Senate Bill 25-104 Reengrossed

LLS NO. 25-0542.01 Craig Harper x3481
First Regular Session
Seventy-fifth General Assembly
State of Colorado

Senate Sponsorship

Bridges, Amabile, Kirkmeyer

House Sponsorship

Bird, Sirota, Taggart


This Version Includes All Amendments Adopted in the House of Introduction

Senate 3rd Reading Unamended February 6, 2025

Senate 2nd Reading Unamended February 5, 2025


Senate Committees

Appropriations

House Committees

No committees scheduled.


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A Bill for an Act


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 public health and environment.


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 public

Page 2, Line 2health and environment for the fiscal year beginning July 1, 2024.  In

Page 2, Line 3Session Laws of Colorado 2024, section 2 of chapter 519, (HB 24-1430),

Page 2, Line 4amend Part XVII as follows:

Page 2, Line 5Section 2. Appropriation.

Page 3, Line 1 Part XVII

Page 3, Line 2DEPARTMENT OF PUBLIC HEALTH AND ENVIRONMENT

Page 3, Line 3

Page 3, Line 4(1) ADMINISTRATION AND SUPPORT

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 3, Line 5(A) Administration

Page 3, Line 6Personal Services

11,894,357

2,190,620

11,531a

9,512,969b

179,237(I)

Page 3, Line 7

(91.3 FTE)

Page 3, Line 8Health, Life, and Dental

26,964,735

4,892,274

9,732,038a

2,157,439b

10,182,984(I)

Page 3, Line 9Short-term Disability

269,613

48,995

91,220a

22,595b

106,803(I)

Page 3, Line 10Paid Family and Medical

Page 3, Line 11Leave Insurance

811,715

149,858

273,661a

67,786b

320,410(I)

Page 3, Line 12Unfunded Liability

Page 3, Line 13Amortization Equalization

Page 3, Line 14Disbursement Payments

17,984,718

3,276,794

6,081,350a

1,506,358b

7,120,216(I)

Page 3, Line 15Salary Survey

6,161,528

1,132,755

2,075,304a

511,863b

2,441,606(I)

Page 4, Line 1Step Pay

2,299,066

563,285

831,908a

270,274b

633,599(I)

Page 4, Line 2PERA Direct Distribution

4,083,037

2,177,733

1,346,504a

558,800b

Page 4, Line 3Temporary Employees

Page 4, Line 4Related to Authorized

Page 4, Line 5Leave

268,051

39,372

228,679(I)

Page 4, Line 6Leave Payouts91

1,293,323

1,293,323b

Page 4, Line 7Workers' Compensation

434,012

686

433,326b

Page 4, Line 8Operating Expenses

3,437,902

234,078

3,203,824b

Page 4, Line 9Legal Services

6,195,613

1,970,126

642,765a

3,582,722b

Page 4, Line 10Administrative Law Judge

Page 4, Line 11Services

115,007

34,471

1,852a

78,684b

Page 4, Line 12Payment to Risk

Page 4, Line 13Management and Property

Page 4, Line 14Funds

1,322,508

427,112

895,396b

Page 4, Line 15Vehicle Lease Payments

425,334

36,491

350,247a

38,596b

Page 5, Line 1Leased Space

9,129,846

641,222

773,612a

7,701,512b

13,500(I)

Page 5, Line 2Capitol Complex Leased

Page 5, Line 3Space

43,430

3,203

40,227b

Page 5, Line 4Annual Depreciation-Lease

Page 5, Line 5Equivalent Payments

483,626

380,068

103,558a

Page 5, Line 6Payments to OIT

19,290,240

8,268,353

10,917,735 a

104,152 b

Page 5, Line 7

19,261,538

8,251,131

10,205,291a

805,116b

Page 5, Line 8Digital Trunk Radio

Page 5, Line 9Payments

106,320

106,320

Page 5, Line 10CORE Operations

230,644

24,087

206,557b

Page 5, Line 11Utilities

660,651

29,909

161,324a

457,818b

11,600(I)

Page 5, Line 12Building Maintenance and

Page 5, Line 13Repair

447,181

23,252

423,929b

Page 6, Line 1Reimbursement for

Page 6, Line 2Members of the State Board

Page 6, Line 3of Health

5,100

5,100

Page 6, Line 4Indirect Cost Assessment

1,769,758

660,080a

448,557b

661,121(I)

Page 6, Line 5

116,127,315

Page 6, Line 6

116,098,613

Page 6, Line 7

Page 6, Line 8a Of these amounts, an estimated $3,084,638 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $654,126 shall be from the

Page 6, Line 9Department of Public Health and Environment subaccount of the AIR Account of the Highway Users Tax Fund established in Section 42-3-304 (18)(c), C.R.S., $607,850 shall be from

Page 6, Line 10the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., an estimated $212,680(I) shall be from the Clean Fleet Enterprise Fund created in Section 25-7.5-103 (5)(a),

Page 6, Line 11C.R.S., an estimated $103,558 shall be from the Newborn Screening and Genetic Counseling Cash Funds created in Section 25-4-1006 (1), C.R.S., $16,000 shall be from the Health

Page 6, Line 12Disparities Grant Program Fund created in Section 24-22-117 (2)(f)(I), C.R.S., an estimated $5,064 shall be from the Energy and Carbon Management Cash Fund created in Section

Page 6, Line 1334-60-122 (5)(a), C.R.S., and an estimated $29,370,773 $28,658,329 shall be from various sources of cash funds. Appropriations from the Community Impact Cash Fund are shown for

Page 6, Line 14informational purposes only as the fund is continuously appropriated to the Department pursuant to Section 25-7-129 (3)(e), C.R.S. and appropriations from the Clean Fleet Enterprise

Page 6, Line 15Fund are shown for informational purposes only as the fund is continuously appropriated to the Department pursuant to Section 25-7.5-103 (5)(a), C.R.S.

Page 7, Line 1b Of these amounts, an estimated $30,265,678 $30,164,842 shall be from departmental indirect cost recoveries or the Indirect Costs Excess Recovery Fund created in Section 24-75-1401

Page 7, Line 2(2), C.R.S., $1,769,758 shall be from statewide indirect cost recoveries or the Indirect Costs Excess Recovery Fund created in Section 24-75-1401 (2), C.R.S., $1,458,029 $1,800,029

Page 7, Line 3shall be from Medicaid funds transferred from the Transfer to Department of Public Health and Environment for Facility Survey and Certification line item in the Department of Health

Page 7, Line 4Care Policy and Financing, an estimated $313,342 shall be from the leased space line item in the Department of Early Childhood, an estimated $146,458 shall be from

Page 7, Line 5the Community Behavioral Health Administration, Program Administration line item in the Department of Human Services, $19,642 shall be from the Local Government

Page 7, Line 6Severance Tax Fund created in Section 39-29-110 (1)(a)(I), C.R.S., transferred from the Local Government Mineral and Energy Impact Grants and Disbursements line item in the

Page 7, Line 7Department of Local Affairs, and $3,600 shall be from appropriations to the Plant Industry Division line item of Agricultural Services in the Department of Agriculture.

Page 7, Line 8

Page 7, Line 9(B) Office of Health Equity and Environmental Justice

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 7, Line 10Program Costs

2,058,924

1,309,413

104,544a

644,967b

Page 7, Line 11

(17.5 FTE)

Page 7, Line 12Health Disparities Grants

8,600,799

4,700,000

2,098,592a

1,802,207b

Page 7, Line 13Necessary Document

Page 7, Line 14Assistance

310,544

310,544

Page 7, Line 15

(0.1 FTE)

Page 8, Line 1Environmental Justice

Page 8, Line 2Ombudsperson

147,761

132,253

15,508c

Page 8, Line 3

(1.0 FTE)

(0.2 FTE)

Page 8, Line 4Environmental Justice

Page 8, Line 5Program Costs

2,027,401

1,926,411c

100,990(I)

Page 8, Line 6

(16.9 FTE)

(1.0 FTE)

Page 8, Line 7Environmental Justice

Page 8, Line 8Grants Program

1,968,858

1,968,858d

Page 8, Line 9

(1.9 FTE)

Page 8, Line 10

15,114,287

Page 8, Line 11

Page 8, Line 12a These amounts shall be from the Health Disparities Grant Program Fund created in Section 24-22-117 (2)(f)(I), C.R.S.

Page 8, Line 13b These amounts shall be transferred from the Prevention Services Division within the Department.

Page 8, Line 14c Of these amounts, $1,666,278 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

Page 8, Line 15$275,641 shall be from the Mobile Home Park Water Quality Fund created in Section 25-8-1006 (1), C.R.S.

Page 9, Line 1d This amount shall be from the Community Impact Cash Fund created in Section 25-7-129 (1), C.R.S. This amount is shown for informational purposes as it is continuously

Page 9, Line 2appropriated to the Department of Public Health and Environment for the purpose of environmental mitigation project grants, pursuant to Section 25-7-129 (3)(a).

Page 9, Line 3

Page 9, Line 4(C) Office of Public Health Practice, Planning and Local Partnerships

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 9, Line 5Assessment, Planning, and

Page 9, Line 6Support Program

914,304

299,268

615,036(I)

Page 9, Line 7

(7.4 FTE)

Page 9, Line 8Distributions to Local

Page 9, Line 9Public Health Agencies

18,848,358

17,082,755

1,765,603a

Page 9, Line 10

19,762,662

Page 9, Line 11

Page 9, Line 12a This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 9, Line 13

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 9, Line 14

151,004,264

Page 9, Line 15

150,975,562

Page 10, Line 1

Page 10, Line 2(2) CENTER FOR HEALTH AND ENVIRONMENTAL DATA

Page 10, Line 3(A) Administration and Support

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 10, Line 4Program Costs

579,040

105,623

196,512a

276,905(I)

Page 10, Line 5

(3.8 FTE)

Page 10, Line 6

Page 10, Line 7a Of this amount, an estimated $124,649 shall be from the Vital Statistics Records Cash Fund created in Section 25-2-121 (2)(b)(I), C.R.S., and an estimated $71,863 shall be from the

Page 10, Line 8Medical Marijuana Program Cash Fund created in Section 25-1.5-106 (16)(a), C.R.S.

Page 10, Line 9

Page 10, Line 10(B) Health Statistics and Vital Records

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 10, Line 11Personal Services

4,458,389

205,070

2,754,685a

6,196b

1,492,438(I)

Page 10, Line 12

(51.0 FTE)

Page 10, Line 13Operating Expenses

778,906

205,613

385,185a

188,108(I)

Page 10, Line 14Healthy Survey

751,057

751,057

Page 10, Line 15

(2.7 FTE)

Page 11, Line 1Reimbursement to Coroners

159,050

159,050

Page 11, Line 2

6,147,402

Page 11, Line 3

Page 11, Line 4a Of these amounts, an estimated $2,247,423 shall be from the Vital Statistics Records Cash Fund created in Section 25-2-121 (2)(b)(I), C.R.S., an estimated $521,438 shall be from the

Page 11, Line 5Tobacco Education Programs Fund created in Section 24-22-117 (2)(c)(I), C.R.S., $244,134 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., and

Page 11, Line 6$126,875 shall be from the Prevention, Early Detection, and Treatment Fund created in Section 24-22-117 (2)(d)(I), C.R.S. The Tobacco Education Programs Fund and the Prevention,

Page 11, Line 7Early Detection, and Treatment Fund consist of revenues from additional state cigarette and tobacco taxes imposed pursuant to Section 21 of Article X of the State Constitution.

Page 11, Line 8Appropriations from these funds do not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 11, Line 9b Of this amount, $6,196 shall be from Medicaid funds transferred from the Transfer to the Department of Public Health and Environment for Prenatal Statistical Information line item

Page 11, Line 10in the Department of Health Care Policy and Financing.

Page 11, Line 11

Page 11, Line 12

Page 11, Line 13(C) Medical Marijuana Registry

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 11, Line 14Personal Services

1,463,976

1,463,976a

Page 11, Line 15

(22.2 FTE)

Page 12, Line 1Operating Expenses

340,882

340,882a

Page 12, Line 2

1,804,858

Page 12, Line 3

Page 12, Line 4a These amounts shall be from the Medical Marijuana Program Cash Fund created in Section 25-1.5-106 (16)(a), C.R.S.

Page 12, Line 5

Page 12, Line 6(D) Health Data Programs and Information

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 12, Line 7Cancer Registry

1,338,149

435,719

902,430(I)

Page 12, Line 8

(10.2 FTE)

Page 12, Line 9Birth Defects Monitoring

Page 12, Line 10and Prevention Program

479,312

141,519

337,793a

Page 12, Line 11

(14.6 FTE)

Page 12, Line 12

1,817,461

Page 12, Line 13

Page 13, Line 1a Of this amount, an estimated $173,567 shall be from the Newborn Hearing Screening Cash Fund created in Section 25-4-1006 (3), C.R.S., an estimated $145,552 shall be from the Vital

Page 13, Line 2Statistics Records Cash Fund created in Section 25-2-121 (2)(b)(I), C.R.S., and an estimated $18,674 shall be from the Newborn Screening and Genetic Counseling Cash Fund created

Page 13, Line 3in Section 25-4-1006 (1), C.R.S.

Page 13, Line 4

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 13, Line 5(E) Indirect Cost

Page 13, Line 6Assessment

1,435,923

1,127,001a

308,922(I)

Page 13, Line 7

Page 13, Line 8a Of this amount, an estimated $571,668 shall be from the Vital Statistics Records Cash Fund created in Section 25-2-121 (2)(b)(I), C.R.S., an estimated $73,250 shall be from the Tobacco

Page 13, Line 9Education Programs Fund created in Section 24-22-117 (2)(c)(I), C.R.S., $70,064 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., an estimated

Page 13, Line 10$28,662 shall be from the Prevention, Early Detection, and Treatment Fund created in Section 24-22-117 (2)(d)(I), C.R.S., and an estimated $383,357 shall be from various sources of

Page 13, Line 11cash funds. The Tobacco Education Programs Fund and the Prevention, Early Detection and Treatment Fund consist of revenues from additional state cigarette and tobacco taxes imposed

Page 13, Line 12pursuant to Section 21 of Article X of the State Constitution; appropriations from these funds do not constitute fiscal year spending for the purposes of Section 20 of Article X of the State

Page 13, Line 13Constitution.

Page 13, Line 14

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 13, Line 15

11,784,684

Page 14, Line 1

Page 14, Line 2(3) DISEASE CONTROL AND PUBLIC HEALTH RESPONSE

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 14, Line 3(A) Administration

Page 14, Line 4Administration and Support

10,764,305

7,946,425

653,819a

30,066b

2,133,995(I)

Page 14, Line 5

(122.7 FTE)

Page 14, Line 6Indirect Cost Assessment

7,035,138

1,773,231a

46,243b

5,215,664(I)

Page 14, Line 7

17,799,443

Page 14, Line 8

Page 14, Line 9a Of these amounts, an estimated $995,380 shall be from the Newborn Screening and Genetic Counseling Cash Funds created in Section 25-4-1006 (1), C.R.S., an estimated $324,364

Page 14, Line 10shall be from the Laboratory Cash Fund created in Section 25-1.5-101 (1)(e)(II), C.R.S., an estimated $178,706 shall be from the Law Enforcement Assistance Fund created in Section

Page 14, Line 1143-4-401, C.R.S., $111,466 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., an estimated $41,059 shall be from the Tobacco Education Programs

Page 14, Line 12Fund created in Section 24-22-117 (2)(c)(I), C.R.S., and an estimated $776,075 shall be from various sources of cash funds. The Tobacco Education Programs Fund and the Prevention,

Page 14, Line 13Early Detection and Treatment Fund consist of revenues from additional state cigarette and tobacco taxes imposed pursuant to Section 21 of Article X of the State Constitution;

Page 14, Line 14appropriations from these funds do not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 14, Line 15b These amounts shall be from various sources of reappropriated funds.

Page 15, Line 1

Page 15, Line 2(B) General Disease Control and Surveillance

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 15, Line 3Immunization Personal

Page 15, Line 4Services

4,391,844

1,605,844

2,786,000(I)

Page 15, Line 5

(25.4 FTE)

Page 15, Line 6Immunization Operating

Page 15, Line 7Expenses92

56,047,238

4,099,360

291,034a

3,606,844b

48,050,000(I)

Page 15, Line 8Appropriation from the

Page 15, Line 9Tobacco Tax Cash Fund to

Page 15, Line 10the General Fund

291,034

291,034c

Page 15, Line 11Federal Grants

1,333,092

1,333,092(I)

Page 15, Line 12

(9.2 FTE)

Page 16, Line 1Tuberculosis Control and

Page 16, Line 2Treatment Personal

Page 16, Line 3Services

942,753

163,353

779,400(I)

Page 16, Line 4

(13.1 FTE)

Page 16, Line 5Tuberculosis Control and

Page 16, Line 6Treatment Operating

Page 16, Line 7Expenses

1,500,461

1,188,761

311,700(I)

Page 16, Line 8Marijuana Health Effects

Page 16, Line 9Monitoring

375,426

375,426d

Page 16, Line 10

(4.0 FTE)

Page 16, Line 11

64,881,848

Page 16, Line 12

Page 17, Line 1a This amount shall be from revenues from the imposition of additional state cigarette and tobacco taxes which are appropriated to the General Fund pursuant to Section 21 (5)(e) of Article

Page 17, Line 2X of the State Constitution. This amount is not subject to the limitation on state fiscal year spending imposed by Section 20 of Article X of the State Constitution. This amount is also

Page 17, Line 3not subject to the statutory limitation on General Fund appropriations growth or any other spending limitation existing in law pursuant to Section 21 (8) of Article X of the State

Page 17, Line 4Constitution.

Page 17, Line 5b This amount shall be from the Supplemental Tobacco Litigation Settlement Moneys Account of the Colorado Immunization Fund created in Section 25-4-2301, C.R.S., which is received

Page 17, Line 6as a damage award and, as such, does not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 17, Line 7c This amount shall be from the Tobacco Tax Cash Fund created in Section 24-22-117 (1)(a), C.R.S., which is received under the provisions of Section 21 (4) of Article X of the State

Page 17, Line 8Constitution, and, as such, does not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 17, Line 9d This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 17, Line 10

Page 17, Line 11(C) Laboratory Services

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 17, Line 12Chemistry and

Page 17, Line 13Microbiology Personal

Page 17, Line 14Services

6,005,927

733,871

2,933,788a

165,606b

2,172,662(I)

Page 17, Line 15

(8.1 FTE)

(27.5 FTE)

(2.1 FTE)

(16.4 FTE)

Page 18, Line 1Chemistry and

Page 18, Line 2Microbiology Operating

Page 18, Line 3Expenses

7,840,257

1,703,379

5,092,502a

179,676b

864,700(I)

Page 18, Line 4Certification

2,518,799

57,999

2,018,518a

252,582b

189,700(I)

Page 18, Line 5

(22.3 FTE)

Page 18, Line 6Regulatory Oversight

Page 18, Line 7Program

522,655

522,655

Page 18, Line 8

(4.0 FTE)

Page 18, Line 9Natural Medicine Program

844,052

844,052

Page 18, Line 10

(4.9 FTE)

Page 18, Line 11

17,731,690

Page 18, Line 12

Page 19, Line 1a Of these amounts, an estimated $5,892,041 shall be from the Newborn Screening and Genetic Counseling Cash Funds created in Section 25-4-1006 (1), C.R.S., an estimated $1,757,817

Page 19, Line 2shall be from the Laboratory Cash Fund created in Section 25-1.5-101 (1)(e)(II), C.R.S., an estimated $1,156,232 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501

Page 19, Line 3(1), C.R.S., an estimated $720,555 shall be from the Law Enforcement Assistance Fund created in Section 43-4-401, C.R.S., an estimated $1,450 shall be from the Vital Statistics Records

Page 19, Line 4Cash Fund created in Section 25-2-121 (2)(b)(I), C.R.S., and an estimated $516,713 shall be from various sources of cash funds.

Page 19, Line 5b These amounts shall be from various sources of reappropriated funds.

Page 19, Line 6

Page 19, Line 7(D) Office of Emergency Preparedness and Response

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 19, Line 8Emergency Preparedness

Page 19, Line 9and Response Program93

18,493,222

1,681,202

16,812,020(I)

Page 19, Line 10

(2.6 FTE)

(18.5 FTE)

Page 19, Line 11State Directed Emergency

Page 19, Line 12Preparedness and

Page 19, Line 13Responses Activities

2,438,662

2,438,662

Page 19, Line 14

(18.4 FTE)

Page 20, Line 1Appropriation to the

Page 20, Line 2Community Behavioral

Page 20, Line 3Health Disaster

Page 20, Line 4Preparedness and Response

Page 20, Line 5Cash Fund

375,000

375,000

Page 20, Line 6

21,306,884

Page 20, Line 7

Page 20, Line 8

121,719,865

Page 20, Line 9

Page 20, Line 10(4) AIR POLLUTION CONTROL DIVISION

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 20, Line 11(A) Administration

Page 20, Line 12Program Costs

11,143,245

5,083,845

5,875,899a

183,501(I)

Page 20, Line 13

(93.7 FTE)

Page 20, Line 14Indirect Cost Assessment

4,163,668

3,491,683b

671,985(I)

Page 20, Line 15

15,306,913

Page 21, Line 1

Page 21, Line 2a Of this amount, an estimated $4,811,253 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $692,510 shall be from the

Page 21, Line 3Department of Public Health and Environment subaccount of the AIR Account of the Highway Users Tax Fund established in Section 42-3-304 (18)(c), C.R.S., an estimated $25,000

Page 21, Line 4shall be from diesel inspection and mechanic certification fees, an estimated $1,935 shall be from the Ozone Protection Fund created in Section 25-7-135 (1), C.R.S., and an estimated

Page 21, Line 5$345,201 shall be from various sources of cash funds.

Page 21, Line 6b Of this amount, an estimated $1,640,570 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $880,247 shall be from the

Page 21, Line 7Department of Public Health and Environment subaccount of the AIR Account of the Highway Users Tax Fund established in Section 42-3-304 (18)(c), C.R.S., an estimated $55,000

Page 21, Line 8shall be from diesel inspection and mechanic certification fees, an estimated $21,586 shall be from the Ozone Protection Fund created in Section 25-7-135 (1), C.R.S., an estimated $21,586

Page 21, Line 9shall be from the Energy and Carbon Management Cash Fund created in Section 34-60-122 (5)(a), C.R.S., an estimated $9,594 shall be from the Lead Hazard Reduction Cash Fund created

Page 21, Line 10in Section 25-5-1106 (2), C.R.S., and an estimated $863,100 shall be from various sources of cash funds.

Page 21, Line 11

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 21, Line 12(B) Technical Services

Page 21, Line 13Personal Services

4,647,681

76,398

3,348,053a

1,223,230(I)

Page 21, Line 14

(40.7 FTE)

Page 21, Line 15Operating Expenses

3,024,213

2,773,490a

250,723(I)

Page 22, Line 1Local Contracts

1,212,938

867,638a

345,300(I)

Page 22, Line 2

8,884,832

Page 22, Line 3

Page 22, Line 4a Of these amounts, an estimated $4,870,565 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $1,907,696 shall be from

Page 22, Line 5the Department of Public Health and Environment subaccount of the AIR Account of the Highway Users Tax Fund established in Section 42-3-304 (18)(c), C.R.S., an estimated $138,092

Page 22, Line 6shall be from the Energy and Carbon Management Cash Fund created in Section 34-60-122 (5)(a), C.R.S., an estimated $10,000 shall be from the Ozone Protection Fund created in Section

Page 22, Line 725-7-135 (1), C.R.S., and an estimated $62,828 shall be from various sources of cash funds.

Page 22, Line 8

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 22, Line 9(C) Mobile Sources

Page 22, Line 10Personal Services

4,507,649

239,438

3,856,811a

411,400(I)

Page 22, Line 11

(36.2 FTE)

Page 22, Line 12Operating Expenses

44,061,034

3,375

43,980,403b

77,256(I)

Page 22, Line 13Diesel Inspection/

Page 22, Line 14Maintenance Program

734,503

734,503c

Page 22, Line 15

(6.3 FTE)

Page 23, Line 1Mechanic Certification

Page 23, Line 2Program

7,000

7,000d

Page 23, Line 3Local Grants

77,597

77,597b

Page 23, Line 4

49,387,783

Page 23, Line 5

Page 23, Line 6a Of this amount, an estimated $2,681,194 shall be from the Department of Public Health and Environment subaccount of the AIR Account of the Highway Users Tax Fund established

Page 23, Line 7in Section 42-3-304 (18)(c), C.R.S., an estimated $683,404(I) shall be from the Clean Fleet Enterprise Fund created in Section 25-7.5-103 (5)(a), C.R.S., which is shown for informational

Page 23, Line 8purposes only, an estimated $81,296 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $670 shall be from the Ozone

Page 23, Line 9Protection Fund created in Section 25-7-135 (1), C.R.S., and an estimated $410,247 shall be from various sources of cash funds. Appropriations from the Clean Fleet Enterprise Fund

Page 23, Line 10are shown for informational purposes only as the fund is continuously appropriated to the Department pursuant to Section 25-7-129 (3)(e), C.R.S.

Page 23, Line 11b Of these amounts, an estimated $21,734,951 shall be from the Electrifying School Buses Grant Program Cash Fund created in Section 25-7-1405 (1)(a), C.R.S., an estimated $1,385,405(I)

Page 23, Line 12shall be from the Clean Fleet Enterprise Cash Fund created in Section 25-7.5-103 (5)(a), C.R.S., an estimated $307,837 shall be from the Department of Public Health and Environment

Page 23, Line 13subaccount of the AIR Account of the Highway Users Tax Fund established in Section 42-3-304 (18)(c), C.R.S., an estimated $950 shall be from the Stationary Sources Control Fund

Page 23, Line 14created in Section 25-7-114.7 (2)(b)(I), C.R.S., and an estimated $20,628,857 shall be from various sources of cash funds. Appropriations from the Clean Fleet Enterprise Fund are shown

Page 23, Line 15for informational purposes only as the fund is continuously appropriated to the Department pursuant to Section 25-7-129 (3)(e), C.R.S.

Page 24, Line 1c Of this amount, an estimated $524,270 shall be from the Department of Public Health and Environment subaccount of the AIR Account of the Highway Users Tax Fund established

Page 24, Line 2in Section 42-3-304 (18)(c), C.R.S., an estimated $181,584 shall be from diesel inspection and mechanic certification fees, and an estimated $28,649 shall be from various sources of cash

Page 24, Line 3funds.

Page 24, Line 4d This amount shall be from diesel inspection and mechanic certification fees.

Page 24, Line 5

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 24, Line 6(D) Stationary Sources

Page 24, Line 7Personal Services

25,192,841

1,112,906

22,657,724a

1,422,211(I)

Page 24, Line 8

(210.3 FTE)

Page 24, Line 9Operating Expenses

2,027,393

11,172

1,967,307a

48,914(I)

Page 24, Line 10Local Contracts

1,298,500

1,200,000b

98,500(I)

Page 24, Line 11Preservation of the Ozone

Page 24, Line 12Layer

218,377

218,377c

Page 24, Line 13

(2.0 FTE)

Page 24, Line 14

28,737,111

Page 24, Line 15

Page 25, Line 1a Of these amounts, an estimated $24,223,638 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $52,721 shall be from the

Page 25, Line 2Lead Hazard Reduction Cash Fund created in Section 25-5-1106 (2), C.R.S., and an estimated $348,672 shall be from various sources of cash funds.

Page 25, Line 3b This amount shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S.

Page 25, Line 4c Of this amount, an estimated $115,777 shall be from the Ozone Protection Fund created in Section 25-7-135 (1), C.R.S., an estimated $66,804 shall be from the Stationary Sources Control

Page 25, Line 5Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., an estimated $31,540 shall be from the Department of Public Health and Environment subaccount of the AIR Account of the Highway

Page 25, Line 6Users Tax Fund established in Section 42-3-304 (18)(c), C.R.S., and $4,256 shall be from various sources of cash funds.

Page 25, Line 7

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 25, Line 8(E) Climate Services

Page 25, Line 9Program Costs

1,903,379

1,903,379a

Page 25, Line 10

(15.0FTE)

Page 25, Line 11

Page 25, Line 12a This amount shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S.

Page 25, Line 13

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 25, Line 14

104,220,018

Page 25, Line 15

Page 26, Line 1

Page 26, Line 2(5) WATER QUALITY CONTROL DIVISION

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 26, Line 3(A) Administration

3,541,580

768,423

514,531a

1,210,454b

1,048,172(I)

Page 26, Line 4

(33.3 FTE)

Page 26, Line 5

Page 26, Line 6a Of this amount, an estimated $144,373 shall be from the Public and Private Utilities Sector Fund created in Section 25-8-502 (1.5)(a)(V), C.R.S., an estimated $113,823 shall be from

Page 26, Line 7the Construction Sector Fund created in Section 25-8-502 (1.5)(a)(II), C.R.S., an estimated $108,799 shall be from the Commerce and Industry Sector Fund created in Section 25-8-502

Page 26, Line 8(1.5)(a)(I), C.R.S., an estimated $28,388 shall be from the Drinking Water Cash Fund created in Section 25-1.5-209 (2), C.R.S., and an estimated $119,148 shall be from various sources

Page 26, Line 9of cash funds.

Page 26, Line 10b This amount shall be from various sources of reappropriated funds.

Page 26, Line 11

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 26, Line 12(B) Clean Water Sectors

Page 26, Line 13Commerce and Industry

Page 26, Line 14Sector

2,437,887

1,070,579

1,059,976a

307,332(I)

Page 26, Line 15

(25.4 FTE)

Page 27, Line 1Construction Sector

2,168,578

318,804

1,625,809b

223,965(I)

Page 27, Line 2

(23.3 FTE)

Page 27, Line 3Municipal Separate Storm

Page 27, Line 4Sewer System Sector

289,769

126,530

127,586c

35,653(I)

Page 27, Line 5

(3.1 FTE)

Page 27, Line 6Pesticides Sector

311,902

205,549

6,353d

100,000(I)

Page 27, Line 7

(1.0 FTE)

Page 27, Line 8Public and Private Utilities

Page 27, Line 9Sector

4,242,267

1,739,967

2,014,053e

488,247(I)

Page 27, Line 10

(47.3 FTE)

Page 27, Line 11Water Quality Certification

Page 27, Line 12Sector

262,381

10,701

209,924f

41,756(I)

Page 27, Line 13

(1.5 FTE)

Page 27, Line 14

9,712,784

Page 27, Line 15

Page 28, Line 1a This amount shall be from the Commerce and Industry Sector Fund created in Section 25-8-502 (1.5)(a)(I), C.R.S.

Page 28, Line 2b This amount shall be from the Construction Sector Fund created in Section 25-8-502 (1.5)(a)(II), C.R.S.

Page 28, Line 3c This amount shall be from the Municipal Separate Storm Sewer System Sector Fund created in Section 25-8-502 (1.5)(a)(IV), C.R.S.

Page 28, Line 4d This amount shall be from the Pesticides Sector Fund created in Section 25-8-502 (1.5)(a)(III), C.R.S.

Page 28, Line 5e This amount shall be from the Public and Private Utilities Sector Fund created in Section 25-8-502 (1.5)(a)(V), C.R.S.

Page 28, Line 6f This amount shall be from the Water Quality Certification Sector Fund created in Section 25-8-502 (1.2)(a), C.R.S.

Page 28, Line 7

Page 28, Line 8(C) Clean Water Program

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 28, Line 9Clean Water Program Costs

3,295,270

2,695,348

188,074a

111,848b

300,000(I)

Page 28, Line 10

(25.9 FTE)

Page 28, Line 11Local Grants and Contracts

3,313,978

1

3,313,977(I)

Page 28, Line 12Water Quality

Page 28, Line 13Improvement94

1,936,888

1,936,888c

Page 28, Line 14

8,546,136

Page 29, Line 1

Page 29, Line 2a This amount shall be from the Biosolids Management Program Fund created in Section 30-20-110.5 (3), C.R.S.

Page 29, Line 3b This amount shall be transferred from the Conservation Services Division line item of Agricultural Services in the Department of Agriculture.

Page 29, Line 4c This amount shall be from the Water Quality Improvement Fund created in Section 25-8-608 (1.5), C.R.S.

Page 29, Line 5

Page 29, Line 6(D) Drinking Water Program

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 29, Line 7Personal Services

11,848,519

2,410,466

484,319a

2,837,603b

6,116,131(I)

Page 29, Line 8

(79.7 FTE)

Page 29, Line 9Operating Expenses

905,985

237,700

24,815c

643,470(I)

Page 29, Line 10Appropriation to the Mobile

Page 29, Line 11Home Park Water Quality

Page 29, Line 12Fund

4,718,441

4,718,441

Page 29, Line 13

17,472,945

Page 29, Line 14

Page 29, Line 15a This amount shall be from the Drinking Water Cash Fund created in Section 25-1.5-209 (2), C.R.S.

Page 30, Line 1b This amount shall be from various sources of reappropriated funds.

Page 30, Line 2c This amount shall be from the Water and Wastewater Facility Operators Fund created in Section 25-9-108 (1)(b), C.R.S.

Page 30, Line 3

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 30, Line 4(E) Indirect Cost

Page 30, Line 5Assessment

3,531,018

1,451,368a

2,079,650(I)

Page 30, Line 6

Page 30, Line 7a Of this amount, an estimated $372,942 shall be from the Public and Private Utilities Sector Fund created in Section 25-8-502 (1.5)(a)(V), C.R.S., an estimated $321,550 shall be from

Page 30, Line 8the Construction Sector Fund created in Section 25-8-502 (1.5)(a)(II), C.R.S., an estimated $156,564 shall be from the Commerce and Industry Sector Fund created in Section 25-8-502

Page 30, Line 9(1.5)(a)(I), C.R.S., an estimated $68,359 shall be from the Drinking Water Cash Fund created in Section 25-1.5-209 (2), C.R.S., an estimated $24,256 shall be from the Biosolids

Page 30, Line 10Management Program Fund created in Section 30-20-110.5 (3), C.R.S., an estimated $22,051 shall be from the Municipal Separate Storm Sewer System Sector Fund created in Section

Page 30, Line 1125-8-502 (1.5)(a)(IV), C.R.S., an estimated $19,846 shall be from the Water Quality Improvement Fund created in Section 25-8-608 (1.5), C.R.S., an estimated $17,641 shall be from

Page 30, Line 12the Water Quality Certification Sector Fund created in Section 25-8-502 (1.2)(a), C.R.S., and an estimated $448,159 shall be from various sources of cash funds.

Page 30, Line 13

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 30, Line 14

42,804,463

Page 30, Line 15

Page 31, Line 1(6) HAZARDOUS MATERIALS AND WASTE MANAGEMENT DIVISION

Page 31, Line 2(A) Administration

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 31, Line 3Program Costs

2,387,249

1,613,548a

773,701(I)

Page 31, Line 4

(13.7 FTE)

Page 31, Line 5Indirect Cost Assessment

3,049,000

2,128,604b

9,554c

910,842(I)

Page 31, Line 6

5,436,249

Page 31, Line 7

Page 31, Line 8a Of this amount, an estimated $589,428 shall be from the Solid Waste Management Fund created in Section 30-20-118 (1), C.R.S., an estimated $293,160 shall be from the Hazardous

Page 31, Line 9Waste Service Fund created in Section 25-15-304, C.R.S., an estimated $240,834 shall be from the Hazardous Substance Response Fund created in Section 25-16-104.6 (1)(a), C.R.S.,

Page 31, Line 10an estimated $158,014 shall be from the Radiation Control Fund created in Section 25-11-104 (6)(c), C.R.S., an estimated $55,544 shall be from the Solid and Hazardous Waste

Page 31, Line 11Commission Fund created in Section 25-15-315, C.R.S., an estimated $36,063 shall be from the Illegal Drug Laboratory Fund created in Section 25-18.5-108, C.R.S., an estimated $1,062

Page 31, Line 12shall be from the Public and Private Utilities Sector Fund created in Section 25-8-502 (1.5)(a)(V), C.R.S., and an estimated $239,443 shall be from various sources of cash funds.

Page 32, Line 1b Of this amount, an estimated $605,056 shall be from the Solid Waste Management Fund created in Section 30-20-118 (1), C.R.S., an estimated $426,420 shall be from the Radiation

Page 32, Line 2Control Fund created in Section 25-11-104 (6)(c), C.R.S., an estimated $412,015 shall be from the Hazardous Waste Service Fund created in Section 25-15-304, C.R.S., an estimated

Page 32, Line 3$233,378 shall be from the Hazardous Substance Response Fund created in Section 25-16-104.6 (1)(a), C.R.S., an estimated $198,804 shall be from the Waste Tire Administration,

Page 32, Line 4Enforcement, Market Development, and Cleanup Fund created in Section 30-20-1404 (1), C.R.S., an estimated $17,287 shall be from the Paint Stewardship Program Cash Fund created

Page 32, Line 5in Section 25-17-408, C.R.S., an estimated $2,881 shall be from the Solid and Hazardous Waste Commission Fund created in Section 25-15-315, C.R.S., and an estimated $232,763 shall

Page 32, Line 6be from various sources of cash funds.

Page 32, Line 7c This amount shall be from the Local Government Severance Tax Fund created in Section 39-29-110 (1)(a)(I), C.R.S., transferred from the Local Government Mineral and Energy Impact

Page 32, Line 8Grants and Disbursements line item in the Department of Local Affairs.

Page 32, Line 9

Page 32, Line 10

Page 32, Line 11

Page 32, Line 12(B) Hazardous Waste Control Program

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 32, Line 13Personal Services

4,161,478

1,799,978a

2,361,500(I)

Page 32, Line 14

(16.2 FTE)

(9.7 FTE)

Page 32, Line 15Operating Expenses

130,349

74,380a

55,969(I)

Page 33, Line 1Emerging Contaminants

77,040

77,040

Page 33, Line 2

(0.9 FTE)

Page 33, Line 3

4,368,867

Page 33, Line 4

Page 33, Line 5a Of these amounts, an estimated $1,752,153 shall be from the Hazardous Waste Service Fund created in Section 25-15-304, C.R.S., an estimated $53,423 shall be from the Illegal Drug

Page 33, Line 6Laboratory Fund created in Section 25-18.5-108, C.R.S., and an estimated $68,782 shall be from various sources of cash funds.

Page 33, Line 7

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 33, Line 8(C) Solid Waste Control

Page 33, Line 9Program

3,475,101

138,440

3,245,341 a

91,320 b

Page 33, Line 10

4,162,695

4,024,255a

Page 33, Line 11

(23.8 FTE)

Page 33, Line 12

Page 34, Line 1a Of this amount, an estimated $2,849,234 shall be from the Solid Waste Management Fund created in Section 30-20-118 (1), C.R.S., an estimated $778,914 shall be from the Closed

Page 34, Line 2Landfill Remediation Grant Program created in Section 30-20-124 (8)(a), C.R.S., an estimated $140,000 shall be from the Hazardous Substance Response Fund created in Section

Page 34, Line 325-16-104.6 (1)(a), C.R.S., an estimated $76,071 shall be from the Paint Stewardship Program Cash Fund created in Section 25-17-408, C.R.S., and an estimated $180,036 shall be from

Page 34, Line 4various sources of cash funds.

Page 34, Line 5b This amount shall be from the Closed Landfill Remediation Grant Program created in Section 30-20-124 (8)(a), C.R.S.

Page 34, Line 6

Page 34, Line 7(D) Contaminated Site Cleanups and Remediation Programs

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 34, Line 8Personal Services

6,517,615

2,868,801a

3,648,814(I)

Page 34, Line 9

(18.8 FTE)

Page 34, Line 10Operating Expenses

251,563

10,663b

240,900(I)

Page 34, Line 11Contaminated Sites

Page 34, Line 12Operation and

Page 34, Line 13Maintenance95

13,419,352

2,921,867b

10,497,485(I)

Page 34, Line 14Brownfields Cleanup

Page 34, Line 15Program96

250,000

250,000b

Page 35, Line 1Transfer to the Department

Page 35, Line 2of Law for

Page 35, Line 3CERCLA-Related Costs

874,507

874,507b

Page 35, Line 4Uranium Mill Tailings

Page 35, Line 5Remedial Action Program

334,442

315,085c

19,357(I)

Page 35, Line 6

(2.5 FTE)

Page 35, Line 7Rocky Flats Program Costs

119,803

119,803(I)

Page 35, Line 8

(2.1 FTE)

Page 35, Line 9

21,767,282

Page 35, Line 10

Page 35, Line 11a Of this amount, an estimated $2,865,700 shall be from the Hazardous Substance Response Fund created in Section 25-16-104.6 (1)(a), C.R.S. and an estimated $3,101 shall be from

Page 35, Line 12fees collected under the Colorado Open Records Act.

Page 35, Line 13b These amounts shall be from the Hazardous Substance Response Fund created in Section 25-16-104.6 (1)(a), C.R.S.

Page 35, Line 14c This amount shall be from the Local Government Severance Tax Fund created in Section 39-29-110 (1)(a)(I), C.R.S., and transferred from the Local Government Mineral and Energy

Page 35, Line 15Impact Grants and Disbursements line item in the Department of Local Affairs.

Page 36, Line 1

Page 36, Line 2(E) Radiation Management

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 36, Line 3Personal Services

2,286,040

2,097,063a

188,977(I)

Page 36, Line 4

(20.7 FTE)

Page 36, Line 5Operating Expenses

1,631,630

1,151,412

315,565a

164,653(I)

Page 36, Line 6

3,917,670

Page 36, Line 7

Page 36, Line 8a Of these amounts, an estimated $2,011,493 shall be from the Radiation Control Fund created in Section 25-11-104 (6)(c), C.R.S., an estimated $321,001 shall be from the Hazardous

Page 36, Line 9Substance Response Fund created in Section 25-16-104.6 (1)(a), C.R.S., and an estimated $80,134 shall be from various sources of cash funds.

Page 36, Line 10

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 36, Line 11(F) Waste Tire Program

Page 36, Line 12Waste Tire Program

Page 36, Line 13Administration and Cleanup

Page 36, Line 14Program Enforcement

3,058,932

3,058,932a

Page 36, Line 15

(7.8 FTE)

Page 37, Line 1Waste Tire Rebates

6,525,000

6,525,000b

Page 37, Line 2

9,583,932

Page 37, Line 3

Page 37, Line 4a This amount shall be from the Waste Tire Administration, Enforcement, Market Development, and Cleanup Fund created in Section 30-20-1404 (1), C.R.S.

Page 37, Line 5b This amount shall be from the End User Fund created in Section 30-20-1405 (1), C.R.S.

Page 37, Line 6

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 37, Line 7

48,549,101

Page 37, Line 8

49,236,695

Page 37, Line 9

Page 37, Line 10

Page 37, Line 11(7) DIVISION OF ENVIRONMENTAL HEALTH AND SUSTAINABILITY

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 37, Line 12Administration and Support

999,018

579,051

318,253a

101,714(I)

Page 37, Line 13

(7.5 FTE)

Page 38, Line 1Environmental Health

Page 38, Line 2Programs

3,892,462

914,486

2,402,331b

121,927c

453,718(I)

Page 38, Line 3

(25.8 FTE)

Page 38, Line 4Sustainability Programs

797,421

205,202d

592,219(I)

Page 38, Line 5

(6.1 FTE)

Page 38, Line 6Animal Feeding Operations

Page 38, Line 7Program

563,807

111,782

452,025e

Page 38, Line 8

(3.4 FTE)

Page 38, Line 9Recycling Resources

Page 38, Line 10Economic Opportunity

Page 38, Line 11Program

5,401,890

5,401,890f

Page 38, Line 12

(2.6 FTE)

Page 38, Line 13Oil and Gas Consultation

Page 38, Line 14Program

122,731

122,731g

Page 38, Line 15

(0.9 FTE)

Page 39, Line 1Household Take-back

Page 39, Line 2Medication Program

564,501

564,501

Page 39, Line 3

(0.3 FTE)

Page 39, Line 4Cottage Foods Program

100,673

100,673

Page 39, Line 5

(1.2 FTE)

Page 39, Line 6LPHA Environmental

Page 39, Line 7Health Services Funding

2,044,273

1,821,651

222,622h

Page 39, Line 8Toxicology and

Page 39, Line 9Environmental

Page 39, Line 10Epidemiology Unit

3,066,662

1,567,521

746,038i

753,103(I)

Page 39, Line 11

(16.7 FTE)

Page 39, Line 12Indirect Cost Assessment

1,145,761

803,745j

342,016(I)

Page 39, Line 13

18,699,199

Page 39, Line 14

Page 40, Line 1a Of this amount, an estimated $180,823 shall be from the Recycling Resources Economic Opportunity Fund created in Section 25-16.5-106.5 (1)(a), C.R.S., an estimated $44,885 shall

Page 40, Line 2be from the Food Protection Cash Fund created in Section 25-4-1608 (1), C.R.S., an estimated $38,686 shall be from the Wholesale Food Manufacturing and Storage Protection Cash

Page 40, Line 3Fund created in Section 25-5-426 (5), C.R.S., an estimated $19,053 shall be from the Animal Feeding Operations Fund created in Section 25-8-502 (1.6), C.R.S., an estimated $6,444

Page 40, Line 4shall be from the Energy and Carbon Management Cash Fund created in Section 34-60-122 (5)(a), C.R.S., an estimated $528 shall be from the Stationary Sources Control Fund created

Page 40, Line 5in Section 25-7-114.7 (2)(b)(I), C.R.S., and an estimated $27,834 shall be from various sources of cash funds.

Page 40, Line 6b Of this amount, an estimated $1,037,041 shall be from the Wholesale Food Manufacturing and Storage Protection Cash Fund created in Section 25-5-426 (5), C.R.S., an estimated

Page 40, Line 7$865,662 shall be from the Food Protection Cash Fund created in Section 25-4-1608 (1), C.R.S., an estimated $416,119 shall be from the Dairy Protection Cash Fund created in Section

Page 40, Line 825-5.5-107 (7), C.R.S., an estimated $38,620 shall be from the Artificial Tanning Device Education Fund created in Section 25-5-1004 (3), C.R.S., and an estimated $44,889 shall be

Page 40, Line 9from various sources of cash funds.

Page 40, Line 10c Of this amount, an estimated $99,262 shall be transferred from the Department of Corrections for health related compliance inspections, an estimated $14,941 shall be transferred from

Page 40, Line 11the Institutional Programs Personal Services line item of the Division of Youth Services in the Department of Human Services, and an estimated $7,724 shall be from various sources

Page 40, Line 12of reappropriated funds.

Page 40, Line 13d Of this amount, an estimated $126,356 shall be from the Pollution Prevention Fund created in Section 25-16.5-109 (1), C.R.S., an estimated $74,858 shall be from the Stationary Sources

Page 40, Line 14Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., and an estimated $3,988 shall be from various sources of cash funds.

Page 41, Line 1e Of this amount, an estimated $397,801 shall be from the Animal Feeding Operations Fund created in Section 25-8-502 (1.6), C.R.S., an estimated $45,438 shall be from the Housed

Page 41, Line 2Commercial Swine Feeding Operation Fund created in Section 25-7-138 (6), C.R.S., and an estimated $8,786 shall be from various sources of cash funds.

Page 41, Line 3f This amount shall be from the Recycling Resources Economic Opportunity Fund created in Section 25-16.5-106.5 (1)(a), C.R.S.

Page 41, Line 4g This amount shall be from the Energy and Carbon Management Cash Fund created in Section 34-60-122 (5)(a), C.R.S.

Page 41, Line 5h This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 41, Line 6i Of this amount, an estimated $445,006 shall be from the Energy and Carbon Management Cash Fund created in Section 34-60-122 (5)(a), C.R.S., an estimated $300,000 shall be

Page 41, Line 7from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., and an estimated $1,032 shall be from various sources of cash funds.

Page 41, Line 8j Of this amount, an estimated $208,453 shall be from the Food Protection Cash Fund created in Section 25-4-1608 (1), C.R.S., an estimated $180,028 shall be from the Recycling

Page 41, Line 9Resources Economic Opportunity Fund created in Section 25-16.5-106.5 (1)(a), C.R.S., an estimated $138,969 shall be from the Wholesale Food Manufacturing and Storage Protection

Page 41, Line 10Cash Fund created in Section 25-5-426 (5), C.R.S., an estimated $97,909 shall be from the Energy and Carbon Management Fund created in Section 34-60-122 (5)(a), C.R.S., an estimated

Page 41, Line 11$72,643 shall be from the Animal Feeding Operations Fund created in Section 25-8-502 (1.6), C.R.S., an estimated $31,584 shall be from the Pollution Prevention Fund created in Section

Page 41, Line 1225-16.5-109 (1), C.R.S., an estimated $18,950 shall be from the Stationary Sources Control Fund created in Section 25-7-114.7 (2)(b)(I), C.R.S., and an estimated $55,209 shall be from

Page 41, Line 13various sources of cash funds.

Page 41, Line 14

Page 41, Line 15

Page 42, Line 1(8) OFFICE OF HIV, VIRAL HEPATITIS AND STI'S

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 42, Line 2Administration and Support

278,610

278,610

Page 42, Line 3

(2.5 FTE)

Page 42, Line 4Sexually Transmitted

Page 42, Line 5Infections, HIV and AIDS

Page 42, Line 6Personal Services

4,040,326

339,276

135,992a

14,675b

3,550,383(I)

Page 42, Line 7

(4.9 FTE)

(1.0 FTE)

(38.9 FTE)

Page 42, Line 8Sexually Transmitted

Page 42, Line 9Infections, HIV and AIDS

Page 42, Line 10Operating Expenses

9,490,590

2,802,741

5,352,714a

1,235b

1,333,900(I)

Page 42, Line 11Ryan White Act Personal

Page 42, Line 12Services

2,425,208

23,766

2,401,442(I)

Page 42, Line 13

(10.2 FTE)

Page 42, Line 14Ryan White Act Operating

Page 42, Line 15Expenses

23,230,409

1,451,065

6,227,244c

15,552,100(I)

Page 43, Line 1Viral Hepatitis Program

Page 43, Line 2Costs

200,000

200,000

Page 43, Line 3Indirect Cost Assessment

1,078,076

265,729d

812,347(I)

Page 43, Line 4

40,743,219

Page 43, Line 5

Page 43, Line 6a These amounts shall be from the AIDS and HIV Prevention Fund created in Section 25-4-1415 (1), C.R.S., which are received as damage awards, and, as such, do not constitute fiscal

Page 43, Line 7year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 43, Line 8b These amounts shall be from the Harm Reduction Grant Program Cash Fund created in Section 25-20.5-1102 (1), C.R.S.

Page 43, Line 9c Of this amount, $5,627,244 shall be from the Drug Assistance Program Fund created in Section 25-4-1401 (7)(a), C.R.S., which are received as damage awards, and, as such, do not

Page 43, Line 10constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution and an estimated $600,000(I) shall be from gifts, grants, and donations and are included

Page 43, Line 11for informational purposes only.

Page 43, Line 12d Of this amount, $142,435 shall be from the Drug Assistance Program Fund created in Section 25-4-1401 (7)(a), C.R.S., and $123,294 shall be from the AIDS and HIV Prevention Fund

Page 43, Line 13created in Section 25-4-1415 (1), C.R.S.

Page 43, Line 14

Page 43, Line 15

Page 44, Line 1(9) PREVENTION SERVICES DIVISION

Page 44, Line 2(A) Administration

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 44, Line 3Administration

3,217,241

683,839

876,520a

26,772b

1,630,110(I)

Page 44, Line 4

(6.2 FTE)

(13.1 FTE)

(15.1 FTE)

Page 44, Line 5Indirect Cost Assessment

7,909,584

3,683,142a

35,292b

4,191,150(I)

Page 44, Line 6

11,126,825

Page 44, Line 7

Page 44, Line 8a Of this amount, an estimated $1,943,630 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., an estimated $1,312,940 shall be from the Tobacco

Page 44, Line 9Education Programs Fund created in Section 24-22-117 (2)(c)(I), C.R.S., an estimated $1,132,037 shall be from the Prevention, Early Detection, and Treatment Fund created in Section

Page 44, Line 1024-22-117 (2)(d)(I), C.R.S., $43,248 shall be from the Colorado Health Services Corps Fund created in Section 25-1.5-506 (1), C.R.S., $16,391 shall be from the State Dental Loan

Page 44, Line 11Repayment and Oral Health Programs Fund created in Section 25-23-104 (1)(a), C.R.S., an estimated $12,634 shall be from the Newborn Screening and Genetic Counseling Cash Funds

Page 44, Line 12created in Section 25-4-1006 (1), C.R.S., an estimated $375 shall be from the Visa Waiver Program Fund created in Section 25-1.5-405, C.R.S., and an estimated $98,407 shall be from

Page 44, Line 13various sources of cash funds. The Tobacco Education Programs Fund and the Prevention, Early Detection, and Treatment Fund consist of revenues from additional state cigarette and

Page 44, Line 14tobacco taxes imposed pursuant to Section 21 of Article X of the State Constitution; appropriations from these funds do not constitute fiscal year spending for the purposes of Section

Page 44, Line 1520 of Article X of the State Constitution.

Page 45, Line 1b These amounts shall be from the Harm Reduction Grant Program Cash Fund created in Section 25-20.5-1102 (1), C.R.S.

Page 45, Line 2

Page 45, Line 3(B) Chronic Disease Prevention Programs

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 45, Line 4Transfer to the Health

Page 45, Line 5Disparities Grant Program

Page 45, Line 6Fund97

2,328,272

2,328,272a

Page 45, Line 7Chronic Disease and Cancer

Page 45, Line 8Prevention Grants

7,135,498

329,371

6,806,127(I)

Page 45, Line 9

(0.5 FTE)

(38.3 FTE)

Page 45, Line 10Breast and Cervical Cancer

Page 45, Line 11Screening

5,758,263

3,104,363a

2,653,900(I)

Page 45, Line 12

(7.2 FTE)

Page 46, Line 1Cancer, Cardiovascular

Page 46, Line 2Disease, and Chronic

Page 46, Line 3Pulmonary Disease

Page 46, Line 4Program Administration

670,122

670,122a

Page 46, Line 5

(6.7 FTE)

Page 46, Line 6Cancer, Cardiovascular

Page 46, Line 7Disease, and Chronic

Page 46, Line 8Pulmonary Disease Grants

14,800,743

14,800,743a

Page 46, Line 9Tobacco Education,

Page 46, Line 10Prevention, and Cessation

Page 46, Line 11Program Administration

1,328,895

1,328,895b

Page 46, Line 12

(12.9 FTE)

Page 46, Line 13Tobacco Education,

Page 46, Line 14Prevention, and Cessation

Page 46, Line 15Grants

37,921,946

36,636,220b

1,285,726c

Page 47, Line 1Oral Health Programs

2,560,341

806,164

876,577d

877,600(I)

Page 47, Line 2

(4.1 FTE)

Page 47, Line 3Marijuana

Page 47, Line 4Education Campaign

976,202

976,202e

Page 47, Line 5

(2.0 FTE)

Page 47, Line 6Regional Connector Health

Page 47, Line 7Program

1,578,316

1,578,316

Page 47, Line 8

(1.0 FTE)

Page 47, Line 9Community Health Workers

Page 47, Line 10Initiative

166,633

166,633

Page 47, Line 11

(2.0 FTE)

Page 47, Line 12

75,225,231

Page 47, Line 13

Page 48, Line 1a These amounts shall be from the Prevention, Early Detection, and Treatment Fund created in Section 24-22-117 (2)(d)(I), C.R.S., which consists of revenues from additional state cigarette

Page 48, Line 2and tobacco taxes imposed pursuant to Section 21 of Article X of the State Constitution. These amounts are received under the provisions of Section 21 (4) of Article X of the State

Page 48, Line 3Constitution and, as such, do not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 48, Line 4b These amounts shall be from the Tobacco Education Programs Fund created in Section 24-22-117 (2)(c)(I), C.R.S., which consists of revenues from additional state cigarette and tobacco

Page 48, Line 5taxes imposed pursuant to Section 21 of Article X of the State Constitution, and, as such, do not constitute fiscal year spending for the purposes of Section 20 of Article X of the State

Page 48, Line 6Constitution.

Page 48, Line 7c This amount shall be from Medicaid funds transferred from the Medical and Long-Term Care Services for Medicaid Eligible Individuals line item in the Department of Health Care

Page 48, Line 8Policy and Financing.

Page 48, Line 9d This amount shall be from the State Dental Loan Repayment and Oral Health Programs Fund created in Section 25-23-104 (1)(a), C.R.S., which is received as a damage award, and,

Page 48, Line 10as such, does not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution.

Page 48, Line 11e This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 48, Line 12

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 48, Line 13(C) Primary Care Office

Page 48, Line 14Primary Care Office

11,281,495

2,660,772

7,492,223a

1,128,500(I)

Page 48, Line 15

(6.6 FTE)

Page 49, Line 1Transfer to Health Service

Page 49, Line 2Corps

400,000

400,000

Page 49, Line 3

11,681,495

Page 49, Line 4

Page 49, Line 5a Of this amount, an estimated $3,848,458 shall be from the Colorado Health Services Corps Fund created in Section 25-1.5-506 (1), C.R.S., an estimated $3,605,101 shall be from the

Page 49, Line 6Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., and an estimated $38,664 shall be from the Visa Waiver Program Fund created in Section 25-1.5-405, C.R.S.

Page 49, Line 7

Page 49, Line 8(D) Family and Community Health

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 49, Line 9(1) Community Health

Page 49, Line 10Reproductive Health

Page 49, Line 11Program98

10,126,068

5,168,798

4,957,270(I)

Page 49, Line 12

(9.9 FTE)

(2.0 FTE)

Page 49, Line 13Maternal and Child Health

5,135,156

272,263

41,193a

4,821,700b

Page 49, Line 14

(12.2 FTE)

Page 50, Line 1Disordered Eating

Page 50, Line 2Prevention Program

91,398

91,398

Page 50, Line 3

(1.0 FTE)

Page 50, Line 4

15,352,622

Page 50, Line 5

Page 50, Line 6a This amount shall be from the Economic Mobility Program Fund created in Section 25-20.5-1901 (3)(a), C.R.S.

Page 50, Line 7b This amount shall be from the Maternal and Child Health Block Grant.

Page 50, Line 8

Page 50, Line 9

Page 50, Line 10(2) Children and Youth Health

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 50, Line 11Healthy Kids

Page 50, Line 12Colorado Survey

768,127

768,127a

Page 50, Line 13

(1.5 FTE)

Page 51, Line 1Health Care Program for

Page 51, Line 2Children with Special

Page 51, Line 3Needs

1,220,516

764,416(M)

456,100c

Page 51, Line 4

(14.4 FTE)

Page 51, Line 5Health Care Program for

Page 51, Line 6Children with Special

Page 51, Line 7Needs Purchase of Services

3,075,399

1,847,899(M)

1,227,500c

Page 51, Line 8Genetics Counseling

Page 51, Line 9Program Costs

1,873,641

1,873,641b

Page 51, Line 10

(1.0 FTE)

Page 51, Line 11Child Fatality Prevention

607,993

607,993

Page 51, Line 12

(2.9 FTE)

Page 51, Line 13School-based Health

Page 51, Line 14Centers99

5,100,080

5,100,080

Page 51, Line 15

(2.8 FTE)

Page 52, Line 1Comprehensive Sexual

Page 52, Line 2Education

1,008,001

1,008,001

Page 52, Line 3

(1.3 FTE)

Page 52, Line 4Federal Grants

884,604

884,604(I)

Page 52, Line 5

(7.5 FTE)

Page 52, Line 6

14,538,361

Page 52, Line 7

Page 52, Line 8a This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 52, Line 9b This amount shall be from the Newborn Screening and Genetic Counseling Cash Funds created in Section 25-4-1006 (1), C.R.S.

Page 52, Line 10c These amounts shall be from the Maternal and Child Health Block Grant.

Page 52, Line 11

Page 52, Line 12(3) Injury and Violence Prevention - Mental Health Promotion

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 52, Line 13Suicide Prevention

1,340,552

1,340,552

Page 52, Line 14

(2.9 FTE)

Page 53, Line 1Injury Prevention

3,679,900

3,679,900(I)

Page 53, Line 2

(13.4 FTE)

Page 53, Line 3Substance Abuse

Page 53, Line 4Prevention Program Costs

473,555

473,555a

Page 53, Line 5

(4.5 FTE)

Page 53, Line 6Substance Abuse

Page 53, Line 7Prevention Grants

8,995,512

8,995,512a

Page 53, Line 8Mental Health First Aid

Page 53, Line 9Training

210,000

210,000

Page 53, Line 10Community Crime Victims

Page 53, Line 11Grant Program100

2,144,541

894,541

1,250,000b

Page 53, Line 12Opiate Antagonist Bulk

Page 53, Line 13Purchase

162,825

162,825

Page 53, Line 14

(2.0 FTE)

Page 54, Line 1Appropriation to the Harm

Page 54, Line 2Reduction Grant Program

1,800,000

1,800,000a

Page 54, Line 3Harm Reduction Grant

Page 54, Line 4Program

1,753,235

1,753,235c

Page 54, Line 5

(1.9 FTE)

Page 54, Line 6CARE Network

926,445

926,445

Page 54, Line 7

(0.4 FTE)

Page 54, Line 8Prevention Programming

8,870,915

48,776

596,910a

8,225,229d

Page 54, Line 9

(11.2 FTE)

Page 54, Line 10Grant Prioritization Task

Page 54, Line 11Force

146,604

146,604

Page 54, Line 12

(1.6 FTE)

Page 54, Line 13

30,504,084

Page 54, Line 14

Page 54, Line 15a These amounts shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 55, Line 1b This amount shall be from the Community Crime Victims Fund created in Section 25-20.5-801 (9)(a), C.R.S.

Page 55, Line 2c This amount shall be from the Harm Reduction Grant Program Cash Fund created in Section 25-20.5-1102 (1), C.R.S.

Page 55, Line 3d This amount shall be from funds transferred from the Substance Use Treatment and Prevention Services subdivision of the Behavioral Health Administration in the Department of

Page 55, Line 4Human Services and is shown for informational purposes only.

Page 55, Line 5

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 55, Line 6(4) Office of Gun Violence

Page 55, Line 7Prevention

Page 55, Line 8Program Costs

3,044,093

3,044,093

Page 55, Line 9

(4.0 FTE)

Page 55, Line 10

Page 55, Line 11(E) Nutrition Services

Page 55, Line 12Women, Infants, and

Page 55, Line 13Children Supplemental

Page 55, Line 14Food Grant

88,066,691

125,705

87,940,986(I)

Page 55, Line 15

(16.9 FTE)

Page 56, Line 1Child and Adult Care Food

Page 56, Line 2Program

27,899,109

27,899,109(I)

Page 56, Line 3

(7.8 FTE)

Page 56, Line 4

115,965,800

Page 56, Line 5

Page 56, Line 6

277,438,511

Page 56, Line 7

Page 56, Line 8(10) HEALTH FACILITIES AND EMERGENCY MEDICAL SERVICES DIVISION

Page 56, Line 9(A) Operations Management

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 56, Line 10Administration and

Page 56, Line 11Operations101

3,018,466

538,588

2,416,774a

63,104(I)

Page 56, Line 12

(27.8 FTE)

Page 56, Line 13

Page 57, Line 1a Of this amount, an estimated $888,935 shall be from the Health Facilities General Licensure Cash Fund created in Section 25-3-103.1 (1), C.R.S., an estimated $537,202 shall be from

Page 57, Line 2the Assisted Living Residence Cash Fund created in Section 25-27-107.5 (1), C.R.S., an estimated $368,977 shall be from the Emergency Medical Services Account within the Highway

Page 57, Line 3Users Tax Fund created in Section 25-3.5-603 (1)(a), C.R.S., an estimated $343,167 shall be from the Home Care Agency Cash Fund created in Section 25-27.5-105, C.R.S., an estimated

Page 57, Line 4$88,001 shall be from the Medication Administration Cash Fund created in Section 25-1.5-303 (5)(a), C.R.S., an estimated $58,154 shall be from the Nursing Home Penalty Cash Fund

Page 57, Line 5created in Section 25.5-6-205 (3)(a), C.R.S., an estimated $49,859 shall be from the Statewide Trauma Care System Cash Fund created in Section 25-3.5-705 (2), C.R.S., and an estimated

Page 57, Line 6$82,479 shall be from various sources of cash funds.

Page 57, Line 7

Page 57, Line 8(B) Health Facilities Program

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 57, Line 9Health Facility Survey

7,164,688

3,318,232

3,846,456a

Page 57, Line 10

(41.5 FTE)

Page 57, Line 11Medicaid/Medicare

Page 57, Line 12Certification Program

11,144,780

6,694,592b

4,450,188(I)

Page 57, Line 13

(67.3 FTE)

(47.8 FTE)

Page 57, Line 14Transfer to Department of

Page 57, Line 15Public Safety

699,072

341,076b

357,996(I)

Page 58, Line 1Behavioral Health Entity

Page 58, Line 2Licensing

225,180

43,526

116,265a

65,389(I)

Page 58, Line 3

(3.2 FTE)

Page 58, Line 4Nursing Home Grants

6,000,000

6,000,000a

Page 58, Line 5

25,233,720

Page 58, Line 6

Page 58, Line 7a Of these amounts, an estimated $6,000,000 shall be from the Nursing Home Penalty Cash Fund created in Section 25.5-6-205 (3)(a), C.R.S., an estimated $1,159,625 shall be from the

Page 58, Line 8Assisted Living Residence Cash Fund created in Section 25-27-107.5 (1), C.R.S., an estimated $902,978 shall be from the Health Facilities General Licensure Cash Fund created in Section

Page 58, Line 925-3-103.1 (1), C.R.S., an estimated $710,833 shall be from the Home Care Agency Cash Fund created in Section 25-27.5-105, C.R.S., an estimated $12,700 shall be from the Assisted

Page 58, Line 10Living Residence Improvement Cash Fund created in Section 25-27-106 (2)(b)(IV)(A), C.R.S., an estimated $159 shall be from the Community Integrated Health Care Service Agencies

Page 58, Line 11Cash Fund created in Section 25-3.5-1304, C.R.S., and an estimated $1,176,426 shall be from various sources of cash funds.

Page 58, Line 12b These amounts shall be from Medicaid funds transferred from the Transfer to Department of Public Health and Environment for Facility Survey and Certification line item in the

Page 58, Line 13Department of Health Care Policy and Financing.

Page 58, Line 14

Page 58, Line 15

Page 59, Line 1(C) Emergency Medical Services

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 59, Line 2State EMS Coordination,

Page 59, Line 3Planning and Certification

Page 59, Line 4Program

1,928,014

67,374

1,860,640a

Page 59, Line 5

(14.7 FTE)

Page 59, Line 6Distributions to Regional

Page 59, Line 7Emergency Medical and

Page 59, Line 8Trauma Councils

1,785,000

1,785,000b

Page 59, Line 9Emergency Medical

Page 59, Line 10Services Provider Grants102

8,378,896

8,378,896b

Page 59, Line 11Trauma Facility

Page 59, Line 12Designation Program

407,521

407,521c

Page 59, Line 13

(1.8 FTE)

Page 59, Line 14Federal Grants

290,300

290,300(I)

Page 59, Line 15Poison Control

1,595,240

1,535,140

60,100d

Page 60, Line 1Office of Cardiac Arrest

207,048

207,048

Page 60, Line 2

(0.8 FTE)

Page 60, Line 3

14,592,019

Page 60, Line 4

Page 60, Line 5a Of this amount, an estimated $1,765,420 shall be from the Emergency Medical Services Account within the Highway Users Tax Fund created in Section 25-3.5-603 (1)(a), C.R.S., and

Page 60, Line 6an estimated $95,220 shall be from the Fixed-wing and Rotary-wing Ambulances Cash Fund created in Section 25-3.5-307 (2)(a), C.R.S.

Page 60, Line 7b These amounts shall be from the Emergency Medical Services Account within the Highway Users Tax Fund created in Section 25-3.5-603 (1)(a), C.R.S.

Page 60, Line 8c This amount shall be from the Statewide Trauma Care System Cash Fund created in Section 25-3.5-705 (2), C.R.S.

Page 60, Line 9d This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.

Page 60, Line 10

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 60, Line 11(D) Indirect Cost

Page 60, Line 12Assessment

3,510,795

1,883,381a

751,604b

875,810(I)

Page 60, Line 13

Page 60, Line 14a Of this amount, an estimated $1,212 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., and an estimated $1,882,169 shall be from various sources

Page 60, Line 15of cash funds.

Page 61, Line 1b This amount shall be from Medicaid funds transferred from the Transfer to Department of Public Health and Environment for Facility Survey and Certification line item in the Department

Page 61, Line 2of Health Care Policy and Financing.

Page 61, Line 3

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 61, Line 4

46,355,000

Page 61, Line 5

Page 61, Line 6

Page 61, Line 7TOTALS PART XVII

Page 61, Line 8(PUBLIC HEALTH AND

Page 61, Line 9ENVIRONMENT)

$863,318,324

$142,901,661

$291,034a

$331,715,057 b

$62,413,396 c

$325,997,176d

Page 61, Line 10

$863,977,216

$142,884,439

$331,781,527b

$63,023,040c

Page 61, Line 11

Page 61, Line 12

Page 61, Line 13a This amount is not subject to the limitation on General Fund appropriations set forth in Section 24-75-201.1, C.R.S., and shall be General Fund Exempt pursuant to Section 24-22-117

Page 61, Line 14(1)(c)(I)(B.5), C.R.S.

Page 61, Line 15b Of this amount, $4,850,347 contains an (I) notation.

Page 62, Line 1c Of this amount, $8,225,229 contains an (I) notation.

Page 62, Line 2d Of this amount, $302,679,856 contains an (I) notation.

Page 62, Line 3

Page 62, Line 4Footnotes: The following statements are referenced to the numbered footnotes throughout section 2.

Page 62, Line 5

Page 62, Line 691Department of Public Health and Environment, Administration and Support, Administration, Leave Payouts -- The Department may use this line item for leave

Page 62, Line 7payouts for cash funded and federal funded employees only.

Page 62, Line 8

Page 62, Line 992Department of Public Health and Environment, Disease Control and Public Health Response, General Disease Control and Surveillance, Immunization

Page 62, Line 10Operating Expenses -- It is the General Assembly's intent to provide flexibility in the use of these funds toward a menu of evidence based immunization

Page 62, Line 11interventions, including but not limited to mobile health clinics, community and school based vaccination clinics, data improvement efforts, funding for

Page 62, Line 12VISTA/AmeriCorps volunteer efforts and family participation incentives.

Page 62, Line 13

Page 62, Line 1493Department of Public Health and Environment, Disease Control and Public Health Response, Office of Emergency Preparedness and Response, Emergency

Page 62, Line 15Preparedness and Response Program -- Amounts in this line item are calculated based on the assumed federal match rate of 90.9 percent federal funds to 9.1

Page 62, Line 16percent state funds which is assumed to be demonstrated on a federal fiscal year basis.

Page 63, Line 194Department of Public Health and Environment, Water Quality Control Division, Clean Water Program, Water Quality Improvement -- This appropriation

Page 63, Line 2remains available until the completion of the project or the close of state fiscal year 2025-26, whichever comes first.

Page 63, Line 3

Page 63, Line 495Department of Public Health and Environment, Hazardous Materials and Waste Management Division, Contaminated Site Cleanups and Remediation Programs,

Page 63, Line 5Contaminated Sites Operation and Maintenance -- Of this appropriation, $1,169,181 General Fund and $10,497,485 federal funds remain available until the

Page 63, Line 6completion of the project or the close of state fiscal year 2026-27, whichever comes first.

Page 63, Line 7

Page 63, Line 896Department of Public Health and Environment, Hazardous Materials and Waste Management Division, Contaminated Site Cleanups and Remediation Programs,

Page 63, Line 9Brownfields Cleanup Program -- This appropriation remains available until the completion of the project or the close of state fiscal year 2026-27, whichever

Page 63, Line 10comes first.

Page 63, Line 11

Page 63, Line 1297Department of Public Health and Environment, Prevention Services Division, Chronic Disease Prevention Programs, Transfer to the Health Disparities Grant

Page 63, Line 13Program Fund -- It is the General Assembly's intent that if the amount of actual Amendment 35 tobacco tax revenues that are required by statute to be transferred

Page 63, Line 14to the Health Disparities Grant Program Fund are higher than the appropriation set forth in this line item, then the transfer to the Health Disparities Grant

Page 63, Line 15Program Fund of such tobacco tax revenues will be increased by an amount equal to the difference between such actual tobacco tax revenues and the

Page 63, Line 16appropriated amount.

Page 64, Line 198Department of Public Health and Environment, Prevention Services Division, Family and Community Health, Community Health, Reproductive Health Program

Page 64, Line 2-- Article V, Section 50 of the Colorado Constitution states that "No public funds shall be used by the State of Colorado, its agencies or political subdivisions

Page 64, Line 3to pay or otherwise reimburse, either directly or indirectly, any person, agency or facility for the performance of any induced abortion, provided however, that

Page 64, Line 4the General Assembly, by specific bill, may authorize and appropriate funds to be used for those medical services necessary to prevent the death of either a

Page 64, Line 5pregnant woman or her unborn child under circumstances where every reasonable effort is made to preserve the life of each.".

Page 64, Line 6

Page 64, Line 799Department of Public Health and Environment, Prevention Services Division, Family and Community Health, Children and Youth Health, School-based Health

Page 64, Line 8Centers -- It is the General Assembly's intent that this appropriation be used for the purpose of assisting the establishment, expansion, and ongoing operations

Page 64, Line 9of school-based health centers in Colorado.

Page 64, Line 10

Page 64, Line 11100Department of Public Health and Environment, Prevention Services Division, Family and Community Health, Injury and Violence Prevention - Mental Health

Page 64, Line 12Promotion, Community Crime Victims Grant Program -- This appropriation remains available until all grantees in the 2024-25 state fiscal year have been

Page 64, Line 13reimbursed or the close of the 2025-26 state fiscal year, whichever comes first.

Page 64, Line 14

Page 64, Line 15101Department of Public Health and Environment, Health Facilities and Emergency Medical Services Division, Operations Management, Administration and

Page 64, Line 16Operations -- Of this appropriation, $156,045 General Fund remains available until the close of the 2025-26 state fiscal year pursuant to Section 25-3.5-1401(2),

Page 65, Line 1C.R.S.

Page 65, Line 2

Page 65, Line 3102Department of Public Health and Environment, Health Facilities and Emergency Medical Services Division, Emergency Medical Services, Emergency Medical

Page 65, Line 4Services Provider Grants -- This appropriation remains available until all grantees in the 2024-25 fiscal year have been reimbursed or the close of the 2025-26

Page 65, Line 5state fiscal year, whichever comes first.


Page 66, Line 1SECTION 2. Safety clause. The general assembly finds,

Page 66, Line 2determines, and declares that this act is necessary for the immediate

Page 66, Line 3preservation of the public peace, health, or safety or for appropriations for

Page 66, Line 4the support and maintenance of the departments of the state and state

Page 66, Line 5institutions.