A Bill for an Act
Page 1, Line 101Concerning a supplemental appropriation to the department
Page 1, Line 102of corrections.
Bill Summary
(Note: This summary applies to this bill as introduced and does not reflect any amendments that may be subsequently adopted. If this bill passes third reading in the house of introduction, a bill summary that applies to the reengrossed version of this bill will be available at http://leg.colorado.gov.)
Supplemental appropriations are made to the department of corrections.
Page 1, Line 1Be it enacted by the General Assembly of the State of Colorado:
Page 2, Line 1SECTION 1. Appropriation to the department of corrections
Page 2, Line 2for the fiscal year beginning July 1, 2024. In Session Laws of Colorado
Page 2, Line 32024, section 2 of chapter 519, (HB 24-1430), amend Part II as follows:
Page 2, Line 4Section 2. Appropriation.
Page 3, Line 1Part II
Page 3, Line 2DEPARTMENT OF CORRECTIONS
Page 3, Line 3
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 3, Line 4(1) MANAGEMENT |
Page 3, Line 5(A) Executive Director's Office Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 3, Line 6Personal Services |
4,794,793 |
4,550,988 |
243,805a |
||||
Page 3, Line 7 |
(41.9 FTE) |
(4.0 FTE) |
|||||
|
Page 3, Line 8Restorative Justice Program Page 3, Line 9with Victim-Offender Page 3, Line 10Dialogues in Department Page 3, Line 11Facilities |
75,000 |
75,000 |
|||||
Page 3, Line 12 |
(1.2 FTE) |
||||||
Page 3, Line 13Health, Life, and Dental |
|
|
1,272,418b |
||||
Page 3, Line 14 |
81,227,825 |
79,955,407 |
|||||
Page 3, Line 15Short-term Disability |
|
|
9,429b |
||||
Page 3, Line 16 |
553,897 |
544,468 |
|||||
|
Page 3, Line 17Paid Family and Medical Page 3, Line 18Leave Insurance |
1,946,512 |
1,918,225 |
28,287b |
||||
|
Page 4, Line 1Unfunded Liability Page 4, Line 2Amortization Equalization Page 4, Line 3Disbursement Payments |
|
|
628,596b |
||||
Page 4, Line 4 |
43,236,320 |
42,607,724 |
|||||
Page 4, Line 5Salary Survey6 |
24,791,715 |
24,428,432 |
363,283b |
||||
Page 4, Line 6Step Pay |
16,431,610 |
16,275,915 |
155,695b |
||||
Page 4, Line 7PERA Direct Distribution |
8,837,393 |
8,695,905 |
141,488b |
||||
Page 4, Line 8Overtime |
35,340,753 |
35,340,753 |
|||||
Page 4, Line 9Incentives and Bonuses7 |
14,334,002 |
14,334,002 |
|||||
Page 4, Line 10Shift Differential |
17,982,314 |
17,949,518 |
32,796b |
||||
|
Page 4, Line 11Temporary Employees Page 4, Line 12Related to Authorized Page 4, Line 13Leave |
2,025,459 |
2,025,459 |
|||||
Page 4, Line 14Workers' Compensation |
7,584,883 |
7,412,706 |
172,177b |
||||
Page 4, Line 15Operating Expenses |
416,761 |
326,761 |
5,000a |
85,000c |
|||
Page 4, Line 16Legal Services |
3,893,252 |
3,802,219 |
91,033b |
||||
|
Page 5, Line 1Payment to Risk Management Page 5, Line 2and Property Funds |
9,318,427 |
9,106,899 |
211,528b |
||||
Page 5, Line 3Leased Space |
6,516,921 |
6,339,596 |
177,325b |
||||
|
Page 5, Line 4Annual Depreciation-Lease Page 5, Line 5Equivalent Payments |
659,571 |
659,571 |
|||||
|
Page 5, Line 6Planning and Analysis Page 5, Line 7Contracts |
82,410 |
82,410 |
|||||
|
Page 5, Line 8Payments to District Page 5, Line 9Attorneys |
681,102 |
681,102 |
|||||
Page 5, Line 10Payments to Coroners |
32,175 |
32,175 |
|||||
Page 5, Line 11Digital Trunk Radio Payments |
2,638,440 |
2,638,440 |
|||||
|
Page 5, Line 12 Page 5, Line 13 |
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|
|
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Page 5, Line 14 |
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Page 5, Line 15 Page 5, Line 16 |
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Page 5, Line 17 Page 5, Line 18 |
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Page 6, Line 1 Page 6, Line 2 |
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Page 6, Line 3 |
|
||||||
Page 6, Line 4 |
283,401,535 |
||||||
Page 6, Line 5 |
Page 6, Line 6a These amounts shall be transferred from the Department of Public Safety from the State Victims Assistance and Law Enforcement Program line item appropriation in the Victims
Page 6, Line 7Assistance section of the Division of Criminal Justice. These amounts originate as cash funds from the Victims Assistance and Law Enforcement Fund created in Section 24-33.5-506
Page 6, Line 8(1), C.R.S.
Page 6, Line 9b Of these amounts, an estimated $2,583,923
Page 6, Line 10by the Canteen Operation.
Page 6, Line 11c This amount shall be from the Social Security Administration Incentive Payment Memorandum of Understanding.
Page 6, Line 12d Of this amount, $3,872,506 shall be used to purchase legal services from the Department of Law and $20,746 shall be used to contract for legal services from private firms for
Page 6, Line 13litigation related to the Rifle Correctional Center.
Page 6, Line 14
Page 6, Line 15
Page 6, Line 16
Page 6, Line 17
Page 6, Line 18
Page 7, Line 1(B) External Capacity Subprogram
Page 7, Line 2(1) Private Prison Monitoring Unit
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 7, Line 3Personal Services |
1,065,590 |
1,065,590 |
|||||
Page 7, Line 4 |
(12.7 FTE) |
||||||
Page 7, Line 5Operating Expenses |
183,443 |
153,976 |
29,467a |
||||
Page 7, Line 6 |
1,249,033 |
||||||
Page 7, Line 7 |
Page 7, Line 8a This amount shall be from revenues earned from monitoring private Colorado prisons that house out-of-state offenders.
Page 7, Line 9
Page 7, Line 10(2) Payments to House State Prisoners8
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
|
Page 7, Line 11Payments to local jails at a Page 7, Line 12rate of $77.16 per inmate per Page 7, Line 13day |
|
|
|||||
Page 7, Line 14 |
7,402,280 |
7,402,280 |
|||||
|
Page 7, Line 15Payments to in-state private Page 7, Line 16prisons at a rate of $66.52 per Page 7, Line 17inmate per day9 |
|
|
2,893,386a |
||||
Page 7, Line 18 |
70,298,104 |
67,404,718 |
|||||
|
Page 8, Line 1Inmate Education and Benefit Page 8, Line 2Programs at In-state Private Page 8, Line 3Prisons |
541,566 |
541,566 |
|||||
Page 8, Line 4 |
|
||||||
Page 8, Line 5 |
78,241,950 |
||||||
Page 8, Line 6 |
Page 8, Line 7a This amount shall be from the State Criminal Alien Assistance Program Cash Fund created in Section 17-1-107.5 (1), C.R.S.
Page 8, Line 8
Page 8, Line 9(C) Inspector General Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 8, Line 10Personal Services |
4,999,370 |
4,893,137 |
106,233a |
||||
Page 8, Line 11 |
|
||||||
Page 8, Line 12 |
(50.8 FTE) |
||||||
Page 8, Line 13Operating Expenses |
473,905 |
390,718 |
83,187a |
||||
Page 8, Line 14Inspector General Grants |
207,912 |
207,912(I) |
|||||
Page 8, Line 15 |
5,681,187 |
||||||
Page 8, Line 16 |
Page 8, Line 17a These amounts shall be from revenues earned from private prison out of state offender investigations.
Page 8, Line 18
Page 8, Line 19
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 9, Line 1 |
|
||||||
Page 9, Line 2 |
368,573,705 |
||||||
Page 9, Line 3 |
|||||||
Page 9, Line 4(2) INSTITUTIONS |
|||||||
Page 9, Line 5(A) Utilities Subprogram |
|||||||
Page 9, Line 6Personal Services |
370,650 |
370,650 |
|||||
Page 9, Line 7 |
(3.0 FTE) |
||||||
Page 9, Line 8 |
|
|
|
||||
Page 9, Line 9Core Utilities9a |
21,490,472 |
20,000,000 |
1,490,472a |
||||
|
Page 9, Line 10Energy Conservation and Page 9, Line 11Operating Expenses9a |
4,227,975 |
4,227,975 |
|||||
Page 9, Line 12 |
|
||||||
Page 9, Line 13 |
26,089,097 |
||||||
Page 9, Line 14 |
Page 9, Line 15a This amount shall be from sales revenues earned by Correctional Industries.
Page 9, Line 16
Page 9, Line 17(B) Maintenance Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 9, Line 18Personal Services |
23,625,951 |
||||||
Page 9, Line 19 |
(293.0 FTE) |
||||||
Page 10, Line 1Operating Expenses |
13,538,111 |
||||||
Page 10, Line 2Maintenance Pueblo Campus |
3,023,427 |
||||||
Page 10, Line 3Start-up Costs |
14,000 |
||||||
Page 10, Line 4 |
40,201,489 |
40,201,489 |
|||||
Page 10, Line 5 |
Page 10, Line 6(C) Housing and Security Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 10, Line 7Personal Services |
|
|
|||||
Page 10, Line 8 |
197,980,167 |
197,980,167 |
|||||
Page 10, Line 9 |
|
||||||
Page 10, Line 10 |
(3,044.8 FTE) |
||||||
Page 10, Line 11Operating Expenses |
|
|
|||||
Page 10, Line 12 |
2,172,091 |
2,172,091 |
|||||
Page 10, Line 13Start-up Costs |
24,969 |
24,969 |
|||||
Page 10, Line 14 |
|
||||||
Page 10, Line 15 |
200,177,227 |
||||||
Page 10, Line 16 |
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Page 10, Line 17 |
|||||||
Page 10, Line 18 |
|||||||
Page 10, Line 19 |
Page 11, Line 1(D) Food Service Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 11, Line 2Personal Services |
20,958,785 |
20,958,785 |
|||||
Page 11, Line 3 |
(318.8 FTE) |
||||||
Page 11, Line 4Operating Expenses |
|
|
|||||
Page 11, Line 5 |
22,565,144 |
22,565,144 |
|||||
Page 11, Line 6Food Service Pueblo Campus |
|
|
|||||
Page 11, Line 7 |
2,825,796 |
2,825,796 |
|||||
Page 11, Line 8 |
|
||||||
Page 11, Line 9 |
46,349,725 |
||||||
Page 11, Line 10 |
Page 11, Line 11(E) Medical Services Subprogram10
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 11, Line 12Personal Services |
43,409,402 |
43,102,223 |
307,179a |
||||
Page 11, Line 13 |
(409.2 FTE) |
(3.0 FTE) |
|||||
Page 11, Line 14Operating Expenses |
|
|
|||||
Page 11, Line 15 |
2,667,550 |
2,667,550 |
|||||
Page 11, Line 16Purchase of Pharmaceuticals |
22,552,077 |
22,552,077 |
|||||
Page 11, Line 17Hepatitis C Treatment Costs |
8,368,384 |
8,368,384 |
|||||
Page 11, Line 18External Medical Services |
59,173,755 |
59,173,755 |
|||||
Page 11, Line 19Transgender Healthcare |
5,317,500 |
5,317,500 |
|||||
Page 12, Line 1Service Contracts |
2,402,731 |
2,402,731 |
|||||
Page 12, Line 2Indirect Cost Assessment |
2,951 |
2,951a |
|||||
Page 12, Line 3 |
|
||||||
Page 12, Line 4 |
143,894,350 |
||||||
Page 12, Line 5 |
Page 12, Line 6a These amounts shall be from inmate medical fees collected pursuant to Section 17-1-113 (2), C.R.S.
Page 12, Line 7
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 12, Line 8(F) Laundry Subprogram |
|||||||
Page 12, Line 9Personal Services |
2,879,209 |
||||||
Page 12, Line 10 |
(38.4 FTE) |
||||||
Page 12, Line 11Operating Expenses |
|
||||||
Page 12, Line 12 |
2,482,498 |
||||||
Page 12, Line 13 |
|
|
|||||
Page 12, Line 14 |
5,361,707 |
5,361,707 |
|||||
Page 12, Line 15 |
|||||||
Page 12, Line 16 |
|||||||
Page 12, Line 17 |
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Page 12, Line 18 |
|||||||
Page 12, Line 19 |
Page 13, Line 1(G) Superintendents Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 13, Line 2Personal Services |
13,232,652 |
||||||
Page 13, Line 3 |
(168.9 FTE) |
||||||
Page 13, Line 4Operating Expenses |
|
||||||
Page 13, Line 5 |
9,019,551 |
||||||
Page 13, Line 6Inmate Telephone Calls |
|
||||||
Page 13, Line 7 |
1,296,571 |
||||||
Page 13, Line 8Dress Out |
1,006,280 |
||||||
Page 13, Line 9Start-up costs |
|
||||||
Page 13, Line 10 |
73,625 |
||||||
Page 13, Line 11 |
|
|
|||||
Page 13, Line 12 |
24,628,679 |
24,628,679 |
|||||
Page 13, Line 13 |
Page 13, Line 14(H) Youthful Offender System Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 13, Line 15Personal Services |
12,418,786 |
||||||
Page 13, Line 16 |
(162.7 FTE) |
||||||
Page 13, Line 17Operating Expenses |
607,455 |
||||||
Page 13, Line 18Contract Services |
28,820 |
||||||
|
Page 14, Line 1Maintenance and Food Page 14, Line 2Service |
|
||||||
Page 14, Line 3 |
1,622,979 |
||||||
Page 14, Line 4 |
|
|
|||||
Page 14, Line 5 |
14,678,040 |
14,678,040 |
|||||
Page 14, Line 6 |
Page 14, Line 7(I) Case Management Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 14, Line 8Personal Services |
|
||||||
Page 14, Line 9 |
19,330,293 |
||||||
Page 14, Line 10 |
|
||||||
Page 14, Line 11 |
(246.8 FTE) |
||||||
Page 14, Line 12Operating Expenses |
|
||||||
Page 14, Line 13 |
183,973 |
||||||
Page 14, Line 14Offender ID Program |
367,884 |
||||||
Page 14, Line 15Start-up Costs |
1,230 |
||||||
Page 14, Line 16 |
|
|
|||||
Page 14, Line 17 |
19,883,380 |
19,883,380 |
|||||
Page 14, Line 18 |
|||||||
Page 14, Line 19 |
Page 15, Line 1(J) Mental Health Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 15, Line 2Personal Services |
13,733,060 |
13,733,060 |
|||||
Page 15, Line 3 |
(168.0 FTE) |
||||||
Page 15, Line 4Operating Expenses |
331,766 |
331,766 |
|||||
Page 15, Line 5Medical Contract Services |
5,782,084 |
5,782,084 |
|||||
Page 15, Line 6Start-up Costs |
9,623 |
9,623 |
|||||
Page 15, Line 7 |
19,856,533 |
||||||
Page 15, Line 8 |
|||||||
Page 15, Line 9(K) Inmate Pay Subprogram |
|
|
|||||
Page 15, Line 10 |
4,640,696 |
4,640,696 |
|||||
Page 15, Line 11 |
Page 15, Line 12(L) Legal Access Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 15, Line 13Personal Services |
1,825,607 |
||||||
Page 15, Line 14 |
(27.2 FTE) |
||||||
Page 15, Line 15Operating Expenses |
803,777 |
||||||
Page 15, Line 16Contract Services |
70,905 |
||||||
Page 15, Line 17Start-up Costs |
4,000 |
||||||
Page 15, Line 18 |
2,704,289 |
2,704,289 |
|||||
Page 15, Line 19 |
|||||||
Page 16, Line 1 |
|
||||||
Page 16, Line 2 |
548,465,212 |
||||||
Page 16, Line 3 |
|||||||
Page 16, Line 4(3) SUPPORT SERVICES |
Page 16, Line 5(A) Business Operations Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 16, Line 6Personal Services |
7,231,889 |
6,338,860 |
53,988a |
839,041b |
|||
Page 16, Line 7 |
(90.7 FTE) |
(13.8 FTE) |
|||||
Page 16, Line 8Operating Expenses |
231,951 |
231,951 |
|||||
Page 16, Line 9Business Operations Grants |
2,500,000 |
2,500,000(I) |
|||||
Page 16, Line 10Indirect Cost Assessment |
321,878 |
321,878(I) |
|||||
Page 16, Line 11 |
10,285,718 |
||||||
Page 16, Line 12 |
Page 16, Line 13a This amount shall be from restitution collected pursuant to Section 16-18.5-109 (3), C.R.S.
Page 16, Line 14b Of this amount, $702,392 shall be from departmental indirect cost recoveries or the Indirect Costs Excess Recovery Fund created in Section 24-75-1401 (2), C.R.S., and $136,649 shall
Page 16, Line 15be from statewide indirect cost recoveries.
Page 16, Line 16
Page 16, Line 17(B) Personnel Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 16, Line 18Personal Services |
2,522,543 |
2,522,543 |
|||||
Page 16, Line 19 |
(36.0 FTE) |
||||||
Page 17, Line 1Operating Expenses |
737,981 |
737,981 |
|||||
Page 17, Line 2Start-up Costs |
28,000 |
28,000 |
|||||
Page 17, Line 3 |
3,288,524 |
||||||
Page 17, Line 4 |
Page 17, Line 5(C) Offender Services Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 17, Line 6Personal Services |
3,530,219 |
||||||
Page 17, Line 7 |
(44.1 FTE) |
||||||
Page 17, Line 8Operating Expenses |
62,044 |
||||||
Page 17, Line 9 |
3,592,263 |
3,592,263 |
|||||
Page 17, Line 10 |
Page 17, Line 11(D) Communications Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 17, Line 12Operating Expenses |
1,685,707 |
1,685,707 |
|||||
Page 17, Line 13Dispatch Services |
328,510 |
328,510 |
|||||
Page 17, Line 14 |
2,014,217 |
||||||
Page 17, Line 15 |
Page 17, Line 16(E) Transportation Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 17, Line 17Personal Services |
2,509,225 |
2,509,225 |
|||||
Page 17, Line 18 |
(41.0 FTE) |
||||||
Page 17, Line 19Operating Expenses |
643,538 |
643,538 |
|||||
Page 18, Line 1Vehicle Lease Payments |
3,637,220 |
3,102,813 |
534,407a |
||||
Page 18, Line 2 |
6,789,983 |
||||||
Page 18, Line 3 |
Page 18, Line 4a Of this amount, an estimated $509,957 shall be from sales revenues earned by Correctional Industries and an estimated $24,450 shall be from sales revenues earned by the Canteen
Page 18, Line 5Operation.
Page 18, Line 6
Page 18, Line 7
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 18, Line 8(F) Training Subprogram |
|||||||
Page 18, Line 9Personal Services |
2,578,313 |
||||||
Page 18, Line 10 |
(33.0 FTE) |
||||||
Page 18, Line 11Operating Expenses |
|
||||||
Page 18, Line 12 |
437,157 |
||||||
Page 18, Line 13 |
|
|
|||||
Page 18, Line 14 |
3,015,470 |
3,015,470 |
|||||
Page 18, Line 15 |
Page 18, Line 16(G) Information Systems Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 18, Line 17Operating Expenses |
1,404,369 |
1,404,369 |
|||||
Page 18, Line 18Payments to OIT |
|
|
|
||||
Page 18, Line 19 |
32,905,320 |
32,766,061 |
139,259a |
||||
Page 19, Line 1CORE Operations |
84,365 |
76,351 |
4,082a |
3,932b |
|||
Page 19, Line 2 |
|
||||||
Page 19, Line 3 |
34,394,054 |
||||||
Page 19, Line 4 |
Page 19, Line 5a Of these amounts, an estimated $107,471
Page 19, Line 6the Canteen Operation.
Page 19, Line 7b This amount shall be from Correctional Industries sales to other state agencies.
Page 19, Line 8
Page 19, Line 9(H) Facility Services Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 19, Line 10Personal Services |
1,302,492 |
||||||
Page 19, Line 11 |
(14.8 FTE) |
||||||
Page 19, Line 12Operating Expenses |
84,096 |
||||||
Page 19, Line 13Start-up costs |
3,000 |
||||||
Page 19, Line 14 |
1,389,588 |
1,389,588 |
|||||
Page 19, Line 15 |
|||||||
Page 19, Line 16 |
|
||||||
Page 19, Line 17 |
64,769,817 |
||||||
Page 19, Line 18 |
|||||||
Page 19, Line 19 |
|||||||
Page 20, Line 1 |
|||||||
Page 20, Line 2 |
|||||||
Page 20, Line 3(4) INMATE PROGRAMS |
|||||||
Page 20, Line 4(A) Labor Subprogram |
|||||||
Page 20, Line 5Personal Services |
6,061,490 |
||||||
Page 20, Line 6 |
(81.4 FTE) |
||||||
Page 20, Line 7Operating Expenses |
88,017 |
||||||
Page 20, Line 8 |
6,149,507 |
6,149,507 |
|||||
Page 20, Line 9 |
Page 20, Line 10(B) Education Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 20, Line 11Personal Services |
|
|
|||||
Page 20, Line 12 |
15,608,744 |
15,608,744 |
|||||
Page 20, Line 13 |
|
||||||
Page 20, Line 14 |
(193.7 FTE) |
||||||
Page 20, Line 15Operating Expenses |
|
|
1,197,770a |
288,915b |
|||
Page 20, Line 16 |
4,321,362 |
2,834,677 |
|||||
Page 20, Line 17Contract Services |
1,221,428 |
1,221,428 |
|||||
Page 20, Line 18Education Grants |
80,060 |
10,000c |
42,410d |
27,650(I) |
|||
Page 20, Line 19 |
(2.0 FTE) |
||||||
Page 21, Line 1Start-up Costs |
4,703 |
4,703 |
|||||
Page 21, Line 2 |
|
||||||
Page 21, Line 3 |
21,236,297 |
||||||
Page 21, Line 4 |
Page 21, Line 5a Of this amount, an estimated $667,412 shall be from sales revenues earned by the Canteen Operation and an estimated $530,358 shall be from sales revenues earned by vocational
Page 21, Line 6programs.
Page 21, Line 7b This amount shall be from sales revenues earned by vocational programs for products and services sold to other government agencies.
Page 21, Line 8c This amount shall be from gifts, grants, and donations.
Page 21, Line 9d This amount shall be from the Colorado Department of Education from special education funds.
Page 21, Line 10
Page 21, Line 11(C) Recreation Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 21, Line 12Personal Services |
8,166,882 |
8,166,882 |
|||||
Page 21, Line 13 |
(119.5 FTE) |
||||||
Page 21, Line 14Operating Expenses |
77,552 |
77,552a |
|||||
Page 21, Line 15 |
8,244,434 |
||||||
Page 21, Line 16 |
Page 21, Line 17a This amount shall be from sales revenues earned by the Canteen Operation.
Page 21, Line 18
Page 21, Line 19
Page 22, Line 1(D) Drug and Alcohol Treatment Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 22, Line 2Personal Services |
6,426,933 |
6,426,933 |
|||||
Page 22, Line 3 |
(87.4 FTE) |
||||||
Page 22, Line 4Operating Expenses |
117,884 |
117,884 |
|||||
Page 22, Line 5Contract Services |
2,023,220 |
2,023,220 |
|||||
Page 22, Line 6Treatment Grants |
126,682 |
126,682a |
|||||
Page 22, Line 7 |
8,694,719 |
||||||
Page 22, Line 8 |
Page 22, Line 9a This amount shall be from grant funds appropriated to the Division of Criminal Justice in the Department of Public Safety.
Page 22, Line 10
Page 22, Line 11(E) Sex Offender Treatment Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 22, Line 12Personal Services |
3,612,228 |
3,580,994 |
31,234a |
||||
Page 22, Line 13 |
(55.8 FTE) |
(1.0 FTE) |
|||||
Page 22, Line 14Operating Expenses |
92,276 |
91,776 |
500a |
||||
Page 22, Line 15Polygraph Testing |
242,500 |
242,500 |
|||||
|
Page 22, Line 16Sex Offender Treatment Page 22, Line 17Grants |
65,597 |
65,597(I) |
|||||
Page 22, Line 18 |
4,012,601 |
||||||
Page 22, Line 19 |
Page 23, Line 1a These amounts shall be from the Sex Offender Surcharge Fund created in Section 18-21-103 (3), C.R.S.
Page 23, Line 2
Page 23, Line 3(F) Volunteers Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 23, Line 4Personal Services |
510,685 |
||||||
Page 23, Line 5 |
(8.0 FTE) |
||||||
Page 23, Line 6Operating Expenses |
17,912 |
||||||
Page 23, Line 7 |
528,597 |
528,597 |
|||||
Page 23, Line 8 |
|||||||
Page 23, Line 9 |
|
||||||
Page 23, Line 10 |
48,866,155 |
||||||
Page 23, Line 11 |
Page 23, Line 12(5) COMMUNITY SERVICES
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 23, Line 13(A) Parole Subprogram |
|||||||
Page 23, Line 14Personal Services |
22,590,205 |
22,590,205 |
|||||
Page 23, Line 15 |
|
||||||
Page 23, Line 16 |
(326.5 FTE) |
||||||
Page 23, Line 17Operating Expenses |
2,875,425 |
2,875,425 |
|||||
|
Page 23, Line 18Parolee Supervision and Page 23, Line 19Support Services |
8,911,261 |
4,847,969 |
4,063,292a |
||||
|
Page 24, Line 1Wrap-Around Services Page 24, Line 2Program |
1,822,869 |
1,822,869 |
|||||
Page 24, Line 3Insurance Payments |
|
|
|||||
Page 24, Line 4 |
25,000 |
25,000 |
|||||
|
Page 24, Line 5Grants to Community-based Page 24, Line 6Organizations for Parolee Page 24, Line 7Support |
7,176,734 |
7,176,734 |
|||||
|
Page 24, Line 8Community-based Page 24, Line 9Organizations Housing Page 24, Line 10Support |
500,000 |
500,000 |
|||||
Page 24, Line 11Parolee Housing Support |
500,000 |
500,000 |
|||||
Page 24, Line 12 |
|
||||||
Page 24, Line 13 |
44,401,494 |
||||||
Page 24, Line 14 |
Page 24, Line 15a This amount shall be transferred from the Judicial Department from the Correctional Treatment Cash Fund Expenditures line item appropriation in the Probation and Related Services
Page 24, Line 16section.
Page 24, Line 17
Page 24, Line 18
Page 25, Line 1(B) Community Supervision Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 25, Line 2(1) Community Supervision |
|||||||
Page 25, Line 3Personal Services |
4,657,001 |
4,657,001 |
|||||
Page 25, Line 4 |
(48.0 FTE) |
||||||
Page 25, Line 5Operating Expenses |
505,042 |
505,042 |
|||||
Page 25, Line 6Psychotropic Medication |
31,400 |
31,400 |
|||||
|
Page 25, Line 7Community Supervision Page 25, Line 8Support Services |
2,394,092 |
2,353,744 |
40,348a |
||||
Page 25, Line 9 |
7,587,535 |
||||||
Page 25, Line 10 |
Page 25, Line 11a This amount shall be transferred from the Department of Public Safety, Division of Criminal Justice, Offender Treatment and Services.
Page 25, Line 12
Page 25, Line 13(2) Youthful Offender System Aftercare
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 25, Line 14Personal Services |
602,011 |
||||||
Page 25, Line 15 |
(8.0 FTE) |
||||||
Page 25, Line 16Operating Expenses |
141,067 |
||||||
Page 25, Line 17Contract Services |
897,584 |
||||||
Page 25, Line 18 |
1,640,662 |
1,640,662 |
|||||
Page 25, Line 19 |
Page 26, Line 1(C) Community Re-entry Subprogram
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 26, Line 2Personal Services |
2,849,589 |
2,849,589 |
|||||
Page 26, Line 3 |
(42.6 FTE) |
||||||
Page 26, Line 4Operating Expenses |
146,702 |
146,702 |
|||||
|
Page 26, Line 5Offender Emergency Page 26, Line 6Assistance |
96,768 |
96,768 |
|||||
Page 26, Line 7Contract Services |
190,000 |
190,000 |
|||||
|
Page 26, Line 8Offender Re-employment Page 26, Line 9Center |
100,000 |
100,000 |
|||||
|
Page 26, Line 10Community Reintegration Page 26, Line 11Grants |
39,098 |
39,098(I) |
|||||
Page 26, Line 12 |
(1.0 FTE) |
||||||
Page 26, Line 13 |
3,422,157 |
||||||
Page 26, Line 14 |
|||||||
Page 26, Line 15 |
|
||||||
Page 26, Line 16 |
57,051,848 |
||||||
Page 26, Line 17 |
|||||||
Page 26, Line 18 |
|||||||
Page 26, Line 19 |
|||||||
Page 27, Line 1(6) PAROLE BOARD |
|||||||
Page 27, Line 2Personal Services |
1,965,078 |
||||||
Page 27, Line 3 |
(20.5 FTE) |
||||||
Page 27, Line 4Operating Expenses |
107,890 |
||||||
Page 27, Line 5Contract Services |
242,437 |
||||||
|
Page 27, Line 6Administrative and IT Page 27, Line 7Support |
187,236 |
||||||
Page 27, Line 8 |
(2.0 FTE) |
||||||
Page 27, Line 9 |
2,502,641 |
2,502,641 |
|||||
Page 27, Line 10 |
Page 27, Line 11(7) CORRECTIONAL INDUSTRIES
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 27, Line 12Personal Services |
12,639,422 |
4,813,567a |
7,825,855b |
||||
Page 27, Line 13 |
(4.1 FTE) |
(102.9 FTE) |
|||||
Page 27, Line 14Operating Expenses |
|
1,546,956a |
|
||||
Page 27, Line 15 |
9,846,798 |
8,299,842b |
|||||
Page 27, Line 16Raw Materials |
|
6,055,860a |
|
||||
Page 27, Line 17 |
26,547,207 |
20,491,347b |
|||||
Page 27, Line 18Inmate Pay |
2,750,000 |
1,114,590a |
1,635,410b |
||||
Page 27, Line 19Capital Outlay |
1,219,310 |
309,259a |
910,051b |
||||
Page 28, Line 1Indirect Cost Assessment |
396,763 |
141,118a |
255,645b |
||||
Page 28, Line 2 |
53,399,500 |
||||||
Page 28, Line 3 |
Page 28, Line 4a Of these amounts, an estimated $13,831,350 is from sales to non-state entities and an estimated $150,000 is from rents and royalties earned on Penitentiary Trust land managed by the
Page 28, Line 5State Board of Land Commissioners pursuant to Section 36-1-116 (2), C.R.S.
Page 28, Line 6b Of these amounts, an estimated $22,689,623 is from sales to other state agencies and an estimated $16,728,527 is from the Department of Revenue for the purchase of license plates.
Page 28, Line 7
Page 28, Line 8(8) CANTEEN OPERATION
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 28, Line 9Personal Services |
2,633,785 |
||||||
Page 28, Line 10 |
(33.0 FTE) |
||||||
Page 28, Line 11Operating Expenses |
18,930,041 |
||||||
Page 28, Line 12Inmate Pay |
73,626 |
||||||
Page 28, Line 13Indirect Cost Assessment |
117,732 |
||||||
Page 28, Line 14 |
21,755,184 |
21,755,184a |
|||||
Page 28, Line 15 |
Page 28, Line 16a This amount shall be from sales revenues earned by the Canteen Operation and is continuously appropriated to the division pursuant to Section 17-24-126 (1), C.R.S.
Page 28, Line 17
Page 28, Line 18
Page 28, Line 19
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 29, Line 1TOTALS PART II |
|||||||
Page 29, Line 2(CORRECTIONS) |
|
|
|
$45,071,575 |
$3,247,135b |
||
Page 29, Line 3 |
$1,165,384,062 |
$1,071,083,096 |
$45,982,256a |
||||
Page 29, Line 4 |
Page 29, Line 5a Of this amount, $21,755,184 contains an (I) notation.
Page 29, Line 6b This amount contains an (I) notation.
Page 29, Line 7
Page 29, Line 8Footnotes: The following statements are referenced to the numbered footnotes throughout section 2.
Page 29, Line 9
Page 29, Line 106Department of Corrections, Management, Executive Director's Office Subprogram, Salary Survey -- Of this amount, $8,221,430 General Fund is for non-base
Page 29, Line 11building compensation for correctional officers, nurses, state teachers, social workers, legal assistants, health professionals, and health care technicians
Page 29, Line 12employed by the Department of Corrections at its 24/7 facilities for state fiscal year 2024-25 only.
Page 29, Line 13
Page 29, Line 147Department of Corrections, Management, Executive Director's Office Subprogram, Incentives and Bonuses -- It is the General Assembly's intent that
Page 29, Line 15$6,312,464 of this appropriation be used to provide hiring incentives up to $25,000 for nurses, licensed practical nurses, mid-level providers, health
Page 29, Line 16professionals, and social workers. The Department may also use this appropriation to provide incentives for psychologists if they identify that position as an
Page 29, Line 17area of greatest need. It is also the General Assembly's intent that of the $25,000 hiring incentive, new hires receive this incentive as installments paid over
Page 30, Line 1the course of a year as determined by the Department, with the final installment after twelve months of employment. This portion of the appropriation remains
Page 30, Line 2available until the close of the 2025-26 state fiscal year.
Page 30, Line 3
Page 30, Line 48Department of Corrections, Management, External Capacity Subprogram, Payments to House State Prisoners -- The department of corrections is authorized
Page 30, Line 5to transfer up to 5.0
Page 30, Line 6subprogram for purposes of reimbursing local jails, private prison providers, and community corrections providers.
Page 30, Line 7
Page 30, Line 89Department of Corrections, Management, External Capacity Subprogram, Payments to House State Prisoners, Payments to in-state private prisons at a rate
Page 30, Line 9of $66.52 per inmate per day-- It is the General Assembly's intent that in-state private prisons use funds provided through this appropriation to provide levels
Page 30, Line 10of staffing and services similar to comparable state prisons to the extent possible.
Page 30, Line 11
Page 30, Line 129aDepartment of Corrections, Institutions, Utilities Subprogram, Core Utilities and Energy Conservation and Operating Expenses-- In addition
Page 30, Line 13to the transfer authority provided in section 24-75-108, C.R.S., the department of corrections is authorized to transfer money from the
Page 30, Line 14Energy Conservation and Operating Expenses line item to the Core Utilities line item.
Page 30, Line 15
Page 30, Line 1610Department of Corrections, Institutions, Medical Services Subprogram -- In addition to the transfer authority provided in section 24-75-8, C.R.S., the
Page 31, Line 1department of corrections is authorized to transfer up to 5.0 percent of the total appropriation for purchase of pharmaceuticals, Hepatitis C treatment costs,
Page 31, Line 2and external medical services between those line items for the purposes of providing pharmaceuticals, Hepatitis C Treatments, and external medical services
Page 31, Line 3for inmates.
Page 32, Line 1SECTION 2. Safety clause. The general assembly finds,
Page 32, Line 2determines, and declares that this act is necessary for the immediate
Page 32, Line 3preservation of the public peace, health, or safety or for appropriations for
Page 32, Line 4the support and maintenance of the departments of the state and state
Page 32, Line 5institutions.