the phrase “shall not exceed 75%” and inserting the phrase “shall not exceed 72%” in its place d) Subsection (l) is amended as follows 1) Strike the phrase “an amount equal to 75%” and insert the phrase “an amount equal to 72%” in its place 2) Strike the phrase “contribute 25%” and insert the phrase “contribute 28%” in its place. Sec. 103. Applicability. This subtitle shall apply as of January 1, 2011. SUBTITLE B. UNIVERSITY OF THE DISTRICT OF COLUMBIA FREEZE EXEMPTION Sec. 111. Short title. This subtitle may be cited as the “Within-Grade Salary Increases, Cost-of-Living Adjustments, and Salary and Benefits Schedules Exemption Act of 2010 E�ROLLED ORIGI�AL 4 Sec. 112. The Fiscal Year 2011 Budget Support Act of 2010, effective September 24, 2010 (D.C. Law 18-223; 57 DCR 6242 is amended as follows a) Section 1026 is amended to read as follows: “Sec. 1026. Exemptions. “Sections 1023 and 1024 shall not apply to employees of the Metropolitan Police Department, the Fire and Emergency Medical Services Department, and the University of the District of Columbia.” b) A new section 1143 is added to read as follows: “Sec. 1143. Exemption. “Section 1142 shall not apply to employees of the University of the District of Columbia.”. SUBTITLE C. REPROGRAMMING POLICY REFORM Sec. 121. Short title. This subtitle may be cited as the "Reprogramming Policy Reform Act of 2010 Sec. 122. Chapter 3 of Title 47 of the District of Columbia Official Code is amended as follows a) Section 47-355.05 is amended by adding a new subsection (e) to read as follows e)(1) The Chief Financial Officer shall submit a quarterly summary to the Council and the Mayor on all A) Reprogrammings B) Intra-District transfers; and C) Other budget modifications that involve a change in the purpose of the use of the funds that are not included in the annual budget and are more than $50,000 and less than $500,000 2)(A) The summary shall set forth clearly and concisely each budget category affected by the reprogramming, intra-District transfer, or other budget modification, as described in paragraph (1) of this subsection, showing the original and new amounts, as follows i) For the operating budget, by I) Agency II) Object category; and III) Object class; and ii) For capital projects, by I) Program II) Agency III) Object category; and IV) Project and subproject B) For capital projects, the summary shall also describe any consequences of the shift, such as personnel shifts or equipment transfers b) Section 47-361 is amended to read as follows § 47-361. Definitions For the purposes of this subchapter, the term 1 Agency" means the highest organizational unit of the District of Columbia E�ROLLED ORIGI�AL 5 government at which budgeting data is aggregated 2 Agency funding source" means the designated resource or fund to which expenditures shall be charged 3 Budget" means the entire annual appropriation, including borrowing and spending authority, for all activities of all agencies of the District of Columbia government financed from all existing, proposed, or anticipated resources 4 Budget category" means A) For the operating budget: agencies, programs, agency funding sources, object categories, and object classes, as shown in the budget; and B) For the capital budget: agencies, agency funding sources, and capital projects and subprojects, as shown in the budget 5 Capital budget" means that part of the budget that describes the annual element of the multiyear capital improvements plan 6 Capital project" shall have the same meaning as provided in section 103(8) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 777; D. C. Official Code § 1-201.03(8 7 Highway Trust Fund" means the District of Columbia Highway Trust Fund, established by section 102 of the Highway Trust Fund Establishment Act and the Water and Sewer Authority Amendment Act of 1996, effective April, 1997 (D. C. Law 11-184; D. C. Official Code § 9-111.01 and the Federal Highway Trust Fund, established pursuant to Title 23 of the United States Code 8 Intra-District transfer" means a budget modification that involves the movement of $50,000 or more in funds from one agency to another agency for the same purpose for which the funds were appropriated 9 Object category" means the 2 major types of expenditures, which are personal services and non-personal services 10 Object class" means the subdivision of specific types of expenditures in the operating budget, such as fringe benefits and supplies 11 Offsetting" means an increase that is matched by a decrease with no change occurring in budget authority 12 Operating budget" means that part of the budget for the operation of the District government, excluding the capital budget 13 Program" means the highest level of budgeting and expenditure control within an agency that is designated for a specific purpose in the operating budget, which may consist of multiple actions necessary to achieve the stated purpose and goals 14 Reprogramming" means a budget modification of $500,000 or more for purposes other than those originally authorized that results in an offsetting reallocation of budget authority from one budget category to another budget category c) Section 47-363 is amended to read as follows § 47-363. Council approval of reprogrammings a) The Mayor shall submit to the Council for approval a reprogramming request that individually or on a cumulative basis would result in a change to the original appropriated authority, along with certification by the Chief Financial Officer of the availability of funds for the reprogramming. The request shall include an analysis of its effect on the budget and on the E�ROLLED ORIGI�AL 6 purposes for which the funds were originally appropriated b)(1) Upon receipt of a reprogramming request, the Chairman of the Council shall cause a notice of the request to be published in the District of Columbia Register, together with a statement that the request shall be deemed approved 14 days from the date of its receipt, unless a proposed disapproval resolution is filed prior to that time by a Councilmember, and that if a proposed disapproval resolution is filed, the request shall be deemed approved 30 days from the date of the receipt of the reprogramming request, unless prior to the end of the 30-day review period the Council adopts a resolution of disapproval or approval 2) The publication of a notice of a reprogramming request shall satisfy the public notice requirements of this section and the rules of the Council and no further notice shall be necessary for the Council to adopt a resolution affecting the request 3) The Council shall consider the request according to its rules. No request may be submitted to the Chairman of the Council under this subsection during such time as the Council is on recess, according to its rules, nor shall any time period provided in this subsection or in the Council's rules with respect to the requests continue to run during such time as the Council is on recess c)(1 If no proposed disapproval resolution of a reprogramming request is filed with the Secretary to the Council Secretary within 14 days of the receipt of the request from the Mayor, the request shall be deemed approved 2) If a proposed disapproval resolution is filed with the Secretary within 14 days of receipt of the request from the Mayor, the Council may approve or disapprove the reprogramming request by resolution within 30 days of the receipt of the request from the Mayor. If the Council neither affirmatively approves or disapproves the request within 30 days of the receipt of the request, the request shall be deemed approved d) At any time prior to final action by the Council on a reprogramming request, or prior to the date the reprogramming request is deemed approved pursuant to subsection (c) of this section, the Mayor may withdraw the reprogramming request e)(1) An operating budget reprogramming request shall include for each budget category from or to which funds are being transferred a list of the funding reductions or additions by A) Agency B) Program C) Activity D) Object class; and E) Funding sources 2) A capital reprogramming request shall include for each project or subproject from or to which funds are being transferred a list of the funding reductions or additions by A) Agency B) Project and subproject; and C) Funding sources d) Section 47-365(6) is amended by striking the figure 1,000,000" and inserting the phrase 3 million" in its place. E�ROLLED ORIGI�AL 7 Sec. 123. Section 1(k)(1) of An Act To grant additional powers to the Commissioners of the District of Columbia, and for other purposes, approved December 20, 1944 (58 Stat. 819; D.C. Official Code § 1-301.01(k)(1 is amended by striking the phrase "the Mayor shall submit annually to the Council a report of all Memoranda of Understanding between" and inserting the phrase "the Chief Financial Officer shall submit quarterly to the Council and the Mayor the summary required by D.C. Official Code § 47-355.05(e along with all Memoranda of Understanding between" in its place. SUBTITLE D. FINANCIAL STABILITY MEASURES REPEAL Sec. 131. Short title. This subtitle may be cited as the “Financial Stability Measures Repeal Act of 2010”. Sec. 132. The Financial Stability Measures Emergency Act of 2010, effective October 19, 2010 (D.C. Act 18-588; 57 DCR 10140 is repealed. Sec. 133. The Financial Stability Measures Clarification Emergency Amendment Act of 2010, effective November 3, 2010 (D.C. Act 18-593; 57 DCR 10475 is repealed. TITLE II. ECONOMIC DEVELOPMENT AND REGULATION SUBTITLE A. NEIGHBORHOOD INVESTMENT FUND Sec. 201. Short title. This subtitle may be cited as the “Neighborhood Investment Fund Implementation Amendment Act of 2010”. Sec. 202. Section 2 of the Neighborhood Investment Act of 2004, effective March 30, 2004 (D.C. Law 15-131; D.C. Official Code § 6-1071 is amended by adding a new subsection (k) to read as follows: “(k) The Neighborhood Investment Fund dollars under the budget authority of the Office of the Deputy Mayor for Planning and Economic Development in fiscal year 2011 shall be allocated on a one-time basis as follows: “(1) An amount of $2,293,502 shall be available to support grants to not-for-profit organizations for projects and programs that fulfill the goals of this act. Project and program types that may be funded under this paragraph include vocational training and job placement for youth and adults, senior- and youth-oriented programming, affordable housing, senior housing, small business technical assistance, and predevelopment and project financing for the construction and rehabilitation of affordable housing, mixed-use, and community-based facility projects. “(2) An amount of $190,059 shall be available to support personnel and administrative costs associated with the implementation of this act, including salary, fringe benefits, marketing, community outreach, and supplies. “(3) An amount of $1.1 million shall be deposited in the Career Technical Training Fund and used to fund costs associated with the 24-hour vocational education programs at Phelps Architecture, Construction, and Engineering High School, the Academy for E�ROLLED ORIGI�AL 8 Construction and Design at Cardozo Senior High School, and the Hospitality Public Charter School at Roosevelt High School. “(4) An amount of $2 million shall be available to provide grants and other funding in support of the New Communities Human Capital program, including intensive case management, workforce development focused on education, training, and employment for adults and youth, financial literacy, health services, and increased public safety.”. Sec. 203. Applicability. This subtitle shall apply as of October 1, 2010. TITLE III. PUBLIC SAFETY AND JUSTICE [Reserved] TITLE IV. PUBLIC EDUCATION SUBTITLE A. SCHOOL FUNDING Sec. 401. Short title. This subtitle may be cited as the “Funding for Public Schools and Public Charter Schools Amendment Act of 2010”. Sec. 402. The Uniform Per Student Funding Formula for Public Schools and Public Charter Schools and Tax Conformity Clarification Amendment Act of 1998, effective March 26, 1999 (D.C. Law 12-207; D.C. Official Code § 38-2901 et seq is amended as follows a) Section 104 (D.C. Official Code § 38-2903) is amended by striking the phrase “$8,945 per student for fiscal year 2011” and inserting the phrase “$8,770 per student for fiscal year 2011” in its place b) Section 105 (D.C. Official Code § 38-2904) is amended by striking the tabular array and inserting the following chart in its place: Grade Level Weighting Per Pupil Allocation in FY 2011 Pre-School 1.34 $11,752 Pre-Kindergarten 1.30 $11,401 Kindergarten 1.30 $11,401 Grades 1-3 1.00 $8,770 Grades 4-5 1.00 $8,770 Ungraded elementary school 1.00 $8,770 Grades 6-8 1.03 $9,033 Ungraded middle school/junior high school 1.03 $9,033 Grades 9-12 1.16 $10,173 Ungraded senior high 1.16 $10,173 E�ROLLED ORIGI�AL 9 school Alternative program 1.17 $10,261 Special education school 1.17 $10,261 Adult 0.75 $6,578 (c) Section 106 (D.C. Official Code § 38-2905) is amended as follows 1) Subsection (a) is amended as follows A) Paragraph (2) is amended by striking the word “or” at the end B) Paragraph (3) is amended by striking the period at the end and inserting the phrase “; and” in its place C) A new paragraph (4) is added to read as follows: “(4) Extended school days.” 2) Subsection (c) is amended to read as follows: “(c) The supplemental allocations shall be calculated by applying weightings to the foundation level as follows: “General Education Add-ons: “Level/ Program Definition Weighting Per Pupil Supplemental FY 2011 “LEP/NEP Limited and non-English proficient students 0.45 $3,947 “Summer An accelerated instructional program in the summer for students who do not meet literacy standards pursuant to promotion policies of the District of Columbia Public Schools and public charter schools 0.17 $1,491 “Extended school day Extended learning time beyond the regular school day 0.1 n/a “Special Education Add-ons: Level/ Program Definition Weighting Per Pupil Supplemental FY 2011 “Level 1: Special Education Eight hours or less per week of specialized services 0.52 $4,560 “Level 2: Special Education More than 8 hours and less than or equal to 16 hours per school week of 0.79 $6,928 E�ROLLED ORIGI�AL 10 specialized services “Level 3: Special Education More than 16 hours and less than or equal to 24 hours per school week of specialized services 1.56 $13,681 “Level 4: Special Education More than 24 hours per week which may include instruction in a self contained (dedicated) special education school other than residential placement 2.83 $24,819 “Residential D.C. Public School or public charter school that provides students with room and board in a residential setting, in addition to their instructional program 1.70 $14,909 “Residential Add-ons: “Level/ Program Definition Weighting Per Pupil Supplemental FY 2011 “Level 1: Special Education Residential Additional funding to support the after-hours level 1 special education needs of students living in a D.C. Public School or public charter school that provides students with room and board in a residential setting 0.374 $3,280 “Level 2: Special Education Residential Additional funding to support the after-hours level 2 special education needs of students living in a D.C. Public School or public charter school that provides students with room and board in a residential setting 1.360 $11,927 E�ROLLED ORIGI�AL 11 “Level 3: Special Education Residential Additional funding to support the after-hours level 3 special education needs of students living in a D.C. Public School or public charter school that provides students with room and board in a residential setting 2.941 $25,793 “Level 4: Special Education Residential Additional funding to support the after-hours level 4 special education needs of limited and non- English proficient students living in a D.C. Public School or public charter school that provides students with room and board in a residential setting 2.924 $25,643 “LEP/NEP Residential Additional funding to support the after-hours Limited and non-English proficiency needs of students living in a D.C. Public School or public charter school that provides students with room and board in a residential setting 0.68 $5,964 “Special Education Add-ons for Students with Extended School Year (“ESY”) Indicated in Their Individualized Education Programs (“IEPs” “Level/ Program Definition Weighting Per Pupil Supplemental FY 2011 “Special Education Level 1 ESY Additional funding to support the summer school/program need for students who require extended school year (ESY) services in their 0.064 $561 E�ROLLED ORIGI�AL 12 IEPs “Special Education Level 2 ESY Additional funding to support the summer school/program need for students who require extended school year (ESY) services in their IEPs 0.231 $2,026 “Special Education Level 3 ESY Additional funding to support the summer school/program need for students who require extended school year (ESY) services in their IEPs 0.500 $4,385 “Special Education Level 4 ESY Additional funding to support the summer school/program need for students who require extended school year (ESY) services in their IEPs 0.497 $4,359” 3) A new subsection (g) is added to read as follows: “(g) The supplemental allocation for the extended school day shall be subject to the inclusion of its fiscal effect in an approved budget.” d) Section 115 (D.C. Official Code § 38-2913) is amended by striking the year “2012" and inserting the year “2013" in its place e) Section 116 (D.C. Official Code § 38-2914) is amended as follows 1) Subsection (a)(1) is amended by striking the word “Council” and inserting the word “Mayor” in its place 2) Subsection(c)(1) is amended to read as follows: “(c)(1) No later than March 31, 2011, the Commission shall provide to the Mayor an equity report detailing for fiscal years 2009 and 2010:” 3) Subsection (d) is amended by striking the date “June 30" and inserting the date “September 30" in its place. Sec. 403. The District of Columbia School Reform Act of 1995, approved April 26, 1996 (110 Stat. 1321; D.C. Official Code § 38-1800.02 et seq is amended as follows a) Section 2401(b)(3 D.C. Official Code § 38-1804.01(b)(3 is amended by adding a new subparagraph (E) to read as follows: E�ROLLED ORIGI�AL 13 “(E) Notwithstanding paragraph (2) of this subsection, for fiscal year 2011, supplemental funding in addition to the supplemental allocations authorized by section 106 may be provided to local education agencies (“LEAs”) for special education services, including programs that increase the capacity of the LEA to provide special education services.” b) Section 2403(a)(2)(A D.C. Official Code § 38-1804.03)(a)(2)(A) is amended as follows 1) Sub-subparagraph (i) is amended by striking the phrase “sub-subparagraph (ii)” and inserting the phrase “sub-subparagraphs (ii) and (iii)” in its place 2) A new sub-subparagraph (iii) is added to read as follows: “(iii) Funds received from the Education Jobs Fund, established by section 101 of An Act To modernize the air traffic control system, improve the safety, reliability, and availability of transportation by air in the United States, provides for modernization of the air traffic control system, reauthorizes the Federal Aviation Administration, and for other purposes, approved August 10, 2010 (Pub. L. No.111-226; 124 Stat. 2389 “Act” shall be disbursed to public charter schools at such times as are consistent with the requirements of the Act, its implementing regulations, and other applicable federal regulations.”. Sec. 404. Section 3(b) of the State Education Office Establishment Act of 2000, effective October 21, 2000 (D.C. Law 13-176; D.C. Official Code § 38-2602(b is amended as follows a) A new paragraph (8A) is added to read as follows: “(8A) Prescribe standards for extended learning time beyond the regular school day for public schools, including public charter schools;” b) Paragraph (16) is amended by striking the word “and” at the end c) Paragraph (17) is amended by striking the period at the end and inserting the phrase “; and” in its place d) A new paragraph (18) is added to read as follows: “(18) Have the authority to issue grants, from funds under its administration (including the non-public tuition paper agency to local education agencies (“LEAs”) for programs that increase the capacity of the LEA to provide special education services.”. Sec. 405. Applicability. This subtitle shall apply as of October 1, 2010. SUBTITLE B. HEALTHY SCHOOLS ACT Sec. 411. Short title. This subtitle may be cited as the “Healthy Schools Amendment Act of 2010”. Sec. 412. Section 102(c)(6) and (7) of the Healthy Schools Act of 2010, effective July 27, 2010 (D.C. Law 18-209; D.C. Official Code § 38-821.02(c)(6) and (7 are amended by striking the phrase “shall make grants available” both times it appears and inserting the phrase “shall make grants available, subject to the availability of funds in the Fund,” in its place. E�ROLLED ORIGI�AL 14 SUBTITLE C. UNIVERSITY OF THE DISTRICT OF COLUMBIA EXPANSION Sec. 421. Short title. This subtitle may be cited as the “University of the District of Columbia Expansion Act of 2010 Sec. 422. The University of the District of Columbia shall have exclusive use of the closed Patricia R. Harris Educational Center School building and site located at 4600 Livingston Road, S.E in Ward 8, to expand upon its collegiate mission and Workforce Development and Lifelong Learning Program by continuing to provide Vocational Education and Community College of the District of Columbia courses. SUBTITLE D. DCPL AUTHORITY. Sec. 431. Short title. This subtitle may be cited as the “African-American Civil War Museum Clarification Act of 2010”. Sec. 432. The District of Columbia Public Library is authorized to issue grants and execute contracts pursuant to its authority granted in the Reserve for African-American Civil War Records Act of 2009, effective March 3, 2010 (D.C. Law 18-111; 57 DCR 181 TITLE V. HEALTH AND HUMAN SERVICES SUBTITLE A. GRANDPARENTS CAREGIVER PROGRAM AND LONG-TERM PERMANENT GUARDIANSHIP SUBSIDIES Sec. 501. Short title. This subtitle may be cited as the “Grandparent Caregivers Program and Long-Term Permanent Guardianship Subsidies Amendment Act of 2010”. Sec. 502. Section 104(b) of the Grandparent Caregivers Pilot Program Establishment Act of 2005, effective March 8, 2006 (D.C. Law 16-69; D.C. Official Code § 4-251.04(b is amended by striking the phrase “that the subsidy shall be within 5 no less than 95% and no more than 105%)” and inserting the phrase “that the subsidy shall be at least 66 but no more than 105%” in its place. Sec. 503. Applicability. This subtitle shall apply as of January 1, 2011. SUBTITLE B. HOSPITAL ASSESSMENT Sec. 511. Short title. This subtitle may be cited as the “Hospital Assessment Amendment Act of 2010”. Sec. 512. Section 5014(a)(2) of the Hospital Assessment Act of 2010, effective September 24, 2010 (D.C. Law 18-223; D.C. Official Code § 44-633(a)(2 is amended by striking the phrase “$1,500” and inserting the phrase “$2,000” in its place. E�ROLLED ORIGI�AL 15 Sec. 513. Applicability. This subtitle shall apply as of October 1, 2010. SUBTITLE C. TANF REGULATIONS Sec. 521. Short title. This subtitle may be cited as the “District of Columbia Public Assistance Amendment Act of 2010”. Sec. 522. The District of Columbia Public Assistance Act of 1982, effective April 6, 1982 (D.C. Law 4-101; D.C. Official Code § 4-201.01 et seq is amended as follows a) Section 205 (D.C. Official Code § 4-202.05) is amended by adding a new subsection (c) to read as follows: “(c)(1) Within 90 days of the effective date of the District of Columbia Public Assistance Emergency Amendment Act of 2010, passed on emergency basis on December 21, 2010 (Enrolled version of Bill 18-1098 the Mayor shall issue proposed rules on sanctions. “(2) The proposed rules shall be submitted to the Council for a 45-day period of review, excluding Saturdays, Sundays, legal holidays, and days of Council recess. If the Council does not approve or disapprove the proposed rules, in whole or in part, by resolution within this 45-day review period, the proposed rules shall be deemed approved.” b) New sections 511b and 511c are added to read as follows: “Sec. 511b. Reduction in benefits for long-term TANF recipients. “An individual who has received federally or locally funded TANF benefits in the District of Columbia for more than 60 months, whether or not consecutive, shall receive a reduction in his or her maximum benefit in accordance with section 552 and as set forth in rules issued pursuant to section 205. “Sec. 511c. Human impact statement. “Within 60 days of the effective date of the Fiscal Year 2011 Supplemental Budget Emergency Act of 2010, passed on emergency basis on December 21, 2010 (Enrolled version of Bill 18-1098 the Auditor shall conduct an assessment of the impact of reductions in assistance pursuant to this act on families and their children and issue a human impact statement, which shall include: “(1) The number of families affected; “(2) The number of children affected in the following age categories; “(A) Infant – 3 years old; “(B) 4-9 year olds; “(C) 10-13 years old; and “(D) 14-18 years old; “(3) A sample of a least 35 families, including a consideration of the children regarding: “(A) Changes in school performance; “(B) Changes in after-school performance; “(C) Changes in health status; and E�ROLLED ORIGI�AL 16 “(D) New interactions with Court Social Services or Department of Youth Rehabilitative Services; and “(4) The number of service providers providing training programs based on specific performance-based measures, including: “(A) A description of programs being offered; and “(B) The enrollment figures in each program.” c) Section 518(d D.C. Official Code § 4-205.18(d is amended by striking the phrase “federally funded” each time it appears d) Section 519f (D.C. Official Code (§ 4-205.19f) is amended as follows 1) Subsection (a) is repealed 2) A new subsection (f) is added to read as follows: “(f) If a TANF recipient fails to complete his or her annual review or is otherwise terminated while under sanctions, and makes a new application for benefits, the TANF applicant shall: “(1) Undergo an assessment and orientation pursuant to section 519(b and “(2) Shall remain under the same level of sanction until in compliance pursuant to subsection (b) of this section.” e) A new section 551a is added to read as follows: “Sec. 551a. TANF Universal Service Delivery Model. “(a) By no later than September 30, 2011, the Mayor shall have adopted and fully implemented the TANF Universal Service Delivery Model, as created by the Department of Human Services, which shall: “(1) Address customer needs based on personal and family circumstances, to the extent feasible; “(2) Require orientation and a detailed assessment and referral to an appropriate array of services and supports, which shall be provided through: “(A) Contract job placement; “(B) Education and training vendors, and “(C) District agencies; “(3) Emphasize education, training, and skills enhancement; “(4) Assist customers in addressing and overcoming challenges that are barriers to employment; “(4) Include financial disincentives to customers who without good cause remain unemployed; “(5) Provide for participation with the TEP program; “(6) Provide for an Individual Responsibility Plan for each customer; and “(7) Include a system of sanctions for a customer who fails to participate or complete an Individual Responsibility Plan. “(b) A nonexempt customer who fails to participate or complete an Individual Responsibility Plan shall be subject to a progressive, graduated sanction policy, as established by the Department of Human Services. Each level of sanctions shall reduce further the maximum grant a customer will be eligible to receive. “(c) The Mayor shall submit a draft plan of the TANF Universal Service Delivery Model to the Council for its review by March 1, 2011.”. E�ROLLED ORIGI�AL 17 (f) Section 552 (D.C. Official Code § 4-205.52) is amended by adding a new subsection (c-2) to read as follows: “(c-2) The level of public assistance payment for assistance units subject to section 511b shall be equal to the current payment level for the assistance unit, established by subsection (d) of this section, less 20% after February 1, 2011.”. Sec. 523. Title 29 of the District of Columbia Municipal Regulations is amended as follows a) Section 5814.5 is amended to read as follows: “5814.5 After application of these disregards in subsection 5814.4, the remaining income shall be compared to the Standard of Assistance for a family unit. The Standard of Assistance shall be defined as specified in the District of Columbia Public Assistance Act of 1982, as amended. If less than the Standard of Assistance, the income shall be compared to the payment standard. The payment standard shall be defined as specified in the District of Columbia Public Assistance Act of 1982, as amended. The payment levels set forth in Chapter 72 of Title 29 DCMR shall apply to payments made as of February 1, 2011.” b) Section 7200 is amended by adding new subsections 7200.3 and 7200.4 to read as follows: “7200.3 Pursuant to section 552 of the District of Columbia Public Assistance Act of 1982, effective April 6, 1982 (D.C. Law 4-101; D.C. Official Code § 4-205.52 a TANF recipient who has received TANF benefits for more than 60 months, whether or not consecutive months, shall be eligible to receive no more than the payment levels as set forth in §7200.4. “7200.4 Effective February 1, 2011, the payment levels set forth in this subsection shall apply to recipients who have received TANF benefits for more than 60 months: Family Size Standards of Assistance Payment Level 1 $450 $216 2 $560 $269 3 $712 $342 4 $870 $418 5 $1,002 $482 6 $1,178 $566 7 $1,352 $650 8 $1,494 $718 9 $1,642 $790 10 $1,786 $858 11 $1,884 $905 12 $2,024 $973 13 $2,116 $1,017 E�ROLLED ORIGI�AL 18 14 $2,232 $1,072 15 $2,316 $1,113 16 $2,432 $1,169 17 $2,668 $1,282 18 $2,730 $1,311 19 $2,786 $1,338 Sec. 524. Applicability. This subtitle shall apply as of February 1, 2011. SUBTITLE D. HEALTH PROFESSIONAL RECRUITMENT Sec. 531. Short title. This subtitle may be cited as the “Health Professional Recruitment Program Amendment Act of 2010”. Sec. 532. The District of Columbia Health Professionals Recruitment Program Act of 2005, effective March 8, 2006 (D.C. Law 16-71; D.C. Official Code § 7-751.01 et seq is amended as follows a) Section 12(a D.C. Official Code § 7-751.11(a is repealed b) Section 14(b D.C. Official Code § 7-751.13(b is amended to read as follows: “(b) Within one year of the date of a breach of contract, the participant found in breach of contract shall repay the District the greater of $31,000 or an amount equal to the sum of the following: “(1) The amount of the loan repayments paid to the participant for any period of obligated service not completed; “(2) An amount equal to the product of the number of months of obligated service not completed by the participant multiplied by $7,500; and “(3) Interest on the amounts specified in paragraphs (1) and (2) of this subsection at the maximum legal prevailing rate, as determined by the Treasurer of the United States, from the date of the breach.” c) Section 16 (D.C. Official Code § 7-751.15) is amended as follows 1) The section heading is amended by striking the phrase “Suspension and waiver of contract.” and inserting the phrase “Suspension, waiver, and termination of contract.” in its place 2) Subsection (b)(2) is repealed (3) New subsections (c) and(d) are added to read as follows: “(c) An obligation of an individual for service or payment of damages shall be terminated upon the death of the individual. “(d) The Director may terminate a contract under the Program with a participant if, not later than August 16 of the year in which the contract became effective, the participant: “(1) Submits a signed written request to terminate the contract; and “(2) Repays all amounts of loan repayments paid to the participant under the contract.”. E�ROLLED ORIGI�AL 19 TITLE VI. TRANSPORTATION, PUBLIC WORKS, AND THE ENVIRONMENT SUBTITLE A. STREETSCAPE FUND Sec. 601. Short title. This subtitle may be cited as the “Streetscape Fund Amendment Act of 2010”. Sec. 602 a) The amount of $7 million transferred to the budget of the District Department of the Transportation by section 7072(d)(6)(C) of the Capital Projects Modification Act of 2010, effective September 24, 2010 (D.C. Law 18-223; 57 DCR 6389 is transferred to the unrestricted balance of the General Fund of the District of Columbia b) The capital projects established by section 7072(d)(6)(A) and (B) of the Capital Projects Modification Act of 2010, effective September 24, 2010 (D.C. Law 18-223; 57 DCR 6389 are rescinded. Sec. 603. Streetscape Loan Relief Fund a) There is established as a nonlapsing fund the Streetscape Loan Relief Fund (“Fund” which shall be used solely to make loans in accordance with subsection (c) of this section. The Fund shall be funded by annual appropriations; provided, that for fiscal year 2011, the amount deposited in the Fund shall be $723,000. All funds received from repayments of loans shall be deposited into the Fund b) All funds deposited into the Fund, and any interest earned on those funds, shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time, but shall be continually available for the uses and purposes set forth in subsection (c) of this section without regard to fiscal year limitation, subject to authorization by Congress c) If the District undertakes a streetscape construction or rehabilitation project, the Mayor, in his or her sole discretion, may make interest-free loans from the Fund to any individual or entity that operates a retail business inside or adjoining the streetscape construction or rehabilitation project. To obtain a loan, a retail business shall submit a loan application in the form and with the information that the Mayor shall require. The Mayor shall determine the terms and conditions of each loan based upon the loan application submitted by the retail business; provided, that the term of a loan pursuant to this section shall not exceed 5 years after the termination of the streetscape construction or rehabilitation project d) The Mayor, pursuant to Title 1 of the District of Columbia Administrative Procedure Act, approved October 21, 1968 (82 Stat. 1204; D.C. Official Code § 2-501 et seq may issue rules to implement the provisions of this section. Sec. 604. The Department of Transportation Streetscape Construction Survival Fund Emergency Act of 2010, passed on emergency basis on December 7, 2010 (Enrolled version of Bill 18-1096 is repealed. E�ROLLED ORIGI�AL 20 SUBTITLE B. SUSTAINABLE ENERGY TRUST FUND Sec. 611. Short title. This subtitle may be cited as the “Clean and Affordable Energy Second Amendment Act of 2010”. Sec. 612. The Clean and Affordable Energy Act of 2008, effective October 22, 2008 (D.C. Law 17-250; D.C. Official Code § 8-1774.01 et seq is amended as follows a) Section 205(h D.C. Official Code § 8-1774.05(h is amended by striking the phrase “$1 million” and inserting the phrase “$775,000” in its place b) Section 210(c D.C. Official Code § 8-1774.10(c is amended as follows 1) Paragraph (2) is amended by striking the figure “payments under the contract” and inserting the figure “authorized contract level” in its place 2) Paragraph (4) is amended by striking the figure “$13,000” and inserting the figure “$9,880” in its place 3) Paragraph (5) is amended by striking the figure “$2.773 million” and inserting the figure “$2.375 million” in its place 4) Paragraph (6) is amended by striking the figure “$1.5 million” and inserting the figure “$1.073 million” in its place 5) Paragraph (7) is amended by striking the figure “$1.455 million” and inserting the figure “$1.106 million” in its place c) Section 211(c D.C. Official Code § 8-1774.11(c is amended to read as follows: “(c) The Energy Assistance Trust Fund shall be used solely to fund the existing low- income programs in the amount of $2.409 million in fiscal year 2011, and $2.6 million annually thereafter.”. Sec. 613. Applicability. This subtitle shall apply as of October 1, 2010. SUBTITLE C. DISTRICT DEPARTMENT OF TRANSPORTATION OMNIBUS AMENDMENT ACT OF 2010 Sec. 621. Short title. This subtitle may be cited as the “District Department of Transportation Omnibus Amendment Act of 2010”. Sec. 622. Section 3(e) of the District of Columbia Emergency Highway Relief Act, approved August 4, 1995 (109 Stat. 257; D.C. Official Code § 9-109.02(e is amended as follows a) Strike the phrase "submit to Congress a report" both times it appears and insert the phrase "submit to Congress, the Mayor, the Chief Financial Officer, and the Council a report" in its place b) Strike the phrase “Not later than May 31, 2001, and each May 31 thereafter" and insert the phrase "Not later than March 15, 2011, and each March 15 thereafter" in its place. E�ROLLED ORIGI�AL 21 Sec. 623. The Highway Trust Fund Establishment Act of 1996, effective April 9, 1997 (D.C. Law 11-184; D.C. Official Code § 9-111.01 et seq is amended as follows a) Section 102 (D.C. Official Code § 9-111.01 is amended as follows 1) Subsection (d) is amended as follows A) Designate the existing text as paragraph (1 B) A new paragraph (2) is added to read as follows: “(2) All monies in the Fund designated to comply with the requirements of section 3 of the District of Columbia Emergency Highway Relief Act, approved August 4, 1995 (109 Stat. 257; D.C. Official Code § 9-109.02 shall not exceed 22% of the proposed annual Fund expenditures.” 2) Subsection (e) is amended as follows A) Designate the existing text as paragraph (1 B) The newly designated paragraph (1) is amended by striking the phrase "based on the 6-year projected trust fund performance, shall be deposited into the District Department of Transportation Unified Fund, established by section 9c of the Department of Transportation Establishment Act of 2002, passed on 2nd reading on June 5, 2007 (Enrolled version of Bill 17-148 and inserting the phrase "based on the 6-year projected trust fund performance audit conducted by the Inspector General pursuant to section 3(e) of the District of Columbia Emergency Highway Relief Act, approved August 4, 1995 (109 Stat. 257; D.C. Official Code §9-109.02(e shall be deposited into the Local Transportation Fund established by section 102a" in its place C) A new paragraph (2) is added to read as follows 2) The Mayor annually shall determine the excess amount based upon the audit of the Inspector General issued pursuant to section 3(e) of the District of Columbia Emergency Highway Relief Act, approved August 4, 1995 (109 Stat. 257; D.C. Official Code § 9-109.02(e and include the amount in the budget for the fiscal year beginning on October 1 of that year that is transmitted to the Council pursuant to section 442 of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 798; D.C. Official Code § 1-204.42).” b) Section 102a (D.C. Official Code § 9-111.01a) is amended as follows 1) The section heading is amended by striking the phrase “Local Roads Construction and Maintenance Fund” and inserting the phrase “Local Transportation Fund” in its place 2) Subsection (a) is amended as follows A) Strike the phrase "Local Roads Construction and Maintenance Fund Maintenance Fund and insert the phrase "Local Transportation Fund" in its place B) Strike the phrase "from funds on deposit within the District Department of Transportation Unified Fund" and insert the phrase "and into which the Chief Financial Officer of the District of Columbia shall deposit: “(1) All receipts from special purpose public inconvenience fees; “(2) All receipts from special purpose utility marking service fees; “(3) All GARVEE bond proceeds; and “(4) All charges imposed for rental and utilization of public space authorized by the District of Columbia Public Space Rental Act, approved October 17, 1968 (82 Stat. 1156; D.C. Official Code § 10-1101.01 et seq in its place 3) Subsection (b) is amended as follows: E�ROLLED ORIGI�AL 22 (A) Strike the phrase "Maintenance Fund" and insert the phrase "Local Transportation Fund" in its place B) Strike the phrase “federal aid” and insert the phrase "federal aid and mass transit" in its place 4) Subsection (d)(1) is amending by striking the phrase "Local Roads Construction and Maintenance Fund" and inserting the phrase "Local Transportation Fund" in its place. Sec. 624. Section 1704(a) of the Highway Trust Fund Amendment Act of 2001 effective October 3, 2001 (D.C. Law 14-28; D.C. Official Code § 9-111.31(a is amended by striking the phrase “Highway Trust Fund and Local Roads Construction and Maintenance Fund” and inserting the phrase “District of Columbia Highway Trust Fund and Local Transportation Fund” in its place. Sec. 625. Title 47 of the District of Columbia Official Code is amended as follows a) Section 47-305.01 is amended to read as follows: “§ 47-305.01. Revenue from public rights-of-way included in budget submission a) All of the revenue derived from the collection of charges imposed for rental and utilization of public space authorized by the District of Columbia Public Space Rental Act, approved October 17, 1968 (82 Stat. 1156; D.C. Official Code § 10-1101.01 et seq shall be dedicated annually to the Local Transportation Fund b) Revenue derived from the collection of charges imposed for rental and utilization of public space authorized by the District of Columbia Public Space Rental Act, approved October 17, 1968 (82 Stat. 1156; D.C. Official Code § 10-1101.01 et seq may be transferred annually to the District of Columbia Highway Trust Fund in an amount sufficient to meet the local contribution to match the federal entitlement grant.” b) Chapter 20 is amended as follows 1) The table of contents is amended by adding a new section designation to read as follows: “47-2002.07. Revenue from tax on gross receipts from sale of or charges for service of parking or storing vehicles of trailers dedicated to WMATA operating subsidy 2) A new section 47-2002.07 is added to read as follows: “§ 47-2002.07. Revenue from tax on gross receipts from sale of or charges for service of parking or storing vehicles of trailers dedicated to WMATA operating subsidy. “All of the revenue derived from the collection of the tax imposed upon all vendors by § 47-2002(1) on the gross receipts from the sale of or charges for the service of parking or storing vehicles or trailers, except the service of parking or storing of motor vehicles or trailers on a parking lot owned or operated by the Washington Metropolitan Area Transit Authority WMATA and located adjacent to a WMATA passenger stop or station, shall be dedicated annually to paying the District’s annual operating subsidies to WMATA c) Section 47-2301 is amended as follows 1) Subsection (b) is amended by striking the phrase “§§ 47-2301 through 47- 2315" and inserting the phrase “§§ 47-2302 through 47-2315" in its place 2) A new subsection (c) is added to read as follows: E�ROLLED ORIGI�AL 23 c) The Chief Financial Officer of the District of Columbia shall transfer annually to the District of Columbia Highway Trust Fund the proceeds of the taxes imposed under subsection (a) of this section Sec. 626. The Department of Transportation Establishment Act of 2002, effective May 21, 2002 (D.C. Law 14-137; D.C. Official Code § 50-921.01 et seq is amended as follows a) Section 9b (D.C. Official Code § 50-921.10) is repealed b) Section 9c (D.C. Official Code § 50-921.11) is repealed c) New sections 9d and 9e are added to read as follows Sec. 9d. Special purpose revenue funds. “(a) Beginning October 1, 2011, the Mayor shall submit to the Council, on a quarterly basis, a report certified by the Chief Financial Officer of the District of Columbia that details the activities, budget, expenditures, and variances, at the program level, of all programs, activities, and projects undertaken by the District Department of Transportation from all available special purpose revenue funding sources. “(b) The Chief Financial Officer of the District of Columbia shall certify that project expenditures and obligations have not exceeded authorized amounts and that fund revenues are sufficient to ensure that remaining authorized project expenditures will not exceed revenues. “Sec. 9e. District Department of Transportation Enterprise Fund for Transportation Initiatives. “(a) There is established as a nonlapsing fund the District Department of Transportation Enterprise Fund for Transportation Initiatives (“Fund which shall be administered by the Director of the District Department of Transportation and used to fund the cost of capital projects of the District Department of Transportation proposed by the Mayor and approved by act of the Council. “(b) The Fund shall consist of revenues from fines derived from the enforcement of truck safety and size, weight, and noise regulations, and any revenues, grants, or gifts as may from time-to-time be dedicated to the Fund. “(c) All funds deposited into the Fund, and any interest earned on those funds, shall not revert to the unrestricted fund balance of the General Fund of the District of Columbia at the end of a fiscal year, or at any other time, but shall be continually available for the uses and purposes set forth in subsection (a) of this section without regard to fiscal year limitation, subject to authorization by Congress.”. Sec. 627. Section 7 of the District of Columbia Motor Vehicle Parking Facility Act of 1942, approved February 16, 1942 (56 Stat. 93; D.C. Official Code § 50-2607 is amended by striking the phrase “Local Roads Construction and Maintenance Fund” and inserting the phrase “Local Transportation Fund” in its place. Sec. 628. Section 11 of An Act Making appropriations for the government of the District of Columbia and other activities chargeable in whole or in part against the revenues of such District for the fiscal year ending June 30, 1939, and for other purposes, approved April 4, 1938 (52 Stat. 192; D.C. Official Code § 50-2633(b is amended by striking the phrase "and all fees collected shall be paid to the Collector of Taxes for deposit in the Treasury of the United States E�ROLLED ORIGI�AL 24 to the credit of the revenues of said District” and inserting the phrase "and all fees collected shall be dedicated annually to paying the District’s annual operating subsidies to the Washington Metropolitan Area Transit Authority” in its place. Sec. 629. Applicability. This subtitle shall apply as of October 1, 2011; except, that sections 622 and 623(a)(2) shall apply as of the effective date of this act. TITLE VII. FINANCE AND REVENUE SUBTITLE A. RECIPROCAL STATE-FEDERAL OFFSET PROGRAM Sec. 701. Short title. This subtitle may be cited as the “Reciprocal State-Federal Offset Act of 2010”. Sec. 702. Chapter 1 of Title 47 of the District of Columbia Official Code is amended as follows a) The table of contents is amended by adding a new section designation to read as follows: “47-143. United States Treasury offset program authorized; setoff of federal debts b) A new section 47-143 is added to read as follows: “§ 47-143. United States Treasury offset program authorized; setoff of federal debts. “(a) For the purposes of this section, the term: “(1) “Chief Financial Officer” means the Chief Financial Officer of the District of Columbia established pursuant to § 1-204.24(a)(1 “(2) “District of Columbia payment” means a payment by the District of Columbia to a person, including tax refunds, vendor and contractor payments, and expense reimbursements to an employee of the District of Columbia. The term “District of Columbia payment” shall not include salary, wages, or pension payments. “(3) “Federal official” means a unit or official of the federal government charged with the collection of nontax liabilities payable to the federal government and with the authority to enter into the offset agreement. “(4) “Offset agreement” means an agreement authorized by this section. “(5) “Person” means an individual, vendor, contractor, partnership, society, association, joint stock company, limited liability company, corporation, estate, receiver, trustee, assignee, and any other person acting in a fiduciary or representative capacity whether appointed by a court or otherwise, or a combination of the foregoing. “(b) The Mayor may enter into an agreement with the United States Secretary of the Treasury to participate in the Treasury Offset Program. The offset agreement may provide for the collection of any delinquent debt owed to the District of Columbia from federal payments payable to the debtor. The offset agreement may also provide for the United States to submit requests to the District for delinquent nontax debts owed to federal agencies to be offset against District of Columbia payments. E�ROLLED ORIGI�AL 25 “(c) The Mayor may authorize the Chief Financial Officer to reduce a District of Columbia payment by the amount of any federal nontax debt amount requested by the United States to be offset by the District in accordance with the offset agreement. “(d) The offset agreement may provide for the United States or the District to charge a fee for an offset implemented by either party and that the offset fee may be deducted from amounts remitted to the District of Columbia by the federal government. The amount of an offset fee charged by the United States shall be added to the nontax debt amount owed the District by the debtor and shall be considered an additional debt of the debtor, which shall be subject to offset. The amount of an offset fee charged by the District shall be deposited in the General Fund of the District of Columbia. “(e) The offset agreement may provide that a federal official may: “(1) Certify to the Mayor the existence of a delinquent nontax debt owed by a person to the federal government by providing: “(A) The full name of the person; “(B) The social security number or federal tax identification number of the person; “(C) The amount of the delinquent nontax debt owed by the person to the federal government; and “(D) Any other information required pursuant to the agreement; and “(2) Request the Mayor to authorize the Chief Financial Officer to withhold a District of Columbia payment to which the person is otherwise entitled. “(f) After receiving a certified offset request from a federal official, the Mayor may (or shall, if required by the offset agreement “(1) Determine if a person for whom the offset request is received is due a District of Columbia payment; “(2) Authorize the Chief Financial Officer to withhold a District of Columbia payment that is otherwise due to the person for whom an offset request has been received; “(3) Authorize the Chief Financial Officer to pay to the federal official the lesser of: “(A) The entire District of Columbia payment, less any offset fee authorized by the offset agreement; or “(B) The amount certified, less any offset fee authorized by the agreement; and “(4) Notify the person of the amount withheld. “(g) The Mayor may: “(1) Certify to a federal official a delinquent debt owed by a person to the District by providing to the federal official: “(A) The name and address of the person and any other names known to be used by the person; “(B) The social security number or tax identification number of the person; “(C) The amount of the delinquent debt due to the District of Columbia by the person; E�ROLLED ORIGI�AL 26 “(D) A statement that the debt is past due and legally enforceable in the amount certified; and “(E) Any other information required by the offset agreement; and “(2) Request that the federal official withhold any federal payment to which the person is otherwise entitled and pay to the District the amount of debt certified.”. SUBTITLE B. BUDGET FINANCING CONTINGENCIES Sec. 711. Short title. This subtitle may be cited as the “Budget Financing Contingencies Act of 2010”. Sec. 712. Section 3 of the 800 Kenilworth Avenue Northeast Redevelopment Project Real Property Limited Tax Abatement Assistance Act of 2010, signed by the Mayor on November 23, 2010 (D.C. Act 18-614; 57 DCR 11512 is repealed. Sec. 713. Section 3 of the 2323 Pennsylvania Avenue Southeast Redevelopment Project Real Property Tax Abatement Assistance Act of 2010, signed by the Mayor on November 19, 2010 (D.C. Act 18-612; 57 DCR 11508 is repealed. Sec. 714. Section 3 of the Renovation Penalty Abatement Act of 2010, effective October 15, 2010 (D.C. Law 18-235; 57 DCR 7158 is repealed. Sec. 715. Section 4 of the Job Growth Incentive Act of 2010, effective July 27, 2010 (D.C. Law 18-202; 57 DCR 4746 is repealed. SUBTITLE C. 4427 HAYES STREET, N.E REDEVELOPMENT PROJECT Sec. 721. Short title. This subtitle may be cited as the “4427 Hayes Street, N.E Real Property Tax Abatement Act of 2010”. Sec. 722. Chapter 46 of Title 47 of the District of Columbia Official Code is amended as follows a) The table of contents is amended by adding a new section designation to read as follows: “47- 4649. Abatement of real property taxes for 4427 Hayes Street, N.E.” b) A new section 47-4649 is added to read as follows: “§ 47- 4649. Abatement of real property taxes for 4427 Hayes Street, N.E. “The real property described as Lot 120, Square 5129, and any improvements thereon, shall be exempt from the tax imposed by Chapter 8 of this title during tax years 2011, 2012, 2013, 2014, and 2015; provided, that the total tax exemption provided by this section shall not exceed $140,000.”. E�ROLLED ORIGI�AL 27 SUBTITLE D. IHOP RESTAURANT TAX EXEMPTION CLARIFICATION Sec. 731. Short title. This subtitle may be cited as the "IHOP Restaurant #3221 Tax Exemption Clarification Act of 2010 Sec. 732. Chapter 46 of Title 47 of the District of Columbia Official Code is amended as follows a) The table of contents is amended by adding a new section designation to read as follows 47-4650. International House of Pancakes Restaurant #3221 Tax Exemption Clarification b) A new section 47-4650 is added to read as follows § 47-4650. International House of Pancakes Restaurant #3221 Tax Exemption Clarification. “The real property described as Lot 819, in Square 5912 known as the International House of Pancakes Restaurant #3221, owned by CHR, LLC, and leased to Fathers and Sons, LLC, shall be exempt from the tax imposed by Chapter 8 of this title for the period beginning October 1, 2007, and ending September 7, 2009. The tax exemption pursuant to this section shall be in addition to, and not in lieu of, any other tax relief or assistance from any other source applicable to the International House of Pancakes Restaurant located at the real property described as Lot 819, Square 5912.”. SUBTITLE E. TREGARON TAX EXEMPTION CLARIFICATION Sec. 741. Short title. This subtitle may be cited as the "Tregaron Conservancy Tax Exemption Clarification Act of 2010 Sec. 742. Chapter 10 of Title 47 of the District of Columbia Official Code is amended as follows a) The table of contents is amended by striking the phrase "Tregaron Conservancy, Tregaron Limited Partnership, and Washington International School, Lots 842 and 843, Square 2084" and inserting the phrase "Tregaron Conservancy, Lots 849 and 857, Square 2084" in its place b) Section 47-1077 is amended as follows 1) The section designation is amended to read as follows § 47-1077. Tregaron Conservancy, Lots 849 and 857, Square 2084 2) Strike the phrase "The portion of real property described as Lots 842 and 843 (formerly Lot 839 Square 2084, which will be transferred from Tregaron Limited Partnership to Tregaron Conservancy and inserting the phrase "The real property described as Lots 849 and 857, Square 2084 in its place. E�ROLLED ORIGI�AL 28 SUBTITLE F. LIMITATION ON BORROWING AMENDMENT Sec. 751. Short title. This subtitle may be cited as the “Limitation on Borrowing Amendment Act of 2010 Sec. 752. Chapter 3 of Title 47 of the District of Columbia Official Code is amended as follows a) Section 47-334(1) is amended by adding a sentence at the end to read as follows: “For tax-supported debt issued as variable-rate District Bonds, if the planned amortization of principal on the District Bonds, as documented in the indenture associated with such District Bonds, is different from the stated maturity of principal on the District Bonds, then the principal on maturing District Bonds shall mean the planned amortization of principal on the District Bonds.” b) Section 47-335.02 is amended by striking the phrase “3 succeeding fiscal years” wherever it appears and inserting the phrase “5 succeeding fiscal years” in its place. SUBTITLE G. LOTTERY MODERNIZATION ACT Sec. 761. Short title. This subtitle may be cited as the “Lottery Modernization Amendment Act of 2010”. Sec. 762. Section 4 of the Law to Legalize Lotteries, Daily Numbers Games, and Bingo and Raffles for Charitable Purposes, effective March 10, 1981 (D.C. Law 3-172; D.C. Official Code § 3-1313 is amended as follows a) The existing section is designated as subsection (b b) A new subsection (a) is added to read as follows: “(a) A lottery or lottery game means both games of skill and games of chance that are operated by and for the benefit of the District of Columbia by the Board; provided, that: “(1) If the games of skill and games of chance are offered via the Internet, any technology employed for the play shall confirm the play to be at all times within the District; provided further, that the restriction shall not apply to the conduct of fantasy sports and sweepstakes-style games if such games are lawful; and “(2) No method, media, or device for play of the games of skill and games of chance shall violate An Act To prohibit transportation of gambling devices in interstate and foreign commerce, approved January 2, 1951 (15 U.S.C. § 1171 et seq or any other federal law.” b) A new subsection (c) is added to read as follows: “(c) The Board, through the Chief Financial Officer, pursuant to Title 1 of the District of Columbia Administrative Procedure Act, approved October 21, 1968 (82 Stat. 1204; D.C. Official Code § 2-501 et seq may issue rules to implement the provisions of this section, and may establish which games may be offered and additional terms and conditions for the conduct of the games not inconsistent with subsection (a) of this section, including the percentage of wagered amounts to be retained by the Board, minimum and maximum wagers, and time limitations for the games.”. E�ROLLED ORIGI�AL 29 SUBTITLE H. AUTHORIZATION OF RHODE ISLAND AVENUE METRO STATION PILOT FINANCING Sec. 771. Short title. This subtitle may be cited as the "Authorization of Rhode Island Avenue Metro Station PILOT Financing Act of 2010 Sec. 772. The Council authorizes the expenditure of an amount not to exceed an aggregate amount of $625,000, which shall be transferred from the fund established pursuant to section 168 of the District of Columbia Appropriations Act of 2000, approved November 29, 1999 (Pub. L. No. 106-113; 113 Stat. 1531 Fund to the Rhode Island Metro Plaza PILOT Fund, established by section 211 of the Rhode Island Metro Plaza Revenue Bonds Approval Act of 2008, effective April 2, 2008 (D.C. Law 17-140; 55 DCR 5159 This section shall expire on September 30, 2013 and the transferred funds not used shall revert to the Fund. SUBTITLE I. BALLPARK DEBT REPAYMENT AMENDMENT Sec. 781. Short title. This subtitle may be cited as the “Ballpark Debt Repayment Amendment Act of 2010”. Sec. 782. The Ballpark Omnibus Financing and Revenue Act of 2004, effective April 8, 2005 (D.C. Law 15-320; D.C. Official Code § 10-1601.01 et seq is amended as follows a) Section 102 (D.C. Official Code § 10-1601.02) is amended by adding a new subsection (d) to read as follows: “(d) To the extent that it does not violate the terms of any financing documents, closing documents, lien, pledge, security interest, or other covenants (collectively, “financing documents”) under which the bonds or other evidence of indebtedness described in this section (“bonds”) were issued, and, after accounting for transfers authorized to the General Fund of the District of Columbia under current law, if, at the end of a fiscal year the balance of cash and investments in the Ballpark Revenue Fund exceeds the balance of current liabilities, including debt service, required reserves, fund transfers previously authorized to balance the Fiscal Year 2011 budget and Fiscal Years 2012 through 2014 financial plan, and required sinking fund deposits under the bonds or financing documents required to be paid from the funds in the Ballpark Revenue Fund, the excess shall be used to pay in advance of scheduled maturity any principal amount and accrued interest thereon due on the bonds.”. SUBTITLE J. BUDGET SUPPORT ACT TECHNICAL AMENDMENT ACT OF 2010 Sec. 791. Short title. This subtitle may be cited as the “Budget Support Act Technical Amendment Act of 2010 Emergency Amendment Act of 2010”. Sec. 792. Section 47-392.02(f)(3) is amended by striking the date “May 26, 2010” and inserting the date “December 7, 2010” in its place. Sec. 793. Section 1717(n)(1) of the District of Columbia Government Comprehensive Merit Personnel Act of 1978, effective March 3, 1979 (D.C. Law 2-139; D.C. Official Code § 1- E�ROLLED ORIGI�AL 30 617.17(n)(1 is amended by reinstating the phrase “in excess of the basic non-overtime workday” after the phrase “for employees’ overtime work”. Sec. 794. This subtitle shall apply as of January 3, 2011. SUBTITLE K. CENTRAL UNION MISSION REAL PROPERTY TAX EXEMPTION AND EQUITABLE TAX RELIEF Sec. 795. Short title. This subtitle may be cited as the “Central Union Mission Real Property Tax Exemption and Equitable Tax Relief Act of 2010”. Sec. 796. Chapter 46 of Title 47 of the District of Columbia Official Code is amended as follows a) The table of contents is amended by adding a new section designation to read as follows: “47-4651. Central Union Mission; Lots 825, 826, 830, and 831, Square 2895.” b) A new section 47-4651 is added to read as follows: “§ 47-4651. Central Union Mission; Lots 825, 826, 830, and 831, Square 2895. “(a)(1) The real property, described as Lots 825, 826, 830, and 831, Square 2895 (“Property”) which is owned by Central Union Mission, Inc a District of Columbia nonprofit corporation, shall be exempt from the tax imposed by Chapter 8 of this title so long as the Property continues to be so owned by Central Union Mission, Inc and the Property is not used for commercial purposes, subject to the provisions of §§ 47-1005, 47-1007, and 47-1009 as if the exemption were granted administratively. “(2) Paragraph (1) shall apply to Lots 825 and 826, Square 2895, as of November 1, 2006 and to Lots 830 and 831, Square 2895, as of August 1, 2007. “(b) The transfer of the Property, or any portion thereof, by the Central Union Mission, Inc shall be exempt from the tax imposed by § 47-903.”. SUBTITLE L. ADAMS MORGAN HOTEL REAL PROPERTY TAX ABATEMENT Sec. 797. Short title. “This subtitle may be cited as the “Adams Morgan Hotel Real Property Tax Abatement Act of 2010”. Sec. 798. Chapter 46 of Title 47 of the District of Columbia Official Code is amended as follows a) The table of contents is amended by adding a new section designation to read as follows: “§ 47-4652. Abatement of real property taxes for Adams Morgan Hotel.” b) A new section § 47-4652 is added to read as follows: “§ 47-4652. Abatement of real property taxes for Adams Morgan Hotel. “(a) The tax imposed by Chapter 8 of this title on the real property described as Lot 872, Lot 875, and Lot 127, Square 2560, and any improvements thereon, shall be abated for 20 years in accordance with subsection (b) of this section. “(b) The abatement contained in subsection (a) of this section shall: “(1) Commence with the tax year immediately following the tax year in which the final certificate of occupancy authorizing use of the project as a hotel is issued, but in no case before October 1, 2014; and “(2) Not exceed $46 million in the aggregate over 20 years. “(c) To receive the abatement contained in subsection (a) of this section, the development of the real property as a hotel shall comply with the following: E�ROLLED ORIGI�AL 31 “(1) The development shall comply with § 2-219.03 and § 2-218.46; “(2) At least 51% of construction hours shall be filled by District residents and a minimum of 765 construction full-time equivalent employees. “(3) At least 51% of permanent jobs in the hotel shall be filled by District residents with a minimum of 51% of the District resident jobs reserved for Ward One residents; “(4) All apprenticeships shall be reserved for District residents with preference given to Ward One residents; “(5) A job training program, funded by the developer, shall be established through a District nongovernmental organization, trade union, or nonprofit organization whose core mission is to train and employ District residents; “(6) The developer shall work with an outside auditor or trade union to ensure that local hiring minimums are being met and maintained; and “(7) The development shall include no less than 4000 square feet of community and nonprofit incubator space at no cost to the community.”. TITLE VIII. SPECIAL PURPOSE AND DEDICATED REVENUE FUND TRANSFERS Sec. 801. Short title. This subtitle may be cited as the “Fiscal Year 2011 Transfer of Special Purpose Funds Act of 2010”. Sec. 802 a) Notwithstanding any provision of law limiting the use of funds in the accounts listed in the following chart, the Chief Financial Officer shall transfer from the certified revenues deposited in those accounts, or from certified fund balances in those accounts, to the unrestricted fund balance of the General Fund of the District of Columba, and recognize as revenue in the fiscal year specified, the dollar amounts specified in the chart: Account Number Account Name FY 2011 FY 2012 FY 2013 FY 2014 Office of the Chief Financial Officer (AT0) 0602 Payroll Service Fees $8,440 $8,440 $8,440 $8,440 0603 Service Contracts $12,443 $12,443 $12,443 $12,443 0605 Dishonored Check Fees $35,392 $35,392 $35,392 $35,392 Office of the Attorney General (CB0) 0603 Child Support TANF/AFDC Collections $447,000 $447,000 $447,000 $447,000 0611 Consumer Protection Fund $26,000 $26,000 $26,000 $26,000 0612 Antifraud Fund $10,000 $10,000 $10,000 $10,000 Office of Contracting and Procurement (PO0) 4010 Surplus Personal $29,000 $0 $0 $0 E�ROLLED ORIGI�AL 32 Property Sales Office of the Tenant Advocate (CQ0) 6005 Condominium Conversion $386,266 $0 $0 $0 Department of Consumer and Regulatory Affairs (CR0) 6006 Nuisance Abatement $101,711 $101,711 $101,711 $101,711 6010 OPLA Special Account $81,000 $81,000 $81,000 $81,000 6013 Basic Business License Fund $62,056 $62,056 $62,056 $62,056 6030 Green Building Fund $208,871 $208,871 $208,871 $208,871 Office of Cable Television (CT0) 0600 Cable Franchise Fees $287,814 $0 $0 $0 Department of Housing and Community Development (DB0) 0602 Home Purchase Assistance Program Repayment $14,224 $14,224 $14,224 $14,224 0610 DHCD Unified Fund $29,557 $29,557 $29,557 $29,557 Office of the Deputy Mayor for Economic Development (EB0) 0011 Neighborhood Investment Fund $1,125,996 $1,125,996 $1,125,996 $1,125,996 0609 Industrial Revenue Bond Program $70,800 $70,800 $70,800 $70,800 0632 Economic Development Special Account $128,495 $128,495 $128,495 $128,495 Alcoholic Beverage Regulation Administration (LQ0) 6017 ABC Import and Class License Fees $239,000 $0 $0 $0 Department of Insurance, Securities, and Banking (SR0) 2100 HMO Assessment $32,806 $0 $0 $0 2200 Insurance Assessment $878,871 $0 $0 $0 2600 Securities $344,639 $0 $0 $0 E�ROLLED ORIGI�AL 33 Registration Fees 2800 Captive Insurance $53,465 $0 $0 $0 2900 Banking Trust Fund $89,045 $0 $0 $0 Metropolitan Police Department (FA0) 1660 Automated Traffic Enforcement $4,000,000 $4,000,000 $4,000,000 $4,000,000 Office of Unified Communications (UC0) 1630 911 and 311 Assessments $3,325,565 $472,000 $472,000 $472,000 P25 Radio System Upgrade $1,600,000 $0 $0 $0 District of Columbia Public Library (CE0) 6110 Miscellaneous $60,000 $0 $0 $0 Office of Public Education Facilities Modernization (GM0) 0603 Lease Income $10,000 $10,000 $10,000 $10,000 Department of Health (HC0) 0612 Food Handlers Certification $17,000 $17,000 $17,000 $17,000 0617 Office of Professional Licensing $4,000 $4,000 $4,000 $4,000 0632 Pharmacy Protection $184,000 $184,000 $184,000 $184,000 0633 Radiation Protection $9,000 $9,000 $9,000 $9,000 0638 Animal Control Dog License Fees $10,000 $10,000 $10,000 $10,000 0643 Board of Medicine $366,000 $366,000 $366,000 $366,000 0649 Health Facility Fee $3,000 $3,000 $3,000 $3,000 0661 ICF/MR Fees and Fines $6,000 $6,000 $6,000 $6,000 0662 Civil Monetary Penalties $7,000 $7,000 $7,000 $7,000 Department of Transportation (KA0) 6900 DDOT Unified Fund $6,090,205 $6,090,205 $6,090,205 $6,090,205 District Department of the Environment (KG0) 0600 General $16,594 $16,594 $16,594 $16,594 E�ROLLED ORIGI�AL 34 Enforcement Fines and Fees 0607 Underground Storage Tank Fines and Fees $20,464 $20,464 $20,464 $20,464 0609 LUST Trust Fund $9,600 $9,600 $9,600 $9,600 0634 Soil Erosion/ Sediment Control $239,257 $239,257 $239,257 $239,257 0645 Pesticide Product Registration $554,541 $554,541 $554,541 $554,541 0646 Storm Water Fees $2,040 $2,040 $2,040 $2,040 0648 Asbestos Certification and Abatement Fee $73,227 $73,227 $73,227 $73,227 0662 Renewable Energy Development Fund $344,459 $200,000 $200,000 $200,000 0664 Adjudication Hearings (Air Quality 6,480 $6,480 $6,480 $6,480 0665 Adjudication Hearings (Water Quality 480 $480 $480 $480 0667 Wetlands Fund $600 $600 $600 $600 0668 Lead Poisoning Prevention Fund $9,600 $9,600 $9,600 $9,600 0669 Lead Based Certification Fees $20,764 $20,764 $20,764 $20,764 0674 Hazardous Generator Fees $22,041 $22,041 $22,041 $22,041 6101 Stripperwell $7,254 $7,254 $7,254 $7,254 6201 Economy II $29,661 $29,661 $29,661 $29,661 6202 Residential Aid Discount $19,680 $19,680 $19,680 $19,680 6203 Residential Essential Services $22,080 $22,080 $22,080 $22,080 6204 WASA Utility Discount Program $28,800 $28,800 $28,800 $28,800 E�ROLLED ORIGI�AL 35 6400 DC Municipal Aggregation Program $12,000 $12,000 $12,000 $12,000 6700 Sustainable Energy Trust Fund $1,401,187 $1,401,187 $1,401,187 $1,401,187 6800 Energy Assistance Trust Fund $231,974 $231,974 $231,974 $231,974 Department of Motor Vehicles (KV0) 6258 Motor Vehicle Inspection Station $424,000 $424,000 $424,000 $424,000 Taxicab Commission (TC0) 2200 Taxicab Assessment $20,529 $20,529 $20,529 $20,529 Tobacco Fund n/a Tobacco Fund $3,500,000 $0 $0 $0 (b) Section 102(b)(4) of the Community Access to Health Care Amendment Act of 2006, effective March 14, 2007 (D.C. Law 16-288; D.C. Official Code § 7-1932(b)(4 is amended by striking the phrase 20 million" and inserting the phrase 16.5 million" in its place. TITLE IX. CAPITAL PROJECT MODIFICATIONS Sec. 901. Short title. This title may be cited as the “Capital Project Modifications Act of 2010”. Sec. 902. Eleventh Street bridge funding a) The fiscal year 2011 funding for capital project KA0-EW002 (East Washington Street Traffic Relief and the associated lifetime funding, is increased by $4.171 million in pay- go capital funds b) In addition to the funds appropriated to capital project KA0-EW002 (East Washington Street Traffic Relief) for the 11th Street Bridges project, the District Department of Transportation may expend any funds that are paid to the District by third parties to compensate the District for conducting work at the request of or for the benefit of such third parties associated with the construction of the 11th Street Bridges project. Sec. 903. Washington Metropolitan Area Transit Authority projects a) The capital funding for capital projects KE0-SA202 (Metrobus) and KE0-SA301 (Metrorail Rehabilitation) shall be as follows: FY 2011 FY 2012 FY 2013 FY 2014 FY 2015 FY 2016 6-Year Total E�ROLLED ORIGI�AL 36 Project KE0- SA202 (Metrobus) 31,997,070 30,747,625 31,053,500 31,473,250 32,092,965 38,735,590 196,100,000 Project KE0- SA301 (Metrorail Rehabilitation) 33,916,070 33,366,625 34,072,500 34,892,250 36,011,965 28,954,590 201,214,000 (b) The funding by source and funding by phases of the 2 projects shall remain the same as set forth in Volume 6 of the FY 2011 Proposed Budget and Financial Plan submitted to the Congress of the United States by the government of the District of Columbia on July 1, 2010. Sec. 904. Realignment of capital project funding a) To provide for critical equipment needs in the Department of Public Works, the following project is established in the amount indicated for fiscal year 2011 from funds provided by the rescission of master lease and allotment authority as shown in subsection (b) of this section: Agency Fund Source Project Project Name New Funding Amount DPW 302 New Heavy equipment for snow and solid waste services $3,836,000 (b) The authorization and allotment of the following project is being rescinded by the amount shown in the chart below to support the project described in subsection (a) of this section. Agency Fund Source Project Project Name Rescission Amount TO0 302 N2501C DATA CENTER RELOCATION (3,836,000 c) The authorization and allotment of the following projects is rescinded in the amount shown on the chart below to support the project described in subsection (d) of this section. Agency Fund Detail Project �o Project Title Rescission Amount AM0 300 AA237C RENOVATION OF DC ARMORY (26,412) AM0 300 AA416C RENOVATION OF HVAC SYSTEM (26,970) AM0 300 AA517C RENOVATION OF MORTUARY, PHOTOGRAPHIC AND (189,583) AM0 300 CAC38C BUNDY SCHL CHILD ADVOCACY MOD 552) AM0 300 EA337C RENOVATION/MODERNIZATION (4,740) AM0 300 EA437C RENOVATION (299) AM0 300 EA710B NEIGHBORHOOD REVITALIZATION (175) E�ROLLED ORIGI�AL 37 AM0 300 HC103C STD CLINIC (419) AM0 300 HC104C IMMUNIZATION PROGRAM (22) AM0 300 HN706C RENOVATION OF WOMEN SERVICE CLINIC (6,390) AM0 300 HN707C RENOVATION OF CHEST CLINIC (25,191) AM0 300 HY904C RENOVATION OF DETOX CLINIC (107,097) AM0 300 LB301C GENERAL IMPRV VAR LIBRARY BRANCH (45,952) AM0 300 N1410C ELECTRONIC SECURITY STANDARDIZATION (32,354) AM0 300 N1412C GOV. CTRS. POOLV/ ANACOSTIA GATEWAY (FEM (178,150) AM0 300 N1414C GOVT CENTER-DMV FAC (COP FUND 6,563) AM0 300 PA837C COMPLETE RENOV amp; MODERNIZATION (15,199) AM0 300 R1616C COOLING PLANTS HVAC (115,156) AM0 300 R1717C PLUMBING FIXTURES (17,786) AM0 300 R2020C EMERGENCY SYSTEMS (153,488) AM0 300 R2207C CHILLER ROOM CEILING (6,590) AM0 300 R2401C ELECTRICAL RENOVATIONS (48,851) AM0 300 R2501C MECHANICAL RENOVATIONS (60,754) AM0 300 R2601C ROOF REPLACEMENTS (5,967) AM0 300 R2801C BOILER PLANT RENOVATIONS (73,928) AM0 300 SB616C UPGRADE COOLING HVAC SYSTEM AT CCNV SH (10,000) AM0 300 SE405C ROOFING (8,876) AM0 300 SH733C OAK HILL YOUTH FACILITY (6,572) AM0 300 WTF03C SALT DOME RENOVATIONS 401 FARRAGUT ST (192,235) BD0 300 PLN36C AGENCY RELOCATION (81,315) CC0 300 G0D99C D.C. GENERAL HOSPITAL (0) CC0 300 GB101C ROOF REPLACEMENTS-VARIOUS POLICE STATIONS (1,000) CC0 300 H8503C ROOF REPLACEMENTS 2ND STREET HOMELESS (7,393) CC0 300 LB202C REHABILITATION OF ELEVATORS VARIOUS BR (40) CR0 300 ISM08C RECORDS MANAGEMENT (110,381) EB0 300 AW506C ARCHITECH OF THE CAPITAL (15) EB0 300 EB101C ONE STOP BUS CENTER (54,664) EB0 300 EB431C O STREET RAIN GARDEN (43,732) ELC 300 REQ40C MASTER EQUIPMENT LEASE PARKS AND REC (299,308) FA0 300 KA337C INDOOR FIRE RANGE RENOVATION (52,564) FA0 300 KA437C RESIDENTIAL TRAINING (1,579) FB0 300 LF337C FLEET MAINTENANCE BUILDING (138,199) GA0 300 NB437C BIRNEY ES MODERNIZATION/RENOVATION (54,000) GM0 300 NK337C MINER ELEMENTARY (104,345) GM0 300 NK537C MINER ELEMENTARY (15,817) GM0 300 NL437C PATTERSON ELEMENTARY (110,616) GM0 300 NN138C SAVOY ELEMENTARY SCHOOL (54,603) GM0 300 SG405C NOYES ES (801) JA0 300 HZ106C YOUTH SERVICES ADMINISTRATION (6,259) HA0 300 QA139C FORT RENO REGULATION PLAYING FIELDS (24,523) HA0 300 QA438C LAMOND REC CNTR (11,082) HA0 301 QH438C PARKS & RECREATION-MAINTENANCE & REPAIRS (2,610) HA0 300 RE015C HAGAN CULTURAL CNTR 448) E�ROLLED ORIGI�AL 38 HA0 300 RG010C GENERAL IMPROVEMENTS INFRASTRUCTURE (13,751) HA0 300 RN001C NEW RECREATION FACILITIES (1,302) HA0 300 RN014C CHILDREN'S ISLAND (15,202) HC0 303 R1540C HIPAA AND SECURITY IT (3) HC0 300 RA340C OCCUPATIONAL & PROFESSIONAL LICENCE SYS (5,203) KA0 330 CA202C FY 2002 SIDEWALK/CURB/ALLEY WARDS 3&4 (11) KA0 300 CA203C FY 2002 SIDEWALK/CURB/ALLEY WARDS 5&6 (52) KA0 335 CK302C ADAMS MORGAN STREETSCAPE/CHAMPLAIN ST 1,258,912 d) The authorization and allotment of the following project rescinded in subsection (b) of this section is being restored by the same amount as shown in the chart. These funds are provided by the amounts rescinded in subsection (c) of this section. Agency Fund Source Project Project Name Restored Funding Amount TO0 300 N2501C DATA CENTER RELOCATION 3,836,000 (e) The authorization and allotment of the Connecticut Avenue Streetscape project is increased by $200,000. These funds are provided by a rescission from the Tactical Village project as shown in the chart below. Agency Fund Source Project Project Name Changed Funding Amount KAO 300 EDL15C Connecticut Avenue Streetscape 200,000 FAO 300 CTV10C Tactical Village (200,000) TITLE X. FISCAL IMPACT AND EFFECTIVE DATE Sec. 1001. Fiscal impact statement. The Council adopts the fiscal impact statement of the Chief Financial Officer as the fiscal impact statement required by section 602(c)(3) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 813; D.C. Official Code § 1-206.02(c)(3 Sec. 1002. Effective date. This act shall take effect following approval by the Mayor (or in the event of veto by the Mayor, action by the Council to override the veto a 30-day period of Congressional review as provided in 602(c)(1) of the District of Columbia Home Rule Act, approved December 24, 1973 E�ROLLED ORIGI�AL 39 (87 Stat. 813; D.C. Official Code § 1-206.02(c)(1 and publication in the District of Columbia Register Chairman Council of the District of Columbia Mayor District of Columbia SUBTITLE A. GRANDPARENTS CAREGIVER PROGRAM AND LONG-TERM PERMANENT GUARDIANSHIP SUBSIDIES
- + 422 Patricia R. Harris Educational Center School building and site. The University of the District of Columbia shall have exclusive use of the diff --git a/us/dc/council/periods/22/laws/22-33.xml b/us/dc/council/periods/22/laws/22-33.xml index c0dd3c9da8..ad829e4937 100644 --- a/us/dc/council/periods/22/laws/22-33.xml +++ b/us/dc/council/periods/22/laws/22-33.xml @@ -5055,7 +5055,7 @@ Short title. This subtitle may be cited as the "UDC Patricia R. Harris Facility Exclusive Use Amendment Act of 2017".
-
+
4072 Section 422 of the University of the District of Columbia Expansion Act of 2010, effective April 8, 2011 (D.C. Law 18-370; D.C. Official Code § 10-507.01, note), is amended as follows: diff --git a/us/dc/council/periods/25/index.xml b/us/dc/council/periods/25/index.xml index 4b4215c718..fba481bde6 100644 --- a/us/dc/council/periods/25/index.xml +++ b/us/dc/council/periods/25/index.xml @@ -34,8 +34,6 @@ Laws - - From 8f02c97a1d1dce615b7e25a60c0ef3b6f886986a Mon Sep 17 00:00:00 2001 From: Alexis Byrd Date: Thu, 3 Oct 2024 15:16:26 -0400 Subject: [PATCH 3/5] FY 25 LBA --- us/dc/council/periods/25/acts/25-551.xml | 682 ++++++++++++++++++++++ us/dc/council/periods/25/index.xml | 2 + us/dc/council/periods/25/laws/25-218.xml | 684 +++++++++++++++++++++++ 3 files changed, 1368 insertions(+) create mode 100644 us/dc/council/periods/25/acts/25-551.xml create mode 100644 us/dc/council/periods/25/laws/25-218.xml diff --git a/us/dc/council/periods/25/acts/25-551.xml b/us/dc/council/periods/25/acts/25-551.xml new file mode 100644 index 0000000000..75d65d3b42 --- /dev/null +++ b/us/dc/council/periods/25/acts/25-551.xml @@ -0,0 +1,682 @@ + + + 25-551 + 25-949 + Fiscal Year 2025 Local Budget Emergency Act of 2024 + To adopt, on an emergency basis, the local portion of the budget of the District of Columbia government for the fiscal year ending September 30, 2025. + + 2024-09-16 + 2024-10-02 + + D.C. Act 25-551 + 0 DCR 0 + + + + + 2024-10-02 + + Retained by the Council + + + BE IT ENACTED BY THE COUNCIL OF THE DISTRICT OF COLUMBIA, That this act may be cited as the "Fiscal Year 2025 Local Budget Emergency Act of 2024". +
+ 2 + Adoption of the local portion of the Fiscal Year 2025 budget. + The following expenditure levels are adopted pursuant to section 446(a) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 801; D.C. Official Code § 1-204.46(a)), as the local portion of the budget for the government of the District of Columbia for the fiscal year ending September 30, 2025. + + DISTRICT OF COLUMBIA BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER 30, 2025 + The following amounts are appropriated for the District of Columbia government for the fiscal year ending September 30, 2025 ("Fiscal Year 2025"), out of the General Fund of the District of Columbia ("General Fund"), 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 22, 2000 (114 Stat. 2440; D.C. Official Code § 1-204.50a), and provisions of this act, the total amount appropriated in this act for operating expenses for the District of Columbia for Fiscal Year 2025 shall not exceed the lesser of the sum of the total revenues of the District of Columbia for such fiscal year or $21,220,808,882 (of which $11,632,928,283 shall be from local funds, $766,660,429 shall be from dedicated taxes, $1,548,760,490 shall be from federal grant funds, $3,615,272,583 shall be from Medicaid payments, $825,510,099 shall be from other funds, $7,530,419 shall be from other federal funds, $15,174,904 shall be from private funds, $163,546,520 shall be from funds requested to be appropriated by the Congress as federal payments pursuant to the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, passed on May 7, 2025 (Enrolled version of Bill 25-786) ("Fiscal Year 2025 Federal Portion Budget Request Act of 2024") and federal payment funds for COVID relief, $275,660,258 shall be from enterprise and other funds – dedicated taxes, and $2,369,764,897 shall be from enterprise and other funds); provided further, that of the local funds, such amounts as may be necessary may be derived from the General Fund balance; provided further, that amounts appropriated under this act 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. 774; D.C. Official Code § 1-201.01 et seq.); provided further, that local funds are appropriated, without regard to fiscal year, in such amounts as may be necessary to pay vendor fees, including legal fees, that are obligated in this fiscal year, to be paid as a fixed percentage of District revenue recovered from third parties on behalf of the District under contracts that provide for payment of fees based upon and from such District revenue as may be recovered by the vendor; provided further, that amounts appropriated pursuant to this act as operating funds may be transferred to enterprise and capital funds and such amounts, once transferred, shall retain appropriation authority consistent with the provisions of this act; provided further, that there may be reprogrammed or transferred for operating expenses any local funds transferred or reprogrammed in this or the 4 prior fiscal years from operating funds to capital funds, and such amounts, once transferred or reprogrammed, shall retain appropriation authority consistent with the provisions of this act; except, that there may not be reprogrammed for operating expenses any funds derived from bonds, notes, or other obligations issued for capital projects; provided further, that the local funds (including dedicated taxes) and other funds appropriated by this act may be reprogrammed and transferred as provided in Subchapter IV of Chapter 3 of Title 47 of the District of Columbia Official Code, or as otherwise provided by law, through November 15, 2025; provided further, that local funds and other funds appropriated under this act may be expended by the Mayor for the purpose of providing food and beverages, not to exceed $30 per employee per day, to employees of the District of Columbia government while such employees are deployed in response to or during a declared snow or other emergency; provided further, that local funds and other funds appropriated under this act may be expended by the Mayor to provide food and lodging, in amounts not to exceed the General Services Administration per diem rates, for youth, young adults, and their parents or guardians who participate in a program of the District of Columbia government that involves overnight travel outside the District of Columbia; provided further, that notwithstanding any other provision of law, local funds are appropriated, without regard to fiscal year, to the extent such funds are certified as available by the Chief Financial Officer of the District of Columbia, to pay termination costs of multiyear contracts entered into by the District of Columbia during this fiscal year, to design, construct, improve, maintain, operate, manage, or finance infrastructure projects procured pursuant to the Public-Private Partnership Act of 2014, effective March 11, 2015 (D.C. Law 20-228; D.C. Official Code § 2-271.01 et seq.), including, by way of example and not limitation, a project for the replacement and modernization of the District of Columbia's streetlight system and a project for the rehabilitation and modernization of the Henry J. Daly Building, and such termination costs may be paid from appropriations available for the performance of such contracts or the payment of termination costs or from other appropriations then available for any other purpose, not including the emergency cash reserve fund (D.C. Official Code § 1-204.50a(a)) or the contingency cash reserve fund (D.C. Official Code § 1-204.50a(b)), which, once allocated to these costs, shall be deemed appropriated for the purposes of paying termination costs of such contracts and shall retain appropriations authority and remain available until expended; provided further, that notwithstanding any other provision of law, local funds are appropriated, without regard to fiscal year, to the extent such funds are certified as available by the Chief Financial Officer of the District of Columbia, to pay termination, transfer, or change of ownership costs of multiyear contracts entered into by the District of Columbia during this fiscal year, to design, construct, improve, maintain, operate, manage, and finance infrastructure projects for the purpose of on-site generation and distribution of energy, including, by way of example and not limitation, a project on the St. Elizabeths campus for the construction and operation of an energy resources microgrid, and such termination, transfer, or change of ownership costs may be paid from appropriations available for the performance of such contracts or the payment of termination, transfer, or change of ownership costs or from other appropriations then available for any other purpose, not including the emergency cash reserve fund (D.C. Official Code § 1-204.50a(a)) or the contingency cash reserve fund (D.C. Official Code § 1-204.50a(b)), which, once allocated to these costs, shall be deemed appropriated for the purposes of paying termination, transfer or change of ownership costs of such contracts and shall retain appropriations authority and remain available until expended; provided further, that during Fiscal Year 2025 and any subsequent fiscal year, notwithstanding any other provision of law, the District of Columbia may enter into annual and multiyear agreements with the National Park Service for the purposes of planning, designing, constructing, maintaining, improving, and operating District of Columbia transportation infrastructure and related appurtenances on National Park Service land in the District of Columbia, and may in each fiscal year of such agreement expend such funds to implement the agreement as may be appropriated and available in that fiscal year for such purposes; provided further, that notwithstanding Subchapter IV of Chapter 3 of Title 47 of the District of Columbia Official Code, in Fiscal Year 2025, amounts appropriated from funds received from the federal government under the American Rescue Plan Act, approved March 11, 2021 (Pub. L. No. 117-2; 135 Stat. 4) ("ARPA") or the Coronavirus Aid, Relief, and Economic Security Act, approved March 27, 2020 (Pub. L. No. 116-136; 134 Stat. 281) ("CARES Act") may be transferred or reprogrammed between appropriated funds, consistent with the requirements of the ARPA and the CARES Act and consistent with the purpose for which the funds are appropriated under this act, upon the request of the Mayor to the Chief Financial Officer and certification of the availability of the funds by the Office of the Chief Financial Officer, and such amounts, once transferred, shall retain appropriation authority consistent with the provisions of this act; provided further, that amounts appropriated from funds received from the federal government under the ARPA and the CARES Act shall be available until expended, provided that such funds are expended for the same purpose for which the funds are appropriated under this act; provided further, that the amounts appropriated from funds received from the federal government under the Emergency Rental Assistance Program may be increased by such additional amounts as may be received pursuant to that program during Fiscal Year 2025; provided further, that any unspent amount remaining in a non-lapsing fund described below at the end of Fiscal Year 2024 is to be continually available, allocated, appropriated, and expended for the purposes of such fund in Fiscal Year 2025 in addition to any amounts deposited in and appropriated to such fund in Fiscal Year 2025; provided further, that the Chief Financial Officer shall take such steps as are necessary to assure that the foregoing requirements are met, including the apportioning by the Chief Financial Officer of the appropriations and funds made available during Fiscal Year 2025: + + + Governmental Direction and Support + + (a) + For governmental direction and support, $1,189,949,568 (including $1,031,991,178 from local funds, $349,512 from dedicated taxes, $41,269,488 from federal grant funds, $115,613,923 from other funds, and $725,467 from private funds), to be allocated as follows; provided, 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: + + (1) + Board of Elections. $15,060,500 (including $14,560,500 from local funds and $500,000 in federal grant funds); + + + (2) + Board of Ethics and Government Accountability: $4,067,321 (including $3,938,065 from local funds and $129,256 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Ethics Fund, the Lobbyist Administration and Enforcement Fund, and the Open Government Fund; + + + (3) + Captive Insurance Agency: $11,371,699 (including $10,521,699 from local funds and $850,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Captive Trust Fund, the Medical Captive Insurance Claims Reserve Fund, and the Subrogation Fund; + + + (4) + Contract Appeals Board: $1,973,371 from local funds; + + + (5) + Council of the District of Columbia: $37,222,621 from local funds; provided, that not to exceed $150,000 of this amount shall be available for the Chairman for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that funds appropriated under this act may be used to pay expenses for employees of the Council of the District of Columbia to obtain or maintain professional credentials in the District that are related to their employment at the Council, including bar admission fees, bar dues and fees, court admission fees, and examinations to obtain such credentials; provided further, that funds appropriated under this act may be used for uniform apparel for employees of the Council of the District of Columbia; provided further, that Councilmembers of the Council of the District of Columbia may use the electric car charging station located outside the John A. Wilson Building to charge their personal vehicles in accordance with policies established by the Secretary to the Council; provided further, that amounts provided under this heading shall be available for the making of payment of legal settlements or judgments that have been entered against the Council; provided further, that all funds deposited, without regard to fiscal year, into the Council Technology Projects Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (6) + Department of General Services: $407,270,581 (including $404,651,884 from local funds, $349,512 from dedicated taxes, and $2,269,185 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Eastern Market Enterprise Fund and the West End Library and Fire Station Maintenance Fund; + + + (7) + Department of Human Resources: $21,939,998 (including $13,142,217 from local funds and $8,797,781 from other funds); + + + (8) + Employees' Compensation Fund: $18,905,738 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Employees' Compensation Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (9) + Executive Office of the Mayor: $21,813,704 (including $17,482,608 from local funds, and $4,331,096 from federal grant funds); provided, that not to exceed $25,000 of such amount, from local funds, shall be available for the Mayor for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that all funds deposited, without regard to fiscal year, into the Emancipation Day Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (10) + Mayor's Office of Legal Counsel: $1,835,079 from local funds; + + + (11) + Metropolitan Washington Council of Governments: $1,097,033 from local funds; + + + (12) + Office of Advisory Neighborhood Commissions: $2,532,071 from local funds; provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Advisory Neighborhood Commissions Technical Support and Assistance Fund and the Office of Advisory Neighborhood Commission Security Fund; + + + (13) + Office of Campaign Finance: $7,839,577 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Fair Elections Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (14) + Office of Contracting and Procurement: $30,204,246 (including $27,611,671 from local funds and $2,592,575 from other funds); + + + (15) + Office for the Deaf, Deafblind, and Hard of Hearing: $1,722,017 from local funds; + + + (16) + Office of Disability Rights: $2,053,669 (including $1,426,099 from local funds and $627,570 from federal grant funds); + + + (17) + Office of Employee Appeals: $2,540,221 from local funds; + + + (18) + Office of Finance and Resource Management: $31,681,595 (including $31,458,892 from local funds and $222,703 from other funds); + + + (19) + Office of Labor Relations and Collective Bargaining: $3,656,754 from local funds; + + + (20) + Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs: $2,294,221 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (21) + Office of Risk Management: $4,677,239 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Subrogation Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (22) + Office of the Attorney General for the District of Columbia: $161,017,685 (including $99,416,331 from local funds, $29,519,561 from federal grant funds, $31,356,326 from other funds, and $725,467 from private funds); provided, that not to exceed $25,000 of this amount, from local funds, shall be available for the Attorney General for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that local and other funds appropriated under this act may be used to pay expenses for District government attorneys at the Office of the Attorney General for the District of Columbia to obtain professional credentials, including bar dues and court admission fees, that enable these attorneys to practice law in other state and federal jurisdictions and appear outside the District in state and federal courts; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Child Support-Reimbursements and Fees Fund, the Child Support-Interest Income Fund, the Child Support-Temporary Assistance for Needy Families Fund, the Drug-, Firearm-, or Prostitution-Related Nuisance Abatement Fund, and the Litigation Support Fund; provided further, that this amount may be further increased by amounts deposited into the Attorney General Restitution Fund, the Vulnerable and Elderly Person Exploitation Restitution Fund, and the Tenant Receivership Abatement Fund, which shall be continually available, without regard to fiscal year, until expended; + + + (23) + Office of the Chief Financial Officer: $231,738,791 (including $175,986,998 from local funds, $1,678,000 from federal grant funds, and $54,073,794 from other funds); provided, that not to exceed $10,600 of such amount, from local funds, shall be available for the Chief Financial Officer for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that 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 all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Other Post-Employment Benefits Fund, the Recorder of Deeds Automation Fund, and the Child Trust Fund; + + + (24) + Office of the Chief Technology Officer: $105,462,823 (including $91,106,392 from local funds, $1,700,701 from federal grant funds, and $12,655,730 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the DC-NET Services and Innovation Fund and the Technology Infrastructure Services Support Fund; + + + (25) + Office of the City Administrator: $10,344,049 from local funds; provided, that not to exceed $10,600 of such amount, from local funds, shall be available for the City Administrator for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); + + + (26) + Office of the District of Columbia Auditor: $7,967,088 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Audit Engagement Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (27) + Office of the Inspector General: $24,009,089 (including $19,496,529 from local funds, $1,600,000 from other funds and $2,912,560 from federal grant funds); provided, that all funds deposited, without regard to fiscal year, into the Inspector General Support Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (28) + Office of the Secretary: $5,333,813 (including $4,333,813 from local funds and $1,000,000 from other funds); + + + (29) + Office of the Senior Advisor: $1,394,068 from local funds; + + + (30) + Office of Veterans Affairs: $1,246,526 (including $1,179,954 from local funds and $66,572 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Office of Veterans Affairs Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (31) + Office on Asian and Pacific Islander Affairs: $1,561,521 from local funds; + + + (32) + Office on Latino Affairs: $6,362,027 from local funds; + + + (33) + Public Employee Relations Board: $1,420,948 from local funds; + + + (34) + Statehood Initiatives: $266,883 from local funds; provided, that all funds deposited, without regard to fiscal year, into the New Columbia Statehood Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; and + + + (35) + Uniform Law Commission: $65,000 from local funds. + + + + + Economic Development and Regulation + + (a) + For economic development and regulation, $528,848,654 (including $363,332,925 from local funds, $48,151,560 from dedicated taxes, $37,318,523 from federal grant funds, $72,515,227 from other funds, and $7,530,419 from other federal funds), to be allocated as follows: + + (1) + Business Improvement Districts Transfer: $57,600,000 (including $2,600,000 from local funds and $55,000,000 from other funds); + + + (2) + Commission on the Arts and Humanities: $48,177,900 (including $47,200,959 from dedicated taxes and $976,941 from federal grant funds); provided, that all dedicated taxes shall be deposited into the Arts and Humanities Fund; provided further, that all funds deposited, without regard to fiscal year, into the Arts and Humanities Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that budgeted funds in the available fund balance of the Arts and Humanities Fund may be obligated in Fiscal Year 2025 pursuant to grant awards, through September 30, 2028, and that such funds so obligated are authorized for expenditure and shall remain available for expenditure until September 30, 2028; + + + (3) + Department of Housing and Community Development: $99,764,738 (including $53,989,058 from local funds, $34,045,261 from federal grant funds, $7,530,419 from other federal funds, and $4,200,000 from other funds); provided, that of such funds, the funds allocated to the District from the Homeowner Assistance Fund established under section 3206 of the American Rescue Plan Act of 2021, approved March 11, 2021 (135 Stat. 63; 15 U.S.C. § 9058d), shall remain available until expended; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Department of Housing and Community Development Unified Fund, the Home Again Revolving Fund, the Home Purchase Assistance Program-Repayment Fund, the Housing Preservation Fund, the Negotiated Employee Affordable Housing Fund, and the Section 108 Debt Reserve Account; provided further, that all funds deposited, without regard to fiscal year, into the Rental Housing Registration Fund are authorized for expenditure starting at the beginning of the applicable time period set forth section in 203e(d) of the Rental Housing Act of 1985, effective October 30, 2018 (D.C. Law 22-168; D.C. Official Code § 42-3502.03e(d)), and shall remain available for expenditure until September 30, 2025; + + + (4) + Department of Small and Local Business Development: $24,782,672 (including $23,800,352 from local funds, $312,000 from dedicated taxes, and $670,321 from federal grant funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Small Business Capital Access Fund, the Small Business Licensing Fee Reimbursement Relief Fund, the Streetscape Business Development Relief Fund, the Ward 7 and Ward 8 Entrepreneur Grant Fund, and the Medical Cannabis Social Equity Fund; + + + (5) + Housing Authority Payment: $187,770,049 from local funds; + + + (6) + Housing Production Trust Fund Subsidy: $21,000,000 from local funds; + + + (7) + Office of Cable Television, Film, Music, and Entertainment: $14,897,426 (including $7,570,859 from local funds and $7,326,567 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Film, Television, and Entertainment Rebate Fund and the OCTFME Special Account; + + + (8) + Office of Planning: $15,110,301 (including $14,434,301 from local funds, $626,000 from federal grant funds, and $50,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Historic Landmark-District Protection (Local) Fund and the Historical Landmark-District Protection (O-Type) Fund; + + + (9) + Office of the Deputy Mayor for Planning and Economic Development: $47,900,820 (including $40,993,284 from local funds, $638,601 from dedicated taxes, $1,000,000 from federal grant funds, and $5,268,935 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Economic Development Special Account, the Industrial Revenue Bond Account, the Soccer Stadium Financing Fund, the St. Elizabeths East Campus Redevelopment Fund, the Vitality Fund, the Walter Reed Redevelopment Fund, and the Walter Reed Reinvestment Fund; + + + (10) + Office of the Tenant Advocate: $4,175,757 (including $3,506,032 from local funds and $669,725 from other funds); + + + (11) + Office of Zoning: $4,285,704 from local funds; + + + (12) + Real Property Tax Appeals Commission: $2,019,994 from local funds; and + + + (13) + Rental Housing Commission: $1,363,293 from local funds. + + + + + Public Safety and Justice + + (a) + For public safety and justice, $1,912,416,821 (including $1,579,104,290 from local funds, $284,739,132 from federal grant funds, $300,000 from Medicaid payments, $43,396,709 from other funds, $598,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $600,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for the District of Columbia National Guard" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $2,450,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment to the Criminal Justice Coordinating Council" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $300,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, and $928,690 from private funds), to be allocated as follows: + + (1) + Commission on Judicial Disabilities and Tenure: $974,426 (including $376,426 from local funds and $598,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); + + + (2) + Corrections Information Council: $1,288,948 from local funds; + + + (3) + Criminal Code Reform Commission: $890,125 from local funds; + + + (4) + Criminal Justice Coordinating Council: $4,582,435 (including $2,057,435 from local funds, $75,000 from federal grant funds, and $2,450,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment to the Criminal Justice Coordinating Council" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); + + + (5) + Department of Corrections: $221,434,789 (including $203,229,126 from local funds, $552,527 from federal grant funds, and $17,653,136 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Correction Reimbursement-Juveniles Fund, the Department of Corrections Reimbursement Fund, and the Inmate Welfare Fund; + + + (6) + Department of Forensic Sciences: $36,057,999 (including $34,673,869 from local funds, $455,440 from federal grant funds, and $928,690 from private funds); provided, that all funds deposited, without regard to fiscal year, into the Department of Forensic Sciences Laboratory Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (7) + Department of Youth Rehabilitation Services: $92,739,895 from local funds; + + + (8) + District of Columbia National Guard: $20,068,454 (including $5,860,323 from local funds, $13,578,131 from federal grant funds, $30,000 from other funds, and $600,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for the District of Columbia National Guard" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided, 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 pursuant to this act, and the availability of the sums shall be deemed as constituting payment in advance for emergency services involved; + + + (9) + District of Columbia Sentencing Commission: $1,793,052 from local funds; + + + (10) + Fire and Emergency Medical Services Department: $369,339,115 (including $300,371,406 from local funds, $1,800,460 from other funds, and $67,167,249 from federal grant funds); provided, that all funds deposited, without regard to fiscal year, into the Fire and Emergency Medical Services Department EMS Reform Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (11) + Homeland Security and Emergency Management Agency: $187,544,539 (including $6,180,145 from local funds and $181,364,394 from federal grant funds); + + + (12) + Judicial Nomination Commission: $337,355 (including $37,355 from local funds and $300,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); + + + (13) + Metropolitan Police Department: $572,948,340 (including $561,635,716 from local funds, $4,884,677 from federal grant funds, and $6,427,947 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Asset Forfeiture Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (14) + Office of Administrative Hearings: $12,059,026 (including $11,759,026 from local funds and $300,000 from Medicaid payments); + + + (15) + Office of Human Rights: $9,956,018 (including $9,554,607 from local funds and $401,412 from federal grant funds); + + + (16) + Office of Neighborhood Safety and Engagement: $25,713,505 from local funds; provided, that the Office of Neighborhood Safety and Engagement is authorized to spend appropriated funds for the purposes set forth in section 101 of the Neighborhood Engagement Achieves Results Amendment Act of 2016, effective June 30, 2016 (D.C. Law 21-125; D.C. Official Code § 7-2411); provided further, that all funds deposited, without regard to fiscal year, into the Neighborhood Safety and Engagement Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (17) + Office of Police Complaints: $3,309,210 from local funds; + + + (18) + Office on Returning Citizen Affairs: $2,917,137 from local funds; + + + (19) + Office of the Chief Medical Examiner: $15,700,845 (including $15,382,844 from local funds and $318,001 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Office of the Chief Medical Examiner Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (20) + Office of the Deputy Mayor for Public Safety and Justice: $16,549,469 from local funds; + + + (21) + Office of Unified Communications: $63,665,616 (including $46,952,663 from local funds, $104,535 from federal grant funds, and $16,608,419 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Emergency and Non-Emergency Number Telephone Calling Systems Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (22) + Office of Victim Services and Justice Grants: $109,092,524 (including $92,378,011 from local funds, $16,155,767 from federal grant funds, and $558,745 from other funds); provided, that $31,667,840 shall be made available to award a grant to the District of Columbia Bar Foundation for the purpose of administering the Access to Justice Initiative, of which not less than $350,000 shall be available to fund the District of Columbia Poverty Lawyer Loan Repayment Assistance Program, and of which not less than $10,000,000 shall be available to fund the Civil Legal Counsel Projects Program; provided further, that the funds authorized for expenditure for the Access to Justice Initiative, including the Access to Justice Grants Program, the District of Columbia Poverty Lawyer Loan Repayment Assistance Program, and the Civil Legal Counsel Projects Program, shall remain available for expenditure, without regard to fiscal year, until September 30, 2025; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Community-Based Violence Reduction Fund, the Crime Victims Assistance Fund, the Private Security Camera Incentive Fund, and the Shelter and Transitional Housing for Victims of Domestic Violence Fund; and + + + (23) + Police Officers' and Firefighters' Retirement System: $143,454,000 from local funds. + + + + + Public Education Systems + + (a) + For the public education systems, $4,220,782,771 (including $3,601,569,061 from local funds, $456,498,343 from federal grant funds, $96,058,194 from other funds, $40,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Resident Tuition Support" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $17,500,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for School Improvement" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024 for the purposes specified in section 3004(b) of the Scholarships for Opportunity and Results Act, approved April 15, 2011 (125 Stat 200; D.C. Official Code § 38-1853.04(b)), and $9,157,173 from private funds), to be allocated as follows: + + (1) + Department of Employment Services: $196,989,745 (including $70,917,907 from local funds, $54,843,943 from federal grant funds, $70,006,772 from other funds, and $1,221,123 from private funds); provided, that the Department of Employment Services is authorized to spend appropriated funds to provide food and non-alcoholic beverages and monetary and non-monetary incentives for participants in its programs, as provided by other District or federal law, and to provide food and non-alcoholic beverages to its employees, as provided by other District or federal law; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Jobs Trust Fund, the Reed Act Fund, the Unemployment and Workforce Development Administrative Fund, the Unemployment Insurance Interest Account, the Unemployment Insurance Special Administrative Expense Account, the Wage Theft Prevention Fund, the Workers' Compensation Administration Fund, and the Workers' Compensation Special Fund; provided further, that all funds deposited in Fiscal Year 2025 into the Universal Paid Leave Administration Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (2) + Department of Parks and Recreation: $79,478,185 (including $77,424,319 from local funds, and $2,053,865 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Recreation Enterprise Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that the Department of Parks and Recreation is authorized to spend appropriated funds from the Recreation Enterprise Fund for the purposes set forth in section 4 of the Recreation Act of 1994, effective March 23, 1995 (D.C. Law 10-246; D.C. Official Code § 10-303); + + + (3) + District of Columbia Public Charter School Board: $16,576,000 (including $2,150,000 from local funds and $14,426,000 from other funds); + + + (4) + District of Columbia Public Charter Schools: $1,354,437,693 from local funds; 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 for expenditure until September 30, 2025 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 § 38-1804.03(b)(2)); provided further, that of the amounts made available to District of Columbia public charter schools, $230,000 shall be made available to the Office of the Chief Financial Officer as authorized by section 2403(b)(6) of the District of Columbia School Reform Act of 1995, approved April 26, 1996 (110 Stat. 1321; D.C. Official Code § 38-1804.03(b)(6)); 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, 2025, an amount equal to 35 percent, or for new charter school local education agencies that opened for the first time after December 31, 2024, an amount equal to 45 percent, of the total amount of the local funds appropriations provided for payments to public charter schools in the budget of the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for such payments for Fiscal Year 2026; 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; + + + (5) + District of Columbia Public Library: $78,466,006 (including $75,842,448 from local funds, $1,256,558 from federal grant funds, $1,350,000 from other funds, and $17,000 from private funds); provided, that not to exceed $8,500 of such amount, from local funds, shall be available for the Chief Librarian of the District of Columbia Public Library for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Copies and Printing Fund, the E-Rate Reimbursement Fund, the Library Collections Account, the Books From Birth Fund, and the DCPL Revenue-Generating Activities Fund; + + + (6) + District of Columbia Public Schools: $1,428,381,161 (including $1,358,413,446 from local funds, $37,916,813 from federal grant funds, $7,189,249 from other funds, $7,361,653 from private funds, and $17,500,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for School Improvement" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided, that not to exceed $10,600 of such local funds shall be available for the Chancellor for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); 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, 2025, an amount equal to 10 percent of the total amount of the local funds appropriations provided for the District of Columbia Public Schools in the budget of the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for the District of Columbia Public Schools for Fiscal Year 2026; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the At-Risk Supplemental Allocation Preservation Fund, the Afterschool Program-Copayment Fund, the DCPS School Facility Colocation Fund, the District of Columbia Public Schools' Nonprofit School Food Service Fund, the District of Columbia Public Schools Sales and Sponsorship Fund, the E-Rate Education Fund, and the Reserve Officer Training Corps Fund; provided further, that the District of Columbia Public Schools is authorized to spend appropriated funds consistent with section 105(c)(5) of the Public Education Reform Amendment Act of 2007, effective June 12, 2007 (D.C. Law 17-9; D.C. Official Code § 38-174(c)(5)); + + + (7) + District of Columbia State Athletics Commission: $1,708,000 (including $1,488,000 from local funds and $220,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the State Athletic Activities, Programs, and Office Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (8) + Non-Public Tuition: $50,771,591 (including $50,171,591 from local funds and $600,000 from federal grant funds); + + + (9) + Office of the Deputy Mayor for Education: $37,049,411 (including $36,799,411 from local funds, and $250,000 from private funds); + + + (10) + Office of the State Superintendent of Education: $653,803,791 (including $260,803,058 from local funds, $351,881,028 from federal grant funds, $812,307 from other funds, $307,398 from private funds, and $40,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Resident Tuition Support" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Access to Quality Child Care Fund, the Charter School Credit Enhancement Fund, the Community Schools Fund, the Special Education Enhancement Fund, the Student Enrollment Fund, and the Early Childhood Educator Pay Equity Fund; + + + (11) + Special Education Transportation: $130,760,493 (including $120,760,493 from local funds and $10,000,000 in federal grant funds); provided, that, notwithstanding the amounts otherwise provided under this heading or any other provision of law, there shall be appropriated to the Special Education Transportation agency under the direction of the Office of the State Superintendent of Education, on July 1, 2025, an amount equal to 10 percent of the total amount of the local funds appropriations provided for the Special Education Transportation agency in the budget for the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for the Special Education Transportation agency for Fiscal Year 2026; provided further, that amounts appropriated under this paragraph may be used to offer financial incentives as necessary to reduce the number of routes serving 2 or fewer students; + + + (12) + State Board of Education: $3,746,843 from local funds; + + + (13) + Teachers' Retirement System: $80,981,000 from local funds; + + + (14) + Unemployment Compensation Fund: $5,480,390 from local funds; and + + + (15) + University of the District of Columbia Subsidy Account: $102,152,462 from local funds; provided, that this appropriation shall not be available to subsidize the education of nonresidents of the District 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, 2025, a tuition-rate schedule that establishes 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, 2025, an amount equal to 10 percent of the total amount of the local funds appropriations provided for the University of the District of Columbia in the budget of the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for the University of the District of Columbia for Fiscal Year 2026; provided further, that not to exceed $10,600 of such local funds shall be available for the President of the University of the District of Columbia for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10). + + + + + Human Support Services + + (a) + For human support services, $6,964,497,650 (including $2,498,009,702 from local funds, $240,409,641 from dedicated taxes, $543,179,490 from federal grant funds, $61,605,396 from other funds, $3,614,972,583 from Medicaid payments, $1,222,319 from private funds, $98,520 in federal payment funds for COVID relief, and $5,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Testing and Treatment of HIV/AIDS" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); to be allocated as follows: + + (1) + Child and Family Services Agency: $224,370,439 (including $173,681,892 from local funds, $49,603,987 from federal grant funds, $1,000,000 from other funds, and $84,560 from private funds); + + + (2) + Department of Aging and Community Living: $65,015,319 (including $48,588,302 from local funds, $13,153,090 from federal grant funds, and $3,273,927 from Medicaid payments); + + + (3) + Department of Behavioral Health: $386,502,734 (including $296,751,522 from local funds, $66,475,447 from federal grant funds, $4,257,265 from Medicaid payments, $18,630,500 from other funds, and $388,000 from private funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available or expenditure until September 30, 2025: the Addiction Prevention and Recovery Administration-Choice in Drug Treatment (HCSN) Fund and the Opioid Abatement Fund; + + + (4) + Department of Health: $310,028,863 (including $92,329,386 from local funds, $187,544,884 from federal grant funds, $24,404,833 from other funds, $749,759 from private funds, and $5,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Testing and Treatment of HIV/AIDS" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Animal Education and Outreach Fund, the Board of Medicine Fund, the Civil Monetary Penalties Fund, the Communicable and Chronic Disease Prevention and Treatment Fund, the Health Professional Recruitment Fund (Medical Loan Repayment), the Howard University Hospital Centers of Excellence Fund, the Human Services Facility Fee Fund, the ICF/MR Fees and Fines Fund, the Pharmacy Protection Fund, the State Health Planning and Development Agency Admission Fee Fund, the State Health Planning and Development Agency Fees Fund, and the Tobacco Use Cessation Fund; + + + (5) + Department of Health Care Finance: $4,867,809,070 (including $1,043,110,088 from local funds, $240,409,641 from dedicated taxes, $5,136,131 from federal grant funds, $3,572,144,949 from Medicaid payments, and $7,008,261 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Bill of Rights (Grievance and Appeals) Fund, the DC HealthCare Alliance Reform Fund, the Healthy DC and Health Care Expansion Fund, the Home and Community-Based Services Enhancement Fund, the Hospital Provider Fee Fund, the Hospital Fund, the Individual Insurance Market Affordability and Stability Fund, the Medicaid Collections-3rd Party Liability Fund, the Nursing Facility Quality of Care Fund, and the Stevie Sellow's Quality Improvement Fund; + + + (6) + Department of Human Services: $883,180,478 (including $680,126,906 from local funds, $184,282,372 from federal grant funds, $180,000 from other funds, and $18,591,200 from federal Medicaid payments); provided, that all funds deposited, without regard to fiscal year, into the SNAP Reinvestment Fund, and the SSI Payback Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (7) + Department on Disability Services: $206,692,375 (including $142,523,234 from local funds, $36,983,578 from federal grant funds, $16,705,241 from Medicaid payments, $10,381,801 from other funds, and $98,520 from federal payment funds for COVID relief); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Contribution to Costs of Supports Fund, the Cost of Care for Non-Medicaid Clients Fund, and the Randolph Shepherd Unassigned Facilities Fund; + + + (8) + Not-for-Profit Hospital Corporation Subsidy: $17,200,000 from local funds; + + + (9) + Office of the Deputy Mayor for Health and Human Services: $2,451,119 from local funds; and + + + (10) + Office of the Ombudsperson for Children: $1,247,254 from local funds. + + + + + Operations and Infrastructure + + (a) + For operations and infrastructure, $1,701,112,968 (including $1,081,033,356 from local funds, $78,702,239 from dedicated taxes, $171,630,357 from federal grant funds, $366,605,762 from other funds, and, $3,141,255 from private funds), to be allocated as follows: + + (1) + Alcoholic Beverage and Cannabis Administration: $14,822,362 (including $1,370,633 from local funds and $13,451,729 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Alcoholic Beverage and Cannabis Administration Fund, the Dedicated Taxes Fund, and the Medical Cannabis Administration Fund; + + + (2) + Department of Buildings: $65,133,925 (including $48,893,878 from local funds and $16,240,047 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Green Building Fund, the Nuisance Abatement Fund, and the Expedited Building Permit Review Fund; + + + (3) + Department of Licensing and Consumer Protection: $38,817,000 (including $13,485,619 from local funds and $25,331,381from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Appraisal Fee Fund, the Basic Business License Fund, the Corporate Recordation Fund, the DC Combat Sports Commission Fund, the Occupational and Professional Licensing Administration Special Account, the Real Estate Guaranty and Education Fund, and the Vending Regulation Fund; + + + (4) + Department of Energy and Environment: $319,024,771 (including $27,305,354 from local funds, $141,117,251 from federal grant funds, $147,474,911 from other funds and $3,127,255 from private funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Air Quality Construction Permits Fund, the Anacostia River Clean Up and Protection Fund, the Benchmarking Enforcement Fund, the Clean Land Fund/Brownfield Revitalization Fund, the District of Columbia Wetland Stream and Mitigation Trust Fund, the Economy II Fund, the Energy Assistance Trust Fund, the Fishing License Fund, the Hazardous Waste and Toxic Chemical Source Reduction Fund, the Indoor Mold Assessment and Remediation Fund, the Lead Poisoning Prevention Fund, the Leaking Underground Storage Tank Trust Fund, the Municipal Aggregation Fund, the Pesticide Product Registration Fund, the Product Stewardship Fund, the Rail Safety and Security Fund, the Renewable Energy Development Fund, the Residential Aid Discount Fund, the Residential Essential Services Fund, the Soil Erosion and Sediment Control Fund, the Special Energy Assessment Fund, the Stormwater Fees Fund, the Stormwater In-Lieu Fee Payment Fund, the Storm Water Permit Review Fund, the Sustainable Energy Trust Fund, the Underground Storage Tank Regulation Fund, and the WASA Utility Discount Program Fund; provided further, that funds in the available fund balance of the Renewable Energy Development Fund may be obligated in Fiscal Year 2025, pursuant to grant awards, through September 30, 2028, and that such funds so obligated are authorized for expenditure and shall remain available for expenditure until September 30, 2028; + + + (5) + Department of For-Hire Vehicles: $22,855,192 (including $10,100,553 from local funds and $12,754,639 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Public Vehicles-for-Hire Consumer Service Fund and the Taxicab Assessment Act Fund; + + + (6) + Department of Insurance, Securities, and Banking: $36,394,797 (including $296,179 from local funds and $36,098,618 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Capital Access Fund, the Foreclosure Mediation Fund, the Insurance Assessment Fund, the Insurance Regulatory Trust Fund, and the Securities and Banking Fund; + + + (7) + Department of Motor Vehicles: $72,384,773 (including $61,770,667 from local funds and $10,614,105 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Department of Motor Vehicles Kiosk Fund and the Motor Vehicle Inspection Station Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (8) + Department of Public Works: $186,142,851 (including $172,842,754 from local funds and $13,300,098 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Solid Waste Disposal Cost Recovery Special Account and the Super Can Program Fund; + + + (9) + District Department of Transportation: $185,309,928 (including $134,198,490 from local funds, $29,882,106 from federal grant funds, and $21,229,332 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Bicycle Sharing Fund, the Bus Service Enhancement Fund, the DC Circulator Fund, the DC Water Facility Work Fund, the DDOT Enterprise Fund-Non Tax Revenues Fund, the Parking Meter and Transit Services Pay-by-Phone Transaction Fee Fund, the Performance Parking Program Fund, the Sustainable Transportation Fund, and the Transportation Infrastructure Project Review Fund; provided further, that there are appropriated any amounts received, or to be received, without regard to fiscal year, from the Potomac Electric Power Company, or any of its related companies, successors, or assigns, for the purpose of paying or reimbursing the District Department of Transportation for the costs of designing, constructing, acquiring, and installing facilities, infrastructure, and equipment for use and ownership by the Potomac Electric Power Company, or any of its related companies, successors, or assigns, related to or associated with the undergrounding of electric distribution lines in the District of Columbia, and any interest earned on those funds, which amounts and interest shall not revert to the unrestricted fund balance of the General Fund at the end of a fiscal year or at any other time, but shall be continually available without regard to fiscal year limitation until expended for the designated purposes; + + + (10) + Office of the Deputy Mayor for Operations and Infrastructure: $1,349,839 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Vision Zero Pedestrian and Bicycle Safety Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (11) + Office of the People's Counsel: $13,970,512 (including $1,025,549 from local funds and $12,944,962 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Office of People's Counsel Agency Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (12) + Public Service Commission: $20,810,940 (including $631,000 from federal grant funds, $20,165,940 from other funds, and $14,000 from private funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the PJM Settlement Fund and the Public Service Commission Agency Fund; + + + (13) + Washington Metropolitan Area Transit Authority: $723,917,612 (including $608,215,373 from local funds, $78,702,239 from dedicated taxes, and $37,000,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Dedicated Taxes Fund and the Parking Meter WMATA Fund; provided further, that all funds budgeted without regard to fiscal year for the adult learner transit subsidy program established by section 6047 of the Student, Foster Youth, Summer Youth Employee, and Adult Learner Transit Subsidies Act of 2019, effective September 11, 2019 (D.C. Law 23-16; D.C. Official Code § 35-246), are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that there are appropriated any amounts deposited, or to be deposited, without regard to fiscal year, into the Washington Metropolitan Area Transit Authority Dedicated Financing Fund for the purpose of funding WMATA capital improvements, which amounts shall not revert to the unrestricted fund balance of the General Fund at the end of a fiscal year or at any other time, but shall be continually available until expended for the designated purposes; and + + + (14) + Washington Metropolitan Area Transit Commission: $178,468 from local funds. + + + + + Financing and Other + + (a) + For financing and other costs, $2,057,775,293 (including $1,477,887,770 from local funds, $399,047,477 from dedicated taxes, $14,125,157 from federal grant funds, $69,714,889 from other funds, and $97,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024), to be allocated as follows: + + (1) + Commercial Paper Program: $7,500,000 from local funds; + + + (2) + Convention Center Transfer: $199,943,000 (including $1,500,000 from local funds and $198,443,000 from dedicated taxes); + + + (3) + Debt Service - Issuance Costs: $11,000,000 from local funds for the payment of debt service issuance costs; + + + (4) + District Retiree Health Contribution: $63,900,000 from local funds for a District Retiree Health Contribution; + + + (5) + Emergency Planning and Security Fund: $50,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024; provided, that, notwithstanding any other law, obligations and expenditures that are pending reimbursement under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" may be charged to this appropriations heading; + + + (6) + District of Columbia Highway Transportation Fund: $41,036,867 (including $19,847,000 from dedicated taxes and $21,189,867 from other funds); + + + (7) + John A. Wilson Building Fund: $5,515,626 from local funds for expenses associated with the John A. Wilson building; + + + (8) + Inaugural Expenses: $47,000,000 from federal payments from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024; provided, that, notwithstanding any other law, obligations and expenditures that are pending reimbursement under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" may be charged to this appropriations heading; + + + (9) + Non-Departmental Account: $10,369,263 (including $8,484,000 from local funds and $1,885,263 from other funds); provided, that funds allocated for the implementation of the Reparations Foundation Fund and Task Force Establishment Act of 2023, as introduced on February 24, 2023 (Bill 25-152), shall be reallocated following its effective date pursuant to section 1132 of the Fiscal Year 2025 Budget Support Act of 2024, passed on 2nd reading on June 25, 2024 (Enrolled version of Bill 25-784). + + + (10) + Pay-As-You-Go Capital Fund: $242,392,777 (including $26,351,018 from local funds, $178,500,000 from dedicated taxes, and $37,541,759 from other funds) to be transferred to the Capital Fund, in lieu of capital financing; + + + (11) + Repayment of Loans and Interest: $1,252,586,904 (including $1,229,363,747 from local funds, $14,125,157 from federal grant funds, and $9,098,000 from other funds), 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, approved December 24, 1973 (87 Stat. 774; D.C. Official Code §§ 1-204.61, 1-204.75, and 1-204.90); + + + (12) + Repayment of Revenue Bonds: $2,257,477 from dedicated taxes for the repayment of revenue bonds; + + + (13) + Settlements and Judgments: $21,024,759 from local funds for making refunds and for the payment of legal settlements or judgments that have been entered against the District of Columbia government; provided, that this amount may be increased by 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 and such sums may be paid from the applicable or available funds of the District of Columbia; and + + + (14) + Workforce Investments Account: $103,248,620 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Workforce Investments Account are authorized for expenditure and shall remain available for expenditure until September 30, 2025. + + + + + Enterprise Funds + + (a) + The amount of $2,645,425,156 (including $2,369,764,897 from enterprise and other funds, and $275,660,258 from enterprise and other funds - dedicated taxes), shall be provided to enterprise funds as follows; provided, that, in the event that revenue dedicated by local law to an enterprise fund exceeds the amount set forth as follows, the General Fund budget authority may be increased as needed to transfer all such revenue, pursuant to local law, to the enterprise fund: + + (1) + Ballpark Revenue Fund: $128,017,608 (including $12,261,624 from enterprise and other funds and $115,755,984 from enterprise and other funds - dedicated taxes); + + + (2) + District of Columbia Retirement Board: $40,187,084 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; + + + (3) + District of Columbia Water and Sewer Authority: $788,241,048 from enterprise and other funds; provided, that not to exceed $25,000 of this amount shall be available for reception and representation expenses; provided further, that not to exceed $15,000 of this amount shall be available for official meetings. For construction projects, $7,228,509,000, to be distributed as follows: $1,268,452,000 for Wastewater Treatment; $1,774,981,000 for the Sanitary Sewer System; $2,194,292,000 for the Water System; $184,444,000 for Non Process Facilities; $1,106,300,000 for the Combined Sewer Overflow Program; $321,926,000 for the Washington Aqueduct; $61,258,000 for the Stormwater Program; and $316,855,000 for the capital equipment program; in addition, $8,000,000 for Federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment to the District of Columbia Water and Sewer Authority" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024; + + + (4) + Green Finance Authority: $43,192,583 from enterprise and other funds, to be available until expended; + + + (5) + Health Benefit Exchange Authority: $41,752,784 from enterprise and other funds; + + + (6) + Housing Finance Agency: $16,943,792 from enterprise and other funds; provided, that all funds budgeted without regard to fiscal year for the Reverse Mortgage Foreclosure Prevention Program are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that all funds budgeted without regard to fiscal year for the Public Housing Credit-Building Pilot Program are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (7) + Housing Production Trust Fund: $79,997,224 (including $31,000,000 from enterprise and other funds, and $48,997,224 from enterprise and other funds - dedicated taxes); provided, that all funds deposited, without regard to fiscal year, into the Housing Production Trust Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (8) + Not-For-Profit Hospital Corporation: $155,000,000 from enterprise and other funds; + + + (9) + Office of Lottery and Gaming: $352,000,000 from enterprise and other funds; provided, that, after notification to the Mayor, amounts appropriated herein may be increased by an amount necessary for the Lottery, Gambling, and Gaming Fund to make transfers to the General Fund and to cover prizes, agent commissions, and gaming-related fees directly associated with unanticipated excess lottery revenues not included in this appropriation; + + + (10) + Other Post-Employment Benefits Trust Administration: $8,846,834 from enterprise and other funds; + + + (11) + Repayment of PILOT Financing: $65,115,226 from enterprise and other funds - dedicated taxes; + + + (12) + Tax Increment Financing Program: $45,791,825 from enterprise and other funds - dedicated taxes; + + + (13) + Unemployment Insurance Trust Fund: $176,682,095 from enterprise and other funds; + + + (14) + Universal Paid Leave Fund: $137,800,000 from enterprise and other funds; provided, that all funds deposited, without regard to fiscal year, are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (15) + University of the District of Columbia: $211,568,837 from enterprise and other funds; provided, that these funds shall not revert to the General Fund at the end of a fiscal year or at any other time, but shall be continually available for expenditure until September 30, 2025, without regard to fiscal year limitation; provided further, that all funds deposited, without regard to fiscal year, into the Higher Education Incentive Program Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (16) + Washington Aqueduct: $115,788,614 from enterprise and other funds; and + + + (17) + Washington Convention and Sports Authority: $238,499,603 from enterprise and other funds. + + + + + Reserve Accounts + + (1) + Cash Flow Reserve Account: All funds deposited, without regard to fiscal year, into the Cash Flow Reserve Account, established pursuant to D.C. Official Code § 47-392.02(j-2), are authorized for expenditure and shall remain available for expenditure until September 30, 2025. + + + (2) + Fiscal Stabilization Reserve Account: All funds deposited, without regard to fiscal year, into the Fiscal Stabilization Reserve Account, established pursuant to D.C. Official Code § 47-392.02(j-1), are authorized for expenditure and shall remain available for expenditure until September 30, 2025. + + + + Capital Outlay + For capital construction projects, a net increase of $3,908,083,000, of which $3,374,542,000 shall be from local funds, $68,574,000 shall be from federal funds, $64,930,000 shall be from the District of Columbia Highway Trust Fund, and $478,436,000 shall be from the federal Highway Trust Fund, and a net rescission of $78,400,000, which shall be from local transportation funds, to remain available until expended; provided, that all funds provided by this act shall be available only for the specific projects and purposes intended; provided further, that amounts appropriated under this act may be increased by the amount transferred from funds appropriated in this act as Pay-As­You-Go Capital funds. + +
+
+ 3 + Applicability. + This act shall apply as of September 30, 2024. +
+
+ 4 + Fiscal impact statement. + The Council adopts the fiscal impact statement of the Chief Financial Officer as the fiscal impact statement required by section 4a of the General Legislative Procedures Act of 1975. approved October 16, 2006 (120 Stat. 2038; D.C. Official Code § l-30l.47a). +
+
+ 5 + Effective date. + This act shall take effect following approval by the Mayor (or in the event of veto by the Mayor, action by the Council to override the veto), and shall remain in effect for no longer than 90 days, as provided for emergency acts of the Council of the District of Columbia in section 412(a) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 788; D.C. Official Code § 1-204.12(a)). +
+ diff --git a/us/dc/council/periods/25/index.xml b/us/dc/council/periods/25/index.xml index fba481bde6..0f682fb2b4 100644 --- a/us/dc/council/periods/25/index.xml +++ b/us/dc/council/periods/25/index.xml @@ -464,6 +464,8 @@ Budget Legislation + + diff --git a/us/dc/council/periods/25/laws/25-218.xml b/us/dc/council/periods/25/laws/25-218.xml new file mode 100644 index 0000000000..0f279283af --- /dev/null +++ b/us/dc/council/periods/25/laws/25-218.xml @@ -0,0 +1,684 @@ + + + 25-218 + 25-501 + 25-785 + Fiscal Year 2025 Local Budget Act of 2024 + To adopt the local portion of the budget of the District of Columbia government for the fiscal year ending September 30, 2025. + + 2024-04-03 + 2024-09-18 + + D.C. Law 25-218 + 71 DCR 8366 + + + + + + + + + + + 2024-07-15 + + Committee of the Whole + + + BE IT ENACTED BY THE COUNCIL OF THE DISTRICT OF COLUMBIA, That this act may be cited as the "Fiscal Year 2025 Local Budget Act of 2024". +
+ 2 + Adoption of the local portion of the Fiscal Year 2025 budget. + The following expenditure levels are adopted pursuant to section 446(a) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 801; D.C. Official Code § 1-204.46(a)), as the local portion of the budget for the government of the District of Columbia for the fiscal year ending September 30, 2025. + + DISTRICT OF COLUMBIA BUDGET FOR THE FISCAL YEAR ENDING SEPTEMBER 30, 2025 + The following amounts are appropriated for the District of Columbia government for the fiscal year ending September 30, 2025 ("Fiscal Year 2025"), out of the General Fund of the District of Columbia ("General Fund"), 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 22, 2000 (114 Stat. 2440; D.C. Official Code § 1-204.50a), and provisions of this act, the total amount appropriated in this act for operating expenses for the District of Columbia for Fiscal Year 2025 shall not exceed the lesser of the sum of the total revenues of the District of Columbia for such fiscal year or $21,220,808,882 (of which $11,632,928,283 shall be from local funds, $766,660,429 shall be from dedicated taxes, $1,548,760,490 shall be from federal grant funds, $3,615,272,583 shall be from Medicaid payments, $825,510,099 shall be from other funds, $7,530,419 shall be from other federal funds, $15,174,904 shall be from private funds, $163,546,520 shall be from funds requested to be appropriated by the Congress as federal payments pursuant to the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, passed on May 7, 2025 (Enrolled version of Bill 25-786) ("Fiscal Year 2025 Federal Portion Budget Request Act of 2024") and federal payment funds for COVID relief, $275,660,258 shall be from enterprise and other funds – dedicated taxes, and $2,369,764,897 shall be from enterprise and other funds); provided further, that of the local funds, such amounts as may be necessary may be derived from the General Fund balance; provided further, that amounts appropriated under this act 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. 774; D.C. Official Code § 1-201.01 et seq.); provided further, that local funds are appropriated, without regard to fiscal year, in such amounts as may be necessary to pay vendor fees, including legal fees, that are obligated in this fiscal year, to be paid as a fixed percentage of District revenue recovered from third parties on behalf of the District under contracts that provide for payment of fees based upon and from such District revenue as may be recovered by the vendor; provided further, that amounts appropriated pursuant to this act as operating funds may be transferred to enterprise and capital funds and such amounts, once transferred, shall retain appropriation authority consistent with the provisions of this act; provided further, that there may be reprogrammed or transferred for operating expenses any local funds transferred or reprogrammed in this or the 4 prior fiscal years from operating funds to capital funds, and such amounts, once transferred or reprogrammed, shall retain appropriation authority consistent with the provisions of this act; except, that there may not be reprogrammed for operating expenses any funds derived from bonds, notes, or other obligations issued for capital projects; provided further, that the local funds (including dedicated taxes) and other funds appropriated by this act may be reprogrammed and transferred as provided in Subchapter IV of Chapter 3 of Title 47 of the District of Columbia Official Code, or as otherwise provided by law, through November 15, 2025; provided further, that local funds and other funds appropriated under this act may be expended by the Mayor for the purpose of providing food and beverages, not to exceed $30 per employee per day, to employees of the District of Columbia government while such employees are deployed in response to or during a declared snow or other emergency; provided further, that local funds and other funds appropriated under this act may be expended by the Mayor to provide food and lodging, in amounts not to exceed the General Services Administration per diem rates, for youth, young adults, and their parents or guardians who participate in a program of the District of Columbia government that involves overnight travel outside the District of Columbia; provided further, that notwithstanding any other provision of law, local funds are appropriated, without regard to fiscal year, to the extent such funds are certified as available by the Chief Financial Officer of the District of Columbia, to pay termination costs of multiyear contracts entered into by the District of Columbia during this fiscal year, to design, construct, improve, maintain, operate, manage, or finance infrastructure projects procured pursuant to the Public-Private Partnership Act of 2014, effective March 11, 2015 (D.C. Law 20-228; D.C. Official Code § 2-271.01 et seq.), including, by way of example and not limitation, a project for the replacement and modernization of the District of Columbia's streetlight system and a project for the rehabilitation and modernization of the Henry J. Daly Building, and such termination costs may be paid from appropriations available for the performance of such contracts or the payment of termination costs or from other appropriations then available for any other purpose, not including the emergency cash reserve fund (D.C. Official Code § 1-204.50a(a)) or the contingency cash reserve fund (D.C. Official Code § 1-204.50a(b)), which, once allocated to these costs, shall be deemed appropriated for the purposes of paying termination costs of such contracts and shall retain appropriations authority and remain available until expended; provided further, that notwithstanding any other provision of law, local funds are appropriated, without regard to fiscal year, to the extent such funds are certified as available by the Chief Financial Officer of the District of Columbia, to pay termination, transfer, or change of ownership costs of multiyear contracts entered into by the District of Columbia during this fiscal year, to design, construct, improve, maintain, operate, manage, and finance infrastructure projects for the purpose of on-site generation and distribution of energy, including, by way of example and not limitation, a project on the St. Elizabeths campus for the construction and operation of an energy resources microgrid, and such termination, transfer, or change of ownership costs may be paid from appropriations available for the performance of such contracts or the payment of termination, transfer, or change of ownership costs or from other appropriations then available for any other purpose, not including the emergency cash reserve fund (D.C. Official Code § 1-204.50a(a)) or the contingency cash reserve fund (D.C. Official Code § 1-204.50a(b)), which, once allocated to these costs, shall be deemed appropriated for the purposes of paying termination, transfer or change of ownership costs of such contracts and shall retain appropriations authority and remain available until expended; provided further, that during Fiscal Year 2025 and any subsequent fiscal year, notwithstanding any other provision of law, the District of Columbia may enter into annual and multiyear agreements with the National Park Service for the purposes of planning, designing, constructing, maintaining, improving, and operating District of Columbia transportation infrastructure and related appurtenances on National Park Service land in the District of Columbia, and may in each fiscal year of such agreement expend such funds to implement the agreement as may be appropriated and available in that fiscal year for such purposes; provided further, that notwithstanding Subchapter IV of Chapter 3 of Title 47 of the District of Columbia Official Code, in Fiscal Year 2025, amounts appropriated from funds received from the federal government under the American Rescue Plan Act, approved March 11, 2021 (Pub. L. No. 117-2; 135 Stat. 4) ("ARPA") or the Coronavirus Aid, Relief, and Economic Security Act, approved March 27, 2020 (Pub. L. No. 116-136; 134 Stat. 281) ("CARES Act") may be transferred or reprogrammed between appropriated funds, consistent with the requirements of the ARPA and the CARES Act and consistent with the purpose for which the funds are appropriated under this act, upon the request of the Mayor to the Chief Financial Officer and certification of the availability of the funds by the Office of the Chief Financial Officer, and such amounts, once transferred, shall retain appropriation authority consistent with the provisions of this act; provided further, that amounts appropriated from funds received from the federal government under the ARPA and the CARES Act shall be available until expended, provided that such funds are expended for the same purpose for which the funds are appropriated under this act; provided further, that the amounts appropriated from funds received from the federal government under the Emergency Rental Assistance Program may be increased by such additional amounts as may be received pursuant to that program during Fiscal Year 2025; provided further, that any unspent amount remaining in a non-lapsing fund described below at the end of Fiscal Year 2024 is to be continually available, allocated, appropriated, and expended for the purposes of such fund in Fiscal Year 2025 in addition to any amounts deposited in and appropriated to such fund in Fiscal Year 2025; provided further, that the Chief Financial Officer shall take such steps as are necessary to assure that the foregoing requirements are met, including the apportioning by the Chief Financial Officer of the appropriations and funds made available during Fiscal Year 2025: + + + Governmental Direction and Support + + (a) + For governmental direction and support, $1,189,949,568 (including $1,031,991,178 from local funds, $349,512 from dedicated taxes, $41,269,488 from federal grant funds, $115,613,923 from other funds, and $725,467 from private funds), to be allocated as follows; provided, 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: + + (1) + Board of Elections. $15,060,500 (including $14,560,500 from local funds and $500,000 in federal grant funds); + + + (2) + Board of Ethics and Government Accountability: $4,067,321 (including $3,938,065 from local funds and $129,256 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Ethics Fund, the Lobbyist Administration and Enforcement Fund, and the Open Government Fund; + + + (3) + Captive Insurance Agency: $11,371,699 (including $10,521,699 from local funds and $850,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Captive Trust Fund, the Medical Captive Insurance Claims Reserve Fund, and the Subrogation Fund; + + + (4) + Contract Appeals Board: $1,973,371 from local funds; + + + (5) + Council of the District of Columbia: $37,222,621 from local funds; provided, that not to exceed $150,000 of this amount shall be available for the Chairman for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that funds appropriated under this act may be used to pay expenses for employees of the Council of the District of Columbia to obtain or maintain professional credentials in the District that are related to their employment at the Council, including bar admission fees, bar dues and fees, court admission fees, and examinations to obtain such credentials; provided further, that funds appropriated under this act may be used for uniform apparel for employees of the Council of the District of Columbia; provided further, that Councilmembers of the Council of the District of Columbia may use the electric car charging station located outside the John A. Wilson Building to charge their personal vehicles in accordance with policies established by the Secretary to the Council; provided further, that amounts provided under this heading shall be available for the making of payment of legal settlements or judgments that have been entered against the Council; provided further, that all funds deposited, without regard to fiscal year, into the Council Technology Projects Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (6) + Department of General Services: $407,270,581 (including $404,651,884 from local funds, $349,512 from dedicated taxes, and $2,269,185 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Eastern Market Enterprise Fund and the West End Library and Fire Station Maintenance Fund; + + + (7) + Department of Human Resources: $21,939,998 (including $13,142,217 from local funds and $8,797,781 from other funds); + + + (8) + Employees' Compensation Fund: $18,905,738 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Employees' Compensation Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (9) + Executive Office of the Mayor: $21,813,704 (including $17,482,608 from local funds, and $4,331,096 from federal grant funds); provided, that not to exceed $25,000 of such amount, from local funds, shall be available for the Mayor for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that all funds deposited, without regard to fiscal year, into the Emancipation Day Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (10) + Mayor's Office of Legal Counsel: $1,835,079 from local funds; + + + (11) + Metropolitan Washington Council of Governments: $1,097,033 from local funds; + + + (12) + Office of Advisory Neighborhood Commissions: $2,532,071 from local funds; provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Advisory Neighborhood Commissions Technical Support and Assistance Fund and the Office of Advisory Neighborhood Commission Security Fund; + + + (13) + Office of Campaign Finance: $7,839,577 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Fair Elections Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (14) + Office of Contracting and Procurement: $30,204,246 (including $27,611,671 from local funds and $2,592,575 from other funds); + + + (15) + Office for the Deaf, Deafblind, and Hard of Hearing: $1,722,017 from local funds; + + + (16) + Office of Disability Rights: $2,053,669 (including $1,426,099 from local funds and $627,570 from federal grant funds); + + + (17) + Office of Employee Appeals: $2,540,221 from local funds; + + + (18) + Office of Finance and Resource Management: $31,681,595 (including $31,458,892 from local funds and $222,703 from other funds); + + + (19) + Office of Labor Relations and Collective Bargaining: $3,656,754 from local funds; + + + (20) + Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs: $2,294,221 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Office of Lesbian, Gay, Bisexual, Transgender, and Questioning Affairs Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (21) + Office of Risk Management: $4,677,239 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Subrogation Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (22) + Office of the Attorney General for the District of Columbia: $161,017,685 (including $99,416,331 from local funds, $29,519,561 from federal grant funds, $31,356,326 from other funds, and $725,467 from private funds); provided, that not to exceed $25,000 of this amount, from local funds, shall be available for the Attorney General for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that local and other funds appropriated under this act may be used to pay expenses for District government attorneys at the Office of the Attorney General for the District of Columbia to obtain professional credentials, including bar dues and court admission fees, that enable these attorneys to practice law in other state and federal jurisdictions and appear outside the District in state and federal courts; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Child Support-Reimbursements and Fees Fund, the Child Support-Interest Income Fund, the Child Support-Temporary Assistance for Needy Families Fund, the Drug-, Firearm-, or Prostitution-Related Nuisance Abatement Fund, and the Litigation Support Fund; provided further, that this amount may be further increased by amounts deposited into the Attorney General Restitution Fund, the Vulnerable and Elderly Person Exploitation Restitution Fund, and the Tenant Receivership Abatement Fund, which shall be continually available, without regard to fiscal year, until expended; + + + (23) + Office of the Chief Financial Officer: $231,738,791 (including $175,986,998 from local funds, $1,678,000 from federal grant funds, and $54,073,794 from other funds); provided, that not to exceed $10,600 of such amount, from local funds, shall be available for the Chief Financial Officer for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that 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 all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Other Post-Employment Benefits Fund, the Recorder of Deeds Automation Fund, and the Child Trust Fund; + + + (24) + Office of the Chief Technology Officer: $105,462,823 (including $91,106,392 from local funds, $1,700,701 from federal grant funds, and $12,655,730 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the DC-NET Services and Innovation Fund and the Technology Infrastructure Services Support Fund; + + + (25) + Office of the City Administrator: $10,344,049 from local funds; provided, that not to exceed $10,600 of such amount, from local funds, shall be available for the City Administrator for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); + + + (26) + Office of the District of Columbia Auditor: $7,967,088 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Audit Engagement Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (27) + Office of the Inspector General: $24,009,089 (including $19,496,529 from local funds, $1,600,000 from other funds and $2,912,560 from federal grant funds); provided, that all funds deposited, without regard to fiscal year, into the Inspector General Support Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (28) + Office of the Secretary: $5,333,813 (including $4,333,813 from local funds and $1,000,000 from other funds); + + + (29) + Office of the Senior Advisor: $1,394,068 from local funds; + + + (30) + Office of Veterans Affairs: $1,246,526 (including $1,179,954 from local funds and $66,572 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Office of Veterans Affairs Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (31) + Office on Asian and Pacific Islander Affairs: $1,561,521 from local funds; + + + (32) + Office on Latino Affairs: $6,362,027 from local funds; + + + (33) + Public Employee Relations Board: $1,420,948 from local funds; + + + (34) + Statehood Initiatives: $266,883 from local funds; provided, that all funds deposited, without regard to fiscal year, into the New Columbia Statehood Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; and + + + (35) + Uniform Law Commission: $65,000 from local funds. + + + + + Economic Development and Regulation + + (a) + For economic development and regulation, $528,848,654 (including $363,332,925 from local funds, $48,151,560 from dedicated taxes, $37,318,523 from federal grant funds, $72,515,227 from other funds, and $7,530,419 from other federal funds), to be allocated as follows: + + (1) + Business Improvement Districts Transfer: $57,600,000 (including $2,600,000 from local funds and $55,000,000 from other funds); + + + (2) + Commission on the Arts and Humanities: $48,177,900 (including $47,200,959 from dedicated taxes and $976,941 from federal grant funds); provided, that all dedicated taxes shall be deposited into the Arts and Humanities Fund; provided further, that all funds deposited, without regard to fiscal year, into the Arts and Humanities Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that budgeted funds in the available fund balance of the Arts and Humanities Fund may be obligated in Fiscal Year 2025 pursuant to grant awards, through September 30, 2028, and that such funds so obligated are authorized for expenditure and shall remain available for expenditure until September 30, 2028; + + + (3) + Department of Housing and Community Development: $99,764,738 (including $53,989,058 from local funds, $34,045,261 from federal grant funds, $7,530,419 from other federal funds, and $4,200,000 from other funds); provided, that of such funds, the funds allocated to the District from the Homeowner Assistance Fund established under section 3206 of the American Rescue Plan Act of 2021, approved March 11, 2021 (135 Stat. 63; 15 U.S.C. § 9058d), shall remain available until expended; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Department of Housing and Community Development Unified Fund, the Home Again Revolving Fund, the Home Purchase Assistance Program-Repayment Fund, the Housing Preservation Fund, the Negotiated Employee Affordable Housing Fund, and the Section 108 Debt Reserve Account; provided further, that all funds deposited, without regard to fiscal year, into the Rental Housing Registration Fund are authorized for expenditure starting at the beginning of the applicable time period set forth section in 203e(d) of the Rental Housing Act of 1985, effective October 30, 2018 (D.C. Law 22-168; D.C. Official Code § 42-3502.03e(d)), and shall remain available for expenditure until September 30, 2025; + + + (4) + Department of Small and Local Business Development: $24,782,672 (including $23,800,352 from local funds, $312,000 from dedicated taxes, and $670,321 from federal grant funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Small Business Capital Access Fund, the Small Business Licensing Fee Reimbursement Relief Fund, the Streetscape Business Development Relief Fund, the Ward 7 and Ward 8 Entrepreneur Grant Fund, and the Medical Cannabis Social Equity Fund; + + + (5) + Housing Authority Payment: $187,770,049 from local funds; + + + (6) + Housing Production Trust Fund Subsidy: $21,000,000 from local funds; + + + (7) + Office of Cable Television, Film, Music, and Entertainment: $14,897,426 (including $7,570,859 from local funds and $7,326,567 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Film, Television, and Entertainment Rebate Fund and the OCTFME Special Account; + + + (8) + Office of Planning: $15,110,301 (including $14,434,301 from local funds, $626,000 from federal grant funds, and $50,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Historic Landmark-District Protection (Local) Fund and the Historical Landmark-District Protection (O-Type) Fund; + + + (9) + Office of the Deputy Mayor for Planning and Economic Development: $47,900,820 (including $40,993,284 from local funds, $638,601 from dedicated taxes, $1,000,000 from federal grant funds, and $5,268,935 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Economic Development Special Account, the Industrial Revenue Bond Account, the Soccer Stadium Financing Fund, the St. Elizabeths East Campus Redevelopment Fund, the Vitality Fund, the Walter Reed Redevelopment Fund, and the Walter Reed Reinvestment Fund; + + + (10) + Office of the Tenant Advocate: $4,175,757 (including $3,506,032 from local funds and $669,725 from other funds); + + + (11) + Office of Zoning: $4,285,704 from local funds; + + + (12) + Real Property Tax Appeals Commission: $2,019,994 from local funds; and + + + (13) + Rental Housing Commission: $1,363,293 from local funds. + + + + + Public Safety and Justice + + (a) + For public safety and justice, $1,912,416,821 (including $1,579,104,290 from local funds, $284,739,132 from federal grant funds, $300,000 from Medicaid payments, $43,396,709 from other funds, $598,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $600,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for the District of Columbia National Guard" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $2,450,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment to the Criminal Justice Coordinating Council" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $300,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, and $928,690 from private funds), to be allocated as follows: + + (1) + Commission on Judicial Disabilities and Tenure: $974,426 (including $376,426 from local funds and $598,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); + + + (2) + Corrections Information Council: $1,288,948 from local funds; + + + (3) + Criminal Code Reform Commission: $890,125 from local funds; + + + (4) + Criminal Justice Coordinating Council: $4,582,435 (including $2,057,435 from local funds, $75,000 from federal grant funds, and $2,450,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment to the Criminal Justice Coordinating Council" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); + + + (5) + Department of Corrections: $221,434,789 (including $203,229,126 from local funds, $552,527 from federal grant funds, and $17,653,136 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Correction Reimbursement-Juveniles Fund, the Department of Corrections Reimbursement Fund, and the Inmate Welfare Fund; + + + (6) + Department of Forensic Sciences: $36,057,999 (including $34,673,869 from local funds, $455,440 from federal grant funds, and $928,690 from private funds); provided, that all funds deposited, without regard to fiscal year, into the Department of Forensic Sciences Laboratory Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (7) + Department of Youth Rehabilitation Services: $92,739,895 from local funds; + + + (8) + District of Columbia National Guard: $20,068,454 (including $5,860,323 from local funds, $13,578,131 from federal grant funds, $30,000 from other funds, and $600,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for the District of Columbia National Guard" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided, 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 pursuant to this act, and the availability of the sums shall be deemed as constituting payment in advance for emergency services involved; + + + (9) + District of Columbia Sentencing Commission: $1,793,052 from local funds; + + + (10) + Fire and Emergency Medical Services Department: $369,339,115 (including $300,371,406 from local funds, $1,800,460 from other funds, and $67,167,249 from federal grant funds); provided, that all funds deposited, without regard to fiscal year, into the Fire and Emergency Medical Services Department EMS Reform Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (11) + Homeland Security and Emergency Management Agency: $187,544,539 (including $6,180,145 from local funds and $181,364,394 from federal grant funds); + + + (12) + Judicial Nomination Commission: $337,355 (including $37,355 from local funds and $300,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Judicial Commissions" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); + + + (13) + Metropolitan Police Department: $572,948,340 (including $561,635,716 from local funds, $4,884,677 from federal grant funds, and $6,427,947 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Asset Forfeiture Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (14) + Office of Administrative Hearings: $12,059,026 (including $11,759,026 from local funds and $300,000 from Medicaid payments); + + + (15) + Office of Human Rights: $9,956,018 (including $9,554,607 from local funds and $401,412 from federal grant funds); + + + (16) + Office of Neighborhood Safety and Engagement: $25,713,505 from local funds; provided, that the Office of Neighborhood Safety and Engagement is authorized to spend appropriated funds for the purposes set forth in section 101 of the Neighborhood Engagement Achieves Results Amendment Act of 2016, effective June 30, 2016 (D.C. Law 21-125; D.C. Official Code § 7-2411); provided further, that all funds deposited, without regard to fiscal year, into the Neighborhood Safety and Engagement Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (17) + Office of Police Complaints: $3,309,210 from local funds; + + + (18) + Office on Returning Citizen Affairs: $2,917,137 from local funds; + + + (19) + Office of the Chief Medical Examiner: $15,700,845 (including $15,382,844 from local funds and $318,001 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Office of the Chief Medical Examiner Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (20) + Office of the Deputy Mayor for Public Safety and Justice: $16,549,469 from local funds; + + + (21) + Office of Unified Communications: $63,665,616 (including $46,952,663 from local funds, $104,535 from federal grant funds, and $16,608,419 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Emergency and Non-Emergency Number Telephone Calling Systems Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (22) + Office of Victim Services and Justice Grants: $109,092,524 (including $92,378,011 from local funds, $16,155,767 from federal grant funds, and $558,745 from other funds); provided, that $31,667,840 shall be made available to award a grant to the District of Columbia Bar Foundation for the purpose of administering the Access to Justice Initiative, of which not less than $350,000 shall be available to fund the District of Columbia Poverty Lawyer Loan Repayment Assistance Program, and of which not less than $10,000,000 shall be available to fund the Civil Legal Counsel Projects Program; provided further, that the funds authorized for expenditure for the Access to Justice Initiative, including the Access to Justice Grants Program, the District of Columbia Poverty Lawyer Loan Repayment Assistance Program, and the Civil Legal Counsel Projects Program, shall remain available for expenditure, without regard to fiscal year, until September 30, 2025; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Community-Based Violence Reduction Fund, the Crime Victims Assistance Fund, the Private Security Camera Incentive Fund, and the Shelter and Transitional Housing for Victims of Domestic Violence Fund; and + + + (23) + Police Officers' and Firefighters' Retirement System: $143,454,000 from local funds. + + + + + Public Education Systems + + (a) + For the public education systems, $4,220,782,771 (including $3,601,569,061 from local funds, $456,498,343 from federal grant funds, $96,058,194 from other funds, $40,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Resident Tuition Support" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024, $17,500,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for School Improvement" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024 for the purposes specified in section 3004(b) of the Scholarships for Opportunity and Results Act, approved April 15, 2011 (125 Stat 200; D.C. Official Code § 38-1853.04(b)), and $9,157,173 from private funds), to be allocated as follows: + + (1) + Department of Employment Services: $196,989,745 (including $70,917,907 from local funds, $54,843,943 from federal grant funds, $70,006,772 from other funds, and $1,221,123 from private funds); provided, that the Department of Employment Services is authorized to spend appropriated funds to provide food and non-alcoholic beverages and monetary and non-monetary incentives for participants in its programs, as provided by other District or federal law, and to provide food and non-alcoholic beverages to its employees, as provided by other District or federal law; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Jobs Trust Fund, the Reed Act Fund, the Unemployment and Workforce Development Administrative Fund, the Unemployment Insurance Interest Account, the Unemployment Insurance Special Administrative Expense Account, the Wage Theft Prevention Fund, the Workers' Compensation Administration Fund, and the Workers' Compensation Special Fund; provided further, that all funds deposited in Fiscal Year 2025 into the Universal Paid Leave Administration Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (2) + Department of Parks and Recreation: $79,478,185 (including $77,424,319 from local funds, and $2,053,865 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Recreation Enterprise Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that the Department of Parks and Recreation is authorized to spend appropriated funds from the Recreation Enterprise Fund for the purposes set forth in section 4 of the Recreation Act of 1994, effective March 23, 1995 (D.C. Law 10-246; D.C. Official Code § 10-303); + + + (3) + District of Columbia Public Charter School Board: $16,576,000 (including $2,150,000 from local funds and $14,426,000 from other funds); + + + (4) + District of Columbia Public Charter Schools: $1,354,437,693 from local funds; 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 for expenditure until September 30, 2025 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 § 38-1804.03(b)(2)); provided further, that of the amounts made available to District of Columbia public charter schools, $230,000 shall be made available to the Office of the Chief Financial Officer as authorized by section 2403(b)(6) of the District of Columbia School Reform Act of 1995, approved April 26, 1996 (110 Stat. 1321; D.C. Official Code § 38-1804.03(b)(6)); 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, 2025, an amount equal to 35 percent, or for new charter school local education agencies that opened for the first time after December 31, 2024, an amount equal to 45 percent, of the total amount of the local funds appropriations provided for payments to public charter schools in the budget of the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for such payments for Fiscal Year 2026; 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; + + + (5) + District of Columbia Public Library: $78,466,006 (including $75,842,448 from local funds, $1,256,558 from federal grant funds, $1,350,000 from other funds, and $17,000 from private funds); provided, that not to exceed $8,500 of such amount, from local funds, shall be available for the Chief Librarian of the District of Columbia Public Library for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Copies and Printing Fund, the E-Rate Reimbursement Fund, the Library Collections Account, the Books From Birth Fund, and the DCPL Revenue-Generating Activities Fund; + + + (6) + District of Columbia Public Schools: $1,428,381,161 (including $1,358,413,446 from local funds, $37,916,813 from federal grant funds, $7,189,249 from other funds, $7,361,653 from private funds, and $17,500,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for School Improvement" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided, that not to exceed $10,600 of such local funds shall be available for the Chancellor for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10); 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, 2025, an amount equal to 10 percent of the total amount of the local funds appropriations provided for the District of Columbia Public Schools in the budget of the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for the District of Columbia Public Schools for Fiscal Year 2026; provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the At-Risk Supplemental Allocation Preservation Fund, the Afterschool Program-Copayment Fund, the DCPS School Facility Colocation Fund, the District of Columbia Public Schools' Nonprofit School Food Service Fund, the District of Columbia Public Schools Sales and Sponsorship Fund, the E-Rate Education Fund, and the Reserve Officer Training Corps Fund; provided further, that the District of Columbia Public Schools is authorized to spend appropriated funds consistent with section 105(c)(5) of the Public Education Reform Amendment Act of 2007, effective June 12, 2007 (D.C. Law 17-9; D.C. Official Code § 38-174(c)(5)); + + + (7) + District of Columbia State Athletics Commission: $1,708,000 (including $1,488,000 from local funds and $220,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the State Athletic Activities, Programs, and Office Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (8) + Non-Public Tuition: $50,771,591 (including $50,171,591 from local funds and $600,000 from federal grant funds); + + + (9) + Office of the Deputy Mayor for Education: $37,049,411 (including $36,799,411 from local funds, and $250,000 from private funds); + + + (10) + Office of the State Superintendent of Education: $653,803,791 (including $260,803,058 from local funds, $351,881,028 from federal grant funds, $812,307 from other funds, $307,398 from private funds, and $40,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Resident Tuition Support" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided further, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Access to Quality Child Care Fund, the Charter School Credit Enhancement Fund, the Community Schools Fund, the Special Education Enhancement Fund, the Student Enrollment Fund, and the Early Childhood Educator Pay Equity Fund; + + + (11) + Special Education Transportation: $130,760,493 (including $120,760,493 from local funds and $10,000,000 in federal grant funds); provided, that, notwithstanding the amounts otherwise provided under this heading or any other provision of law, there shall be appropriated to the Special Education Transportation agency under the direction of the Office of the State Superintendent of Education, on July 1, 2025, an amount equal to 10 percent of the total amount of the local funds appropriations provided for the Special Education Transportation agency in the budget for the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for the Special Education Transportation agency for Fiscal Year 2026; provided further, that amounts appropriated under this paragraph may be used to offer financial incentives as necessary to reduce the number of routes serving 2 or fewer students; + + + (12) + State Board of Education: $3,746,843 from local funds; + + + (13) + Teachers' Retirement System: $80,981,000 from local funds; + + + (14) + Unemployment Compensation Fund: $5,480,390 from local funds; and + + + (15) + University of the District of Columbia Subsidy Account: $102,152,462 from local funds; provided, that this appropriation shall not be available to subsidize the education of nonresidents of the District 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, 2025, a tuition-rate schedule that establishes 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, 2025, an amount equal to 10 percent of the total amount of the local funds appropriations provided for the University of the District of Columbia in the budget of the District of Columbia for Fiscal Year 2026 (as adopted by the District), and the amount of such payment shall be chargeable against the final amount provided for the University of the District of Columbia for Fiscal Year 2026; provided further, that not to exceed $10,600 of such local funds shall be available for the President of the University of the District of Columbia for official reception and representation expenses and for purposes consistent with the Discretionary Funds Act of 1973, approved October 26, 1973 (87 Stat. 509; D.C. Official Code § 1-333.10). + + + + + Human Support Services + + (a) + For human support services, $6,964,497,650 (including $2,498,009,702 from local funds, $240,409,641 from dedicated taxes, $543,179,490 from federal grant funds, $61,605,396 from other funds, $3,614,972,583 from Medicaid payments, $1,222,319 from private funds, $98,520 in federal payment funds for COVID relief, and $5,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Testing and Treatment of HIV/AIDS" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); to be allocated as follows: + + (1) + Child and Family Services Agency: $224,370,439 (including $173,681,892 from local funds, $49,603,987 from federal grant funds, $1,000,000 from other funds, and $84,560 from private funds); + + + (2) + Department of Aging and Community Living: $65,015,319 (including $48,588,302 from local funds, $13,153,090 from federal grant funds, and $3,273,927 from Medicaid payments); + + + (3) + Department of Behavioral Health: $386,502,734 (including $296,751,522 from local funds, $66,475,447 from federal grant funds, $4,257,265 from Medicaid payments, $18,630,500 from other funds, and $388,000 from private funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available or expenditure until September 30, 2025: the Addiction Prevention and Recovery Administration-Choice in Drug Treatment (HCSN) Fund and the Opioid Abatement Fund; + + + (4) + Department of Health: $310,028,863 (including $92,329,386 from local funds, $187,544,884 from federal grant funds, $24,404,833 from other funds, $749,759 from private funds, and $5,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Testing and Treatment of HIV/AIDS" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Animal Education and Outreach Fund, the Board of Medicine Fund, the Civil Monetary Penalties Fund, the Communicable and Chronic Disease Prevention and Treatment Fund, the Health Professional Recruitment Fund (Medical Loan Repayment), the Howard University Hospital Centers of Excellence Fund, the Human Services Facility Fee Fund, the ICF/MR Fees and Fines Fund, the Pharmacy Protection Fund, the State Health Planning and Development Agency Admission Fee Fund, the State Health Planning and Development Agency Fees Fund, and the Tobacco Use Cessation Fund; + + + (5) + Department of Health Care Finance: $4,867,809,070 (including $1,043,110,088 from local funds, $240,409,641 from dedicated taxes, $5,136,131 from federal grant funds, $3,572,144,949 from Medicaid payments, and $7,008,261 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Bill of Rights (Grievance and Appeals) Fund, the DC HealthCare Alliance Reform Fund, the Healthy DC and Health Care Expansion Fund, the Home and Community-Based Services Enhancement Fund, the Hospital Provider Fee Fund, the Hospital Fund, the Individual Insurance Market Affordability and Stability Fund, the Medicaid Collections-3rd Party Liability Fund, the Nursing Facility Quality of Care Fund, and the Stevie Sellow's Quality Improvement Fund; + + + (6) + Department of Human Services: $883,180,478 (including $680,126,906 from local funds, $184,282,372 from federal grant funds, $180,000 from other funds, and $18,591,200 from federal Medicaid payments); provided, that all funds deposited, without regard to fiscal year, into the SNAP Reinvestment Fund, and the SSI Payback Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (7) + Department on Disability Services: $206,692,375 (including $142,523,234 from local funds, $36,983,578 from federal grant funds, $16,705,241 from Medicaid payments, $10,381,801 from other funds, and $98,520 from federal payment funds for COVID relief); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Contribution to Costs of Supports Fund, the Cost of Care for Non-Medicaid Clients Fund, and the Randolph Shepherd Unassigned Facilities Fund; + + + (8) + Not-for-Profit Hospital Corporation Subsidy: $17,200,000 from local funds; + + + (9) + Office of the Deputy Mayor for Health and Human Services: $2,451,119 from local funds; and + + + (10) + Office of the Ombudsperson for Children: $1,247,254 from local funds. + + + + + Operations and Infrastructure + + (a) + For operations and infrastructure, $1,701,112,968 (including $1,081,033,356 from local funds, $78,702,239 from dedicated taxes, $171,630,357 from federal grant funds, $366,605,762 from other funds, and, $3,141,255 from private funds), to be allocated as follows: + + (1) + Alcoholic Beverage and Cannabis Administration: $14,822,362 (including $1,370,633 from local funds and $13,451,729 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Alcoholic Beverage and Cannabis Administration Fund, the Dedicated Taxes Fund, and the Medical Cannabis Administration Fund; + + + (2) + Department of Buildings: $65,133,925 (including $48,893,878 from local funds and $16,240,047 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Green Building Fund, the Nuisance Abatement Fund, and the Expedited Building Permit Review Fund; + + + (3) + Department of Licensing and Consumer Protection: $38,817,000 (including $13,485,619 from local funds and $25,331,381from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Appraisal Fee Fund, the Basic Business License Fund, the Corporate Recordation Fund, the DC Combat Sports Commission Fund, the Occupational and Professional Licensing Administration Special Account, the Real Estate Guaranty and Education Fund, and the Vending Regulation Fund; + + + (4) + Department of Energy and Environment: $319,024,771 (including $27,305,354 from local funds, $141,117,251 from federal grant funds, $147,474,911 from other funds and $3,127,255 from private funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Air Quality Construction Permits Fund, the Anacostia River Clean Up and Protection Fund, the Benchmarking Enforcement Fund, the Clean Land Fund/Brownfield Revitalization Fund, the District of Columbia Wetland Stream and Mitigation Trust Fund, the Economy II Fund, the Energy Assistance Trust Fund, the Fishing License Fund, the Hazardous Waste and Toxic Chemical Source Reduction Fund, the Indoor Mold Assessment and Remediation Fund, the Lead Poisoning Prevention Fund, the Leaking Underground Storage Tank Trust Fund, the Municipal Aggregation Fund, the Pesticide Product Registration Fund, the Product Stewardship Fund, the Rail Safety and Security Fund, the Renewable Energy Development Fund, the Residential Aid Discount Fund, the Residential Essential Services Fund, the Soil Erosion and Sediment Control Fund, the Special Energy Assessment Fund, the Stormwater Fees Fund, the Stormwater In-Lieu Fee Payment Fund, the Storm Water Permit Review Fund, the Sustainable Energy Trust Fund, the Underground Storage Tank Regulation Fund, and the WASA Utility Discount Program Fund; provided further, that funds in the available fund balance of the Renewable Energy Development Fund may be obligated in Fiscal Year 2025, pursuant to grant awards, through September 30, 2028, and that such funds so obligated are authorized for expenditure and shall remain available for expenditure until September 30, 2028; + + + (5) + Department of For-Hire Vehicles: $22,855,192 (including $10,100,553 from local funds and $12,754,639 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Public Vehicles-for-Hire Consumer Service Fund and the Taxicab Assessment Act Fund; + + + (6) + Department of Insurance, Securities, and Banking: $36,394,797 (including $296,179 from local funds and $36,098,618 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Capital Access Fund, the Foreclosure Mediation Fund, the Insurance Assessment Fund, the Insurance Regulatory Trust Fund, and the Securities and Banking Fund; + + + (7) + Department of Motor Vehicles: $72,384,773 (including $61,770,667 from local funds and $10,614,105 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Department of Motor Vehicles Kiosk Fund and the Motor Vehicle Inspection Station Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (8) + Department of Public Works: $186,142,851 (including $172,842,754 from local funds and $13,300,098 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Solid Waste Disposal Cost Recovery Special Account and the Super Can Program Fund; + + + (9) + District Department of Transportation: $185,309,928 (including $134,198,490 from local funds, $29,882,106 from federal grant funds, and $21,229,332 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Bicycle Sharing Fund, the Bus Service Enhancement Fund, the DC Circulator Fund, the DC Water Facility Work Fund, the DDOT Enterprise Fund-Non Tax Revenues Fund, the Parking Meter and Transit Services Pay-by-Phone Transaction Fee Fund, the Performance Parking Program Fund, the Sustainable Transportation Fund, and the Transportation Infrastructure Project Review Fund; provided further, that there are appropriated any amounts received, or to be received, without regard to fiscal year, from the Potomac Electric Power Company, or any of its related companies, successors, or assigns, for the purpose of paying or reimbursing the District Department of Transportation for the costs of designing, constructing, acquiring, and installing facilities, infrastructure, and equipment for use and ownership by the Potomac Electric Power Company, or any of its related companies, successors, or assigns, related to or associated with the undergrounding of electric distribution lines in the District of Columbia, and any interest earned on those funds, which amounts and interest shall not revert to the unrestricted fund balance of the General Fund at the end of a fiscal year or at any other time, but shall be continually available without regard to fiscal year limitation until expended for the designated purposes; + + + (10) + Office of the Deputy Mayor for Operations and Infrastructure: $1,349,839 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Vision Zero Pedestrian and Bicycle Safety Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (11) + Office of the People's Counsel: $13,970,512 (including $1,025,549 from local funds and $12,944,962 from other funds); provided, that all funds deposited, without regard to fiscal year, into the Office of People's Counsel Agency Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (12) + Public Service Commission: $20,810,940 (including $631,000 from federal grant funds, $20,165,940 from other funds, and $14,000 from private funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the PJM Settlement Fund and the Public Service Commission Agency Fund; + + + (13) + Washington Metropolitan Area Transit Authority: $723,917,612 (including $608,215,373 from local funds, $78,702,239 from dedicated taxes, and $37,000,000 from other funds); provided, that all funds deposited, without regard to fiscal year, into the following funds are authorized for expenditure and shall remain available for expenditure until September 30, 2025: the Dedicated Taxes Fund and the Parking Meter WMATA Fund; provided further, that all funds budgeted without regard to fiscal year for the adult learner transit subsidy program established by section 6047 of the Student, Foster Youth, Summer Youth Employee, and Adult Learner Transit Subsidies Act of 2019, effective September 11, 2019 (D.C. Law 23-16; D.C. Official Code § 35-246), are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that there are appropriated any amounts deposited, or to be deposited, without regard to fiscal year, into the Washington Metropolitan Area Transit Authority Dedicated Financing Fund for the purpose of funding WMATA capital improvements, which amounts shall not revert to the unrestricted fund balance of the General Fund at the end of a fiscal year or at any other time, but shall be continually available until expended for the designated purposes; and + + + (14) + Washington Metropolitan Area Transit Commission: $178,468 from local funds. + + + + + Financing and Other + + (a) + For financing and other costs, $2,057,775,293 (including $1,477,887,770 from local funds, $399,047,477 from dedicated taxes, $14,125,157 from federal grant funds, $69,714,889 from other funds, and $97,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024), to be allocated as follows: + + (1) + Commercial Paper Program: $7,500,000 from local funds; + + + (2) + Convention Center Transfer: $199,943,000 (including $1,500,000 from local funds and $198,443,000 from dedicated taxes); + + + (3) + Debt Service - Issuance Costs: $11,000,000 from local funds for the payment of debt service issuance costs; + + + (4) + District Retiree Health Contribution: $63,900,000 from local funds for a District Retiree Health Contribution; + + + (5) + Emergency Planning and Security Fund: $50,000,000 from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024; provided, that, notwithstanding any other law, obligations and expenditures that are pending reimbursement under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" may be charged to this appropriations heading; + + + (6) + District of Columbia Highway Transportation Fund: $41,036,867 (including $19,847,000 from dedicated taxes and $21,189,867 from other funds); + + + (7) + John A. Wilson Building Fund: $5,515,626 from local funds for expenses associated with the John A. Wilson building; + + + (8) + Inaugural Expenses: $47,000,000 from federal payments from federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024; provided, that, notwithstanding any other law, obligations and expenditures that are pending reimbursement under the heading "Federal Payment for Emergency Planning and Security Costs in the District of Columbia" may be charged to this appropriations heading; + + + (9) + Non-Departmental Account: $10,369,263 (including $8,484,000 from local funds and $1,885,263 from other funds); provided, that funds allocated for the implementation of the Reparations Foundation Fund and Task Force Establishment Act of 2023, as introduced on February 24, 2023 (Bill 25-152), shall be reallocated following its effective date pursuant to section 1132 of the Fiscal Year 2025 Budget Support Act of 2024, passed on 2nd reading on June 25, 2024 (Enrolled version of Bill 25-784). + + + (10) + Pay-As-You-Go Capital Fund: $242,392,777 (including $26,351,018 from local funds, $178,500,000 from dedicated taxes, and $37,541,759 from other funds) to be transferred to the Capital Fund, in lieu of capital financing; + + + (11) + Repayment of Loans and Interest: $1,252,586,904 (including $1,229,363,747 from local funds, $14,125,157 from federal grant funds, and $9,098,000 from other funds), 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, approved December 24, 1973 (87 Stat. 774; D.C. Official Code §§ 1-204.61, 1-204.75, and 1-204.90); + + + (12) + Repayment of Revenue Bonds: $2,257,477 from dedicated taxes for the repayment of revenue bonds; + + + (13) + Settlements and Judgments: $21,024,759 from local funds for making refunds and for the payment of legal settlements or judgments that have been entered against the District of Columbia government; provided, that this amount may be increased by 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 and such sums may be paid from the applicable or available funds of the District of Columbia; and + + + (14) + Workforce Investments Account: $103,248,620 from local funds; provided, that all funds deposited, without regard to fiscal year, into the Workforce Investments Account are authorized for expenditure and shall remain available for expenditure until September 30, 2025. + + + + + Enterprise Funds + + (a) + The amount of $2,645,425,156 (including $2,369,764,897 from enterprise and other funds, and $275,660,258 from enterprise and other funds - dedicated taxes), shall be provided to enterprise funds as follows; provided, that, in the event that revenue dedicated by local law to an enterprise fund exceeds the amount set forth as follows, the General Fund budget authority may be increased as needed to transfer all such revenue, pursuant to local law, to the enterprise fund: + + (1) + Ballpark Revenue Fund: $128,017,608 (including $12,261,624 from enterprise and other funds and $115,755,984 from enterprise and other funds - dedicated taxes); + + + (2) + District of Columbia Retirement Board: $40,187,084 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; + + + (3) + District of Columbia Water and Sewer Authority: $788,241,048 from enterprise and other funds; provided, that not to exceed $25,000 of this amount shall be available for reception and representation expenses; provided further, that not to exceed $15,000 of this amount shall be available for official meetings. For construction projects, $7,228,509,000, to be distributed as follows: $1,268,452,000 for Wastewater Treatment; $1,774,981,000 for the Sanitary Sewer System; $2,194,292,000 for the Water System; $184,444,000 for Non Process Facilities; $1,106,300,000 for the Combined Sewer Overflow Program; $321,926,000 for the Washington Aqueduct; $61,258,000 for the Stormwater Program; and $316,855,000 for the capital equipment program; in addition, $8,000,000 for Federal payment funds requested to be appropriated by the Congress under the heading "Federal Payment to the District of Columbia Water and Sewer Authority" in the Fiscal Year 2025 Federal Portion Budget Request Act of 2024; + + + (4) + Green Finance Authority: $43,192,583 from enterprise and other funds, to be available until expended; + + + (5) + Health Benefit Exchange Authority: $41,752,784 from enterprise and other funds; + + + (6) + Housing Finance Agency: $16,943,792 from enterprise and other funds; provided, that all funds budgeted without regard to fiscal year for the Reverse Mortgage Foreclosure Prevention Program are authorized for expenditure and shall remain available for expenditure until September 30, 2025; provided further, that all funds budgeted without regard to fiscal year for the Public Housing Credit-Building Pilot Program are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (7) + Housing Production Trust Fund: $79,997,224 (including $31,000,000 from enterprise and other funds, and $48,997,224 from enterprise and other funds - dedicated taxes); provided, that all funds deposited, without regard to fiscal year, into the Housing Production Trust Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (8) + Not-For-Profit Hospital Corporation: $155,000,000 from enterprise and other funds; + + + (9) + Office of Lottery and Gaming: $352,000,000 from enterprise and other funds; provided, that, after notification to the Mayor, amounts appropriated herein may be increased by an amount necessary for the Lottery, Gambling, and Gaming Fund to make transfers to the General Fund and to cover prizes, agent commissions, and gaming-related fees directly associated with unanticipated excess lottery revenues not included in this appropriation; + + + (10) + Other Post-Employment Benefits Trust Administration: $8,846,834 from enterprise and other funds; + + + (11) + Repayment of PILOT Financing: $65,115,226 from enterprise and other funds - dedicated taxes; + + + (12) + Tax Increment Financing Program: $45,791,825 from enterprise and other funds - dedicated taxes; + + + (13) + Unemployment Insurance Trust Fund: $176,682,095 from enterprise and other funds; + + + (14) + Universal Paid Leave Fund: $137,800,000 from enterprise and other funds; provided, that all funds deposited, without regard to fiscal year, are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (15) + University of the District of Columbia: $211,568,837 from enterprise and other funds; provided, that these funds shall not revert to the General Fund at the end of a fiscal year or at any other time, but shall be continually available for expenditure until September 30, 2025, without regard to fiscal year limitation; provided further, that all funds deposited, without regard to fiscal year, into the Higher Education Incentive Program Fund are authorized for expenditure and shall remain available for expenditure until September 30, 2025; + + + (16) + Washington Aqueduct: $115,788,614 from enterprise and other funds; and + + + (17) + Washington Convention and Sports Authority: $238,499,603 from enterprise and other funds. + + + + + Reserve Accounts + + (1) + Cash Flow Reserve Account: All funds deposited, without regard to fiscal year, into the Cash Flow Reserve Account, established pursuant to D.C. Official Code § 47-392.02(j-2), are authorized for expenditure and shall remain available for expenditure until September 30, 2025. + + + (2) + Fiscal Stabilization Reserve Account: All funds deposited, without regard to fiscal year, into the Fiscal Stabilization Reserve Account, established pursuant to D.C. Official Code § 47-392.02(j-1), are authorized for expenditure and shall remain available for expenditure until September 30, 2025. + + + + Capital Outlay + For capital construction projects, a net increase of $3,908,083,000, of which $3,374,542,000 shall be from local funds, $68,574,000 shall be from federal funds, $64,930,000 shall be from the District of Columbia Highway Trust Fund, and $478,436,000 shall be from the federal Highway Trust Fund, and a net rescission of $78,400,000, which shall be from local transportation funds, to remain available until expended; provided, that all funds provided by this act shall be available only for the specific projects and purposes intended; provided further, that amounts appropriated under this act may be increased by the amount transferred from funds appropriated in this act as Pay-As­You-Go Capital funds. + +
+
+ 3 + Fiscal impact statement. + The Council adopts the fiscal impact statement of the Chief Financial Officer as the fiscal impact statement required by section 4a of the General Legislative Procedures Act of 1975, approved October 16, 2006 (120 Stat. 2038; D.C. Official Code § l-301.47a). +
+
+ 4 + Effective date. + As provided in section 446(a) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 801; D.C. Official Code § 1-204.46(a)), this act shall take effect following approval by the Mayor (or in the event of veto by the Mayor, action by the Council to override the veto) and a 30-day period of congressional review as provided in section 602(c)(1) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 813; D.C. Official Code § 1-206.02(c)(1)). +
+ From d1dd39f46dbb0b5b1f33db0f3a8be2725c134c56 Mon Sep 17 00:00:00 2001 From: Alexis Byrd Date: Mon, 7 Oct 2024 13:24:42 -0400 Subject: [PATCH 4/5] FY 25 LBA editor's notes --- us/dc/council/periods/25/acts/25-551.xml | 3 +++ us/dc/council/periods/25/laws/25-218.xml | 3 +++ 2 files changed, 6 insertions(+) diff --git a/us/dc/council/periods/25/acts/25-551.xml b/us/dc/council/periods/25/acts/25-551.xml index 75d65d3b42..25c5a00294 100644 --- a/us/dc/council/periods/25/acts/25-551.xml +++ b/us/dc/council/periods/25/acts/25-551.xml @@ -663,6 +663,9 @@ Capital Outlay For capital construction projects, a net increase of $3,908,083,000, of which $3,374,542,000 shall be from local funds, $68,574,000 shall be from federal funds, $64,930,000 shall be from the District of Columbia Highway Trust Fund, and $478,436,000 shall be from the federal Highway Trust Fund, and a net rescission of $78,400,000, which shall be from local transportation funds, to remain available until expended; provided, that all funds provided by this act shall be available only for the specific projects and purposes intended; provided further, that amounts appropriated under this act may be increased by the amount transferred from funds appropriated in this act as Pay-As­You-Go Capital funds. + + For the adoption, on an emergency basis, of the local portion of the budget of the District of Columbia government for the fiscal year ending September 30, 2025, see the Fiscal Year 2025 Local Budget Emergency Act of 2024, effective October 2, 2024 (D.C. Act 25-551; 71 DCR 11819). +
3 diff --git a/us/dc/council/periods/25/laws/25-218.xml b/us/dc/council/periods/25/laws/25-218.xml index 0f279283af..2c2c3dcc28 100644 --- a/us/dc/council/periods/25/laws/25-218.xml +++ b/us/dc/council/periods/25/laws/25-218.xml @@ -670,6 +670,9 @@ Capital Outlay For capital construction projects, a net increase of $3,908,083,000, of which $3,374,542,000 shall be from local funds, $68,574,000 shall be from federal funds, $64,930,000 shall be from the District of Columbia Highway Trust Fund, and $478,436,000 shall be from the federal Highway Trust Fund, and a net rescission of $78,400,000, which shall be from local transportation funds, to remain available until expended; provided, that all funds provided by this act shall be available only for the specific projects and purposes intended; provided further, that amounts appropriated under this act may be increased by the amount transferred from funds appropriated in this act as Pay-As­You-Go Capital funds. + + For the adoption of the local portion of the budget of the District of Columbia government for the fiscal year ending September 30, 2025, see the Fiscal Year 2025 Local Budget Act of 2024, effective September 18, 2024 (D.C. Law 25-218; 71 DCR 11543). +
3 From 7da86131a7a71e84156b9ed118101df350b46e64 Mon Sep 17 00:00:00 2001 From: Alexis Byrd Date: Thu, 10 Oct 2024 12:11:33 -0400 Subject: [PATCH 5/5] 10-10-24 commits --- us/dc/council/periods/22/laws/22-168.xml | 3 +- us/dc/council/periods/22/laws/22-65.xml | 2 +- us/dc/council/periods/24/laws/24-45.xml | 1 + us/dc/council/periods/25/acts/25-506.xml | 4 +- us/dc/council/periods/25/laws/25-217.xml | 77 ++++++++++++------------ us/dc/council/periods/25/laws/25-50.xml | 2 +- 6 files changed, 45 insertions(+), 44 deletions(-) diff --git a/us/dc/council/periods/22/laws/22-168.xml b/us/dc/council/periods/22/laws/22-168.xml index 40ce58a5e5..1ea13cafd4 100644 --- a/us/dc/council/periods/22/laws/22-168.xml +++ b/us/dc/council/periods/22/laws/22-168.xml @@ -8614,8 +8614,8 @@
. + Apr. 18, 1996, D.C. Law 11-111, § 216b - Apr. 18, 1996, D.C. Law 11-111, § 216b
@@ -9344,7 +9344,6 @@ Amendatory section 501a(b) of the Healthy Schools Act of 2010, effective July 27, 2010 (D.C. Law 18-209; D.C. Official Code § 38-821.01 et seq.), within section 2(c) shall apply upon the date of inclusion of its fiscal effect in an approved budget and financial plan. - - + - + @@ -4851,10 +4851,9 @@ This subtitle may be cited as the "Rosemount Center Support Act of 2024".
- 4102 In Fiscal Year 2025, the Office of the State Superintendent of Education shall award a grant in the amount of $385,000 to the Rosemount Center, located at 2000 Rosemount Avenue, NW, to support the continuation of childcare operations. - For a requirement that in Fiscal Year 2025 the Office of the State Superintendent of Education shall award a grant to the Rosemount Center, see section 4102 of D.C. Law 25-218. + For a requirement that in Fiscal Year 2025 the Office of the State Superintendent of Education shall award a grant to the Rosemount Center, see section 4102 of D.C. Law 25-218.
@@ -5035,7 +5034,9 @@ section 103 of the Act - section 103(b-1) of the Act + + section 103(b-1) of the Act +
@@ -5060,9 +5061,10 @@ (6) + Career Ready Early Scholars ("CRES") Summer Program. — (A) - Career Ready Early Scholars ("CRES") Summer Program. - DOES shall create a summer program for youth between 9 and 13 years of age that provides occupational skills, academic enrichment, life skills, career exploration, work readiness, or youth development trainings. + DOES shall create a summer program for youth between 9 and 13 years of age that provides occupational skills, academic enrichment, life skills, career exploration, work readiness, or youth development trainings. (B) @@ -5108,9 +5110,10 @@ (7) + Career Ready Early Scholars ("CRES") Year-Round Program. — (A) - Career Ready Early Scholars ("CRES") Year-Round Program. - Beginning in School Year 2024-2025, DOES may administer an after-school program for youth between 9 and 13 years of age that provides occupational skills, academic enrichment, life skills, career exploration, work readiness, or youth development trainings during the school year. + Beginning in School Year 2024-2025, DOES may administer an after-school program for youth between 9 and 13 years of age that provides occupational skills, academic enrichment, life skills, career exploration, work readiness, or youth development trainings during the school year. (B) @@ -5980,7 +5983,6 @@ This subtitle may be cited as the "Juvenile Justice Facilities Oversight Act of 2024".
- 5012 (a) @@ -6007,7 +6009,7 @@ - For a temporary (90 days) continuation of operations of the Office of Independent Juvenile Facilities Oversight, established pursuant to section VIII of Mayor's Order 2020-115 and extended by Mayor's Order 2023-146, throughout Fiscal Year 2025 as a program within the Office of the District of Columbia Auditor, see section 5012 of D.C. Law 25-218. + For a continuation of operations of the Office of Independent Juvenile Facilities Oversight, established pursuant to section VIII of Mayor's Order 2020-115 and extended by Mayor's Order 2023-146, throughout Fiscal Year 2025 as a program within the Office of the District of Columbia Auditor, see section 5012 of D.C. Law 25-218.
@@ -6489,11 +6491,11 @@ Federal Determination; Suspension and Termination of Assessment; and Applicability of fees. (a) - The fee imposed by section 5034 shall be applicable as of October 1, 2024. + The fee imposed by section 5034 shall be applicable as of October 1, 2024. (b) - The fee imposed by section 5034 shall cease to be imposed, and any moneys remaining in the Fund shall be refunded to hospitals in proportion to the amounts paid by them if the payments under section 5036 are not eligible for federal matching funds or if the fee is deemed to be an impermissible tax under section 1903(w) of the Social Security Act, approved July 30, 1965 (79 Stat. 349; 42 U.S.C. § 1396b(w)). + The fee imposed by section 5034 shall cease to be imposed, and any moneys remaining in the Fund shall be refunded to hospitals in proportion to the amounts paid by them if the payments under section 5036 are not eligible for federal matching funds or if the fee is deemed to be an impermissible tax under section 1903(w) of the Social Security Act, approved July 30, 1965 (79 Stat. 349; 42 U.S.C. § 1396b(w)). (c) @@ -6562,7 +6564,7 @@ (b) (1) - Notwithstanding any other provision in this subtitle, if a hospital system or person ceases to own, operate, or maintain a hospital that is subject to a fee under section 5034, as evidenced by the transfer or surrender of the hospital license, the fee for the fiscal year in which the cessation occurs shall be adjusted by multiplying the fee computed under section 5034 by a fraction, the numerator of which is the number of days in the year during which the hospital system or person conducted, operated, or maintained the hospital, and the denominator of which is 365. + Notwithstanding any other provision in this subtitle, if a hospital system or person ceases to own, operate, or maintain a hospital that is subject to a fee under section 5034, as evidenced by the transfer or surrender of the hospital license, the fee for the fiscal year in which the cessation occurs shall be adjusted by multiplying the fee computed under section 5034 by a fraction, the numerator of which is the number of days in the year during which the hospital system or person conducted, operated, or maintained the hospital, and the denominator of which is 365. (2) @@ -6776,7 +6778,7 @@ (j) - For purposes of determining eligibility and the amount of subsidy payments that a close relative is eligible to receive under this act, the Mayor shall exclude from consideration, for a period of no more than 60 months, any financial assistance received by the applicant from a benefits program, including from the Supplemental Nutrition Assistance Program and the Temporary Assistance for Needy Families program, or a research project that has developed a plan to study and evaluate the impact and potential benefits of direct cash transfers. + For purposes of determining eligibility and the amount of subsidy payments that a close relative is eligible to receive under this act, the Mayor shall exclude from consideration, for a period of no more than 60 months, any financial assistance received by the applicant from a benefits program, including from the Supplemental Nutrition Assistance Program and the Temporary Assistance for Needy Families program, or a research project that has developed a plan to study and evaluate the impact and potential benefits of direct cash transfers.
. @@ -6894,10 +6896,8 @@ (A) Paragraph (1) is amended by striking the phrase "section 27;" and inserting the phrase "section 27; except, that an administrative review decision regarding the validity of a decision to exit a client from a Rapid Re-Housing program because the client's time period for receiving services has run out due to a statutory or regulatory time limit on the duration of services provided by the Rapid Re-Housing program may not be appealed pursuant to this paragraph;" in its place. - - § 4-754.42 - - section 27; except, that an administrative review decision regarding the validity of a decision to exit a client from a Rapid Re-Housing program because the client's time period for receiving services has run out due to a statutory or regulatory time limit on the duration of services provided by the Rapid Re-Housing program may not be appealed pursuant to this paragraph; + ; + ; except, that an administrative review decision regarding the validity of a decision to exit a client from a Rapid Re-Housing program because the client's time period for receiving services has run out due to a statutory or regulatory time limit on the duration of services provided by the Rapid Re-Housing program may not be appealed pursuant to this paragraph;
@@ -6918,7 +6918,7 @@ Subsection (d) is amended by striking the phrase "This right to continuation of shelter or housing services provided within the Continuum of Care pending appeal shall not apply in the case of an emergency suspension or termination pursuant to section 24." and inserting the phrase "This right to continuation of shelter or housing services provided within the Continuum of Care pending appeal shall not apply in the case of an emergency suspension or termination pursuant to section 24 or in the case of a program exit from a Rapid Re-Housing program due to a statutory or regulatory time limit on the duration of services provided by the Rapid Re-Housing program." in its place. This right to continuation of shelter or housing services provided within the Continuum of Care pending appeal shall not apply in the case of an emergency suspension or termination pursuant to § 4-754.38. - This right to continuation of shelter or housing services provided within the Continuum of Care pending appeal shall not apply in the case of an emergency suspension or termination pursuant to § 4-754.38, or in the case of a program exit from a Rapid Re-Housing program due to a statutory or regulatory time limit on the duration of services provided by the Rapid Re-Housing program. + This right to continuation of shelter or housing services provided within the Continuum of Care pending appeal shall not apply in the case of an emergency suspension or termination pursuant to § 4-754.38 or in the case of a program exit from a Rapid Re-Housing program due to a statutory or regulatory time limit on the duration of services provided by the Rapid Re-Housing program. @@ -7204,8 +7204,8 @@
5132 Notwithstanding the Grant Administration Act of 2013 (D.C. Law 20-61; D.C, Official Code § 1-328.11 et seq.), in Fiscal Year 2025, the Department of Aging and Community Living shall award a grant of $60,000 to Vida Senior Centers to support staffing and program operations costs. + For a requirement that in Fiscal Year 2025 the Department of Aging and Community Living award a grant to Vida Senior Centers, see section 5132 of D.C. Law 25-217.
- For a requirement that in Fiscal Year 2025 the Department of Aging and Community Living award a grant to Vida Senior Centers, see section 5132 of D.C. Law 25-218. SUBTITLE @@ -7407,11 +7407,11 @@ Notwithstanding any other provision of this subtitle, in Fiscal Year 2025, a total amount of $1,125,000 from the Fund shall be used for the following purposes: (1) - $400,000 for behavioral health and substance abuse targeted outreach services at locations in Wards 5 and 6 identified in the Substance Abuse and Behavioral Health Services Targeted Outreach Grant Act of 2024, passed on 2nd reading on June 25, 2024 (Enrolled version of Bill 25-784); + $400,000 for behavioral health and substance abuse targeted outreach services at locations in Wards 5 and 6 identified in the Substance Abuse and Behavioral Health Services Targeted Outreach Grant Act of 2024, passed on 2nd reading on June 25, 2024 (Enrolled version of Bill 25-784); (2) - $325,000 to implement the School-Based Behavioral Health Student Peer Educator Pilot Amendment Act of 2024, passed on 2nd reading on June 25, 2024 (Enrolled version Bill 25-784); and + $325,000 to implement the School-Based Behavioral Health Student Peer Educator Pilot Amendment Act of 2024, passed on 2nd reading on June 25, 2024 (Enrolled version Bill 25-784); and (3) @@ -7484,7 +7484,6 @@ This subtitle may be cited as the "Substance Abuse and Behavioral Health Services Targeted Outreach Grants Act of 2024".
- 5192 Substance abuse and behavioral health services targeted outreach pilot. @@ -7568,7 +7567,7 @@ (e) For the locations specified in subsections (a)(1), (2), (3), and (b) of this section, DBH shall award a grant to the same organization that received the grant under the Department of Behavioral Health Targeted Outreach Grants Act of 2023, effective September 6, 2023 (D.C. Law 25-50; 70 DCR 10366). - For a requirement that the Department of Behavioral Health ("DBH") shall award one or more grants by October 31, 2024 to 501(c)(3) not-for-profit organizations with experience in substance abuse harm reduction services, and that the not-for-profit organizations awarded a grant shall submit a report to DBH by November 30, 2025, see section 5192 of D.C. Law 25-218. + For a requirement that the Department of Behavioral Health ("DBH") shall award one or more grants by October 31, 2024 to 501(c)(3) not-for-profit organizations with experience in substance abuse harm reduction services, and that the not-for-profit organizations awarded a grant shall submit a report to DBH by November 30, 2025, see section 5192 of D.C. Law 25-217.
@@ -7794,8 +7793,8 @@
5223 Section 3 of the Home Visiting Services Reimbursement Amendment Act of 2024, effective March 23, 2024 (D.C. Law 25-142; 71 DCR 1474), is repealed. - - Section 5223 of D.C. Law 25-218 repealeded section 3 of D.C. Law 25-142 removing the applicability provision impacting this section. Therefore the amendment of this section by section 2 of Law 25-142 has been implemented. + + Section 5223 of D.C. Law 25-217 repealeded section 3 of D.C. Law 25-142 removing the applicability provision impacting this section. Therefore the amendment of this section by section 2 of Law 25-142 has been implemented.
@@ -7872,12 +7871,12 @@ The custody and ownership of an unclaimed deposit for excavation work in public space.
+ Nov. 13, 2001, D.C. Law 24-45, § 7093a
.
- 6003 Section 3405.9 of Title 24 of the District of Columbia Municipal Regulations (24 DCMR § 3405.9) is amended to read as follows: @@ -8253,6 +8252,7 @@
+ 6055 Section 6092(a) of the Foundry Branch Trolley Trestle Plan Act of 2023, effective September 6, 2023 (D.C. Law 25-50; 70 DCR 10366), is amended by striking the phrase "In Fiscal Year 2024" and inserting the phrase "In Fiscal Year 2024 or Fiscal Year 2025" in its place. @@ -8260,6 +8260,8 @@
6056 Any money in the Vision Zero Enhancement Omnibus Amendment Act Implementation Fund, established by section 9q of the Department of Transportation Establishment Act of 2002, effective November 13, 2021 (D.C. Law 24-45; D.C. Official Code § 50-921.25), shall, as of the applicability date of this subtitle, be transferred to the unrestricted fund balance of the General Fund of the District of Columbia. + Section 6056 of D.C. Law 25-217 provided that any money in the Vision Zero Enhancement Omnibus Amendment Act Implementation Fund, established by section 9q of the Department of Transportation Establishment Act of 2002, effective November 13, 2021 (D.C. Law 24-45; D.C. Official Code § 50-921.25), shall, as of October 1, 2024, be transferred to the unrestricted fund balance of the General Fund of the District of Columbia. +
6057 @@ -8319,7 +8321,7 @@ A description of service levels, hours of operation, and ridership for each Circulator line during that month, including a percentage of how often those lines meet the Circulator's goal of 10-minute headways. - For a requirement that, beginning July 1, 2024, and monthly thereafter until September 30, 2026, the Director of the District Department of Transportation submit to the Council a report describing the termination of the DC Circulator program, see section 6057 of D.C. Law 25-218. + For a requirement that, beginning July 1, 2024, and monthly thereafter until September 30, 2026, the Director of the District Department of Transportation submit to the Council a report describing the termination of the DC Circulator program, see section 6057 of D.C. Law 25-217.
6058 @@ -8378,7 +8380,6 @@
- 6073 The tabular array set forth in subsection 401.19 of Title 18 of the District of Columbia Municipal Regulations (18 DCMR § 401.19) is amended to read as follows: @@ -8591,7 +8592,7 @@ been with, the been complied with, the - Section 6082(e) of D.C. Law 25-218 amended section 8 of D.C. Law 25-161 removing the applicability provision impacting this section. Therefore the amendment of this section by section 4(c) of Law 25-161 has been implemented. + Section 6082(e) of D.C. Law 25-217 amended section 8 of D.C. Law 25-161 removing the applicability provision impacting this section. Therefore the amendment of this section by section 4(c) of Law 25-161 has been implemented. @@ -8859,7 +8860,7 @@ . - Section 6082(e) of D.C. Law 25-218 amended section 8 of D.C. Law 25-161 removing the applicability provision impacting this section. Therefore the amendment of this section by section 4(e) of Law 25-161 has been implemented. + Section 6082(e) of D.C. Law 25-217 amended section 8 of D.C. Law 25-161 removing the applicability provision impacting this section. Therefore the amendment of this section by section 4(e) of Law 25-161 has been implemented. @@ -9159,7 +9160,6 @@ This subtitle may be cited as the "Department of Energy and the Environment Grant Act of 2024".
- 6122 Notwithstanding the Grant Administration Act of 2013, effective December 24, 2013 (D.C. Law 20-61; D.C. Official Code § 1-328.11 et seq.), in Fiscal Year 2025, the Department of Energy and the Environment shall issue a grant of $200,000 to City Wildlife to support its wildlife rescue and rehabilitation work. @@ -9425,7 +9425,7 @@ A new section 47-1805.02b is added to read as follows:
- + § 47-1805.02b Transition from the Joyce method of apportionment to the Finnigan method of apportionment. @@ -9569,7 +9569,7 @@ (ii-a) - (ii-a) For taxable years beginning after December 31, 2023: + For taxable years beginning after December 31, 2023: (I) If the amount of the earned income tax credit allowed is at least $1,200, the individual may elect, in the manner and form prescribed by the Chief Financial Officer, whether the entire amount of the earned income tax credit allowed shall be paid to the individual in either 12 equal monthly payments or one lump sum payment; or @@ -9662,7 +9662,7 @@ Paragraph (3) is amended by striking the phrase "By October 1 of each successive year" and inserting "By October 1 of each successive year, ending before September 30, 2024" in its place. On October 1 of each successive year - By October 1 of each successive year, ending before September 30, 2024" + By October 1 of each successive year, ending before September 30, 2024 @@ -9858,7 +9858,7 @@ (f) - Notwithstanding § 47-363, any funds appropriated for Debt Service, as defined in § 47-334(1), in excess of Debt Service requirements may not be reprogrammed, unless the Council approves the reprogramming request by resolution. + Notwithstanding § 47-363, any funds appropriated for Debt Service, as defined in § 47-334(1), in excess of Debt Service requirements may not be reprogrammed, unless the Council approves the reprogramming request by resolution. . @@ -10130,7 +10130,7 @@ (f) - Inclusion of operating funds in the capital improvements plan. — + Inclusion of operating funds in the capital improvements plan. — (1) Each year's approved budget and financial plan shall include operating funds in the capital improvements plan at one of the following minimum levels: @@ -10274,16 +10274,17 @@ This subtitle may be cited as the "Non-Lapsing Account Repeals Amendment Act of 2024".
+ 7122 - + (a) Section 206 of the Department of Education Establishment Act of 2007, effective February 26, 2015 (D.C. Law 20-155; D.C. Official Code 38-195), is repealed. - + (b) Section 4122(g) of the My School DC EdFest Sponsorship and Advertising Act of 2015, effective October 22, 2015 (D.C. Law 21-36; D.C. Official Code 38-196.01(g)), is repealed. - +
diff --git a/us/dc/council/periods/25/laws/25-50.xml b/us/dc/council/periods/25/laws/25-50.xml index ee082e81bc..c93cea346d 100644 --- a/us/dc/council/periods/25/laws/25-50.xml +++ b/us/dc/council/periods/25/laws/25-50.xml @@ -4440,7 +4440,7 @@ (11) - Protocols for coordination between school-based employees whose roles involved student safety, the Safe Passage Program, and the Safe Routes to School Program established pursuant to sections 2a and 2d of the School Proximity Traffic Calming Act of 2000, effective March 10, 2023 (D.C. Law 24-285; D.C. Official Code §§ 38-3102 and 38-3105), respectively; + Protocols for coordination between school-based employees whose roles involved student safety, the Safe Passage Program, and the Safe Routes to School Program established pursuant to sections 2a and 2d of the School Proximity Traffic Calming Act of 2000, effective March 10, 2023 (D.C. Law 24-285; D.C. Official Code §§ 38-3102 and 38-3105), respectively; (12)