Travel 40,000 23,500 ----------- ----------- Total Other Operating Expenses $ 361,629 $ 90,062 ----------- ----------- Total Marine Research Institute $ 1,529,517 $ 623,515 =========== =========== Total Marine Resources Division $ 3,530,928 $ 2,169,452 =========== =========== X. Heritage Trust: Personal Service: Classified Positions $ 112,211 $ 112,211 (7) (7) Other Personal Service: Temporary Positions 11,074 11,074 ----------- ----------- Total Personal Service $ 123,285 $ 123,285 Other Operating Expenses: Contractual Services $ 11,161 $ 11,161 Supplies 7,900 7,900 Fixed Charges and Contributions 17,004 17,004 Travel 2,966 2,966 ----------- ----------- Total Other Operating Expenses $ 39,031 $ 39,031 ----------- ----------- Total Heritage Trust $ 162,316 $ 162,316 =========== =========== XI. Small Game Program: Personal Service: Classified Positions $ 23,856 $ 23,856 (2) (2) ----------- ----------- Total Personal Service $ 23,856 $ 23,856 Other Operating Expenses: Contractual Services $ 650 $ 650 Supplies 1,750 1,750 Travel 600 600 ----------- ----------- Total Other Operating Expenses $ 3,000 $ 3,000 ----------- ----------- Total Small Game Program $ 26,856 $ 26,856 =========== =========== XII. Furbearer Program: Personal Service: Classified Positions $ 32,442 $ 32,442 (3) (3) ----------- ----------- Total Personal Service $ 32,442 $ 32,442 Other Operating Expenses: Contractual Services $ 650 $ 650 Supplies 1,750 1,750 Travel 600 600 ----------- ----------- Total Other Operating Expenses $ 3,000 $ 3,000 ----------- ----------- Total Furbearer Program $ 35,442 $ 35,442 =========== =========== XIII. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 292,742 $ 138,663 ----------- ----------- Total Personal Service $ 292,742 $ 138,663 ----------- ----------- Total Salary Increments $ 292,742 $ 138,663 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 1,687,635 $ 841,440 ----------- ----------- Total Fringe Benefits $ 1,687,635 $ 841,440 ----------- ----------- Total State Employer Contributions $ 1,687,635 $ 841,440 =========== =========== Total Employee Benefits $ 1,980,377 $ 980,103 =========== =========== Total Wildlife and Marine Resources $ 17,349,081 $ 8,426,908 =========== =========== Total Authorized Positions (749) (362) Provided, That funds belonging to the counties of the State, now on hand or hereafter accruing to the counties, shall be expended on approval of a majority of the respective county delegations. Provided, That an annual accounting for all such funds and expenditures shall be furnished by the Department to each member of each county delegation, it being the intent of the General Assembly that the appropriations made in this section are conditioned upon compliance with this requirement. In addition to the annual accounting required above, the Department shall make a proposal for expenditures of such funds in the succeeding fiscal year in each county to the members of the county legislative delegations; and upon approval thereby shall proceed with the use of such funds in compliance with the finalized and approved plan as approved by the legislative delegations. Provided, that if no plan is approved, the expenditures of such funds is to be administered as determined by the various legislative delegations. Provided, Further, That any equipment purchased by the department from county game funds on approval of a majority of a county delegation shall remain in that county upon the request of a majority of the respective county delegation, and if sold by the department, the proceeds of such sale shall be credited to such county game fund. Provided, Further, That any member of the armed forces of the United States, on active duty, who is on furlough or leave, shall upon presentation of his official furlough or leave papers, be allowed to fish or hunt without purchasing a fishing or hunting license, or permit. Provided, Further, That of the revenue collected during 1980-81 pursuant to the provisions of Sector 12-21 630, Code of Laws of 1976, providing a tax on cartridges and shells a sum not exceeding $165,000.00 if so much be available shall be transferred to the Wildlife and Marine Resources Department for use by the Department in budgeted operations. Provided, Further, That the South Carolina Wildlife and Marine Resources Department's Game Management Personnel, Fish Hatchery Superintendents, Lake Superintendents and Fort Johnson Superintendent may be permitted to occupy residences owned by the South Carolina Wildlife and Marine Resources Department without charge. SECTION 65 Coastal Council (Budget Reference: Volume II, Page 2466) I. Administration and Operations: Personal Service: Executive Director $ 35,958 $ 35,958 (1) (1) Classified Positions 349,539 66,831 (25) (5) Other Personal Service: Per Diem--Boards and Commissions 20,000 Temporary Positions 10,000 ----------- ----------- Total Personal Service $ 415,497 $ 102,789 Other Operating Expenses: Contractual Services $ 201,875 $ Supplies 99,695 1,500 Fixed Charges and Contributions 112,200 20,560 Travel 25,000 ----------- ----------- Total Other Operating Expenses $ 438,770 $ 22,060 Distribution to Subdivisions: Allocations to Counties- -Restricted $ 100,000 $ Allocations to Other State Agencies 250,000 Aid to Cities and Towns Restricted 25,000 25,000 Aid to Counties Restricted 80,000 80,000 Aid to Other Entities 38,911 38,911 ----------- ----------- Total Distribution to Subdivisions $ 493,911 $ 143,911 ----------- ----------- Total Administration and Operations $ 1,348,178 $ 268,760 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 9,905 $ 2,307 ----------- ----------- Total Personal Service $ 9,905 $ 2,307 ----------- ----------- Total Salary Increments $ 9,905 $ 2,307 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 62,017 $ 15,750 ----------- ----------- Total Fringe Benefits $ 62,017 $ 15,750 ----------- ----------- Total State Employer Contributions $ 62,017 $ 15,750 =========== =========== Total Employee Benefits $ 71,922 $ 18,057 =========== =========== Total South Carolina Coastal Council $ 1,420,100 $ 286,817 =========== =========== Total Authorized Positions (26) (6) SECTION 66 Sea Grants Consortium (Budget Reference: Volume II, Page 2479) I. Administration: Personal Service: Director $ 47,000 $ 47,000 (1) (1) Classified Positions 47,000 47,000 (3) (3) ----------- ----------- Total Personal Service $ 94,000 $ 94,000 Other Operating Expenses: Contractual Services $ 7,700 $ 7,700 Supplies 15,512 15,512 Fixed Charges and Contributions 350 350 Travel 3,819 3,819 ----------- ----------- Total Other Operating Expenses $ 27,381 $ 27,381 ----------- ----------- Total Administration $ 121,381 $ 121,381 =========== =========== II. Research: Personal Service: New Positions: Secretary I $ 17,880 $ 17,880 (2) (2) Director of Accounting 20,000 20,000 (1) (1) Spec. Prog. Coord. 13,631 13,631 (1) (1) Other Personal Service: Temporary Positions 12,000 12,000 ----------- ----------- Total Personal Service $ 63,511 $ 63,511 Other Operating Expenses: Supplies $ 20,000 $ 20,000 Contractual Services 851,000 88,000 Fixed Charges and Contributions 5,881 5,881 Travel 10,000 10,000 ----------- ----------- Total Other Operating Expenses $ 886,881 $ 123,881 ----------- ----------- Total Research $ 950,392 $ 187,392 =========== =========== III. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 14,555 $ 14,555 ----------- ----------- Total Fringe Benefits $ 14,555 $ 14,555 ----------- ----------- Total State Employer Contributions $ 14,555 $ 14,555 =========== =========== Total Employee Benefits $ 14,555 $ 14,555 =========== =========== Total Sea Grant Consortium $ 1,086,328 $ 323,328 =========== =========== Total Authorized Positions (8) (8) SECTION 67 Department of Parks, Recreation and Tourism (Budget Reference: Volume II, Page 2493) I. Administration: A. Executive Offices: Personal Service: Director $ 40,247 $ 40,247 (1) (1) Classified Positions 93,712 93,712 (4) (4) Other Personal Service: Per Diem--Boards and Commissions 6,000 6,000 ----------- ----------- Total Personal Service $ 139,959 $ 139,959 Other Operating Expenses: Contractual Services $ 10,000 $ 10,000 Supplies 800 800 Fixed Charges and Contributions 400 400 Travel 7,276 7,276 ----------- ----------- Total Other Operating Expenses $ 18,476 $ 18,476 ----------- ----------- Total Executive Offices $ 158,435 $ 158,435 =========== =========== B. Administrative Services: Personal Service: Classified Positions $ 246,069 $ 246,069 (18) (18) ----------- ----------- Total Personal Service $ 246,069 $ 246,069 Other Operating Expenses: Contractual Services $ 11,550 $ 11,550 Supplies 9,874 9,874 Fixed Charges and Contributions 163,261 163,261 Travel 1,000 1,000 ----------- ----------- Total Other Operating Expenses $ 185,685 $ 185,685 ----------- ----------- Total Administrative Services $ 431,754 $ 431,754 =========== =========== C. Analysis and Audit: Personal Service: Classified Positions $ 49,195 $ 49,195 (2) (2) ----------- ----------- Total Personal Service $ 49,195 $ 49,195 Other Operating Expenses: Contractual Services $ 1,375 $ 1,375 Supplies 500 500 Travel 3,200 3,200 ----------- ----------- Total Other Operating Expenses $ 5,075 $ 5,075 ----------- ----------- Total Analysis and Audit $ 54,270 $ 54,270 =========== =========== Total Administration $ 644,459 $ 644,459 =========== =========== II. Planning and Development: Personal Service: Classified Positions $ 140,450 $ 140,450 (8) (8) ----------- ----------- Total Personal Service $ 140,450 $ 140,450 Other Operating Expenses: Contractual Services $ 32,700 $ 32,700 Supplies 1,900 1,900 Fixed Charges and Contributions 300 300 Travel 6,022 6,022 ----------- ----------- Total Other Operating Expenses $ 40,922 $ 40,922 Special Items: Recreation Planning $ 90,000 $ 90,000 ----------- ----------- Total Special Items $ 90,000 $ 90,000 ----------- ----------- Total Planning and Development $ 271,372 $ 271,372 =========== =========== III. State Parks: Personal Service: Classified Positions $ 2,959,748 $ 1,818,884 (294) (161) New Position: Greens Supt 20,000 20,000 (1) (1) Other Personal Service: Temporary Positions 536,482 136,135 ----------- ----------- Total Personal Service $ 3,516,230 $ 1,975,019 Other Operating Expenses: Contractual Services $ 991,254 $ 317,369 Supplies 605,498 271,822 Fixed Charges and Contributions 201,150 Travel 75,000 Purchase for Resale 675,000 Sales and Use Tax 123,000 ----------- ----------- Total Other Operating Expenses $ 2,670,902 $ 589,191 ----------- ----------- Total State Parks $ 6,187,132 $ 2,564,210 =========== =========== IV. Young Adult Conservation Corps: Personal Service: Classified Positions $ 123,121 $ (12) Other Personal Service: Temporary Positions 209,460 ----------- ----------- Total Personal Service $ 332,581 $ Other Operating Expenses: Contractual Services $ 13,675 $ Supplies 96,650 Fixed Charges and Contributions 23,700 Travel 15,150 ----------- ----------- Total Other Operating Expenses $ 149,175 $ ----------- ----------- Total Young Adult Conservation Corps $ 481,756 $ =========== =========== V. Recreation: Personal Service: Classified Positions $ 121,988 $ 121,988 (8) (8) ----------- ----------- Total Personal Service $ 121,988 $ 121,988 Other Operating Expenses: Contractual Services $ 7,240 $ 7,240 Supplies 1,450 1,450 Fixed Charges and Contributions 200 200 Travel 6,619 6,619 ----------- ----------- Total Other Operating Expenses 15,509 15,509 Distributions to Subdivisions: Commercial Agricultural Museum $ 5,000 $ 5,000 Stumphouse Tunnel Park 10,000 10,000 ----------- ----------- Total--Distributions to Subdivision $ 15,000 $ 15,000 ----------- ----------- Total Recreation $ 152,497 $ 152,497 =========== =========== VI. Heritage, Conservation Recreation Service: Personal Service: Classified Positions $ 81,286 $ 81,286 (5) (5) ----------- ----------- Total Personal Service $ 81,286 $ 81,286 Other Operating Expenses: Contractual Services $ 3,875 $ 3,875 Supplies 100 100 Fixed Charges and Contributions 300 300 Travel 5,500 5,500 ----------- ----------- Total Other Operating Expenses $ 9,775 $ 9,775 Distributions to Subdivisions: Allocation to Other Entities $ 3,000,000 $ ----------- ----------- Total Distributions to Subdivisions $ 3,000,000 $ ----------- ----------- Total Heritage Conservation Recreation Service $ 3,091,061 $ 91,061 =========== =========== VII. Tourism: Personal Service: Classified Positions $ 846,124 $ 846,124 (83) (83) New Positions: Welcome Center Supervisor 10,022 10,022 (1) (1) Welcome Center Information Specialist 31,940 31,940 (4) (4) Custody Worker II 2,987 2,987 (1) (1) Other Personal Service: Temporary Part Time 31,847 31,847 ----------- ----------- Total Personal Service $ 922,920 $ 922,920 Other Operating Expenses: Contractual Services $ 457,120 $ 312,566 Supplies 199,560 144,114 Fixed Charges and Contributions 58,150 58,150 Travel 58,218 58,218 ----------- ----------- Total Other Operating Expenses $ 773,048 $ 573,048 Special Items: Advertising $ 575,000 $ 425,000 American Legion Baseball World Series 25,000 25,000 Canadian Festival 85,000 85,000 ----------- ----------- Total Special Items $ 685,000 $ 535,000 Distribution to Subdivisions: Local Promotion Grants $ 350,000 $ ----------- ----------- Total--Distribution to Subdivisions $ 350,000 $ ----------- ----------- Total Tourism $ 2,730,968 $ 2,030,968 =========== =========== VIII. Employee Benefits: A. Salary Increments: Increments, Continued 79-80 $ 137,412 $ 96,244 ----------- ----------- Total Personal Service $ 137,412 $ 96,244 ----------- ----------- Total Salary Increments $ 137,412 $ 96,244 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 874,100 $ 600,714 ----------- ----------- Total Fringe Benefits $ 874,100 $ 600,714 ----------- ----------- Total State Employer Contributions $ 874,100 $ 600,714 =========== =========== Total Employee Benefits $ 1,011,512 $ 696,958 =========== =========== Total Parks, Recreation and Tourism $ 14,570,757 $ 6,451,525 =========== =========== Total Authorized Positions (442) (297) Provided, That the amount of $425,000.00 appropriated in this section under Program VII "Tourism" for "Advertising" shall be on a competitive bid basis and placed with an advertising agency in this State. Provided, however, that if in the judgment of the Commission no competitive, qualified advertising agency is located in South Carolina, an out-of-state advertising agency may be employed on a competitive bid basis. Provided, Further, That the South Carolina Department of Parks, Recreation and Tourism personnel and the manager of Charles Town Landing may be permitted to occupy residences owned by the South Carolina Department of Parks, Recreation and Tourism without charge. Provided, Further, That any unexpended balance on June 30, 1980, of funds appropriated for Historical Site Sumter may be carried forward to the fiscal year 1980-81 and expended for the same purpose. Provided, Further, That the amount appropriated for the Canadian Days Festival be expended by Parks, Recreation and Tourism only for the purpose of promoting Canadian Tourism in South Carolina. Provided, Further, That the Department when expending the $85,000 appropriation herein contained for a Canadian Festival shall designate one day of such Festival as "Canadian Day" and not withstanding any other provision of law, all Canadians shall be allowed to utilize state parks and facilities on Canadian Day free of charge in order to give recognition to the support that the United States has received from the Canadian Government and people with regard to the hostages held in Iran. Provided, Further, That $37,731 appropriated for Musgrove Mill State Park in fiscal year 1979-80 may be carried forward to fiscal year 1980-81 and may be expended for operations. Provided, Further, That any unexpended balance June 30, 1980, in the 1977- 78 Supplemental Item "Wateree Recreation Center" may be carried forward and made available for expenditure through June 30, 1981 for the "Wateree Recreation Project." Provided, Further, That any unexpended balance June 30, 1980, in the 1977- 78 Supplemental Item "Hunting Island State Park--Parking" may be carried forward and made available for expenditure through June 30, 1981. Provided, Further, That the $40,000 1979-80 appropriation to Parks, Recreation and Tourism for "Purchase Improvements--Hunting Island" may be carried forward to 1980-81 with authorization for "Purchase Improvements or Permanent Improvements Hunting Island." SECTION 68 State Development Board (Budget Reference: Volume II, Page 2532) Development Board: Total Funds General Funds ----------------------------- I. Administration: Personal Service: Director $ 52,084 $ 52,084 (1) (1) Classified Positions 85,004 85,004 (5) (5) Other Personal Service: Per Diem--Boards and Commissions 14,200 14,200 Temporary Positions 955 955 ----------- ----------- Total Personal Service $ 152,243 $ 152,243 Other Operating Expenses: Contractual Services $ 14,600 $ 14,600 Supplies 4,150 4,150 Fixed Charges and Contributions 3,550 3,550 Travel 17,300 17,300 ----------- ----------- Total Other Operating Expenses $ 39,600 $ 39,600 ----------- ----------- Total Administration $ 191,843 $ 191,843 =========== =========== II. Economic Development and Support: Personal Service: Classified Positions $ 1,096,415 $ 1,096,415 (58) (58) Other Personal Service: Temporary Positions 2,564 2,564 Terminal Leave 5,000 5,000 Total Personal Service $ 1,103,979 $ 1,103,979 Other Operating Expenses: Contractual Services $ 152,850 $ 152,850 Supplies 168,410 168,410 Fixed Charges and Contributions 194,269 194,269 Travel 142,660 142,660 ----------- ----------- Total Other Operating Expenses $ 658,189 $ 658,189 Special Items: Printing, Binding, Advertising--Commercial $ 554,776 $ 554,776 Other Contractual Services 91,560 91,560 China Trade Mission 11,000 11,000 ----------- ----------- Total Special Items $ 657,336 $ 657,336 ----------- ----------- Total Economic Development and Support $ 2,419,504 $ 2,419,504 =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 36,203 $ 36,203 ----------- ----------- Total Personal Service $ 36,203 $ 36,203 ----------- ----------- Total Salary Increments $ 36,203 $ 36,203 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 193,081 $ 193,081 ----------- ----------- Total Fringe Benefits $ 193,081 $ 193,081 ----------- ----------- Total State Employer Contributions $ 193,081 $ 193,081 =========== =========== Total Employee Benefits $ 229,284 $ 229,284 =========== =========== Total State Development Board $ 2,840,631 $ 2,840,631 =========== =========== Total Authorized Positions (64) (64) SECTION 69 Patriot's Point Development Authority (Budget Reference: Volume II, Page 2550) I. administration: Personal Service: Executive Director $ 29,017 $ 29,017 (1) (1) Other Personal Service: Per Diem--Boards and Commissions 2,000 ----------- ----------- Total Personal Service $ 31,017 $ 29,017 ----------- ----------- Total Administration $ 31,017 $ 29,017 =========== =========== II. Naval and Maritime Museum: Personal Service: Classified Positions $ 473,375 $ 347,538 (44) (31) Other Personal Service: Temporary Positions 10,000 ----------- ----------- Total Personal Service $ 483,375 $ 347,538 Other Operating Expenses: Contractual Services $ 179,188 $ Supplies 88,335 Fixed Charges and Contributions 9,780 Travel 17,500 Sales and Use Tax 26,763 ----------- ----------- Total Other Operating Expenses $ 321,566 $ Special Items: Purchase for Resale $ 93,000 $ ----------- ----------- Total Special Items $ 93,000 $ Permanent Improvements: Improvements to Existing Building 71,054 ----------- ----------- Total Permanent Improvement $ 71,054 $ Debt Service: Principal $ 48,030 $ Interest 191,906 ----------- ----------- Total Debt Service $ 239,936 $ ----------- ----------- Total Naval and Maritime Museum $ 1,208,931 $ 347,538 =========== =========== III. Land Development: Permanent Improvement: Purchase of Land $ 20,946 $ ----------- ----------- Total Permanent Improvements $ 20,946 $ ----------- ----------- Total Land Development $ 20,946 $ =========== =========== IV. Employee Benefit: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 14,330 $ 11,418 ----------- ----------- Total Personal Service $ 14,330 $ 11,418 ----------- ----------- Total Salary Increments $ 14,330 $ 11,418 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 86,237 $ 66,488 ----------- ----------- Total Fringe Benefits $ 86,237 $ 66,488 ----------- ----------- Total State Employer Contributions $ 86,237 $ 66,488 =========== =========== Total Employee Benefits $ 100,567 $ 77,906 =========== =========== Total Patriots Point Development Authority $ 1,361,461 $ 454,461 =========== =========== Total Authorized Positions (45) (32) Provided, That it is the intent of the General Assembly that the proceeds of bonds authorized to be issued for the development of Patriot's Point shall be emended solely for capital purposes. The Budget and Control Board is authorized to interpret this expressed intent when necessary. SECTION 70 Clark's Hill-Russell Authority of South Carolina (Budget Reference: Volume II, Page 2565) Clark's Hill--Russell Authority: Total Funds General Funds ----------------------------- I. Administration: Personal Service: Executive Director $ 20,555 $ 20,555 (1) (1) Classified Positions 16,898 16,898 (2) (2) Other Personal Service: Per Diem 5,000 5,000 Temporary Positions 780 780 ----------- ----------- Total Personal Service $ 43,233 $ 43,233 Other Operating Expenses: Contractual Services $ 13,450 $ 13,450 Supplies 4,292 4,292 Fixed Charges and Contributions 1,250 1,250 Travel 4,500 4,500 ----------- ----------- Total Other Operating Expenses $ 23,492 $ 23,492 ----------- ----------- Total Administration $ 66,725 $ 66,725 =========== =========== II. Operations: Other Operating Expenses: Contractual Services $ 42,725 $ 42,725 ----------- ----------- Total Other Operating Expenses $ 42,725 $ 42,725 ----------- ----------- Total Operations $ 42,725 $ 42,725 =========== =========== III. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 1,054 $ 1,054 ----------- ----------- Total Personal Service $ 1,054 $ 1,054 ----------- ----------- Total Salary Increments $ 1,054 $ 1,054 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 9,004 $ 9,004 ----------- ----------- Total Fringe Benefits $ 9,004 $ 9,004 ----------- ----------- Total State Employer Contributions $ 9,004 $ 9,004 =========== =========== Total Employee Benefits $ 10,058 $ 10,058 =========== =========== Total Clark's Hill- -Russell Authority $ 119,508 $ 119,508 =========== =========== Total Authorized Positions (3) (3) SECTION 71 Old Exchange Building Commission (Budget Reference: Volume II, Page 2576) Old Exchange Building Commission: I. Administration and Operations: Personal Service: Classified Positions $ 10,036 $ 10,036 (1) (1) Other Personal Service: Per Diem--Boards and Commissions 4,620 4,620 ----------- ----------- Total Personal Service $ 14,656 $ 14,656 Other Operating Expenses: Contractual Services $ 2,500 $ 2,500 Supplies 400 400 Fixed Charges and Contributions 500 500 Travel 4,206 4,206 ----------- ----------- Total Other Operating Expenses $ 7,606 $ 7,606 ----------- ----------- Total Administration $ 22,262 $ 22,262 =========== =========== II. Employee Benefits: A. Salary Increments: Increments, Continued 79-80 $ 351 $ 351 ----------- ----------- Total Personal Service $ 351 $ 351 ----------- ----------- Total Salary Increments $ 351 $ 351 =========== =========== B. State Employer Contributions Fringe Benefits: State Employer Contributions $ 1,790 $ 1,790 ----------- ----------- Total Fringe Benefits $ 1,790 $ 1,790 ----------- ----------- Total State Employer Contributions $ 1,790 $ 1,790 =========== =========== Total Employee Benefits $ 2,141 $ 2,141 =========== =========== Total Old Exchange Building Commission $ 24,403 $ 24,403 =========== =========== Total Authorized Positions (1) (1) SECTION 72 American Revolution Bicentennial Commission (Budget Reference: Volume II, Page 2590) American Revolution Bicentennial Commission: I. Administration and Operations: Personal Service: Other Personal Service: Per Diem--Boards and Commissions $ 1,800 $ 1,800 ----------- ----------- Total Personal Service $ 1,800 $ 1,800 Other Operating Expenses: Contractual Services $ 2,300 $ Supplies 2,480 Fixed Charges and Contributions 250 250 Travel 2,950 2,950 Sales and Use Tax 20 ----------- ----------- Total Other Operating Expenses $ 8,000 $ 3,200 Allocation to Other Entities: 2nd Reg.--S. C. Line Contin. Estab $ 5,000 $ 5,000 Commemoration of Battles 7,500 7,500 ----------- ----------- Total Allocation to Other Entities $ 12,500 $ 12,500 ----------- ----------- Total Administration and Operations $ 22,300 $ 17,500 =========== =========== Total American Revolution Bicentennial Commission $ 22,300 $ 17,500 =========== =========== SECTION 78 Public Service Commission (Budget Reference: Volume II, Page 2603) Public Service Commission: I. Administration: Personal Service: Agency Director $ 40,241 $ 40,241 (1) (1) Chairman 36,306 36,306 (1) (1) Commissioner 200,194 200,194 (6) (6) Classified Positions 374,167 374,167 (26) (26) ----------- ----------- Total Personal Service $ 650,908 $ 650,908 Other Operating Expenses: Contractual Services $ 77,266 $ 77,266 Supplies 20,900 20,900 Fixed Charges and Contributions 63,679 63,679 Travel 88,007 88,007 ----------- ----------- Total Other Operating Expenses $ 249,852 $ 249,852 ----------- ----------- Total Administration $ 900,760 $ 900,760 =========== =========== II. Utility Regulation: A. Management: Personal Service: Classified Positions $ 156,472 $ 156,472 (10) (10) ----------- ----------- Total Personal Service $ 156,472 $ 156,472 Other Operating Expenses: Contractual Services $ 23,312 $ 23,312 Supplies 3,755 3,755 Fixed Charges and Contributions 24,935 24,935 Travel 37,148 37,148 ----------- ----------- Total Other Operating Expenses $ 89,150 $ 89,150 ----------- ----------- Total Management $ 245,622 $ 245,622 =========== =========== B. Accounting: Personal Service: Classified Positions $ 223,352 $ 223,352 (13) (13) ----------- ----------- Total Personal Service $ 223,352 $ 223,352 Other Operating Expenses: Contractual Services $ 1,423 $ 1,423 Supplies 1,029 1,029 Travel 15,330 15,330 ----------- ----------- Total Other Operating Expenses $ 17,782 $ 17,782 ----------- ----------- Total Accounting $ 241,134 $ 241,134 =========== =========== C. Telephone: Personal Service: Classified Positions $ 75,339 $ 75,339 (4) (4) ----------- ----------- Total Personal Service $ 75,339 $ 75,339 Other Operating Expenses: Contractual Services $ 2,680 $ 2,680 Supplies 970 970 Travel 4,735 4,735 ----------- ----------- Total Other Operating Expenses $ 8,385 $ 8,385 ----------- ----------- Total Telephone $ 83,724 $ 83,724 =========== =========== D. Gas: Personal Service: Classified Positions $ 89,090 $ 89,090 (5) (5) ----------- ----------- Total Personal Service $ 89,090 $ 89,090 Other Operating Expenses: Contractual Services $ 2,163 $ 2,163 Supplies 1,191 1,191 Fixed Charges and Contributions 645 645 Travel 10,884 10,884 ----------- ----------- Total Other Operating Expenses $ 14,883 $ 14,883 ----------- ----------- Total Gas $ 103,973 $ 103,973 =========== =========== E. Water and Sewerage: Personal Service: Classified Positions $ 69,837 $ 69,837 (4) (4) ----------- ----------- Total Personal Service $ 69,837 $ 69,837 Other Operating Expenses: Contractual Services $ 4,394 $ 4,394 Supplies 1,073 1,073 Travel 4,828 4,828 ----------- ----------- Total Other Operating Expenses $ 10,295 $ 10,295 ----------- ----------- Total Water and Sewerage $ 80,132 $ 80,132 =========== =========== F. Electric: Personal Service: Classified Positions $ 102,822 $ 102,822 (6) (6) ----------- ----------- Total Personal Service $ 102,822 $ 102,822 Other Operating Expenses: Contractual Services $ 2,895 $ 2,895 Supplies 1,404 1,404 Travel 6,365 6,365 ----------- ----------- Total Other Operating Expenses $ 10,664 $ 10,664 ----------- ----------- Total Electric $ 113,486 $ 113,486 =========== =========== Total Utility Regulation $ 868,071 $ 868,071 =========== =========== III. Transportation Regulation: A. Management: Personal Service: Classified Positions $ 159,948 $ 159,948 (10) (10) Other Personal Service: Other Personal Services 1,147 1,147 ----------- ----------- Total Personal Service $ 161,095 $ 161,095 Other Operating Expenses: Contractual Services $ 8,883 $ 8,883 Supplies 11,577 11,577 Fixed Charges and Contribution 24,845 24,845 Travel 33,704 33,704 ----------- ----------- Total Other Operating Expenses $ 79,009 $ 79,009 ----------- ----------- Total Management $ 240,104 $ 240,104 =========== =========== B. Railway: Personal Service: Classified Positions $ 90,212 $ 74,931 (4) (4) ----------- ----------- Total Personal Service $ 90,212 $ 74,931 Other Operating Expenses: Contractual Services $ 40,420 $ 20,420 Supplies 586 586 Fixed Charges and Contributions 348 348 Travel 2,865 2,865 ----------- ----------- Total Other Operating Expenses $ 44,219 $ 24,219 ----------- ----------- Total Railway $ 134,431 $ 99,150 =========== =========== C. Motor Transportation: Personal Service: Classified Positions $ 433,724 $ 433,724 (33) (33) ----------- ----------- Total Personal Service $ 433,724 $ 433,724 Other Operating Expenses: Contractual Services $ 5,000 $ 5,000 Supplies 28,434 28,434 Fixed Charges and Contributions 1,392 1,392 Travel 124,378 124,378 ----------- ----------- Total other Operating Expenses $ 159,204 $ 159,204 ----------- ----------- Total Motor Transportation $ 592,928 $ 592,928 =========== =========== D. Registration and Safety: Personal Service: Classified Positions $ 244,206 $ 244,206 (20) (20) ----------- ----------- Total Personal Service $ 244,206 $ 244,206 Other Operating Expenses: Contractual Services $ 4,000 $ 4,000 Supplies 8,500 8,500 Fixed Charges and Contributions 8,500 8,500 Travel 43,405 43,405 ----------- ----------- Total Other Operating Expenses $ 64,405 $ 64,405 ----------- ----------- Total Registration and Safety $ 308,611 $ 308,611 =========== =========== Total Transportation Regulation $ 1,276,074 $ 1,240,793 =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 65,470 $ 64,970 ----------- ----------- Total Personal Service $ 65,470 $ 64,970 ----------- ----------- Total Salary Increments $ 65,470 $ 64,970 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 400,821 $ 398,251 ----------- ----------- Total Fringe Benefits $ 400,821 $ 398,251 ----------- ----------- Total State Employer Contributions $ 400,821 $ 398,251 =========== =========== Total Employee Benefits $ 466,291 $ 463,221 =========== =========== Total Public Service Commission $ 3,511,196 $ 3,472,845 =========== =========== Total Authorized Positions (143) (143) Provided, That the Public Service Commission shall certify to the Comptroller General the amounts to be assessed against utilities companies to cover appropriations in this section as follows: (1) the amount applicable to the assessment on utilities companies as provided for by Section 58-3-100, Code of Laws of 1976, (2) the amount to be assessed against gas utility companies as provided for in Section 58-5-940, Code of Laws of 1976, (3) the amount to be assessed against electric light and power companies as provided for in Section 58-3-100, Code of Laws of 1976, and (4) the amount to be covered by revenue from motor transport fees as provided for by Section 58- 23-630, Code of Laws of 1976. Provided, however, that the railroad companies shall be assessed an amount of $64,051.00 for the support of the rates and Railroad Inspection sub-units of the Transportation Division. Provided, Further, That the Motor Transport Division of the Public Service Commission is hereby authorized to make refunds of fees which were erroneously collected. Provided, Further, That the Commission, within its discretion, may prorate and adjust any portion or all of the license fees for D, E, and F certificate holders as between vehicles and units of various types, when the exceptions to provisions of Section 58-23-610, Code of Laws of 1976 are met. Provided, Further, That the Public Service Commission shall, on or before June 30, 1981, certify to the Comptroller General the intrastate gross income, for the year ending December 31, 1980, of each public service company doing business in the State and the Comptroller General shall use this certified intrastate gross income to assess the companies for the support of the Commission as provided under Sections 58-3-100 and 58-5-940, Code of Laws of 1976. The intrastate gross income shall show: (1) The amount applicable to utility companies as provided for by Section 58-3-100, Code of Laws of 1976; (2) the amount applicable to gas utility companies as provided for by Section 58-5-940, Code of Laws of 1976, and (3) the amount applicable to electric light and power companies as provided for by Section 58-3-100, Code of Laws of 1976. Provided, Further, That the four attorneys provided for in this section Program I "Administration" shall be appointed by the Commission with the approval of the Attorney General and be assigned to the Commission. Provided, Further, That the salaries of the chairman and the commissioners as provided in this section shall not be construed as limiting the maximum salary which may be paid to other employees of the Public Service Commission. Provided, Further, That the funds appropriated in Program III B "Railway" shall be used as matching funds to provide for two railroad inspection engineers in order to comply with the provisions of Public Law 91-458 (The Rail Safety Act). SECTION 74 Industrial Commission (Budget Reference: Volume II, Page 2636) Industrial Commission: I. Administration: Personal Service: Classified Positions $ 29,083 $ 29,083 (3) (3) ----------- ----------- Total Personal Service $ 29,083 $ 29,083 Other Operating Expenses: Contractual Services $ 1,901 $ 1,901 Supplies 20,940 9,940 Fixed Charges and Contributions 83,466 83,466 Travel 375 375 ----------- ----------- Total Other Operating Expenses $ 106,682 $ 95,682 ----------- ----------- Total Administration $ 135,765 $ 124,765 =========== =========== II. Judicial: Personal Service: Commissioners $ 327,776 $ 327,776 (7) (7) Classified Positions 310,558 310,558 (24) (24) ----------- ----------- Total Personal Service $ 638,334 $ 638,334 Other Operating Expenses: Contractual Services 13,815 $ 13,815 Supplies 56,572 52,772 Fixed Charges and Contributions 7,835 7,835 Travel 43,200 42,000 ----------- ----------- Total Other Operating Expenses $ 121,422 $ 116,422 ----------- ----------- Total Judicial $ 759,756 $ 754,756 =========== =========== III. Administrative: A. Administration: Personal Service: Director $ 46,825 $ 46,825 (1) (1) Classified Positions 34,475 34,475 (4) (4) Temporary Positions 881 881 ----------- ----------- Total Personal Service $ 82,181 $ 82,181 Other Operating Expenses: Contractual Services $ 2,434 $ 2,434 Supplies 4,286 4,286 Fixed Charges and Contributions 3,699 3,699 Travel 1,500 1,500 ----------- ----------- Total Other Operating Expenses $ 11,919 $ 11,919 ----------- ----------- Total Administration $ 94,100 $ 94,100 =========== =========== B. Coverage and Compliance: Personal Service: Classified Positions $ 150,001 $ 150,001 (14) (14) ----------- ----------- Total Personal Service $ 150,001 $ 150,001 Other Operating Expenses: Contractual Services $ 4,561 $ 4,561 Supplies 8,497 6,347 Fixed Charges and Contributions 6,959 6,959 Travel 10,533 9,683 ----------- ----------- Total Other Operating Expenses $ 30,550 $ 27,550 ----------- ----------- Total Coverage and Compliance $ 180,551 $ 177,551 =========== =========== C. Claims and Statistics: Personal Service: Classified Positions $ 153,385 $ 153,385 (13) (13) ----------- ----------- Total Personal Service $ 153,385 $ 153,385 Other Operating Expenses: Contractual Services $ 3,071 $ 3,071 Supplies 7,686 7,686 Fixed Charges and Contributions 2,640 2,640 Travel 500 500 ----------- ----------- Total Other Operating Expenses $ 13,897 $ 13,897 ----------- ----------- Total Claims and Statistics $ 167,282 $ 167,282 =========== =========== D. Medical Services: Personal Service: Classified Positions $ 35,845 $ 35,845 (3) (3) Unclassified Positions 7,510 7,510 (1) (1) ----------- ----------- Total Personal Service $ 43,355 $ 43,355 Other Operating Expenses: Contractual Services $ 6,883 $ 6,883 Supplies 450 450 Travel 500 500 ----------- ----------- Total Other Operating Expenses $ 7,833 $ 7,833 ----------- ----------- Total Medical Services $ 51,188 $ 51,188 =========== =========== Total Administrative $ 493,121 $ 490,121 =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 1979-80 $ 25,589 $ 25,589 ----------- ----------- Total Personal Service $ 25,589 $ 25,589 ----------- ----------- Total Salary Increments $ 25,589 $ 25,589 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 173,613 $ 173,613 ----------- ----------- Total Fringe Benefits $ 173,613 $ 173,613 ----------- ----------- Total State Employer Contributions $ 173,613 $ 173,613 =========== =========== Total Employee Benefits $ 199,202 $ 199,202 =========== =========== Total Industrial Commission $ 1,587,844 $ 1,568,844 =========== =========== Total Authorized Positions (70) (70) SECTION 76 State Workman's Compensation Fund (Budget Reference: Volume II, Page 2661) Workmen's Compensation Fund: I. Administration: Personal Service: Director $ 32,711 $ 32,711 (1) (1) Classified Positions 353,919 353,919 (32) (32) ----------- ----------- Total Personal Service $ 386,630 $ 386,630 Other Operating expenses: Contractual Services $ 36,565 $ 36,565 Supplies 29,900 29,900 Fixed Charges and Contributions 36,887 36,887 Travel 36,744 36,744 ----------- ----------- Total Other Operating Expenses $ 140,096 $ 140,096 ----------- ----------- Total Administration $ 526,726 $ 526,726 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 9,964 $ 9,964 ----------- ----------- Total Personal Service $ 9,964 $ 9,964 ----------- ----------- Total Salary Increments $ 9,964 $ 9,964 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 66,504 $ 66,504 ----------- ----------- Total Fringe Benefits $ 66,504 $ 66,504 ----------- ----------- Total State Employer Contributions $ 66,504 $ 66,504 =========== =========== Total Employee Benefits $ 76,468 $ 76,468 =========== =========== Total Workmen's Compensation Fund $ 603,194 $ 603,194 =========== =========== Total Authorized Positions (33) (33) SECTION 76 Second Injury Fund (Budget Reference: Volume II, Page 2674) Second Injury Fund: I. Administration: Personal Service: Director $ 28,927 $ (1) Classified Positions 79,609 (6) New Positions: Comp. Claim Field Rep. II 23,724 (2) ----------- ----------- Total Personal Service $ 132,260 $ Other Operating Expenses: Contractual Services $ 11,260 $ Supplies 5,058 Fixed Charges and Contributions 16,550 Travel 25,000 ----------- ----------- Total Other Operating Expenses $ 57,868 $ ----------- ----------- Total Administration $ 190,128 $ =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 2,829 $ ----------- ----------- Total Personal Service $ 2,829 $ ----------- ----------- Total Salary Increments $ 2,829 $ =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 17,740 $ ----------- ----------- Total Fringe Benefits $ 17,740 $ ----------- ----------- Total State Employer Contributions $ 17,740 $ =========== =========== Total Employee Benefits $ 20,569 $ =========== =========== Total Second Injury Fund $ 210,697 $ =========== =========== Total Authorized Positions (9) SECTION 77 Insurance Department (Budget Reference: Volume II, Page 2686) Insurance Department: I. Administration: Personal Service: Chief Insurance Commissioner $ 49,059 $ 49,059 (1) (1) Classified 600,230 600,230 (37) (37) Other Personal Service: 2,625 2,625 ----------- ----------- Total Personal Service $ 651,914 $ 651,914 Other Operating Expenses: Contractual Services $ 135,123 $ 135,123 Supplies 76,300 76,300 Fixed Charges and Contributions 225,600 225,600 Travel 26,900 26,900 ----------- ----------- Total Other Operating Expenses $ 463,923 $ 463,923 ----------- ----------- Total Administration $ 1,115,837 $ 1,115,837 =========== =========== II. Licensing and Taxation Division: Personal Service: Classified Positions $ 243,990 $ 243,990 (18) (18) ----------- ----------- Total Personal Service $ 243,990 $ 243,990 Other Operating Expenses: Travel $ 6,000 $ 6,000 ----------- ----------- Total Other Operating Expenses $ 6,000 $ 6,000 ----------- ----------- Total Licensing and Taxation Division $ 249,990 $ 249,990 =========== =========== III. Financial Condition Division: Personal Service: Classified Positions $ 456,938 $ 456,938 (25) (25) ----------- ----------- Total Personal Service $ 456,938 $ 456,938 Other Operating Expenses: Travel $ 219,000 $ 219,000 ----------- ----------- Total Other Operating Expenses $ 219,000 $ 219,000 ----------- ----------- Total Financial Condition Division $ 675,938 $ 675,938 =========== =========== IV. Market Conduct Division: Personal Service: Classified Positions $ 239,162 $ 239,162 (15) (15) ----------- ----------- Total Personal Service $ 239,162 $ 239,162 Other Operating Expenses: Travel $ 10,000 $ 10,000 ----------- ----------- Total Other Operating Expenses $ 10,000 $ 10,000 ----------- ----------- Total Market Conduct Division $ 249,162 $ 249,162 =========== =========== V. State Rating and Statistical Division: Personal Service: Classified Positions $ 411,171 $ 411,171 (26) (26) ----------- ----------- Total Personal Service $ 411,171 $ 411,171 Other Operating Expenses: Contractual Services $ 702,329 $ 702,329 Supplies 2,000 2,000 Travel 12,000 12,000 ----------- ----------- Total Other Operating Expenses $ 716,329 $ 716,329 ----------- ----------- Total State Rating and Statistical Division $ 1,127,500 $ 1,127,500 =========== =========== VI. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 55,621 $ 55,621 ----------- ----------- Total Personal Service $ 55,621 $ 55,621 ----------- ----------- Total Salary Increments $ 55,621 $ 55,621 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 321,377 $ 321,377 ----------- ----------- Total Fringe Benefits $ 321,377 $ 321,377 ----------- ----------- Total State Employer Contributions $ 321,377 $ 321,377 =========== =========== Total Employee Benefits $ 376,998 $ 376,998 =========== =========== Total Department of Insurance $ 3,795,425 $ 3,795,425 =========== =========== Total Authorized Positions (122) (122) Provided, That all reimbursements received by the Department for travel expenses shall be remitted to the General Fund of the State. SECTION 78 Board of Financial Institutions (Budget Reference: Volume II, Page 2705) Subsection 78A: I. Administration: Personal Service: Other Personal Service: Per Diem--Board $ 3,360 $ 3,360 Official Ex-Officio Allow.- -Chairman 2,986 2,986 ----------- ----------- Total Personal Service $ 6,346 $ 6,346 Other Operating Expenses: Contractual Services $ 100 $ 100 Fixed Charges and Contributions 6,162 6,162 Travel 1,762 1,762 ----------- ----------- Total Other Operating Expenses $ 8,024 $ 8,024 ----------- ----------- Total Administration $ 14,370 $ 14,370 =========== =========== II. Employee Benefits: A. Salary Increments: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 408 $ 408 ----------- ----------- Total Fringe Benefits $ 408 $ 408 ----------- ----------- Total State Employer Contributions $ 408 $ 408 =========== =========== Total Employee Benefits $ 408 $ 408 =========== =========== Total State Board of Financial Institutions Administration $ 14,778 $ 14,778 =========== =========== Subsection 78B: I. Bank Examining: Personal Service: Commissioner of Banking $ 34,787 $ 34,787 (1) (1) Classified Positions 388,038 388,038 (26) (26) ----------- ----------- Total Personal Service $ 422,825 $ 422,825 Other Operating Expenses: Contractual Services $ 4,300 $ 4,300 Supplies 3,850 3,850 Fixed Charges and Contributions 12,815 12,815 Travel 120,029 120,029 ----------- ----------- Total Other Operating Expenses $ 140,994 $ 140,994 ----------- ----------- Total Bank Examining $ 563,819 $ 563,819 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 10,240 $ 10,240 ----------- ----------- Total Personal Service $ 10,240 $ 10,240 ----------- ----------- Total Salary Increments $ 10,240 $ 10,240 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 68,184 $ 68,184 ----------- ----------- Total Fringe Benefits: $ 68,184 $ 68,184 ----------- ----------- Total State Employer Contributions $ 68,184 $ 68,184 =========== =========== Total Employee Benefits $ 78,424 $ 78,424 =========== =========== Total Bank Examining $ 642,243 $ 642,243 =========== =========== Total Authorized Positions (27) (27) Subsection 78C: I. Consumer Finance: Personal Service: Director $ 29,470 $ 29,470 (1) (1) Classified Positions 124,873 124,873 (7) (7) Other Personal Service: Temporary Positions 97 97 Official Ex-Officio Allow. Chairman 1,590 1,590 ----------- ----------- Total Personal Service $ 156,030 $ 156,030 Other Operating Expenses: Contractual Services $ 1,800 $ 1,800 Supplies 4,500 4,500 Fixed Charges and Contributions 6,030 6,030 Travel 44,404 44,404 ----------- ----------- Total Other Operating Expense $ 56,734 $ 56,734 ----------- ----------- Total Internal Administration $ 212,764 $ 212,764 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 3,473 $ 3,473 ----------- ----------- Total Personal Service $ 3,473 $ 3,473 ----------- ----------- Total Salary Increments $ 3,473 $ 3,473 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions 24,198 $ 24,198 ----------- ----------- Total Fringe Benefits $ 24,198 $ 24,198 ----------- ----------- Total State Employer Contributions $ 24,198 $ 24,198 =========== =========== Total Employee Benefits $ 27,671 $ 27,671 =========== =========== Total Consumer Finance Division $ 240,435 $ 240,435 =========== =========== Total Authorized Positions (8) (8) Total Board of Financial Institutions $ 897,456 $ 897,456 =========== =========== Provided, That the Board of Financial Institutions shall fix the examination fees of banks, depositories, savings and loan associations and credit unions on a scale which, together with fees collected by the Consumer Finance Division, will fully cover the total funds appropriated under this section. Such collections shall be deposited for credit to the General Fund. SECTION 79 Commission on Consumer Affairs (Budget Reference: Volume II, Page 2737) I. Administration: Personal Service: Administrator $ 41,000 $ 41,000 (1) (1) Classified Positions 193,778 193,778 (16) (16) New Position: Legal 3,753 3,753 (1) (1) Other Personal Service: Per Diem 3,780 3,780 Temporary Positions 1,000 1,000 ----------- ----------- Total Personal Service $ 243,311 $ 243,311 Other Operating Expenses: Contractual Services $ 14,830 $ 14,330 Supplies 11,164 10,615 Fixed Charges and Contributions 61,162 60,612 Travel 7,420 7,420 ----------- ----------- Total Other Operating Expenses $ 94,576 $ 92,977 ----------- ----------- Total Administration $ 337,887 $ 336,288 =========== =========== II. Consumer Services: Personal Service: Classified Positions $ 107,557 $ 107,557 (9) (9) ----------- ----------- Total Personal Service $ 107,557 $ 107,557 Other Operating Expenses: Contractual Services $ 17,460 $ 17,460 Supplies 9,195 9,195 Travel 3,875 3,875 ----------- ----------- Total Other Operating Expenses $ 30,530 $ 30,530 ----------- ----------- Total Consumer Services $ 138,087 $ 138,087 =========== =========== III. Consumer Advocacy: Personal Service: Classified Positions $ 163,639 $ 163,639 (12) (12) ----------- ----------- Total Personal Service $ 163,639 $ 163,639 Other Operating Expenses: Contractual Services $ 218,376 $ 191,206 Supplies 4,226 3,400 Travel 7,500 6,975 ----------- ----------- Total Other Operating Expenses $ 230,102 $ 201,581 ----------- ----------- Total Consumer Advocacy $ 393,741 $ 365,220 =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 12,468 $ 12,468 ----------- ----------- Total Personal Service $ 12,468 $ 12,468 ----------- ----------- Total Salary Increments $ 12,468 $ 12,468 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 84,203 $ 82,793 ----------- ----------- Total Fringe Benefits $ 84,203 $ 82,793 ----------- ----------- Total State Employer Contributions $ 84,203 $ 82,793 =========== =========== Total Employee Benefits $ 96,671 $ 95,261 =========== =========== Total Department of Consumer Affairs $ 966,386 $ 934,856 =========== =========== Total Authorized Positions (39) (39) SECTION 80 State Dairy Commission (Budget Reference: Volume II, Page 2753) I. Administration: Total Funds General Funds ----------------------------- Personal Service: Director $ 31,183 $ 31,183 (1) (1) Classified Positions 16,778 16,778 (1) (1) Other Personal Service: Per Diem 4,000 4,000 ----------- ----------- Total Personal Service $ 51,961 $ 51,961 Other Operating Expenses: Contractual Services $ 16,188 $ 16,188 Supplies 7,357 7,357 Fixed Charges and Contributions 9,379 9,379 Travel 5,000 5,000 ----------- ----------- Total Other Operating Expenses $ 37,924 $ 37,924 ----------- ----------- Total Administration $ 89,885 $ 89,885 =========== =========== II. Audits: Personal Service: Classified Positions $ 70,549 $ 70,549 (5) (5) ----------- ----------- Total Personal Service $ 70,549 $ 70,549 Other Operating Expenses: Travel $ 8,900 $ 8,900 ----------- ----------- Total Other Operating Expenses $ 8,900 $ 8,900 ----------- ----------- Total Audits $ 79,449 $ 79,449 =========== =========== III. Inspections: Personal Service: Classified Positions $ 7,562 $ 7,562 (1) (1) ----------- ----------- Total Personal Service $ 7,562 $ 7,562 Other Operating Expenses: Travel $ 350 $ 350 ----------- ----------- Total Other Operating Expenses $ 350 $ 350 ----------- ----------- Total Inspections $ 7,912 $ 7,912 =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 374 $ 374 ----------- ----------- Total Personal Service $ 374 $ 374 ----------- ----------- Total Salary Increments $ 374 $ 374 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 19,961 $ 19,961 ----------- ----------- Total Fringe Benefits $ 19,961 $ 19,961 ----------- ----------- Total State Employer Contributions $ 19,961 $ 19,961 =========== =========== Total Employee Benefits $ 20,335 $ 20,335 =========== =========== Total Dairy Commission $ 197,581 $ 197,581 =========== =========== Total Authorized Positions (8) (8) Provided, That notwithstanding any other provision of law, distributors and sub-distributors of milk, licensed by the State Dairy Commission, shall be allowed to bid for the milk and milk products required by any state, county or municipal agency or institution in its day-to-day operations. Such bid shall not be restricted to any minimum price established by the Commission and the agency or institution involved shall comply with the applicable laws as certain to accepting merchandise on bid. All milk and milk products must be bid and priced separately. This proviso shall not be construed to require any institution to accept the lowest bid for milk and milk products and such institutions may consider any other relevant factors in awarding contracts for the purchase of such products. Provided, That the Dairy Commission shall assess the dairy industry, one- half (1/2) to the producer and one-half (1/2) to the distributor, during the fiscal year 1980-81, in an amount sufficient to at least equal the amount appropriated in this Section and shall be deposited to the credit of the General Fund. SECTION 81 Department of Labor (Budget Reference: Volume II, Page 2768) I. Administration: Total Funds General Funds ----------------------------- Personal Service: Commissioner $ 40,247 $ 40,247 (1) (1) Classified Positions 304,944 304,944 (24) (24) ----------- ----------- Total Personal Service $ 345,191 $ 345,191 Other Operating Expenses: Supplies $ 23,937 $ 23,937 Fixed Charges and Contributions 76,810 76,810 Travel 16,750 16,750 Contractual Services 62,271 62,271 ----------- ----------- Total Other Operating Expenses $ 179,768 $ 179,768 ----------- ----------- Total Administration $ 524,959 $ 524,959 =========== =========== II. Occupational Safety and Health: A. General Administration: Personal Service: Classified Positions $ 49,554 $ 23,008 (3) (3) ----------- ----------- Total Personal Service $ 49,554 $ 23,008 Other Operating Expenses: Contractual Services $ 11,828 $ 5,914 Supplies 8,400 4,200 Fixed Charges and Contributions 12,642 6,321 Travel 3,000 1,500 ----------- ----------- Total Other Operating Expenses $ 35,870 $ 17,935 ----------- ----------- Total General Administration $ 85,424 $ 40,943 =========== =========== B. Compliance: 1. Safety Compliance: Personal Service: Classified Positions $ 389,411 $ 194,705 (32) (32) ----------- ----------- Total Personal Service $ 389,411 $ 194,705 Other Operating Expenses: Contractual Services $ 12,860 $ 6,430 Supplies 14,028 7,014 Fixed Charges and Contributions 13,818 6,909 Travel 128,236 64,118 ----------- ----------- Total Other Operating Expenses $ 168,942 $ 84,471 ----------- ----------- Total Safety Compliance $ 558,353 $ 279,176 =========== =========== Total Compliance $ 558,353 $ 279,176 =========== =========== C. Consultation--Public Sector: Personal Service: Classified Positions $ 2,950 $ 1,475 ----------- ----------- Total Personal Service $ 2,950 $ 1,475 Other Operating Expenses: Contractual Services $ 600 $ 300 Supplies 330 165 Fixed Charges and Contributions 470 235 Travel 1,188 594 ----------- ----------- Total Other Operating Expenses $ 2,588 $ 1,294 ----------- ----------- Total Consultation--Public Sector $ 5,538 $ 2,769 =========== =========== D. Training: Personal Service: Classified Positions $ 118,948 $ 59,474 (7) (7) ----------- ----------- Total Personal Service $ 118,948 $ 59,474 Other Operating Expenses: Contractual Services $ 5,050 $ 2,525 Supplies 3,100 1,550 Fixed Charges and Contributions 6,404 3,202 Travel 19,502 9,751 ----------- ----------- Total Other Operating Expenses $ 34,056 $ 17,028 ----------- ----------- Total Training $ 153,004 $ 76,502 =========== =========== E. Standards: Personal Service: Classified Positions $ 26,540 $ 13,270 (2) (2) ----------- ----------- Total Personal Service $ 26,540 $ 13,270 Other Operating Expenses: Contractual Services $ 2,000 $ 1,000 Supplies 1,500 750 Fixed Charges and Contributions 3,230 1,615 Travel 888 444 ----------- ----------- Total Other Operating Expenses $ 7,618 $ 3,809 ----------- ----------- Total Standards $ 34,158 $ 17,079 =========== =========== F. Legal Review: Personal Service: Classified Positions $ 46,658 $ 23,329 (4) (4) New Positions: Legal Secretary II 11,655 5,827 (1) (1) Attorney I 18,449 9,225 (1) (1) ----------- ----------- Total Personal Service $ 76,762 $ 38,381 Other Operating Expenses: Contractual Services $ 94,600 $ 47,300 Supplies 11,200 5,600 Fixed Charges and Contributions 8,332 4,166 Travel 10,000 5,000 ----------- ----------- Total Other Operating Expenses $ 124,132 $ 62,066 ----------- ----------- Total Legal Review $ 200,894 $ 100,447 =========== =========== Total Occupational Safety and Health $ 1,037,371 $ 516,916 =========== =========== III. Labor Management Services: Personal Service: Classified Positions $ 191,778 $ 191,778 (11) (11) ----------- ----------- Total Personal Service $ 191,778 $ 191,778 Other Operating Expenses: Contractual Services $ 8,803 $ 8,803 Supplies 1,800 1,800 Fixed Charges and Contributions 7,810 7,810 Travel 21,743 21,743 ----------- ----------- Total Other Operating Expenses $ 40,156 $ 40,156 ----------- ----------- Total Labor Management Services $ 231,934 $ 231,934 =========== =========== IV. Migrant Labor: Personal Service: Classified Positions $ 191,257 $ 26,129 (17) (2) ----------- ----------- Total Personal Service $ 191,257 $ 26,129 Other Operating Expenses: Contractual Services $ 16,933 $ 800 Supplies 7,900 550 Fixed Charges and Contributions 23,029 125 Travel 60,591 591 ----------- ----------- Total Other Operating Expenses $ 108,453 $ 2,066 Public Assistance Payments: Case Services and Public Assistance $ 125,000 $ Case Services--Physician 1,897 ----------- ----------- Total Public Assistance $ 126,897 $ ----------- ----------- Total Migrant Labor $ 426,607 $ 28,195 =========== =========== V. Employment Standards: Personal Service: Classified Positions $ 214,941 $ 214,941 (16) (16) ----------- ----------- Total Personal Service $ 214,941 $ 214,941 Other Operating Expenses: Contractual Services $ 10,725 $ 10,725 Supplies 2,675 2,675 Fixed Charges and Contributions 6,694 6,694 Travel 33,101 33,101 ----------- ----------- Total Other Operating Expenses $ 53,195 $ 53,195 ----------- ----------- Total Employment Standards $ 268,136 $ 268,136 =========== =========== VI. Research and Statistics: A. State Programs: Personal Service: Classified Positions $ 27,157 $ 27,157 (3) (3) ----------- ----------- Total Personal Service $ 27,157 $ 27,157 Other Operating Expenses: Contractual Services $ 9,550 $ 9,550 Supplies 5,600 5,600 Fixed Charges and Contributions 3,666 3,666 Travel 588 588 ----------- ----------- Total Other Operating Expenses $ 19,404 $ 19,404 ----------- ----------- Total State Programs $ 46,561 $ 46,561 =========== =========== B. OSHA--Statistics: Personal Service: Classified Positions $ 45,855 $ 22,928 (4) (4) ----------- ----------- Total Personal Service $ 45,855 $ 22,928 Other Operating Expenses: Contractual Services $ 31,200 $ 15,600 Supplies 10,300 5,150 Fixed Charges and Contributions 4,762 2,381 Travel 1,410 705 ----------- ----------- Total Other Operating Expenses $ 47,672 $ 23,836 ----------- ----------- Total OSHA--Statistics $ 93,527 $ 46,764 =========== =========== C. OSHA--Mis: Personal Service: Classified Positions $ 45,494 $ 22,747 (4) (4) ----------- ----------- Total Personal Service $ 45,494 $ 22,747 Other Operating Expenses: Contractual Services $ 19,150 $ 9,575 Supplies 1,050 525 Fixed Charges and Contributions 4,762 2,381 Travel 310 155 ----------- ----------- Total Other Operating Expenses $ 25,272 $ 12,636 ----------- ----------- Total OSHA--Mis $ 70,766 $ 35,383 =========== =========== Total Research and Statistics $ 210,854 $ 128,708 =========== =========== VII. Consultation--Private Sector: Personal Service: Classified Positions $ 160,713 $ 16,072 (10) (10) ----------- ----------- Total Personal Service $ 160,713 $ 16,072 Other Operating Expenses: Contractual Services $ 6,000 $ 600 Supplies 3,050 305 Fixed Charges and Contributions 9,030 903 Travel 31,340 3,134 ----------- ----------- Total Other Operating Expenses $ 49,420 $ 4,942 ----------- ----------- Total Consultation--Private Sector $ 210,133 $ 21,014 =========== =========== VIII. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 62,176 $ 34,466 ----------- ----------- Total Personal Service $ 62,176 $ 34,466 ----------- ----------- Total Salary Increments $ 62,176 $ 34,466 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 325,092 $ 203,984 ----------- ----------- Total Fringe Benefits $ 325,092 $ 203,984 ----------- ----------- Total State Employer Contributions $ 325,092 $ 203,984 =========== =========== Total Employee Benefits $ 387,268 $ 238,450 =========== =========== Total Labor Department $ 3,297,262 $ 1,958,312 =========== =========== Total Authorized Positions (140) (125) Provided, Further, That of the appropriations contained in this section, $199,000 shall be contingent upon the Department of Labor receiving and remitting to the General Fund indirect and/or over-head cost recoveries of a like amount. If the indirect and/or overhead cost recoveries are less than the foregoing amount, the appropriations provided in this section shall be reduced by the difference between the foregoing amount and the amount actually collected and remitted to the General Fund. However, nothing contained herein shall be construed as authorizing additional appropriations should the indirect and/or overhead cost recoveries exceed $199,000. Provided, That any unexpended balance of the $53,000 appropriated to the Department of Labor to install computer terminal equipment may be carried forward to the year 80-81 and expended for the same purpose. SECTION 82 State Tax Commission (Budget Reference: Volume II, Page 2803) I. Administration and Program Support: A. Administrative: Personal Service: Chairman $ 42,750 $ 42,750 (1) (1) Commissioner 80,200 80,200 (2) (2) Classified Positions 656,484 656,484 (36) (36) Other Personal Service: Temporary Positions 104,206 104,206 Total Personal Service $ 883,640 $ 883,640 Other Operating Expenses: Contractual Services $ 227,766 $ 227,766 Supplies 213,586 213,586 Fixed Charges and Contributions 615,287 615,287 Travel 66,155 66,155 Purchase of Evidence 3,000 3,000 ----------- ----------- Total Other Operating Expenses $ 1,125,794 $ 1,125,794 Special Items: Codifying Regulations and Decisions $ 5,500 $ 5,500 ----------- ----------- Total Special Items $ 5,500 $ 5,500 ----------- ----------- Total Administrative $ 2,014,934 $ 2,014,934 =========== =========== B. Data Processing: Personal Service: Classified Positions $ 934,700 $ 934,700 (80) (80) ----------- ----------- Total Personal Service $ 934,700 $ 934,700 Other Operating Expenses: Supplies 25,000 $ 25,000 Fixed Charges and Contributions 328,902 328,902 Travel 1,682 1,682 ----------- ----------- Total Other Operating Expenses $ 355,584 $ 355,584 ----------- ----------- Total Data Processing $ 1,290,284 $ 1,290,284 =========== =========== C. Service: Personal Service: Classified Positions $ 447,374 $ 447,374 (42) (42) ----------- ----------- Total Personal Service $ 447,374 $ 447,374 Other Operating Expenses: Supplies $ 52,600 $ 52,600 Fixed Charges and Contributions 9,380 9,380 Travel 3,496 3,496 ----------- ----------- Total Other Operating Expenses $ 65,476 $ 65,476 ----------- ----------- Total Service $ 512,850 $ 512,850 =========== =========== D. Warrant: Personal Service: Classified Positions $ 420,297 $ 420,297 (27) (27) ----------- ----------- Total Personal Service $ 420,297 $ 420,297 Other Operating Expenses: Supplies $ 11,000 $ 11,000 Fixed Charges and Contributions 1,000 1,000 Travel 100,200 100,200 ----------- ----------- Total Other Operating Expenses $ 112,200 $ 112,200 ----------- ----------- Total Warrant $ 532,497 $ 532,497 =========== =========== Total Administration and Program Support $ 4,350,565 $ 4,350,565 =========== =========== II. Audit and Collection: A. Estate Tax: Personal Service: Classified Positions $ 213,666 $ 213,666 (12) (12) ----------- ----------- Total Personal Service $ 213,666 $ 213,666 Other Operating Expenses: Supplies $ 8,000 $ 8,000 Travel 16,745 16,745 ----------- ----------- Total Other Operating Expenses $ 24,745 $ 24,745 ----------- ----------- Total Estate Tax $ 238,411 $ 238,411 =========== =========== B. Income Tax: Personal Service: Classified Positions $ 2,432,701 $ 2,432,701 (163) (163) ----------- ----------- Total Personal Service $ 2,432,701 $ 2,432,701 Other Operating Expenses: Supplies $ 528,330 $ 528,330 Fixed Charges and Contributions 1,920 1,920 Travel 202,362 202,362 ----------- ----------- Total Other Operating Expenses $ 732,612 $ 732,612 ----------- ----------- Total Income Tax $ 3,165,313 $ 3,165,313 =========== =========== C. License Tax: Personal Service: Classified Positions $ 1,070,185 $ 1,070,185 (68) (68) ----------- ----------- Total Personal Service $ 1,070,185 $ 1,070,185 Other Operating Expenses: Supplies $ 132,500 $ 132,500 Fixed Charges and Contributions 1,200 1,200 Travel 187,729 187,729 ----------- ----------- Total Other Operating Expenses $ 321,429 $ 321,429 ----------- ----------- Total License Tax $ 1,391,614 $ 1,391,614 =========== =========== D. Property Tax: Personal Service: Classified Positions $ 925,291 $ 925,291 (54) (54) ----------- ----------- Total Personal Service $ 925,291 $ 925,291 Other Operating Expenses: Supplies $ 36,400 $ 36,400 Travel 189,891 189,891 ----------- ----------- Total Other Operating Expenses $ 226,291 $ 226,291 Special Items: Agricultural and Forest Land Use: Property Reassessment $ 12,900 $ 12,900 ----------- ----------- Total Special Items $ 12,900 $ 12,900 ----------- ----------- Total Property Tax $ 1,164,482 $ 1,164,482 =========== =========== E. Sales and Use Tax: Personal Service: Classified Positions $ 2,334,160 $ 2,334,160 (153) (153) ----------- ----------- Total Personal Service $ 2,334,160 $ 2,334,160 Other Operating Expenses: Supplies $ 136,204 $ 136,204 Travel 278,178 278,178 ----------- ----------- Total Other Operating Expenses $ 414,382 $ 414,382 ----------- ----------- Total Sales and Use Tax $ 2,748,542 $ 2,748,542 =========== =========== Total Audit and Collection $ 8,708,362 $ 8,708,362 =========== =========== III. Employee Benefits: A. Salary Increments: Personal Service: Increments--Continued 79-80 $ 273,490 $ 273,490 ----------- ----------- Total Personal Service $ 273,490 $ 273,490 ----------- ----------- Total Salary Increments $ 273,490 $ 273,490 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 1,594,746 $ 1,594,746 ----------- ----------- Total Fringe Benefits $ 1,594,746 $ 1,594,746 ----------- ----------- Total State Employer Contributions $ 1,594,746 $ 1,594,746 =========== =========== Total Employee Benefits $ 1,868,236 $ 1,868,236 =========== =========== Total Tax Commission $ 14,927,163 $ 14,927,163 =========== =========== Total Authorized Positions (638) (638) Provided, That appropriations in this Act to cover the cost of law enforcement in the Governor's Office with respect to alcoholic liquors and the cost of the administration and enforcement of alcoholic liquor laws by the Tax Commission and appropriations in this Act for expenses of the Alcoholic Beverage Control Commission shall be deducted from the total revenues from alcoholic liquors before distribution of such revenues to the counties and municipalities of the State and such amounts withheld shall be remitted to the General Fund of the State. Provided, Further, That the Tax Commission, with the approval of the Budget and Control Board, is authorized to withhold from the revenue collected under the provisions of Section 12-29-10 through 12-29-40, and Section 12-31-10 through 12-31-50, Code of Laws, 1976, such funds as are necessary for the adequate administration and enforcement of said Act and remit the funds withheld to the credit of the General Fund of the State. Provided, Further, That the Tax Commission is hereby directed to design and provide special tax stamps for use in the administration and collection of the tax on shells and cartridges provided for in Section 12-21-610 through 12-21-820, Code of Laws, 1976. Such stamps shall be sold on the same terms and conditions as stamps provided for other taxes in this same Article. Provided, Further, That funds received from the collection of Warrants for Distraint shall not be expended to supplement the appropriations of the Tax Commission and the Warrant Division. Any unexpended balance in the "Warrant Revolving Fund", less any amount necessary for adequate cash flow, shall be deposited to the Credit of the General Fund of the State. SECTION 83 Alcoholic Beverage Control Commission (Budget Reference: Volume II, Page 2833) I. Administration: Personal Service: Chairman $ 42,308 $ 42,308 (1) (1) Commissioners 79,434 79,434 (2) (2) Classified Positions 186,214 186,214 (14) (14) ----------- ----------- Total Personal Service $ 307,956 $ 307,956 Other Operating Expenses: Contractual Services $ 26,179 $ 26,179 Supplies 5,301 5,301 Fixed Charges and Contributions 49,685 49,685 Travel 4,027 4,027 ----------- ----------- Total Other Operating Expenses $ 85,192 $ 85,192 ----------- ----------- Total Administration $ 393,148 393,148 =========== =========== II. Investigation: Classified Positions $ 563,882 $ 563,882 (41) (41) New Positions: Investigator I A B C 22,000 22,000 (2) (2) ----------- ----------- Total Personal Service $ 585,882 $ 585,882 Other Operating Expenses: Contractual Services $ 21,320 $ 21,320 Supplies 85,950 85,950 Fixed Charges and Contributions 11,810 11,810 Travel 27,000 27,000 ----------- ----------- Total Other Operating Expenses $ 146,080 $ 146,080 ----------- ----------- Total Investigation $ 731,962 $ 731,962 =========== =========== III. Licensing: Classified Positions $ 57,792 $ 57,792 (5) (5) Other Personal Service: Temporary Position 1,911 1,911 ----------- ----------- Total Personal Service $ 59,703 $ 59,703 Other Operating Expenses: Contractual Services $ 1,000 $ 1,000 Supplies 22,600 22,600 ----------- ----------- Total Other Operating Expenses $ 23,600 $ 23,600 ----------- ----------- Total Licensing $ 83,303 $ 83,303 =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 23,338 $ 23,338 ----------- ----------- Total Personal Service $ 23,338 $ 23,338 ----------- ----------- Total Salary Increments $ 23,338 $ 23,338 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 182,539 $ 182,539 ----------- ----------- Total Fringe Benefits $ 182,539 $ 182,539 ----------- ----------- Total State Employer Contributions $ 182,539 $ 182,539 =========== =========== Total Employee Benefits $ 205,877 $ 205,877 =========== =========== Total ABC Commission $ 1,414,290 $ 1,414,290 =========== =========== Total Authorized Positions (65) (65) Provided, That the Revolving Fund which is maintained for the purpose of purchasing alcoholic beverages in connection with law enforcement by this Commission, shall be limited to $500.00. Provided, Further, That the Commission is directed to maintain adequate records accounting for the receipt of funds from the sale of confiscated alcoholic beverages. Such revenue shall be deposited to the credit of the General Fund of the State. SECTION 84 State Ethics Commission (Budget Reference: Volume II, Page 2851) I. Administration: Personal Service: Executive Director $ 27,608 $ 27,608 (1) (1) Classified Positions 34,521 34,521 (3) (3) Other Personal Service: Per Diem--Boards and Commissions 2,520 2,520 Temporary Positions 2,646 ----------- ----------- Total Personal Service $ 67,295 $ 64,649 Other Operating Expenses: Contractual Services $ 10,385 $ 10,385 Supplies 7,700 7,700 Fixed Charges and Contributions 7,123 7,123 Travel 3,400 3,400 ----------- ----------- Total Other Operating Expenses $ 28,608 $ 28,608 ----------- ----------- Total Administration $ 95,903 $ 93,257 =========== =========== II. Employee Benefits: Salary Increments: Personal Service: Increments, Continued 79-80 $ 1,154 $ 1,154 ----------- ----------- Total Personal Service $ 1,154 $ 1,154 ----------- ----------- Total Salary Increments $ 1,154 $ 1,154 =========== =========== State Employer Contributions: Fringe Benefits: State Employer Contributions $ 9,975 $ 9,815 ----------- ----------- Total Fringe Benefits $ 9,975 $ 9,815 ----------- ----------- Total State Employer Contributions $ 9,975 $ 9,815 =========== =========== Total Employee Benefits $ 11,129 $ 10,969 =========== =========== Total State Ethics Commission $ 107,032 $ 104,226 =========== =========== Total Authorized Positions (4) (4) SECTION 85 S. C. Employment Security Commission (Budget Reference: Volume II, Page 2864) I. Administration: Personal Service: Chairman $ 34,893 $ (1) Commissioners 68,272 (2) Executive Director 43,295 (1) Classified Positions 1,497,482 (105) Other Personal Service: Temporary Positions 65,559 ----------- ----------- Total Personal Service $ 1,709,501 $ Other Operating Expenses: Contractual Services $ 478,959 $ Supplies 197,953 Fixed Charges and Contributions 414,739 Travel 151,132 Indemnity Claims and Awards 37 Sales and Use Tax 4 ----------- ----------- Total Other Operating Expenses $ 1,242,824 $ Permanent Improvement: Nonstructural Improvement $ 7,500 $ ----------- ----------- Total Permanent Improvement $ 7,500 $ Public Assistance Payments: Case Services and Public Assistance Payments $ 153,619 $ ----------- ----------- Total Public Assistance Payments $ 153,619 $ Distribution to Subdivisions: Allocation to Other State Agencies $ 33,836 $ ----------- ----------- Total Distribution to Subdivisions $ 33,836 $ ----------- ----------- Total Administration $ 3,147,280 $ =========== =========== II. Employment Service: Personal Service: Classified Positions $ 10,476,763 $ (847) Other Personal Service: Temporary Positions 384,832 ----------- ----------- Total Personal Service $ 10,861,595 $ Other Operating Expenses: Contractual Services $ 1,176,41 $ Supplies 486,214 Fixed Charges and Contributions 1,043,237 Travel 420,332 Indemnity Claims and Awards 94 Sales and Use Tax 11 ----------- ----------- Total Other Operating Expenses $ 3,126,303 $ Permanent Improvement: Nonstructural Improvement $ 20,000 $ ----------- ----------- Total Permanent Improvement $ 20,000 $ Public Assistance Payment: Case Services and Public Assistance Payments $ 377,317 $ ----------- ----------- Total Public Assistance Payments $ 377,317 $ Distribution to Subdivision: Allocation to Other State Agencies $ 81,671 $ ----------- ----------- Total Distribution to Subdivision $ 81,671 $ ----------- ----------- Total Employment Services $ 14,466,886 $ =========== =========== III. Unemployment Insurance Services: Personal Service: Classified Positions $ 5,343,644 $ Other Personal Service: Temporary Positions 220,632 ----------- ----------- Total Personal Service $ 5,564,276 $ Other Operating Expenses: Contractual Services $ 689,016 $ Supplies 284,772 Fixed Charges and Contributions 611,017 Travel 246,185 Indemnity Claims and Awards 54 Sales and Use Tax 7 ----------- ----------- Total Other Operating Expenses $ 1,831,051 $ Permanent Improvement: Nonstructural Improvement $ 15,000 $ ----------- ----------- Total Permanent Improvement $ 15,000 $ Public Assistance Payments: Case Services and Public Assistance Payments $ 15,150,836 $ ----------- ----------- Total Public Assistance Payments $ 15,150,836 $ Distribution to Subdivision: Allocation to Other State Agencies $ 48,677 $ ----------- ----------- Total Distribution to Subdivision $ 48,677 $ ----------- ----------- Total Unemployment Insurance Services $ 22,609,840 $ =========== =========== IV. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 469,601 $ ----------- ----------- Total Personal Service $ 469,601 $ ----------- ----------- Total Salary Increments $ 469,601 $ =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 3,071,897 $ ----------- ----------- Total Fringe Benefits $ 3,071,897 $ ----------- ----------- Total State Employer Contributions $ 3,071,897 $ =========== =========== Total Employee Benefits $ 3,541,498 $ =========== =========== Total Employment Security Commission $ 43,765,504 $ =========== =========== Total Authorized Positions (1391) SECTION 86 Board of Accountancy (Budget Reference: Volume II, Page 2883) I. Administration: Personal Service: Director $ 10,000 $ 10,000 (1) (1) Classified Positions 13,448 13,448 (1) (1) Other Personal Service: Per Diem--Boards and Commissions 6,820 6,820 ----------- ----------- Total Personal Service $ 30,268 $ 30,268 Other Operating Expenses: Contractual Services $ 32,291 $ 32,291 Supplies 3,262 3,262 Fixed Charges and Contributions 5,066 5,066 Travel 9,200 9,200 ----------- ----------- Total Other Operating Expenses $ 49,819 $ 49,819 =========== =========== Total Administration $ 80,087 $ 80,087 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 387 $ 387 ----------- ----------- Total Personal Service $ 387 $ 387 ----------- ----------- Total Salary Increments $ 387 $ 387 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 3,312 $ 3,312 ----------- ----------- Total Fringe Benefits $ 3,312 $ 3,312 ----------- ----------- Total State Employer Contributions $ 3,312 $ 3,312 =========== =========== Total Employee Benefits $ 3,699 $ 3,699 =========== =========== Total Accountancy Board $ 83,786 $ 83,786 =========== =========== Total Authorized Positions (2) (2) Provided, That notwithstanding provisions of the Sections 40-1-10 through 40-1-10, Code of Laws of 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 87 Board of Architectural Examiners (Budget Reference: Volume II, Page 2896) I. Administration: Personal Service: Executive Secretary-Treasurer $ 9,500 $ 9,500 Classified Position 7,543 7,543 Other Personal Service: Per Diem--Board 6,430 6,430 ----------- ----------- Total Personal Service $ 23,473 $ 23,473 Other Operating Expenses: Contractual Services $ 7,806 $ 7,806 Supplies 7,620 7,620 Fixed Charges and Contributions 7,553 7,553 Travel 7,586 7,586 ----------- ----------- Total Other Operating Expenses $ 30,565 $ 30,565 ----------- ----------- Total Administration $ 54,038 $ 54,038 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 264 $ 264 ----------- ----------- Total Personal Service $ 264 $ 264 ----------- ----------- Total Salary Increments $ 264 $ 264 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 2,708 $ 2,708 ----------- ----------- Total Fringe Benefits $ 2,708 $ 2,708 ----------- ----------- Total State Employer Contributions $ 2,708 $ 2,708 =========== =========== Total Employee Benefits $ 2,972 $ 2,972 =========== =========== Total Architectural Examiners Board $ 57,010 $ 57,010 =========== =========== Total Authorized Positions (2) (2) Provided, That notwithstanding provisions of Sections 40-3-10 through 40-3- 160, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, use of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be leaned in an amount sufficient to at least equal the amount appropriated in this section. SECTION 88 Auctioneers' Commission (Budget Reference: Volume II, Page 2911) I. Administration: Personal Service: Executive Director $ 25,983 $ 25,983 (1) (1) Classified Position 10,812 10,812 (1) (1) Other Personal Services: Per Diem--Boards and Commissions 2,275 2,275 Temporary Positions 5,566 5,566 ----------- ----------- Total Personal Service $ 44,636 $ 44,636 Other Operating Expenses: Contractual Services $ 11,878 $ 11,878 Supplies 2,900 2,900 Fixed Charges and Contributions 4,475 4,475 Travel 6,000 6,000 ----------- ----------- Total Other Operating Expenses $ 25,253 $ 25,253 ----------- ----------- Total Administration $ 69,889 $ 69,889 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 378 $ 378 ----------- ----------- Total Personal Service $ 378 $ 378 ----------- ----------- Total Salary Increments $ 378 $ 378 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 6,080 $ 6,080 ----------- ----------- Total Fringe Benefits $ 6,080 $ 6,080 ----------- ----------- Total State Employer Contributions $ 6,080 $ 6,080 =========== =========== Total Employee Benefits $ 6,458 $ 6,458 =========== =========== Total Auctioneers' Commission $ 76,347 $ 76,347 =========== =========== Total Authorized Positions (2) (2) Provided, That notwithstanding provisions of Act 111 of 1977, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 89 Board of Barber Examiners (Budget Reference: Volume II, Page 2925) I. Administration: Personal Service: Classified Positions $ 44,894 $ 44,894 (5) (5) Other Personal Service: Per Diem--Board and Commission 6,300 6,300 Temporary Position 2,400 2,400 ----------- ----------- Total Personal Service $ 53,594 $ 53,594 Other Operating Expenses: Contractual Services $ 1,973 $ 1,973 Supplies 1,800 1,800 Fixed Charges and Contributions 3,740 3,740 Travel 16,179 16,179 ----------- ----------- Total Other Operating Expenses $ 23,692 $ 23,692 ----------- ----------- Total Administration $ 77,286 $ 77,286 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 839 $ 839 ----------- ----------- Total Personal Service $ 839 $ 839 ----------- ----------- Total Salary Increments $ 839 $ 839 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 8,265 $ 8,265 ----------- ----------- Total Fringe Benefits $ 8,265 $ 8,265 ----------- ----------- Total State Employer Contributions $ 8,265 $ 8,265 =========== =========== Total Employee Benefits $ 9,104 $ 9,104 =========== =========== Total Board of Barber Examiners $ 86,390 $ 86,390 =========== =========== Total Authorized Positions (5) (5) Provided, That notwithstanding provisions of Sections 40-7-10 through 40-7- 300, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, ,but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated this section. SECTION 90 Cemetery Board (Budget Reference: Volume II, Page 2936) I. Administration: Personal Service: I Ex. Officio Chairman $ 900 $ 900 (1) (1) Other Personal Service: Per Diem--Board 400 400 ----------- ----------- Total Personal Service $ 1,300 $ 1,300 Other Operating Expenses: Supplies $ 947 $ 947 Travel 250 250 ----------- ----------- Total Other Operating Expenses $ 1,197 $ 1,197 ----------- ----------- Total Administration $ 2,497 $ 2,497 =========== =========== II. Employee Benefits: Total Funds General Funds ----------------------------- B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 124 $ 124 ----------- ----------- Total Fringe Benefits $ 124 $ 124 ----------- ----------- Total State Employer Contributions $ 124 $ 124 =========== =========== Total Employee Benefits $ 124 $ 124 =========== =========== Total Cemetery Board $ 2,621 $ 2,621 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 39-55-10 through 39- 55-120, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source of activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 90-A Board of Chiropractic Examiners I. Administration: Personal Service: New Position: Clerk of the Board $ 11,107 $ 11,107 (1) (1) Other Personal Service: Per Diem--Board and Commission 4,200 4,200 Temporary Position 3,681 3,681 ----------- ----------- Total Personal Service $ 18,988 $ 18,988 Other Operating Expenses: Contractual Services $ 10,800 $ 10,800 Supplies 4,200 4,200 Fixed Charges and Contributions 6,000 6,000 Travel 9,000 9,000 ----------- ----------- Total Other Operating Expenses $ 30,000 $ 30,000 ----------- ----------- Total Administration $ 48,988 $ 48,988 =========== =========== Total Board of Chiropractic Examiners $ 48,988 $ 48,988 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 40-9-10 through 40-9- 110, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 91 Contractors Licensing Board (Budget Reference: Volume II, Page 2947) I. Administration: Personal Service: Director $ 23,132 $ 23,132 (1) (1) Classified Positions 67,136 67,136 (6) (6) Other Personal Service: Per Diem--Boards and Commissions 1,200 1,200 Overtime and Shift Differential 1,475 1,475 ----------- ----------- Total Personal Service $ 92,943 $ 92,943 Other Operating Expenses: Contractual Services $ 10,400 $ 10,400 Supplies 15,060 15,060 Fixed Charges and Contributions 9,300 9,300 Travel 17,353 17,353 ----------- ----------- Total Other Operating Expenses $ 52,113 $ 52,113 ----------- ----------- Total Administration $ 145,056 $ 145,056 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 2,350 $ 2,350 ----------- ----------- Total Personal Service $ 2,350 $ 2,350 ----------- ----------- Total Salary Increments $ 2,350 $ 2,350 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 15,408 $ 15,408 ----------- ----------- Total Fringe Benefits $ 15,408 $ 15,408 ----------- ----------- Total State Employer Contributions $ 15,408 $ 15,408 =========== =========== Total Employee Benefits $ 17,758 $ 17,758 =========== =========== Total Contractors' Licensing Board $ 162,814 $ 162,814 =========== =========== Total Authorized Positions (7) (7) SECTION 92 Board of Cosmetic Art Examiners (Budget Reference: Volume II, Page 2961) I. Administration: Personal Service: Executive Secretary $ 14,585 $ 14,585 (1) (1) Classified Positions 61,056 61,056 (7) (7) Other Personal Service: Per Diem--Board and Commission 17,000 17,000 Temporary Positions 1,500 1,500 ----------- ----------- Total Personal Service $ 94,141 $ 94,141 Other Operating Expenses: Contractual Services $ 20,129 $ 20,129 Supplies 7,500 7,500 Fixed Charges and Contributions 13,347 13,347 Travel 41,191 41,191 ----------- ----------- Total Other Operating Expenses $ 82,167 $ 82,167 ----------- ----------- Total Administration $ 176,308 $ 176,308 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 1,883 $ 1,883 ----------- ----------- Total Personal Service $ 1,883 $ 1,883 ----------- ----------- Total Salary Increments $ 1,883 $ 1,883 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 14,284 $ 14,284 ----------- ----------- Total Fringe Benefits $ 14,284 $ 14,284 ----------- ----------- Total State Employer Contributions $ 14,284 $ 14,284 =========== =========== Total Employee Benefits $ 16,167 $ 16,167 =========== =========== Total Cosmetic Art Examiners Board $ 192,475 $ 192,475 =========== =========== Total Authorized Positions (8) (8) Provided, That notwithstanding provisions of Sections 40-13-10 through 40- 13-420, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 93 Board of Dentistry (Budget Reference: Volume II, Page 2974) I. Administration: Personal Service: Executive Director $ 6,085 $ 6,085 (1) (1) Classified Positions 12,011 12,011 (5) (5) Other Personal Service: Per Diem--Board 9,202 9,202 ----------- ----------- Total Personal Service $ 27,298 $ 27,298 Other Operating Expenses: Contractual Services $ 16,001 $ 16,001 Supplies 9,800 9,800 Fixed Charges and Contributions 3,881 3,881 Travel 13,500 13,500 ----------- ----------- Total Other Operating Expenses $ 43,182 $ 43,182 ----------- ----------- Total Administration $ 70,480 $ 70,480 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 421 $ 421 ----------- ----------- Total Personal Service $ 421 $ 421 ----------- ----------- Total Salary Increments $ 421 $ 421 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 2,441 $ 2,441 ----------- ----------- Total Fringe Benefits $ 2,441 $ 2,441 ----------- ----------- Total State Employer Contributions $ 2,441 $ 2,441 =========== =========== Total Employee Benefits $ 2,862 $ 2,862 =========== =========== Total Dentistry Board $ 73,342 $ 73,342 =========== =========== Total Authorized Positions (6) (6) Provided, That notwithstanding provisions of Sections 40-15-10 through 40- 15-380, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected when practicable, but at least once each week, and shall be are credited to the General Fund of the State. Provided, Further, all assessments fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 94 Board of Engineering Examiners (Budget Reference: Volume II, Page 2986) I. Administration: Personal Service: Director $ 23,027 $ 23,027 (1) (1) Classified Positions 45,866 45,866 (4) (4 Other Personal Service: Per Diem--Board Members 6,170 6,170 Temporary Positions 1,449 1,449 ----------- ----------- Total Personal Service $ 76,512 $ 76,512 Other Operating Expenses: Contractual Services $ 27,473 $ 27,473 Supplies 14,758 14,758 Fixed Charges and Contributions 22,652 22,652 Travel 8,629 8,629 ----------- ----------- Total Other Operating Expenses $ 73,512 $ 73,512 ----------- ----------- Total Administration $ 150,024 $ 150,024 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 752 $ 752 ----------- ----------- Total Personal Service $ 752 $ 752 ----------- ----------- Total Salary Increments $ 752 $ 752 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 11,625 $ 11,625 ----------- ----------- Total Fringe Benefits $ 11,625 $ 11,625 ----------- ----------- Total State Employer Contributions $ 11,625 $ 11,625 =========== =========== Total Employee Benefits $ 12,377 $ 12,377 =========== =========== Total Board of Engineering Examiners $ 162,401 $ 162,401 =========== =========== Total Authorized Positions (5) (5) Provided, That notwithstanding provisions of Sections 40-21-10 through 40- 21-410, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 95 Board of Certification of Environmental Systems Operators (Budget Reference: Volume II, Page 2999) I. Administration: Personal Service: Executive Director $ 22,146 $ 22,146 (1) (1) Classified Positions 19,347 19,347 (2) (2) ----------- ----------- Total Personal Service $ 41,493 $ 41,493 Other Operating Expenses: Contractual Services $ 8,575 $ 8,575 Supplies 3,960 3,960 Fixed Charges and Contributions 9,386 9,386 Travel 2,000 2,000 ----------- ----------- Total Other Operating Expenses $ 23,921 $ 23,921 ----------- ----------- Total Administration $ 65,414 $ 65,414 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 678 $ 678 ----------- ----------- Total Personal Service $ 678 $ 678 ----------- ----------- Total Salary Increments $ 678 $ 678 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 6,814 $ 6,814 ----------- ----------- Total Fringe Benefits $ 6,814 $ 6,814 ----------- ----------- Total State Employer Contributions $ 6,814 $ 6,814 =========== =========== Total Employee Benefits $ 7,492 $ 7,492 =========== =========== Total Board of Certification of Environmental Systems Operators $ 72,906 $ 72,906 =========== =========== Total Authorized Positions (3) (3) Provided, That notwithstanding provisions of Sections 40-23-10 through 40- 23-170, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 96 Board of Registration for Foresters (Budget Reference: Volume II, Page 3014) I. Administration: Personal Service: Classified Position $ 1,757 $ 1,757 (1) (1) Other Personal Service: Per Diem--Board and Commission 300 300 ----------- ----------- Total Personal Service $ 2,057 $ 2,057 Other Operating Expenses: Contractual Services $ 173 $ 173 Supplies 1,145 1,145 Fixed Charges and Contributions 25 25 Travel 625 625 ----------- ----------- Total Other Operating Expenses $ 1,968 $ 1,968 ----------- ----------- Total Administration $ 4,025 $ 4,025 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 60 $ 60 ----------- ----------- Total Personal Service $ 60 $ 60 ----------- ----------- Total Salary Increments $ 60 $ 60 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 240 $ 240 ----------- ----------- Total Fringe Benefits $ 240 $ 240 ----------- ----------- Total State Employer Contributions $ 240 $ 240 =========== =========== Total Employee Benefits $ 300 $ 300 =========== =========== Total Foresters Registration Board $ 4,325 $ 4,325 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 48-27-10 through 48- 27-250, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 97 Board of Funeral Service (Budget Reference: Volume II, Page 3025) I. Administration: Personal Service: Executive Secretary $ 8,177 $ 8,177 (1) (1) Classified Position 12,780 12,780 (1) (1) Other Personal Service: Per Diem--Board 3,395 3,395 ----------- ----------- Total Personal Service $ 24,352 $ 24,352 Other Operating Expenses: Contractual Services $ 1,987 $ 1,987 Supplies 1,439 1,439 Fixed Charges and Contributions 750 750 Travel 13,227 13,227 ----------- ----------- Total Other Operating Expenses $ 17,403 $ 17,403 ----------- ----------- Total Administration $ 41,755 $ 41,755 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 447 $ 447 ----------- ----------- Total Personal Service $ 447 $ 447 ----------- ----------- Total Salary Increments $ 447 $ 447 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 3,612 $ 3,612 ----------- ----------- Total Fringe Benefits $ 3,612 $ 3,612 ----------- ----------- Total State Employer Contributions $ 3,612 $ 3,612 =========== =========== Total Employee Benefits $ 4,059 $ 4,059 =========== =========== Total Funeral Service Board $ 45,814 $ 45,814 =========== =========== Total Authorized Positions (2) (2) Provided, That notwithstanding provisions of Sections 40-19-10 through 40- 19-20, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer s collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 98 Board of Medical Examiners (Budget Reference: Volume II, Page 3037) I. Administration: Personal Service: Executive Director $ 27,884 $ 27,884 (1) (1) Classified Positions 109,441 109,441 (13) (13) Other Personal Service: Per Diem - Board 17,375 17,375 ----------- ----------- Total Personal Service $ 154,700 $ 154,700 Other Operating Expenses: Contractual Services $ 41,400 $ 41,400 Supplies 23,308 23,308 Fixed Charges and Contributions 6,430 6,430 Travel 20,320 20,320 General Operations-Investigations 37,000 37,000 ----------- ----------- Total Other Operating Expenses $ 128,458 $ 128,458 ----------- ----------- Total Administration $ 283,158 $ 283,158 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 3,703 $ 3,703 ----------- ----------- Total Personal Service $ 3,703 $ 3,703 ----------- ----------- Total Salary Increments $ 3,703 $ 3,703 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 22,266 $ 22,266 ----------- ----------- Total Fringe Benefits $ 22,266 $ 22,266 ----------- ----------- Total State Employer Contributions $ 22,266 $ 22,266 =========== =========== Total Employee Benefits $ 25,969 $ 25,969 =========== =========== Total Medical Examiners $ 309,127 $ 309,127 =========== =========== Total Authorized Positions (14) (14) Provided, That notwithstanding provisions of Sections 40-47-10 through 40- 47-450, Code of Laws 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall Abe levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 99 Board of Nursing (Budget Reference: Volume II, Page 3050) I. Administration: Personal Service: Executive Director $ 25,839 $ 25,839 (1) (1) Classified Positions 179,643 179,643 (15) (15) Other Person Service: Per Diem--Boards and Commission 1,409 1,409 ----------- ----------- Total Personal Service $ 206,891 $ 206,891 Other Operating Expenses: Contractual Services $ 65,300 $ 65,300 Supplies 22,300 22,300 Fixed Charges and Contributions 34,600 34,600 Travel 7,950 7,950 Nursing Workshop 2,000 2,000 ----------- ----------- Total Other Operating Expenses $ 132,150 $ 132,150 ----------- ----------- Total Administration $ 339,041 $ 339,041 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 6,288 $ 6,288 ----------- ----------- Total Personal Service $ 6,288 $ 6,288 ----------- ----------- Total Salary Increments $ 6,288 $ 6,288 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 28,273 $ 28,273 ----------- ----------- Total Fringe Benefits $ 28,273 $ 28,273 ----------- ----------- Total State Employer Contributions $ 28,273 $ 28,273 =========== =========== Total Employee Benefits $ 34,561 $ 34,561 =========== =========== Total Nursing Board $ 373,602 $ 373,602 =========== =========== Total Authorized Positions (16) (16) Provided, That notwithstanding provisions of Sections 40-33-10 through 40- 33-1160, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 100 Board of Examiners for Nursing Home Administrators (Budget Reference: Volume II, Page 3065) I. Administration: Personal Service: Classified Position $ 9,640 $ 9,640 (1) (1) Other Personal Service: Per Diem 1,540 1,540 ----------- ----------- Total Personal Service $ 11,180 $ 11,180 Other Operating Expenses: Contractual Services $ 1,734 $ 1,734 Supplies 900 900 Fixed Charges and Contributions 1,294 1,294 Travel 988 988 ----------- ----------- Total Other Operating Expenses $ 4,916 $ 4,916 ----------- ----------- Total Administration $ 16,096 $ 16,096 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 104 $ 104 ----------- ----------- Total Personal Service $ 104 $ 104 ----------- ----------- Total Salary Increments $ 104 $ 104 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 1,703 $ 1,703 ----------- ----------- Total Fringe Benefits: $ 1,703 $ 1,703 ----------- ----------- Total State Employer Contributions $ 1,703 $ 1,703 =========== =========== Total Employee Benefits $ 1,807 $ 1,807 =========== =========== Total Nursing Home Administrators $ 17,903 $ 17,903 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 40-35-10 through 40- 35-140, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 101 Board of Occupational Therapy (Budget Reference: Volume II, Page 3078) I. Administration: Personal Service: Other Personal Service: Per Diem-Board Members $ 595 $ 595 ----------- ----------- Total Personal Service $ 595 $ 595 Other Operating Expenses: Contractual Services $ 119 $ 119 Supplies 413 413 Travel 1,058 1,058 ----------- ----------- Total Other Operating Expenses $ 1,590 $ 1,590 ----------- ----------- Total Administration $ 2,185 $ 2,185 =========== =========== Total Board of Occupational Therapy $ 2,185 $ 2,185 =========== =========== Provided, That notwithstanding provisions of Act 139 of 1977 all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 102 Board of Examiners in Opticianry (Budget Reference: Volume II, Page 3089) I. Administration: Personal Service: Secretary-Treasurer $ 1,300 $ 1,300 (1) (1) Other Personal Service: Per Diem--Board and Commission 3,545 3,545 Temporary Position 500 500 ----------- ----------- Total Personal Service $ 5,345 $ 5,345 Other Operating Expenses: Contractual Services $ 1,325 $ 1,325 Supplies 910 910 Fixed Charges and Contributions 914 914 Travel 4,600 4,600 ----------- ----------- Total Other Operating Expenses $ 7,749 $ 7,749 ----------- ----------- Total Administration $ 13,094 $ 13,094 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 102 $ 102 ----------- ----------- Total Fringe Benefits $ 102 $ 102 ----------- ----------- Total State Employer Contributions $ 102 $ 102 =========== =========== Total Employee Benefits $ 102 $ 102 =========== =========== Total Board of Opticianry $ 13,196 $ 13,196 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Act 570 of 1978 all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 103 Board of Examiners in Optometry (Budget Reference: Volume II, Page 3101) Board of Examiners in Optometry: I. Administration: Personal Service: Secretary-Treasurer $ 3,070 $ 3,070 (1) (1) Other Personal Service: Per Diem--Board and Commission 4,000 4,000 Temporary Position 1,696 1,696 ----------- ----------- Total Personal Service $ 8,766 $ 8,766 Other Operating Expenses: Contractual Services $ 2,782 $ 2,782 Supplies 1,050 1,050 Fixed Charges and Contributions 2,115 2,115 Travel 6,500 6,500 ----------- ----------- Total Other Operating Expenses $ 12,447 $ 12,447 ----------- ----------- Total Administration $ 21,213 $ 21,213 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 343 $ 343 ----------- ----------- Total Fringe Benefits $ 343 $ 343 ----------- ----------- Total State Employer Contributions $ 343 $ 343 =========== =========== Total Employee Benefits $ 343 $ 343 =========== =========== Total Board of Examiners in Optometry $ 21,556 $ 21,556 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Act 570 of 1978 all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 104 Board of Pharmaceutical Examiners (Budget Reference: Volume II, Page 3112) I. Administration: Personal Service: Executive Secretary/Chief Drug Inspector $ 22,169 $ 22,169 (1) (1) Classified Positions 13,264 13,264 (1) (1) Other Personal Service: Per Diem--Boards and Commissions 4,200 4,200 Temporary Positions 1,500 1,500 ----------- ----------- Total Personal Service $ 41,133 $ 41,133 Other Operating Expenses: Contractual Services $ 4,178 $ 4,178 Supplies 11,650 11,650 Fixed Charges and Contributions 6,917 6,917 Travel 10,667 10,667 Purchase of Evidence 100 100 ----------- ----------- Total Other Operating Expenses $ 33,512 $ 33,512 ----------- ----------- Total Administration $ 74,645 $ 74,645 =========== =========== II. employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 464 $ 464 ----------- ----------- Total Personal Service $ 464 $ 464 ----------- ----------- Total Salary Increments $ 464 $ 464 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 5,792 $ 5,792 ----------- ----------- Total Fringe Benefits $ 5,792 $ 5,792 ----------- ----------- Total State Employer Contributions $ 5,792 $ 5,792 =========== =========== Total Employee Benefits $ 6,256 $ 6,256 =========== =========== Total Board of Pharmaceutical Examiners $ 80,901 $ 80,901 =========== =========== Total Authorized Positions (2) (2) Provided, That notwithstanding lions of Sections 40-43-10 through 40-43- 470, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any Other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 105 Board of Examiners and Registration of Physical Therapists (Budget Reference: Volume II, Page 3127) I. Administration: Personal Service: Classified Position $ 4,888 $ 4,888 (1) (1) Other Personal Service: Per Diem--Board 735 735 ----------- ----------- Total Personal Service $ 5,623 $ 5,623 Other Operating Expenses: Contractual Services $ 2,711 $ 2,711 Supplies 885 885 Travel 750 750 ----------- ----------- Total Other Operating Expenses $ 4,346 $ 4,346 ----------- ----------- Total Administration $ 9,969 $ 9,969 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 171 $ 171 ----------- ----------- Total Personal Service $ 171 $ 171 ----------- ----------- Total Salary Increments $ 171 $ 171 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 702 $ 702 ----------- ----------- Total Fringe Benefits $ 702 $ 702 ----------- ----------- Total State Employer Contributions $ 702 $ 702 =========== =========== Total Employee Benefits $ 873 $ 873 =========== =========== Total Physical Therapist Board $ 10,842 $ 10,842 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 40-45-10 through 40- 45-250, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 106 Board of Podiatry Examiners (Budget Reference: Volume II, Page 3138) I. Administration: Personal Service: Other Personal Service: Per Diem--Board and Commission $ 120 $ 120 Temporary Position 100 100 ----------- ----------- Total Personal Service $ 220 $ 220 Other Operating Expenses: Contractual Services $ 135 $ 135 Supplies 472 472 Fixed Charges and Contributions 25 25 Travel 245 245 ----------- ----------- Total Other Operating Expenses $ 877 $ 877 ----------- ----------- Total Administration $ 1,097 $ 1,097 =========== =========== Total Board of Podiatry Examiners $ 1,097 $ 1,097 =========== =========== Provided, That notwithstanding provisions of Sections 40-51-10 through 40- 51-260, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 107 Board of Examiners in Psychology (Budget Reference: Volume II, Page 3147) I. Administration: Personal Service: Executive Secretary $ 2,687 $ 2,687 (1) (1) ----------- ----------- Total Personal Service $ 2,687 $ 2,687 Other Operating Expenses: Contractual Services $ 2,976 $ 2,976 Supplies 352 352 Fixed Charges and Contributions 350 350 Travel 770 770 ----------- ----------- Total Other Operating Expenses $ 4,448 $ 4,448 ----------- ----------- Total Administration $ 7,135 $ 7,135 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contribution $ 343 $ 343 ----------- ----------- Total Fringe Benefits $ 343 $ 343 ----------- ----------- Total State Employer Contributions $ 343 $ 343 =========== =========== Total Employee Benefits $ 343 $ 343 =========== =========== Total Psychology Board $ 7,478 $ 7,478 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 40-55-10 through 40- 55-170, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 108 Real Estate Commission (Budget Reference: Volume II, Page 3157) I. Administration: Personal Service: Commissioner $ 34,800 $ 34,800 (1) (1) Classified Positions 198,452 198,452 Other Personal Service: Per Diem--Boards and Commissions 5,000 5,000 Temporary Positions 700 700 ----------- ----------- Total Personal Service $ 238,952 $ 238,952 Other Operating Expenses: Contractual Services $ 52,350 $ 52,350 Supplies 30,950 30,950 Fixed Charges and Contributions 34,770 34,770 Travel 38,383 38,383 ----------- ----------- Total Other Operating Expenses $ 156,453 $ 156,453 Special Items: Research and Education $ 70,000 $ 70,000 ----------- ----------- Total Special Items $ 70,000 $ 70,000 ----------- ----------- Total Administration $ 465,405 $ 465,405 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 6,349 $ 6,349 ----------- ----------- Total Personal Service $ 6,349 $ 6,349 ----------- ----------- Total Salary Increments $ 6,349 $ 6,349 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 39,257 $ 39,257 ----------- ----------- Total Fringe Benefits $ 39,257 $ 39,257 ----------- ----------- Total State Employer Contributions $ 39,257 $ 39,257 =========== =========== Total Employee Benefits $ 45,606 $ 45,606 =========== =========== Total Real Estate Commission $ 511,011 $ 511,011 =========== =========== Total Authorized Positions (18) (18) Provided, That notwithstanding provisions of Sections 40-57-10 through 40- 57-240, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. Provided, Further, That any funds on deposit with the State Treasurer for research and education programs of the Real Estate Commission shall be remitted to the General Fund of the State. Provided, Further, That all funds appropriated, in this section, for Research and Education projects shall be funded wholly, out of the Real Estate Commission authorized allocation of five dollars from each annual renewal fee. Provided, Further, That all funds appropriated, in this section, for Research and Educational projects shall be expended for the purpose designated. SECTION 109 Residential Home Builders Commission (Budget Reference: Volume II, Page 3174) I. Administration: Personal Service: Director $ 25,850 $ 25,850 (1) (1) Classified Positions 84,561 84,561 (7) (7) Other Personal Service: Per Diem--Boards and Commissions 8,000 8,000 Temporary Positions 2,500 2,500 ----------- ----------- Total Personal Service $ 120,911 $ 120,911 Other Operating Expenses: Contractual Services $ 18,287 $ 18,287 Supplies 14,500 14,500 Fixed Charges and Contributions 26,273 26,273 Travel 13,950 13,950 ----------- ----------- Total Other Operating Expenses $ 73,010 $ 73,010 ----------- ----------- Total Administration $ 193,921 $ 193,921 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 2,960 $ 2,960 ----------- ----------- Total Personal Service $ 2,960 $ 2,960 ----------- ----------- Total Salary Increments $ 2,960 $ 2,960 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 18,599 $ 18,599 ----------- ----------- Total Fringe Benefits $ 18,599 $ 18,599 ----------- ----------- Total State Employer Contributions $ 18,599 $ 18,599 =========== =========== Total Employee Benefits $ 21,559 $ 21,559 =========== =========== Total Residential Home Builders Commission $ 215,480 $ 215,480 =========== =========== Total Authorized Positions (8) (8) Provided, That notwithstanding provisions of Sections 40-59-10 through 40- 59-150, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 110 Board of Examiners for Registered Sanitarians (Budget Reference: Volume II, Page 3187) I. Administration: Personal Service: Other Personal Services: Temporary Position $ 400 $ 400 ----------- ----------- Total Personal Service $ 400 $ 400 Other Operating Expenses: Contractual Services $ 1,800 $ 1,800 Supplies 255 255 Fixed Charges and Contributions 40 40 Travel 1,134 1,134 ----------- ----------- Total Other Operating Expenses $ 3,229 $ 3,229 ----------- ----------- Total Internal Administration $ 3,629 $ 3,629 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 54 $ 54 Total Fringe Benefits $ 54 $ 54 Total State Employer Contributions $ 54 $ 54 Total Employee Benefits $ 54 $ 54 Total Registered Sanitarians Board $ 3,683 $ 3,683 Provided, That notwithstanding provisions of Sections 40-61-10 through 40- 61-130, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 111 Board of Social Workers Registration (Budget Reference: Volume II, Page 3198) I. Administration: Personal Service: Per Diem--Board and Commission $ 330 $ 330 ----------- ----------- Total Personal Service $ 330 $ 330 Other Operating Expenses: Contractual Services $ 1,426 $ 1,426 Supplies 275 275 Fixed Charges and Contributions 548 548 Travel 502 502 ----------- ----------- Total Other Operating Expenses $ 2,751 $ 2,751 ----------- ----------- Total Administration $ 3,081 $ 3,081 =========== =========== Total Board of Social Workers Registration $ 3,081 $ 3,081 =========== =========== Provided, That notwithstanding provisions of Sections 40-63-10 through 40-63-80, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 112 Board of Examiners for Speech Pathology and Audiology (Budget Reference: Volume II, Page 3208) I. Administration: Personal Service: Classified Positions $ 3,258 $ 3,258 (1) (1) Other Personal Service: Per Diem--Boards and Commissions 420 420 Temporary Positions 42 42 ----------- ----------- Total Personal Service $ 3,720 $ 3,720 Other Operating Expenses: Contractual Services $ 891 $ 891 Supplies 420 420 Fixed Charges and Contributions 92 92 Travel 682 682 ----------- ----------- Total Other Operating Expenses $ 2,085 $ 2,085 ----------- ----------- Total Administration $ 5,805 $ 5,805 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 114 $ 114 ----------- ----------- Total Personal Service $ 114 $ 114 ----------- ----------- Total Salary Increments $ 114 $ 114 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 454 $ 454 ----------- ----------- Total Fringe Benefits $ 454 $ 454 ----------- ----------- Total State Employer Contributions $ 454 $ 454 =========== =========== Total Employee Benefits $ 568 $ 568 =========== =========== Total Sp. Path. and Audi. Ex. Bd. $ 6,373 $ 6,373 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 40-67-10 through 40- 67-190, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 113 Board of Veterinary Medical Examiners (Budget Reference: Volume II, Page 3220) I. Administration: Personal Service: Classified Position $ 4,713 $ 4,713 (1) (1) Other Personal Service: Per Diem--Board and Commission 1,300 1,300 ----------- ----------- Total Personal Service $ 6,013 $ 6,013 Other Operating Expenses: Contractual Services $ 1,275 $ 1,275 Supplies 550 550 Fixed Charges and Contributions 185 185 Travel 1,222 1,222 ----------- ----------- Total Other Operating Expenses $ 3,232 $ 3,232 ----------- ----------- Total Administration $ 9,245 $ 9,245 =========== =========== II. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 165 $ 165 ----------- ----------- Total Personal Service $ 165 $ 165 ----------- ----------- Total Salary Increments $ 165 $ 165 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 641 $ 641 ----------- ----------- Total Fringe Benefits $ 641 $ 641 ----------- ----------- Total State Employer Contributions $ 641 $ 641 =========== =========== Total Employee Benefits $ 806 $ 806 =========== =========== Total Veterinary Medical Examining Board $ 10,051 $ 10,051 =========== =========== Total Authorized Positions (1) (1) Provided, That notwithstanding provisions of Sections 40-69-10 through 40- 69-220, Code of Laws, 1976, all revenues and income from licenses, examination fees, other fees, sale of commodities and services, and income derived from any other Board or Commission source or activity shall be remitted to the State Treasurer as collected, when practicable, but at least once each week, and shall be credited to the General Fund of the State. Provided, Further, all assessments, fees and/or licenses shall be levied in an amount sufficient to at least equal the amount appropriated in this section. SECTION 114 Aeronautics Commission (Budget Reference: Volume II, Page 3233) I. Administration: Personal Service: Director $ 34,357 $ 34,357 (1) (1) Classified 139,383 139,383 (8) (8) Other Personal Service: Temporary Positions 5,213 5,213 Per DieM-Boards and Commissions 6,000 6,000 ----------- ----------- Total Personal Service $ 184,953 $ 184,953 Other Operating Expenses: Contractual Services $ 79,798 $ 79,798 Supplies 34,473 34,473 Fixed Charges and Contributions 11,700 11,700 Travel 35,000 35,000 ----------- ----------- Total Other Operating Expenses $ 160,971 $ 160,971 Special Items: Planning Grants $ 10,000 $ 10,000 ----------- ----------- Total Special Items $ 10,000 $ 10,000 ----------- ----------- Total Administration $ 355,924 $ 355,924 =========== =========== II. Airport Safety Maintenance: Personal Service: Classified Positions $ 157,506 $ 157,506 (15) (15) Other Personal Service: Overtime and Shift Differential 585 585 ----------- ----------- Total Personal Service $ 158,091 $ 158,091 Other Operating Expenses: Contractual Services $ 39,200 $ 39,200 Supplies 58,000 58,000 Fixed Charges and Contributions 30,903 30,903 ----------- ----------- Total Other Operating Expenses $ 128,103 $ 128,103 Special Items: Aircraft Equipment and Operations $ 351,211 $ 313,211 Navigational Aids and Planning 10,000 10,000 Aircraft Repairs--Engines 25,000 25,000 Emergency Airport Repairs-Major 20,000 20,000 ----------- ----------- Total Special Items $ 406,211 $ 368,211 ----------- ----------- Total Airport Safety Maintenance $ 692,405 $ 654,405 =========== =========== III. Regulation and Inspection: Personal Service: Classified Positions $ 143,002 $ 143,002 (8) (8) ----------- ----------- Total Personal Service $ 143,002 $ 143,002 ----------- ----------- Total Regulation and Inspection $ 143,002 $ 143,002 =========== =========== IV. Civil Air Patrol: Personal Service: Classified Positions $ 14,313 $ 14,313 (2) (2) ----------- ----------- Total Personal Service $ 14,313 $ 14,313 Other Operating Expenses: Other Operating Expenses $ 66,970 $ 66,970 Total Other Operating Expenses $ 66,970 $ 66,970 Total Civil Air Parol $ 81,283 $ 81,283 =========== =========== V. Aviation Education: Other Operating Expenses: Contractual Services $ 15,800 $ 15,800 Supplies 2,774 2,774 Scholarships 4,000 4,000 ----------- ----------- Total Other Operating Expenses $ 22,574 $ 22,574 ----------- ----------- Total Aviation Education $ 22,574 $ 22,574 =========== =========== VII. Special Programs: A. Cont. Airport Sys. Pln. Photo.: Classified Positions $ 37,738 $ 31,375 (2) (2) ----------- ----------- Total Personal Service $ 37,738 $ 31,375 Other Operating Expenses: Contractual Services $ 21,603 $ 7,500 Supplies 4,700 2,500 Fixed Charges and Contributions 16,000 14,000 Travel 11,000 2,000 ----------- ----------- Total Other Operating Expenses $ 53,303 $ 26,000 Special Items: Airport Inspection Program $ 12,000 $ ----------- ----------- Total Special Items $ 12,000 $ ----------- ----------- Total Continuous Airport System $ 103,041 $ 57,375 =========== =========== Total Special Programs $ 103,041 $ 57,375 =========== =========== VIII. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 12,484 $ 12,233 ----------- ----------- Total Personal Service $ 12,484 $ 12,233 ----------- ----------- Total Salary Increments $ 12,484 $ 12,233 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 87,569 $ 86,423 ----------- ----------- Total Fringe Benefits $ 87,569 $ 86,423 ----------- ----------- Total State Employer Contributions $ 87,569 $ 86,423 =========== =========== Total Employee Benefits, $ 100,053 $ 98,656 =========== =========== Total Aeronautics Commission $ 1,498,282 $ 1,413,219 =========== =========== Total Authorized Positions (36) (36) Provided, That the funds appropriated in this section under program IV "Civil Air Patrol" shall be expended by the director so as to discharge the State's obligations in conjunction with the Civil Air Patrol as outlined in the SARDA Plan. The director shall further expend funds for the maintenance and acquisition of equipment which in his opinion Shall increase the Civil Air Patrol's ability to perform its mission as outlined in the SARDA Plan and may expend not more than fifteen per cent of the Patrol funds in the "CAP AERO-SPACE EDUCATION" and "cadet" Programs. The director may expend these funds to hire such administrative personnel as may be necessary to administer the above outlined programs. All expenditures for equipment and services shall be in accordance with State fiscal policies. Provided, Further, That any unexpended balances on June 30, 1980 of appropriations to the Commission for "State Aid for Airport Developments, Improvements and Repairs" may be carried forward and made available for the same purposes in 1980-81. Provided, Further, That any unexpended balance on June 30, 1980 of appropriations to the Commission for "Navigational Aids", "Planning", "Aircraft Repairs-Engines", "Photogrammetry-Continuous Airport System Plan" and "Emergency Airport Repairs-Major" may be carried forward into 1980-81 and expended for the same purposes. Provided, Further, That any unexpended balance on June 30, 1980 of appropriations to the Commission for studies may be carried forward into 1980-81 and expended for the same purposes. Provided, Further, That any unexpended balance on June 30, 1980 of appropriations to the Commission for "Airport Master Plan" may be carried forward and made available for the same purposes in 1980-81. Provided, Further, that any unexpended balance on June 30, 1980 of appropriations to the Commission for support of the "National Association of State Aviation Official Annual Convention" may be carried forward and made available for the same purposes in 1980-81. Provided, Further, That the Aeronautics Commission may retain and expend revenue derived from charges to agencies for service and supplies for operating purposes. SECTION 115 Public Railways Commission (Budget Reference: Volume II, Page 3255) I. Administration: Personal Service: Executive Director $ 50,853 $ 50,853 (1) (1) Unclassified Positions 156,861 124,837 (7) (7) Other Personal Service: Per Diem 2,088 1,370 ----------- ----------- Total Personal Service $ 209,802 $ 177,060 Other Operating Expenses: Contractual Services $ 21,012 $ 13,253 Supplies 7,920 2,000 Fixed Charges and Contributions 47,740 40,220 Travel 8,000 ----------- ----------- Total Other Operating Expenses $ 84,672 $ 55,473 ----------- ----------- Total Administration $ 294,474 $ 232,533 =========== =========== II. Operations: Personal Service: Unclassified Positions $ 538,295 $ (26) Other Personal Service: Overtime 12,000 Other (Extra Board) 30,000 ----------- ----------- Total Personal Service $ 580,295 $ Other Operating Expenses: Contractual Services $ 15,750 $ Supplies 57,000 Fixed Charges and Contributions 55,833 Travel 750 ----------- ----------- Total Other Operating Expenses $ 129,333 $ ----------- ----------- Total Operations $ 709,628 $ =========== =========== III. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 170,308 $ 32,024 ----------- ----------- Total Fringe Benefits $ 170,308 $ 32,024 ----------- ----------- Total State Employer Contributions $ 170,308 $ 32,024 =========== =========== Total Employee Benefits $ 170,308 $ 32,024 =========== =========== Total Public Railways Commission $ 1,174,410 $ 264,557 =========== =========== Total Authorized Positions (34) (8) Provided, That, any provision of law to the contrary not withstanding, in recognition of the fact that the Railways Commission operates railroads for compensation and such railroads are "common carriers" subject to federal laws and regulations, and that the Commission as directors of such common carrier railroads must by federal law have ultimate and final responsibility to receive and disburse all assets of such railroads, all assets received or held by such railroads from operating revenues or any other sources shall be maintained in separate accounts and retained and disbursed only as approved by the Commission. Such separate accounts shall be on deposit with and maintained in separate accounts by the State Treasurer. SECTION 116 Department of Highways and Public Transportation (Interagency Council on Public Transportation) (Budget Reference: Volume II, Page 3269) I. Administration: A. General Program: Classified Positions $ 30,305 $ 30,305 (2) (2) Other Personal Service: Per Diem--Boards and Commissions 3,500 3,500 Temporary Positions 4,745 4,745 ----------- ----------- Total Personal Service $ 38,550 $ 38,550 Other Operating Expenses: Contractual Services $ 2,226 $ 2,226 Supplies 3,170 3,170 Fixed Charges and Contributions 645 645 Travel 5,552 5,552 ----------- ----------- Total Other Operating Expenses $ 11,593 $ 11,593 ----------- ----------- Total General Program $ 50,143 $ 50,143 =========== =========== B. Carpool/Vanpool Program: Classified Positions $ 24,004 $ 12,002 (2) (2) Other Personal Service: Temporary Positions 1,416 708 ----------- ----------- Total Personal Service $ 25,420 $ 12,710 Other Operating Expenses: Contractual Services $ 14,060 $ 7,030 Supplies 920 460 Fixed Charges and Contributions 964 482 Travel 54 27 ----------- ----------- Total Other Operating Expenses $ 15,998 $ 7,999 Special Items: Revolving Fund $ 6,734 $ 6,734 ----------- ----------- Total Special Items $ 6,734 $ 6,734 ----------- ----------- Total Carpool/Vanpool $ 48,152 $ 27,443 =========== =========== Total Administration $ 98,295 $ 77,586 =========== =========== II. Pilot Projects: Personal Service: Classified Positions $ 28,228 $ 28,228 (2) (2) ----------- ----------- Total Personal Service $ 28,228 $ 28,228 Other Operating Expenses: Contractual Services $ 168,309 $ 168,309 Supplies 1,300 1,300 Travel 3,700 3,700 ----------- ----------- Total Other Operating Expenses $ 173,309 $ 173,309 =========== =========== Total Pilot Projects $ 201,537 $ 201,537 III. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 79-80 $ 1,870 $ 1,631 ----------- ----------- Total Personal Service $ 1,870 $ 1,631 ----------- ----------- Total Salary Increments $ 1,870 $ 1,631 =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 14,680 $ 12,581 ----------- ----------- Total Fringe Benefits $ 14,680 $ 12,581 ----------- ----------- Total State Employer Contributions $ 14,680 $ 12,581 =========== =========== Total Employee Benefits $ 16,550 $ 14,212 =========== =========== Total Highway and Public Transportation $ 316,382 $ 293,335 =========== =========== Total Authorized Positions (6) (6) Provided, That any part of the $60,000 revolving fund for financial assistance to the Pee Dee Regional Transportation Authority, appropriated pursuant to Item 35, Section 1, Part II, of Act 194 of 1979, not expended during the 1979-80 fiscal year, may be carried over and used for such revolving fund and directed by the Department of Highways and Public Transportation. Provided, That if any funds appropriated pursuant to Section 116, Part I, of Act 199 of 1979, for public transportation pilot projects are not expended during the 1979-80 fiscal year, such funds may be carried over and used for such pilot projects (including a $60,000 revolving fund for financial assistance to the Santee-Wateree Regional Transportation Authority) as directed by the Department of Highways and Public Transportation. SECTION 117 Debt Service (Budget Reference: Volume II, Page 3286) Debt Service: I. Debt Service: Principal and Interest Payments: Agricultural College Stock--Interest $ 11,508 $ 11,508 Clemson Perpetual Stock--Interest 3,513 3,513 Institution Bonds 5,414,002 5,414,002 ----------- ----------- Total Institution Bonds $ 5,414,002 $ 5,414,002 School Bonds $ 17,375,583 $ 17,375,583 ----------- ----------- Total School Bonds $ 17,375,583 $ 17,375,583 Highway Bonds $ 13,277,470 $ 13,277,470 ----------- ----------- Total Highway Bonds $ 13,277,470 $ 13,277,470 State Ports Authority Bonds $ 202,750 $ 202,750 ----------- ----------- Total Ports Authority Bonds $ 202,750 $ 202,750 Capital Improvement Bonds $ 47,898,883 $ 47,898,883 ----------- ----------- Total Capital Improvement Bonds $ 47,898,883 $ 47,898,883 ----------- ----------- Total Principal and Interest $ 84,183,709 $ 84,183,709 =========== =========== Total Debt Service $ 84,183,709 $ 84,183,709 =========== =========== Provided, That the above appropriations shall be disbursed under the direction of the State Treasurer. Provided, Further, That any agency of the State government responsible by law for the collection of revenues or funds from any source to be annually applied to payments of interest and principal on general obligation bonds of the state shall remit such collections to the State Treasurer for credit to the State's General Fund and which shall constitute a reimbursement of appropriations made in this section. Provided, Further, That the General Assembly takes note of the fact that the foregoing figures reflect the estimated Debt Service Requirements of Bonds of the State for fiscal year 1980-81. It is not intended that their inclusion in this Act shall prevent the issuance of additional bonds pursuant to authorizations now or hereafter enacted. Provided, Further, That with the exception of the Agricultural College Stock and Clemson Perpetual Stock, bonded debt of the State issued prior to December 1, 1977 is supported by a pledge of a special fund (derived from taxes and other sources) and in each instance the monies derived from such taxes and other sources must be first applied to the payment of principal and interest on the bonds prior to the use for other purposes and that under the Statutes which authorized such bonds, it is the ministerial duty of the appropriate State officers and agencies to utilize the pledged revenues for the payment of the principal and interest of such bonds. Under the decisions of the Supreme Court of South Carolina, continuing appropriations have been made which cannot be diverted until all of the principal and interest on the bonds have been paid. Provided, Further, That in the instance of debt incurred subsequent to December 1, 1977, the General Assembly, in obedience to Paragraph 4 of Section 13 of Article X, has allocated on an annual basis sufficient tax revenues to provide for the punctual payment of the principal of and interest on such general obligation debt. Provided, Further, That the Budget and Control Board, after review of the Joint Bond Review Committee, is hereby authorized and directed to regulate the starting date of the various projects approved for funding through the issuance of Capital Improvement Bonds so as to insure that the appropriations for debt service on such bonds, as provided in this Section, shall be sufficient during fiscal year 1980-81. SECTION 118 Atlantic State Marine Fisheries (Budget Reference: Volume II, Page 3294) I. Administration: Other Operating Expenses: Fixed Charges and Contributions $ 3,400 $ 3,400 ----------- ----------- Total Other Operating Expenses $ 3,400 $ 3,400 ----------- ----------- Total Administration $ 3,400 $ 3,400 =========== =========== Total Atlantic States Marine Fisheries Commission $ 3,400 $ 3,400 =========== =========== SECTION 119 Judicial Council (Budget Reference: Volume II, Page 3298) I. Administration: Other Operating Expenses: Miscellaneous General Operations $ 20,000 $ 20,000 ----------- ----------- Total Other Operating Expenses $ 20,000 $ 20,000 ----------- ----------- Total Administration $ 20,000 $ 20,000 =========== =========== Total Judicial Council $ 20,000 $ 20,000 =========== =========== SECTION 120 Tax Study Commission (Budget Reference: Volume II, Page 3312) I. Administration: Personal Service: Unclassified Positions: Administrative Assistant (P) $ 19,642 $ 19,642 (1) (1) Other Personal Service: Per Diem--Boards and Commission 1,630 1,630 ----------- ----------- Total Personal Service $ 21,272 $ 21,272 Other Operating expenses: Contractual Services $ 3,806 $ 3,806 Supplies 860 860 Travel 3,260 3,260 ----------- ----------- Total Other Operating Expenses $ 7,926 $ 7,926 ----------- ----------- Total Administration $ 29,198 $ 29,198 =========== =========== II. Employer Benefits: A. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 3,078 $ 3,078 ----------- ----------- Total Fringe Benefits $ 3,078 $ 3,078 ----------- ----------- Total State Employer Contributions $ 3,078 $ 3,078 =========== =========== Total Employee Benefits $ 3,078 $ 3,078 =========== =========== Total Tax Study Commission $ 32,276 $ 32,276 =========== =========== Total Authorized Positions (1) (1) SECTION 121 Committee on Uniform State Laws (Budget Reference: Volume II, Page 3322) I. Administration: Other Operating Expenses: Travel $ 5,400 $ 5,400 ----------- ----------- Total Other Operating Expenses $ 5,400 $ 5,400 ----------- ----------- Total Administration $ 5,400 $ 5,400 =========== =========== Total Committee on Uniform State Laws $ 5,400 $ 5,400 =========== =========== SECTION 122 Workmen's Compensation Laws Advisory Council (Budget Reference: Volume II, Page 3329) I. Administration: Other Personal Service: Per Diem $ 725 $ 725 ----------- ----------- Total Personal Service $ 725 $ 725 Other Operating Expenses: Travel $ 625 $ 625 Contractual Services 375 375 ----------- ----------- Total Other Operating Expenses $ 1,000 $ 1,000 ----------- ----------- Total Administration $ 1,725 $ 1,725 =========== =========== II. Nonrecurring Appropriations: Per Diem $ 500 $ 500 Travel 500 500 ----------- ----------- Total Nonrecurring Appropriations $ 1,000 $ 1,000 =========== =========== Total Workmen's Compensation Advisory Council $ 2,725 $ 2,725 =========== =========== SECTION 123 S. C. Tobacco Advisory Commission (Budget Reference: Volume II, Page 3338) I. Administration: Personal Service: Unclassified Position: Page (PPT) $ 2,600 $ 2,600 (1) (1) Other Personal Service: Per Diem--Boards and Commissions 1,880 1,880 ----------- ----------- Total Personal Service $ 4,480 $ 4,480 Other Operating Expenses: Supplies $ 180 180 Travel 2,664 2,664 ----------- ----------- Total Other Operating Expenses $ 2,844 $ 2,844 ----------- ----------- Total Administration $ 7,324 $ 7,324 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 176 $ 176 ----------- ----------- Total Fringe Benefits $ 176 $ 176 ----------- ----------- Total State Employer Contributions $ 176 $ 176 =========== =========== Total Employee Benefits $ 176 $ 176 =========== =========== Total S.C. Tobacco Advisory Commission $ 7,500 $ 7,500 =========== =========== Total Authorized Positions (1) (1) SECTION 124 Committee to Study Public and Private Services, Programs and Facilities for Aging (Budget Reference: Volume II, Page 3346) I. Administration: Personal Service: Unclassified Positions: Director of Research and Administration (P) $ 19,000 $ 19,000 (1) (1) Clerk-Typist (PTT) 1,735 1,735 (1) (1) Other Personal Service: Per Diem 1,330 1,330 ----------- ----------- Total Personal Service $ 22,065 $ 22,065 Other Operating Expenses: Contractual Services $ 1,003 $ 1,003 Supplies 520 520 Fixed Charges and Contributions 25 25 Travel 800 800 ----------- ----------- Total Other Operating Expenses $ 2,348 $ 2,348 ----------- ----------- Total Administration $ 24,413 $ 24,413 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 3,230 $ 3,230 ----------- ----------- Total Fringe Benefits $ 3,230 $ 3,230 ----------- ----------- Total State Employer Contributions $ 3,230 $ 3,230 =========== =========== Total Employee Benefits $ 3,230 $ 3,230 =========== =========== Total Commission to Study Public and Private Services, Program and Facilities for Aging $ 27,643 $ 27,643 =========== =========== Total Authorized Positions (2) (2) SECTION 125 Agriculture Study Committee (Budget Reference: Volume II, Page 3357) I. Administration: Personal Service: Other Personal Service: Per Diem $ 4,665 $ 4,665 ----------- ----------- Total Personal Service $ 4,665 $ 4,665 Other Operating Expenses: Supplies $ 812 $ 812 Fixed Charges and Contributions 100 100 Travel 9,423 9,423 ----------- ----------- Total Other Operating Expenses $ 10,335 $ 10,335 ----------- ----------- Total Administration $ 15,000 $ 15,000 =========== =========== Total Agriculture Study Committee $ 15,000 $ 15,000 =========== =========== SECTION 126 Automobile Liability Insurance Study Committee (Budget Reference: Volume II, Page 3364) I. Administration: Personal Service: Unclassified Positions: Page (T) $ 1,950 $ 1,950 (1) (1) Page (T) 1,950 1,950 (1) (1) Other Personal Services: Per Diem 3,793 3,793 ----------- ----------- Total Personal Service $ 7,693 $ 7,693 Other Operating Expenses: Contractual Services $ 1,858 $ 1,858 Supplies 435 435 Travel 5,749 5,749 ----------- ----------- Total Other Operating Expenses $ 8,042 $ 8,042 ----------- ----------- Total Administration $ 15,735 $ 15,735 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 265 $ 265 ----------- ----------- Total Fringe Benefits $ 265 $ 265 ----------- ----------- Total State Employer Contributions $ 265 $ 265 =========== =========== Total Employee Benefits $ 265 $ 265 =========== =========== Total Automobile Liability Insurance Study Committee $ 16,000 $ 16,000 =========== =========== Total Authorized Positions (2) (2) SECTION 127 Committee on Consumer Affairs (Budget Reference: Volume II, Page 3374) I. Administration: Personal Service: Other Personal Service: Per Diem $ 3,500 $ 3,500 ----------- ----------- Total Personal Service $ 3,500 $ 3,500 Other Operating Expenses: Contractual Services $ 25,360 $ 25,360 Travel 1,140 1,140 ----------- ----------- Total Other Operating Expenses $ 26,500 $ 26,500 ----------- ----------- Total Administration $ 30,000 $ 30,000 =========== =========== Total Committee on Consumer Affairs $ 30,000 $ 30,000 =========== =========== SECTION 128 S.C. Crime Study Committee (Budget Reference: Volume II, Page 3389) I. Administration: Personal Service: Unclassified Position: Committee Clerk (PTT) $ 2,500 $ 2,500 Other Personal Service: Per Diem 300 300 ----------- ----------- Total Personal Service $ 2,800 $ 2,800 Other Operating Expenses: Travel $ 30 $ 30 ----------- ----------- Total Other Operating Expenses $ 30 $ 30 ----------- ----------- Total Administration $ 2,830 $ 2,830 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 170 $ 170 ----------- ----------- Total Fringe Benefits $ 170 $ 170 ----------- ----------- Total State Employer Contributions $ 170 $ 170 =========== =========== Total Employee Benefits $ 170 $ 170 =========== =========== Total S.C. Crime Study Committee $ 3,000 $ 3,000 =========== =========== Total Authorized Positions (1) (1) SECTION 129 Education Study Committee (Budget Reference: Volume II, Page 3391) I. Administration: Total Funds General Funds ----------------------------- Personal Service: Unclassified Positions: Page (T) $ 1,667 $ 1,667 (1) (1) Page (T) 1,667 1,667 (1) (1) Page (T) 1,666 1,666 (1) (1) Other Personal Service: Per Diem 4,000 4,000 ----------- ----------- Total Personal Service $ 9,000 $ 9,000 Other Operating Expenses: Travel $ 3,760 $ 3,760 Contractual Services 800 800 Supplies 1,100 1,100 ----------- ----------- Total Other Operating Expenses $ 5,660 $ 5,660 ----------- ----------- Total Administration $ 14,660 $ 14,660 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 340 $ 340 ----------- ----------- Total Fringe Benefits $ 340 $ 340 ----------- ----------- Total State Employer Contributions $ 340 $ 340 =========== =========== Total Employee Benefits $ 340 $ 340 =========== =========== Total Education Study Committee $ 15,000 $ 15,000 =========== =========== Total Authorized Positions (3) (3) SECTION 130 Election Laws Study Commission (Budget Reference: Volume II, Page 3400) SECTION 131 Electronic Transmission Study Committee (Budget Reference: Volume II, Page 3407) SECTION 132 Forest Study Committee (Budget Reference: Volume II, Page 3414) SECTION 183 Higher Education Study Committee (Budget Reference: Volume II, Page 3423) SECTION 134 Insurance Law Study Committee (Budget Reference: Volume II, Page 3428) I. Administration: Unclassified Positions: Page (T) $ 1,950 $ 1,950 (1) (1) Page (T) 1,950 1,950 (1) (1) Other Personal Service: Per Diem 3,418 3,418 ----------- ----------- Total Personal Service $ 7,318 $ 7,318 Other Operating Expenses: Contractual Services $ 1,450 $ 1,450 Supplies 390 390 Fixed Charges and Contributions 500 500 Travel 5,077 5,077 ----------- ----------- Total Other Operating Expenses $ 7,417 $ 7,417 ----------- ----------- Total Administration $ 14,735 $ 14,735 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 265 $ 265 ----------- ----------- Total Fringe Benefits $ 265 $ 265 ----------- ----------- Total State Employer Contributions $ 265 $ 265 =========== =========== Total Employee Benefits $ 265 $ 265 =========== =========== Total Insurance Law Study Committee $ 15,000 $ 15,000 =========== =========== Total Authorized Positions (2) (2) SECTION 135 Judicial System Study Committee (Budget Reference: Volume II, Page 3437) SECTION 136 Local Government Study Committee (Budget Reference: Volume II, Page 3443) I. Administration: Personal Service: Unclassified Position: Committee Clerk (PTT) $ 1,000 $ 1,000 (1) (1) Other Personal Service: Per Diem 600 600 ----------- ----------- Total Personal Service $ 1,600 $ 1,600 Other Operating Expenses: Supplies $ 32 $ 32 Travel 1,300 1,300 ----------- ----------- Total Other Operating Expenses $ 1,332 $ 1,332 ----------- ----------- Total Administration $ 2,932 $ 2,932 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 68 $ 68 ----------- ----------- Total Fringe Benefits $ 68 $ 68 ----------- ----------- Total State Employer Contributions $ 68 $ 68 =========== =========== Total Employee Benefits $ 68 $ 68 =========== =========== Total Local Government Study Committee $ 3,000 $ 3,000 =========== =========== Total Authorized Positions (1) (1) SECTION 137 Medical Care Study Committee (Budget Reference: Volume II, Page 3452) SECTION 138 Mental Health and Retardation Committee (Budget Reference: Volume II, Page 3461) I. Administration: Personal Service: Unclassified Positions: Research Director (P) $ 21,000 $ 21,000 (1) (1) New Position: Secretary (P) 10,000 10,000 (1) (1) Other Personal Service: Per Diem 1,673 1,673 Temporary Positions 2,000 2,000 ----------- ----------- Total Personal Service $ 34,673 $ 34,673 Other Operating Expenses: Contractual Services $ 1,500 $ 1,500 Supplies 150 150 Travel 3,904 3,904 ----------- ----------- Total Other Operating Expenses $ 5,554 $ 5,554 ----------- ----------- Total Administration $ 40,227 $ 40,227 =========== =========== II. Employee Benefits: Fringe Benefits: State Employer Contributions $ 3,403 $ 3,403 ----------- ----------- Total Fringe Benefits 3,403 $ 3,403 ----------- ----------- Total State Employer Contributions $ 3,403 $ 3,403 =========== =========== Total Employee Benefits $ 3,403 $ 3,403 =========== =========== Total Mental Health and Mental Retardation $ 43,630 $ 43,630 =========== =========== Total Authorized Positions (2) (2) SECTION 139 State Employees Employment Committee (Budget Reference: Volume II, Page 3477) I. Administration: Personal Service: Unclassified Position: Committee Clerk (PTT) $ 3,000 $ 3,000 (1) (1) Other Personal Service: Per Diem 1,200 1,200 ----------- ----------- Total Personal Service $ 4,200 $ 4,200 Other Operating Expenses: Travel $ 3,000 $ 3,000 Supplies 300 300 Contractual Services 17,296 17,296 ----------- ----------- Total Other Operating Expenses $ 20,596 $ 20,596 ----------- ----------- Total Administration $ 24,796 $ 24,796 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 204 $ 204 ----------- ----------- Total Fringe Benefits $ 204 $ 204 ----------- ----------- Total State Employer Contributions $ 204 $ 204 =========== =========== Total Employee Benefits $ 204 $ 204 =========== =========== Total State Employees Employment Committee $ 25,000 $ 25,000 =========== =========== Total Authorized Positions (1) (1) SECTION 140 Social Services Advisory Committee (Budget Reference: Volume II, Page 3486) I. Administration: Personal Service: Unclassified Position: Other Personal Service: Per Diem $ 315 $ 315 ----------- ----------- Total Personal Service $ 315 $ 315 Other Operating Expenses: Contractual Services $ 28 $ 28 Supplies 242 242 Fixed Charges and Contributions 1,344 1,344 Travel 3,630 3,630 ----------- ----------- Total Other Operating Expenses $ 5,244 $ 5,244 Special Items: Matching Federal Program $ 8,347 $ 8,347 ----------- ----------- Total Special Items $ 8,347 $ 8,347 ----------- ----------- Total Administration $ 13,906 $ 13,906 =========== =========== Total Social Services Advisory Committee $ 13,906 $ 13,906 =========== =========== SECTION 141 Textile Study Committee (Budget Reference: Volume II, Page 3494) I. Administration: Personal Service: Unclassified Positions: Page (T) $ 1,000 $ 1,000 (1) (1) Page (T) 2,250 2,250 (1) (1) Page (T) 1,650 1,650 (1) (1) Page (T) 1,650 1,650 (1) (1) Page (T) 575 575 (1) (1) Other Personal Service: Per Diem 950 950 ----------- ----------- Total Personal Service $ 8,075 $ 8,075 Other Operating Expenses: Contractual Services $ 40 $ 40 Supplies 45 45 Travel 1,057 1,057 Fixed Charges and Contributions 300 300 ----------- ----------- Total Other Operating Expenses $ 1,442 $ 1,442 ----------- ----------- Total Administration $ 9,517 $ 9,517 =========== =========== II. Employee Benefits: State Employer Contributions: Fringe Benefits: State Employer Contributions $ 483 $ 483 ----------- ----------- Total Fringe Benefits $ 483 $ 483 ----------- ----------- Total State Employer Contributions $ 483 $ 483 =========== =========== Total Employee Benefits $ 483 $ 483 =========== =========== Total Textile Study Committee $ 10,000 $ 10,000 =========== =========== Total Authorized Positions (5) (5) SECTION 142 Committee on Tourism (Budget Reference: Volume II, Page 3502) I. Administration: Personal Service: Other Personal Service: Per Diem $ 2,625 $ 2,625 Temporary Positions 2,595 2,595 ----------- ----------- Total Personal Service $ 5,220 $ 5,220 Other Operating Expenses: Contractual Services $ 300 $ 300 Travel 8,104 8,104 ----------- ----------- Total Other Operating Expenses $ 8,404 $ 8,404 ----------- ----------- Special Items: Miscellaneous General Operations $ 5,000 $ 5,000 ----------- ----------- Total Special Items $ 5,000 $ 5,000 =========== =========== Total Administration $ 18,624 $ 18,624 =========== =========== II. Employee Benefits: B. State Employer Contributions: State Employer Contributions $ 176 $ 176 ----------- ----------- Total State Employer Contributions $ 176 $ 176 =========== =========== Total Employee Benefits $ 176 $ 176 =========== =========== Total Committee on Tourism $ 18,800 $ 18,800 =========== =========== SECTION 143 Public Transportation Study Committee (Budget Reference: Volume II, Page 3513) I. Administration: Personal Service: Unclassified Positions: Research Assistant (PPT) $ 4,680 $ 4,680 (1) (1) Other Personal Service: Per Diem 630 630 ----------- ----------- Total Personal Service $ 5,310 $ 5,310 Other Operating Expenses: Contractual Services $ 895 $ 895 Supplies 524 524 Travel 380 380 ----------- ----------- Total Other Operating Expenses $ 1,799 $ 1,799 ----------- ----------- Total Administration $ 7,109 $ 7,109 =========== =========== II. Employee Benefits: State Employer Contributions: Fringe Benefits: State Employer Contributions $ 391 $ 391 ----------- ----------- Total State Employer Contributions $ 391 $ 391 ----------- ----------- Total Employee Benefits $ 391 $ 391 =========== =========== Total Public transportation Study Committee $ 7,500 $ 7,500 =========== =========== Total Authorized Positions (1) (1) SECTION 144 Water Resources Study Committee (Budget Reference: Volume II, Page 3523) I. Administration: Other Personal Service: Per Diem $ 840 $ 840 ----------- ----------- Total Personal Service $ 840 $ 840 Other Operating Expenses: Supplies $ 448 $ 448 Travel 1,212 1,212 ----------- ----------- Total Other Operating Expenses $ 1,660 $ 1,660 ----------- ----------- Total Administration $ 2,500 $ 2,500 =========== =========== Total Water Resources Study Committee $ 2,500 $ 2,500 =========== =========== SECTION 145 Workmen's Compensation Study Committee (Budget Reference: Volume II, Page 3530) I. Administration: Personal Service: Unclassified Positions: Administrative Assistant (P) $ 11,000 $ 11,000 (1) (1) Research Assistant (PPT) 2,400 2,400 (1) (1) Other Personal Service: Per Diem 639 639 ----------- ----------- Total Personal Service $ 14,039 $ 14,039 Special Items: Miscellaneous General Operations $ 1,725 $ 1,725 ----------- ----------- Total Special Items $ 1,725 $ 1,725 =========== =========== Total Administration $ 15,764 $ 15,764 =========== =========== II. Employee Benefits: State Employer Contributions: State Employer Contributions $ 2,211 $ 2,211 ----------- ----------- Total State Employer Contributions $ 2,211 $ 2,211 ----------- ----------- Total Employee Benefits $ 2,211 $ 2,211 =========== =========== Total Workmen's Compensation Study Committee $ 17,975 $ 17,975 =========== =========== Total Authorized Positions (2) (2) SECTION 146 Alcohol and Drug Abuse Committee (Budget Reference: Volume II, Page 3546) I. Administration: Personal Service: Unclassified Position: Administrative Assistant (P) $ 10,429 $ 10,429 (1) (1) Other Personal Service: Per Diem 2,135 2,135 ----------- ----------- Total Personal Service $ 12,564 $ 12,564 Other Operating Expenses: Contractual Services $ 632 $ 632 Supplies 595 595 Travel 661 661 ----------- ----------- Total Other Operating Expenses $ 1,888 $ 1,888 ----------- ----------- Total Administration $ 14,452 $ 14,452 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 1,798 $ 1,798 ----------- ----------- Total Fringe Benefits $ 1,798 $ 1,798 ----------- ----------- Total State Employer Contributions $ 1,798 $ 1,798 =========== =========== Total Employee Benefits $ 1,798 $ 1,798 =========== =========== Total Alcohol and Drug Abuse Committee $ 16,250 $ 16,250 =========== =========== Total Authorized Positions (1) (1) SECTION 147 Continuing Committee on Retirement System (Budget Reference: Volume II, Page 3556) I. Administration: Personal Service: Unclassified: Page (PTT) $ 3,469 $ 3,469 (1) (1) Other Personal Service: Per Diem 200 200 ----------- ----------- Total Personal Service $ 3,669 $ 3,669 Other Operating Expenses: Supplies $ 100 $ 100 Travel 7,995 7,995 ----------- ----------- Total Other Operating Expenses $ 8,095 $ 8,095 ----------- ----------- Total Administration $ 11,764 $ 11,764 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 236 $ 236 ----------- ----------- Total Fringe Benefits $ 236 $ 236 ----------- ----------- Total State Employer Contributions $ 236 $ 236 =========== =========== Total Employee Benefits $ 236 $ 236 =========== =========== Total Continuing Committee on Retirement System $ 12,000 $ 12,000 =========== =========== Total Authorized Positions (1) (1) SECTION 148 Joint Legislative Committee to Study Problems of the Handicapped (Budget Reference: Volume II, Page 3565) I. Administration: Personal Service: Other Personal Service: Per Diem $ 3,465 $ 3,465 ----------- ----------- Total Personal Service $ 3,465 $ 3,465 Other Operating Expenses: Contractual Services $ 400 $ 400 Supplies 1,035 1,035 Travel 5,100 5,100 ----------- ----------- Total Operating Expenses $ 6,535 $ 6,535 ----------- ----------- Total Administration $ 10,000 $ 10,000 =========== =========== Total Joint Legislative Committee to Study Problems of the Handicapped $ 10,000 $ 10,000 =========== =========== SECTION 149 Joint Legislative Committee on Children (Budget Reference: Volume II, Page 3579) I. Administration: Personal Service: Unclassified Position: Secretary (P) $ 13,100 $ (1) New Positions: Juvenile Specialist (T) 10,111 10,111 (1) (1) Legislative Specialist (T) 10,000 10,000 (1) (1) Other Personal Service: Per Diem 2,520 2,520 Temporary Positions 4,500 ----------- ----------- Total Personal Service $ 40,342 $ 22,742 Other Operating Expenses: Contractual Services $ 5,066 $ 4,066 Supplies 2,024 Travel 11,336 9,836 ----------- ----------- Total Other Operating Expenses $ 18,426 $ 13,902 ----------- ----------- Total Administration $ 58,768 $ 36,644 =========== =========== II. Employee Benefits: B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 2,476 $ ----------- ----------- Total Fringe Benefits $ 2,476 $ ----------- ----------- Total State Employer Contributions $ 2,476 $ =========== =========== Total Employee Benefits $ 2,476 $ =========== =========== Total Joint Legislative Committee on Children $ 61,244 $ 36,644 =========== =========== Total Authorized Positions (3) (2) SECTION 150 Task Force Committee on Structural Authority of State Government (Budget Reference: Volume II, Page 3592) I. Administration: Personal Service: Director (P) $ 18,500 $ 18,500 (1) (1) Other Personal Service: Per Diem 1,100 1,100 Temporary Positions 508 508 ----------- ----------- Total Personal Service $ 20,108 $ 20,108 Other Operating Expenses: Contractual Services $ 3,019 $ 3,019 Supplies 850 850 Fixed Charges and Contributions 500 500 Travel 2,138 2,138 ----------- ----------- Total Other Operating Expenses $ 6,507 $ 6,507 ----------- ----------- Total Administration $ 26,615 $ 26,615 =========== =========== II. Employee Benefits: State Employer Contributions: Fringe Benefits: State Employer Contribution $ 2,955 $ 2,955 ----------- ----------- Total Fringe Benefits $ 2,955 $ 2,955 ----------- ----------- Total State Employer Contributions $ 2,955 $ 2,955 =========== =========== Total Employee Benefits $ 2,955 $ 2,955 =========== =========== Total Task Force Committee on Structural Authority of State Government $ 29,570 $ 29,570 =========== =========== Total Authorized Positions (1) (1) SECTION 151 Catawba Indian Reservation Study Committee (Budget Reference: Volume II, Page 3601) I. Administration: Other Personal Service: Per Diem $ 735 $ 735 Total Personal Service $ 735 $ 735 Other Operating Expenses: Travel $ 1,265 $ 1,265 Total Other Operating Expenses $ 1,265 $ 1,265 Total Administration $ 1,265 $ 1,265 Total Catawba Indian Study Committee $ 2,000 $ 2,000 SECTION 152 Committee to Study State Bidding Practices (Budget Reference: Volume II, Page 3608) I. Administration: Other Personal Service: Per Diem $ 2,000 $ 2,000 ----------- ----------- Total Personal Service $ 2,000 $ 2,000 Other Operating Expenses: Travel $ 3,000 $ 3,000 ----------- ----------- Total Other Operating Expenses $ 3,000 $ 3,000 ----------- ----------- Total Administration $ 5,000 $ 5,000 =========== =========== Total Committee to Study State Bidding Practices $ 5,000 $ 5,000 =========== =========== SECTION 153 Intergovernmental Relations Study Committee (Budget Reference: Volume II, Page 3614) I. Administration: Other Operating Expenses: Travel $ 5,000 $ 5,000 ----------- ----------- Total Other Operating Expenses $ 5,000 $ 5,000 ----------- ----------- Total Administration $ 5,000 $ 5,000 =========== =========== Total Intergovernmental Relations Study Committee $ 5,000 $ 5,000 =========== =========== SECTION 154 Committee on Biennial Budgets (Budget Reference: Volume II, Page 3618) SECTION 154 Internal Security Committee I. Administration: Other Operating Expenses: Contractual Services $ 3,000 $ 3,000 Travel 2,000 2,000 ----------- ----------- Total Other Operating Expenses $ 5,000 $ 5,000 ----------- ----------- Total Administration $ 5,000 $ 5,000 =========== =========== Total Internal Security Committee $ 5,000 $ 5,000 =========== =========== Provided, That the State Auditor shall annually audit the appropriations in Sections 118 through 154A and make a report to the General Assembly of such audit. Provided, Further, That warrants for the disbursement of the appropriation to Atlantic States Marine Fisheries Commission in Section 118 shall be approved by the Executive Committeeman from South Carolina. Provided, Further, That funds appropriated for the Judicial Council may be used for the purposes of employing staff members and for other operational expenses of the Council. Provided, Further, That all Legislative Committees for which funding is provided in Sections 118 through 154A are authorized to continue operating during the fiscal year 1980-81 under the same laws, resolutions, rules or regulations which provided for their operations during the fiscal year 1979- 80. Provided, Further, That the State Employees Employment Committee shall study the present Classification and Compensation Plan relating to policies and procedures for awarding and paying merit increments and shall cooperate with the Budget and Control Board in the development of a recommended plan to be presented to the General Assembly during the 1981 session. Provided, Further, That a committee is hereby created to make a study of the State Bidding Practices. The committee shall consist of nine members, three of whom shall be members of the House of Representatives, to be appointed by the Speaker, three of whom Shall be members of the Senate, to be appointed by the President, and three members shall be appointed by the Governor. The Legislative Council shall provide such professional services as the committee may require. The members of the committee shall be allowed the usual subsistence, mileage and per diem as provided by law for members of boards, committees and commissions. Provided, Further, That so much as may be needed of the $25,000 appropriated in Section 127 for the Committee on Consumer Affairs shall be used to engage consultants approved by the Budget and Control Board to conduct a thorough study of all existing statutory provisions relating to interest rates in order to simplify such statutory provisions and to remove inconsistencies. Provided, Further, That a committee of nine members is created to study intergovernmental relations and legal and Legislative matters pertaining to local government. The committee shall be known as Intergovernmental Relations Study Committee. Three members shall be appointed from the House Ways and Means Committee by the Chairman of the Ways and Means Committee, three members from the Senate Finance Committee by the Chairman of the Senate Finance Committee and three members by the Governor. The members of the Intergovernmental Relations Study Committee shall be allowed the usual per diem and travel expenses as provided by law for members of committees, to be paid from an appropriation in Section 153. The Committee shall make a report during the 1981 session of the General Assembly. Provided, That the Committee on Tourism and Trade shall have the responsibility for coordinating the efforts of the State Development Board and the South Carolina Department of Agriculture in the development of international agriculture and agro business markets. Provided, That any unexpended balance from 1979-80 appropriations for the committee on Biennial Budgets on June 30, 1980, may be carried forward into 1980-81 and expended for the same purposes. Provided, That the Joint Legislative Committee on Children shall expend unclassified state personnel funds for a Legislative Specialist and Juvenile Justice Specialist only if grant funds are not available. Provided, That the Task Force Committee is authorized to carry forward any funds appropriated to it for fiscal year 1979-80 and not expended during that period in an amount not to exceed $10,000.00 for use by the committee in fiscal year 1980-81; Provided, Further, That such carried over funds shall be used for the purposes of printing, editing and indexing. SECTION 155 Contributions (Budget Reference: Volume II, Page 3622) I. Contributions: Special Items: Another Way, Inc.--Union County $ 4,382 $ 4,382 Boys Home of the South--Belton 4,382 4,382 Carolina Children's Home--Columbia 35,000 35,000 Charleston Civic Ballet Company 1,500 1,500 Council of State Government--Dues 37,560 37,560 Department of Education- -Septima Clark 5,000 5,000 Education Commission of the State 22,500 22,500 Florence Crittenton Home- -Charleston 15,000 15,000 Granby Society for Historic Preservation 5,000 5,000 Historic Association of Newberry County 5,000 5,000 Interstate Mining Compact--Dues 6,029 6,029 Jenkins Orphanage--Charleston 25,000 25,000 Laurens Octagon House Restoration 5,000 5,000 Museum of the Confederacy--Richmond 92 92 National Center of State Courts--Dues 8,250 8,250 Commission on Uniform State Laws--Dues 6,710 6,710 National Governor's Association- -Dues 39,892 39,892 National Conference of State Legislators 30,750 30,750 Oak Grove Children's Center 15,000 15,000 Oakley Park Red Shirt Shrine 6,000 6,000 Phillis Wheatley Association 4,600 4,600 Poet Laureate 1,200 1,200 Riverbanks Zoological Gardens--Columbia 100,000 100,000 Santee-Cooper Counties Promotion Committee 50,600 50,600 S.C. Festival of Flowers Greenwood 18,000 18,000 S.C. Hall of Fame--Myrtle Beach 5,000 5,000 S.C. Lions Sight Conservation 10,000 10,000 Southern Growth Policies Board--Dues 29,000 29,000 Southern Interstate Nuclear Board 10,513 10,513 Spartanburg Girls Home 25,000 25,000 Spartanburg Boys Home--Pauline 35,000 35,000 DAR School at Tamassee 4,382 4,382 Tara Hall Home for Boys--Georgetown 4,382 4,382 Thorntree Home--Kingstree 5,000 5,000 Tribble Activities Center--Seneca 4,382 4,382 United Negro College Fund 5,000 5,000 World War I Veterans Organization 4,715 4,715 Charleston Museum 1,500 1,500 Georgetown County Historical Commission 5,000 5,000 National Gasohol Commission, Inc 5,000 5,000 S.C. Small Business Center 100,000 100,00 Sumter County Historical Society 5,000 5,000 Three Rivers Historical Society 5,000 5,000 S.C. Division of the United Daughters 5,000 5,000 Brattonsville Historic Restoration 15,000 15,000 Spoleto Festival 25,000 25,000 Southern Regional Education Board Dues 9,000 9,000 Clemson University Spring 4H and FFA Dairy Show 10,000 10,000 Woodruff Arts Center 5,000 5,000 S.C. Peach Festival 5,000 5,000 Gauntt House-Newberry 5,000 5,000 Southern Center for International Studies 25,000 25,000 Second South Carolina Foot Regiment of Charleston 2,000 2,000 Gilbert Peach Festival 5,000 5,000 Marlboro Historical Murchison Auditorium Restoration 10,000 10,000 Sea Haven Home for Children 10,000 10,000 South Carolina Student Legislature 2,000 2,000 ----------- ----------- Total Special Items $ 849,321 $ 849,321 ----------- ----------- Total Contributions $ 849,321 $ 849,321 =========== =========== Provided, That each organization receiving a contribution under this section shall render to the Budget and Control Board by November 1 of the fiscal year in which funds are received, an accounting of how the State funds will be spent, a copy of the adopted budget for the current year, and also a copy of the organization's most recent operating financial statement. The children's homes receiving a contribution under this section shall also render a copy of the Duke Endowment Application, if such application is filed. Provided, Further, That the funds appropriated in this section for contributions shall not be expended until the required financial statements are filed with the Budget and Control Board. Provided, Further, That no funds under this Section shall be disbursed to organizations or purposes which practice discrimination against persons by virtue of race, creed, color or national origin. Provided, Further, That the State Auditor shall review and audit, if necessary, the financial structure and activities of each organization receiving contributions under this section and make a report to the General Assembly of such review and/or audit, when requested to do so by the Budget and Control Board. SECTION 156 Aid to Subdivisions (Budget Reference: Volume II, Page 3629) I. Aid to Counties: Aid to Subdivisions: Alcoholic Liquors Tax $ 5,529,429 $ 5,529,429 Alcoholic Liquors Tax- Mini bottle 2,500,000 2,500,000 Bank Tax 328,434 1,328,434 Beer and Wine Tax 2,279,401 2,279,401 Gasoline Tax-Regular 14,575,906 14,575,906 Income Tax 24,470,871 24,470,871 Insurance Tax 5,707,402 5,707,402 Homestead Reimbursement 9,800,840 9,800,840 Aid to Counties 103,620 103,620 ----------- ----------- Total Aid to Subdivisions $ 66,295,903 $ 66,295,903 ----------- ----------- Total Aid to Counties $ 66,295,903 $ 66,295,903 =========== =========== II. Aid to Municipalities: Aid to Subdivisions: Alcoholic Liquors Tax $ 5,531,264 $ 5,531,264 Bank Tax 607,657 607,657 Beer and Wine Tax 5,864,701 5,864,701 Insurance Tax 1,570 000 1,570,000 Motor Transport Tax 1,011,059 1,011,059 Homestead Exemption 2,545,077 2,545,077 ----------- ----------- Total Aid to Subdivisions $ 17,129,758 $ 17,129,758 ----------- ----------- Total Aid to Municipalities $ 17,129,758 $ 17,129,758 =========== =========== III. Aid to Districts: Aid to Subdivisions: Aid to Planning Districts $ 500,000 $ 500,000 ----------- ----------- Total Aid to Subdivisions $ 500,000 $ 500,000 ----------- ----------- Total Aid to Districts $ 500,000 $ 500,000 =========== =========== Total Aid to Subdivisions $ 83,925,661 $ 83,925,661 =========== =========== Provided, That the above revenues shall be deposited in the General Fund of the State, and notwithstanding the amounts appropriated in the various items of this section, shall be allocated and paid to the counties and municipalities of the State in conformity with the percentages or proportions of such revenues prescribed by law. Provided, Further, however, that no county or municipality shall be allocated an amount from any revenue source in excess of its allocation from that source during fiscal year 1977-78 plus 8.25% of the difference between the 1977-78 allocation and the total allocation as prescribed by law from that revenue source for fiscal year 1980-81. Provided, however, that for the purpose of this computation, the amount of $5,000,000 provided in Section 2, Act 586 of 1978, and designated as "Special Aid--Counties and Municipalities" shall not be considered as an allocation during fiscal year 1977-78. Provided, Further, Where a portion of one county is annexed to another county, the total amount allocated to the two counties shall not exceed the total which would be allocated to the two counties separately. However the population of the annexed areas shall be taken into consideration in determining the proportionate share of the total allocation due to each county. Municipalities incorporated on or after July 1, 1980, shall receive a share of the appropriate revenues in conformity with the percentage or proportion of such revenues prescribed by law. The restrictions as set forth in the proviso shall not apply to the distribution of (1) revenues from the Alcoholic Liquors--Minibottle as provided in Title 61-5-150 of the Code of Laws, 1976, as amended and (2) revenues derived from the one percent assessment on premiums written on fire insurance under the provisions of Sections 38-57-110 and 38-57-120 of the Code of Laws, 1976 and all of such proceeds shall be distributed as provided by Sections 38-57-100 and 38-57-160 of the Code of Laws, 1976. Provided, Further, That in each statutory formula for the allotment of aid to subdivisions where population is a factor, the official United States Census for 1970 shall be used. Provided, Further, All distributions in this section, except Homestead Reimbursement and Tax Forms and Supplies Expense, shall be remitted to each subdivision by the State Treasurer. Provided, Further, That of the amount appropriated under "Aid to Counties, Tax Forms and Supplies Expense," 4 cent per capita, based on the official United States Census for 1970, shall be remitted by the Comptroller General to the several counties of the state and shall be applied by the counties only on expense of printing tax forms and supplies for county auditors, treasurers and tax collectors. Payment shall be made to each county treasurer in four equal payments, which shall be made as soon after the beginning of each quarter as practical. Provided, Further, That notwithstanding the amount appropriated in this section for "Homestead Exemption Reimbursement" there is hereby appropriated whatever amount is necessary to reimburse the counties and municipalities of the State for exemptions allowed in accord with the provisions of law. Provided, Further, That seven and one-half (7 1/2% of the state income taxes collected between July 1, 1980 and June 30, 1981, shall be allocated to the Counties of the State. Within thirty (30) days after the close of each quarter, the State Treasurer shall remit to each county of the state its percentage of the net income of such income taxes collected, according to his records, during the quarter just preceding. If, because of refunds by the Tax Commission, or for any other reason, it should develop that an overpayment shall have been made to any or all of the counties, the State Treasurer is authorized and directed to withhold from subsequent payments a sufficient amount to adjust same to the terms of this provision. The amount herein allocated to the counties shall be distributed in accordance with the provisions of Section 12-1-120, Code of Laws, 1976 and the limitations set forth above. Provided, Further, That fifty (50) per cent of the amount appropriated in this section for "Aid to Planning Districts" shall be divided equally among the ten districts, the remaining fifty (50) per cent to be allocated in proportion to the population of each district according to the official United States Census for 1970. Provided, Further, That each district shall, prior to receipt of funds, submit a plan for the expenditure of funds appropriated in this section to the Budget and control Board. Within ninety (90) days following the end of the fiscal year, each district shall submit to the Budget and Control Board a copy of an audit of funds appropriated in this section, to be performed by an independent Certified Public Accountant. Provided, Further That the state Treasurer shall remit to each district its share upon approval by the Budget and Control Board. Provided, Further, That all Regional Councils of Government shall determine from each member of the General Assembly whether or not he wishes to be included on the Council's mailing list for A-95 Review Forms. Those Members wishing to receive such forms shall be immediately placed on the Council's mailing list. Provided, Further, That of the amount appropriated under "Aid to Counties, Tax Forms and Supplies Expense," 4¢ per capita, based on the official United States Census for 1970, shall be remitted by the Comptroller General to the several counties of the state and shall be applied by the counties only on expense of printing tax forms and supplies for county auditors, treasurers and tax collectors. Payment shall be made to each county treasurer in one annual payment which shall be made as soon after the beginning of the fiscal year as practical. SECTION 156A Additional Appropriation for Equipment Item 2. Legislative Department: Code of Laws Legislative Council: Equipment $ 10,500 $ 500 ----------- ----------- Total $ 10,500 $ 500 =========== =========== Item 3. Legislative Department: Legislative Audit Council: Equipment $ 100 $ 100 ----------- ----------- Total $ 100 $ 100 =========== =========== Item 4. Legislative Department: Legislative Information System: Equipment $ 51,850 $ 51,850 ----------- ----------- Total $ 51,850 $ 51,850 =========== =========== Item 4A. Joint Legislative Membership Research Committee: Equipment $ 1,200 $ 1,200 ----------- ----------- Total $ 1,200 $ 1,200 =========== =========== Item 5. Joint Legislative Committee on Energy: Equipment $ 400 $ 400 ----------- ----------- Total $ 400 $ 400 =========== =========== Item 6. State Reorganization Commission: Equipment $ 1,500 $ 1,500 ----------- ----------- Total $ 1,500 $ 1,500 =========== =========== Item 7. Judicial Department: Equipment $ 82,076 $ 82,076 ----------- ----------- Total $ 82,076 $ 82,076 =========== =========== Item 8. Governor's Office: SLED: Equipment $ 12,955 $ 12,955 ----------- ----------- Total $ 12,955 $ 12,955 =========== =========== Item 9. Governor's Office: Executive Policy and Programs: Equipment $ 107,750 $ 2,450 ----------- ----------- Total $ 107,750 $ 2,450 =========== =========== Item 10. Secretary of State: Equipment $ 4,984 $ 4,984 ----------- ----------- Total $ 4,984 $ 4,984 =========== =========== Item 11. Comptroller General: Equipment $ 2,000 $ 2,000 ----------- ----------- Total $ 2,000 $ 2,000 =========== =========== Item 12. State Treasurers Office: Equipment $ 14,250 $ 14,250 ----------- ----------- Total $ 14,250 $ 14,250 =========== =========== Item 13. Attorney General: Equipment $ 94,853 $ 70,480 ----------- ----------- Total $ 94,853 $ 70,480 =========== =========== Item 14. Committee on Appellate Defense: Equipment $ 9,700 $ 9,700 ----------- ----------- Total $ 9,700 $ 9,700 =========== =========== Item 15. Adjutant General: Equipment $ 53,761 $ 17,657 ----------- ----------- Total $ 53,761 $ 17,657 =========== =========== Item 16. Budget and Control Board: Office of Executive Director: Equipment $ 1,200 $ 1,200 ----------- ----------- Total $ 1,200 $ 1,200 =========== =========== Item 17. Budget and Control Board: Finance Division: Equipment $ 5,307 $ 5,307 ----------- ----------- Total $ 5,307 $ 5,307 =========== =========== Item 18. Budget and Control Board: Research/Statistical Services Division: Equipment $ 28,615 $ 28,615 ----------- ----------- Total $ 28,615 $ 28,615 =========== =========== Item 19. Budget and Control Board: General Services: Equipment $ 88,839 $ 23,865 ----------- ----------- Total $ 88,839 $ 23,865 =========== =========== Item 20. Budget and Control Board: Motor Vehicle Management: Equipment $ 550,000 $ ----------- ----------- Total $ 550,000 $ =========== =========== Item 21. Budget and Control Board: Retirement: Equipment $ 7,000 $ 7,000 ----------- ----------- Total $ 7,000 $ 7,000 =========== =========== Item 22. Budget and Control Board: Personnel: Equipment $ 5,133 $ 1,100 ----------- ----------- Total $ 5,133 $ 1,100 =========== =========== Item 23. Higher Education Commission: Equipment $ 3,464 $ 3,464 ----------- ----------- Total $ 3,464 $ 3,464 =========== =========== Item 24. Higher Education Tuition Grants Committee: Equipment $ 285 $ 285 ----------- ----------- Total $ 285 $ 285 =========== =========== Item 25. Citadel: Equipment $ 422,635 $ 248,531 ----------- ----------- Total $ 422,635 $ 248,531 =========== =========== Item 26. Clemson University: Equipment $ 642,557 $ ----------- ----------- Total $ 642,557 $ =========== =========== Item 27. College of Charleston: Equipment $ 172,300 $ 84,612 ----------- ----------- Total $ 172,300 $ 84,612 =========== =========== Item 28. Francis Marion College: Equipment $ 334,875 $ 259,877 ----------- ----------- Total $ 334,875 $ 259,877 =========== =========== Item 29. Lander College: Equipment $ 44,000 $ ----------- ----------- Total $ 44,000 $ =========== =========== Item 30. S.C. State College: Equipment $ 586,606 $ 152,912 ----------- ----------- Total $ 586,606 $ 152,912 =========== =========== Item 31. University of South Carolina: Equipment $ 1,729,580 $ 553,774 ----------- ----------- Total $ 1,729,580 $ 553,774 =========== =========== Item 32. University of South Carolina: Aiken Campus: Equipment $ 83,563 $ 30,000 ----------- ----------- Total $ 83,563 $ 30,000 =========== =========== Item 33. University of South Carolina: Coastal Campus: Equipment $ 36,216 $ ----------- ----------- Total $ 36,216 $ =========== =========== Item 34. University of South Carolina: Spartanburg Campus: Equipment $ 32,800 $ ----------- ----------- Total $ 32,800 $ =========== =========== Item 35. University of South Carolina: Beaufort Campus: Equipment $ 12,500 $ ----------- ----------- Total $ 12,500 $ =========== =========== Item 36. University of South Carolina: Lancaster Campus: Equipment $ 18,614 $ 1,571 ----------- ----------- Total $ 18,614 $ 1,571 =========== =========== Item 37. University of South Carolina: Salkahatchee Campus: Equipment $ 2,937 $ 62 ----------- ----------- Total $ 2,937 $ 62 =========== =========== Item 38. Winthrop College: Equipment $ 550,487 $ 398,332 ----------- ----------- Total $ 550,487 $ 398,332 =========== =========== Item 39. Medical University of South Carolina: Equipment $ 2,638,786 $ 1,125,834 ----------- ----------- Total $ 2,638,786 $ 1,125,834 =========== =========== Item 40. Advisory Council on Vocational and Technical Education: Equipment $ 1,700 $ ----------- ----------- Total $ 1,700 $ =========== =========== Item 41. Technical and Comprehensive Education Board: Equipment $ 1,001,173 $ 557,352 ----------- ----------- Total $ 1,001,173 $ 557,352 =========== =========== Item 42. Education Department: Equipment $ 15,682,650 $ 15,375,044 ----------- ----------- Total $ 15,682,650 $ 15,375,044 =========== =========== Item 43. Educational Television Commission Equipment $ 83,136 $ 41,000 ----------- ----------- Total $ 83,136 $ 41,000 =========== =========== Item 44. Wil Lou Gray Opportunity School: Equipment $ 15,842 $ 6,842 ----------- ----------- Total $ 15,842 $ 6,842 =========== =========== Item 45. Deaf and Blind School: Equipment $ 87,355 $ 69,861 ----------- ----------- Total $ 87,355 $ 69,861 =========== =========== Item 46. Archives and History Department: Equipment $ 5,375 $ 3,800 ----------- ----------- Total $ 5,375 $ 3,800 =========== =========== Item 47. Confederate Relic Room: Equipment $ 5,958 $ 5,958 ----------- ----------- Total $ 5,958 $ 5,958 =========== =========== Item 48. State Library: Equipment $ 233,318 $ 36,729 ----------- ----------- Total $ 233,318 $ 36,729 =========== =========== Item 49. Arts Commission: Equipment $ 31,073 $ 11,327 ----------- ----------- Total $ 31,073 $ 11,327 =========== =========== Item 50. Museum Commission: Equipment $ 3,967 $ 3,967 ----------- ----------- Total $ 3,967 $ 3,967 =========== =========== Item 51. Health and Environmental Control: Equipment $ 1,020,912 $ 100,250 ----------- ----------- Total $ 1,020,912 $ 100,250 =========== =========== Item 52. Mental Health Department: Equipment $ 873,672 $ 378,289 ----------- ----------- Total $ 873,672 $ 378,289 =========== =========== Item 53. Mental Retardation Department: Equipment $ 407,525 $ 137,156 ----------- ----------- Total $ 407,525 $ 137,156 =========== =========== Item 54. Alcohol and Drug Abuse Commission: Equipment $ 15,088 $ 10,421 ----------- ----------- Total $ 15,088 $ 10,421 =========== =========== Item 55. Social Services Department: Equipment $ 386,755 $ 155,160 ----------- ----------- Total $ 386,755 $ 155,160 =========== =========== Item 56. Vocational Rehabilitation: Equipment $ 257,951 $ 13,968 ----------- ----------- Total $ 257,951 $ 13,968 =========== =========== Item 57. John De La Howe School: Equipment $ 22,926 $ 15,726 ----------- ----------- Total $ 22,926 $ 15,726 =========== =========== Item 58. Childrens Bureau: Equipment $ 2,000 $ 2,000 ----------- ----------- Total $ 2,000 $ 2,000 =========== =========== Item 59. Blind Commission: Equipment $ 5,400 $ 3,672 ----------- ----------- Total $ 5,400 $ 3,672 =========== =========== Item 60. Aging Commission: Equipment $ 250 $ ----------- ----------- Total $ 250 $ =========== =========== Item 61. Human Affairs Commission: Equipment $ 1,062 $ ----------- ----------- Total $ 1,062 $ =========== =========== Item 62. Veterans Affairs Department: Equipment $ 3,539 $ 3,539 ----------- ----------- Total $ 3,539 $ 3,539 =========== =========== Item 63. Corrections Department: Equipment $ 332,782 $ 284,628 ----------- ----------- Total $ 332,782 $ 284,628 =========== =========== Item 64. Probation Parole Pardon: Equipment $ 18,240 $ 18,240 ----------- ----------- Total $ 18,240 $ 18,240 =========== =========== Item 65. Youth Services Department: Equipment $ 104,591 $ 55,487 ----------- ----------- Total $ 104,591 $ 55,487 =========== =========== Item 66. Law Enforcement Training Council: Equipment $ 111,745 $ ----------- ----------- Total $ 111,745 $ =========== =========== Item 67. Law Officers Hall of Fame Committee: Equipment $ 41,000 $ ----------- ----------- Total $ 41,000 $ =========== =========== Item 68. Water Resources Commission: Equipment $ 23,631 $ 23,631 ----------- ----------- Total $ 23,631 $ 23,631 =========== =========== Item 69. Land Resources Conservation Commission: Equipment $ 37,353 $ 24,553 ----------- ----------- Total $ 37,353 $ 24,553 =========== =========== Item 70. Forestry Commission: Equipment $ 291,519 $ 12,853 ----------- ----------- Total $ 291,519 $ 12,853 =========== =========== Item 71. Agriculture Department: Equipment $ 21,723 $ 18,403 ----------- ----------- Total $ 21,723 $ 18,403 =========== =========== Item 72. Clemson University Public Service Activities: Equipment $ 646,355 $ 312,367 ----------- ----------- Total $ 646,355 $ 312,367 =========== =========== Item 73. Wildlife and Marine Resources Department: Equipment $ 1,347,245 $ 497,598 ----------- ----------- Total $ 1,347,245 $ 497,598 =========== =========== Item 74. Coastal Council: Equipment $ 10,369 $ 7,369 ----------- ----------- Total $ 10,369 $ 7,369 =========== =========== Item 75. Parks Recreation and Tourism: Equipment $ 295,825 $ 15,225 ----------- ----------- Total $ 295,825 $ 15,225 =========== =========== Item 76. Development Board: Equipment $ 25,419 $ 25,419 ----------- ----------- Total $ 25,419 $ 25,419 =========== =========== Item 77. Patriots Point Development Authority: Equipment $ 13,800 $ ----------- ----------- Total $ 13,800 $ =========== =========== Item 78. Public Service Commission: Equipment $ 15,139 $ 15,139 ----------- ----------- Total $ 15,139 $ 15,139 =========== =========== Item 79. Industrial Commission: Equipment $ 8,249 $ 8,249 ----------- ----------- Total $ 8,249 $ 8,249 =========== =========== Item 80. Workmen's Compensation Fund: Equipment $ 5,000 $ 5,000 ----------- ----------- Total $ 5,000 $ 5,000 =========== =========== Item 81. Second Injury Fund: Equipment $ 4,140 $ ----------- ----------- Total $ 4,140 $ =========== =========== Item 82. Insurance Department: Equipment $ 19,050 $ 19,050 ----------- ----------- Total $ 19,050 $ 19,050 =========== =========== Item 83. Financial Institution Board Bank Examining: Equipment $ 750 $ 750 ----------- ----------- Total $ 750 $ 750 =========== =========== Item 84. Financial Institution Board: Consumer Finance: Equipment $ 1,500 $ 1,500 ----------- ----------- Total $ 1,500 $ 1,500 =========== =========== Item 85. Consumer Affairs Commission: Equipment $ 750 $ 750 ----------- ----------- Total $ 750 $ 750 =========== =========== Item 86. Tax Commission: Equipment $ 44,976 $ 44,976 ----------- ----------- Total $ 44,976 $ 44,976 =========== =========== Item 87. Alcoholic Beverage Control Commission: Equipment $ 96,558 $ 96,558 ----------- ----------- Total $ 96,558 $ 96,558 =========== =========== Item 88. State Ethics Commission: Equipment $ 5,600 $ 5,600 ----------- ----------- Total $ 5,600 $ 5,600 =========== =========== Item 89. Employment Security Commission: Equipment $ 968,287 $ ----------- ----------- Total $ 968,287 $ =========== =========== Item 90. Auctioneers Commission: Equipment $ 2,000 $ 2,000 ----------- ----------- Total $ 2,000 $ 2,000 =========== =========== Item 91. Barber Examiners Board: Equipment $ 125 $ 125 ----------- ----------- Total $ 125 $ 125 =========== =========== Item 91A. Board of Chiropractic Examiners: Equipment $ 3,000 $ 3,000 ----------- ----------- Total $ 3,000 $ 3,000 =========== =========== Item 92. Cosmetic Art Examiners Board: Equipment $ 1,026 $ 1,026 ----------- ----------- Total $ 1,026 $ 1,026 =========== =========== Item 93. Dentistry Board: Equipment $ 100 $ 100 ----------- ----------- Total $ 100 $ 100 =========== =========== Item 94. Nursing Board: Equipment $ 3,500 $ 3,500 ----------- ----------- Total $ 3,500 $ 3,500 =========== =========== Item 95. Pharmaceutical Examiners: Equipment $ 1,600 $ 1,600 ----------- ----------- Total $ 1,600 $ 1,600 =========== =========== Item 96. Physical Therapist Examiners: Equipment $ 125 $ 125 ----------- ----------- Total $ 125 $ 125 =========== =========== Item 97. Real Estate Commission: Equipment $ 18,000 $ 18,000 ----------- ----------- Total $ 18,000 $ 18,000 =========== =========== Item 98. Residential Home Builders Commission: Equipment $ 3,450 $ 3,450 ----------- ----------- Total $ 3,450 $ 3,450 =========== =========== Item 99. Aeronautics Commission: Equipment $ 45,137 $ 32,200 ----------- ----------- Total $ 45,137 $ 32,200 =========== =========== Item 100. Department on Highways and Public Transportation Council on Public Transportation: Equipment $ 1,754 $ 1,727 ----------- ----------- Total $ 1,754 $ 1,727 =========== =========== Item 101. Highway and Public Transportation: Equipment $ 6,633,778 $ ----------- ----------- Total $ 6,633,778 $ =========== =========== Item 102. Social Services Advisory: Equipment $ 94 $ 94 ----------- ----------- Total $ 94 $ 94 =========== =========== Item 103. Joint Legislative Committee on Children $ 210 $ 210 ----------- ----------- Total $ 210 $ 210 =========== =========== Item 104. Committee Structure Authorized of State Government: Equipment $ 430 $ 430 ----------- ----------- Total $ 430 $ 430 =========== =========== Item 105. Board of Certification of Environmental Systems Operators: Equipment $ 500 $ 500 ----------- ----------- Total $ 500 $ 500 =========== =========== Total Additional Appropriation for Equipment $ 39,801,230 $ 21,691,936 =========== =========== SECTION 157 Department of Highways and Public Transportation (Budget Reference: Volume II, Page 3637) I. Administration: Personal Service: Chief Commissioner $ 51,587 $ (1) Classified Positions 4,310,313 (370) Unclassified Positions 40,448 (1) Other Personal Service: Per Diem--Boards and Commissions 12,000 Overtime and Shift Differential 5,232 Temporary Positions 29,681 ----------- ----------- Total Personal Service $ 4,449,261 $ Other Operating Expenses: Contractual Services $ 1,340,965 $ Supplies 1,571,805 Fixed Charges and Contributions 821,904 Travel 68,774 ----------- ----------- Total Other Operating Expenses $ 3,803,448 $ Special Items: Miscellaneous General Operation $ 500,000 $ ----------- ----------- Total Special Items $ 500,000 $ Permanent Improvements: Land $ 100,000 $ Building Construction 1,233,098 ----------- ----------- Total Permanent Improvements $ 1,333,098 $ Debt Service: Principal $ 10,140,000 $ Interest 3,772,250 Service Charges 7,450 ----------- ----------- Total Debt Service $ 13,919,700 $ Public Assistance Payments: Hospital Care $ 100,000 $ ----------- ----------- Total Public Assistance Payments $ 100,000 $ ----------- ----------- Total Administration $ 24,105,507 $ =========== =========== II. Highway Engineering: Personal Service: Classified Positions $ 19,400,560 $ (1410) Unclassified Positions 43,067 (1) Other Personal Service: Temporary Positions 35,932 ----------- ----------- Total Personal Service $ 19,479,559 $ Other Operating Expenses: Contractual Services $ 3,682,204 $ Supplies 1,593,660 Fixed Charges and Contributions 77,940 Travel 187,038 ----------- ----------- Total Other Operating Expenses $ 5,540,842 $ Permanent Improvements: Right of Way Payments $ 9,001,066 $ Payments to Road and Bridge Contractors 111,727,294 ----------- ----------- Total Permanent Improvements $120,728,360 $ ----------- ----------- Total Highway Engineering $145,748,761 $ =========== =========== III. Highway Maintenance: Personal Service: Classified Positions $ 31,206,809 $ (3332) Other Personal Service: Overtime and Shift Differential 267,084 ----------- ----------- Total Personal Service $ 31,473,893 $ Other Operating Expenses: Contractual Services $ 14,764,103 $ Supplies 23,133,976 Fixed Charges and Contributions 60,400 Travel 20,450 ----------- ----------- Total Other Operating Expenses $ 37,978,929 $ Permanent Improvements: Payments to Road and Bridges $ 4,300 $ ----------- ----------- Total Permanent Improvements $ 4,300 $ ----------- ----------- Total Highway Maintenance $ 69,457,122 $ =========== =========== IV. Motor Vehicle Administration: Personal Service: Classified Positions $ 8,005,233 $ (847) Other Personal Service: Overtime and Shift Differential 44,000 Temporary Positions 16,726 ----------- ----------- Total Personal Service $ 8,065,959 $ Other Operating Expenses: Contractual Services $ 1,193,983 $ Supplies 3,139,048 Fixed Charges and Contributions 181,650 Travel 71,200 ----------- ----------- Total Other Operating Expenses $ 4,585,881 $ ----------- ----------- Total Motor Vehicle Administration $ 12,651,840 $ =========== =========== V. Highway Patrol: Personal Service: Classified Positions $ 14,476,253 $ (988) ----------- ----------- Total Personal Service $ 14,476,253 $ Other Operating Expenses: Contractual Services $ 2,602,565 $ Supplies 3,174,175 Fixed Charges and Contributions 28,300 Travel 500,000 ----------- ----------- Total Other Operating Expenses $ 6,305,040 $ ----------- ----------- Total Highway Patrol $ 20,781,293 $ =========== =========== VI. Highway Beautification: Other Operating Expenses: Contractual Services $ 194,548 $ Supplies 1,370 Travel 200 ----------- ----------- Total Other Operating Expenses $ 196,118 $ Permanent Improvements: Payments to Road and Bridge Contractors $ 115,800 $ ----------- ----------- Total Special Items $ 115,800 $ ----------- ----------- Total Highway Beautification $ 311,918 $ =========== =========== VII. Employee Benefits: A. Salary Increments: Personal Service: Increments, Continued 1979-80 $ 2,200,236 $ ----------- ----------- Total Personal Service $ 2,200,236 $ ----------- ----------- Total Salary Increments $ 2,200,236 $ =========== =========== B. State Employer Contributions: Fringe Benefits: State Employer Contributions $ 14,301,149 $ ----------- ----------- Total Fringe Benefits $ 14,301,149 $ ----------- ----------- Total State Employer Contributions $ 14,301,149 $ =========== =========== Total Employee Benefits $ 16,501,385 $ =========== =========== Total Highways and Public Transportation $289,557,826 $ =========== =========== Total Authorized Positions (6950) Provided, That the Department of Highways and Public Transportation is hereby authorized to spend all cash balances brought forward from the previous year and all income including Federal Funds and proceeds from bond sales accruing to the Department of Highways and Public Transportation, but in no case shall the expenditures of the Department of Highways and Public Transportation exceed the amount of cash balances brought forward from the preceding year plus the amount of all income including Federal Funds and proceeds from bond sales. Provided, Further, That the Department of Highways and Public Transportation with the approval of the State Treasurer, is hereby authorized to set up with the State Treasurer such special funds out of the Department of Highways and Public Transportation funds as may be deemed advisable for proper accounting purposes. Provided, Further, That the Department of Highways and Public Transportation is hereby authorized to secure bonds and insurance covering such activities of the Department as may be deemed proper and advisable, due consideration being given to the security offered and the service of claims. Provided, Further, That the Department of Highways and Public Transportation may set aside and deposit in its name in such bank or banking institutions as shall be designated by the State Treasurer, the sum of one million one hundred thousand dollars ($1,100,000.00) as a revolving fund, and all payments from such fund shall be restored to the fund by vouchers drawn on the Comptroller General against the Highways and Public Transportation Fund. Provided, Further, That the Department of Highways and Public Transportation is authorized to pay the cost of lighting the Gervais Street Bridge, between Columbia and West Columbia, and the North Ashley River Bridge on S.C. Highway No. 7. Provided, Further, That the Department of Highways and Public Transportation is hereby authorized to charge a fee of $1.00 for postage and handling costs for every vehicle license mailed to the owner. Provided, Further, That the Department of Highways and Public Transportation is hereby authorized to charge a fee of $3.00 each for furnishing certified copies of abstracts of operating records of drivers in the administration of the Motor Vehicle Safety Responsibility Act of 1952, as amended; and also may establish an appropriate schedule of fees to be charged for copies on other records, lists, bidder's proposals, plans, maps, etc. based upon approximate actual costs of producing Such copies, lists, bidders' proposals, plans, maps, etc., which schedule Shall be effective upon approval by the Department of Highways and Public Transportation Commission. Provided, Further, That the Department of Highways and Public Transportation may sell any materials, supplies, or equipment classified as obsolete, surplus, or junk for which the Department has no further need, or offer same for trade-in in the purchase of new materials or equipment. All such sales of obsolete, surplus or junk materials or equipment by the Department shall be to the highest bidder not less than 10 days after having been advertised in a newspaper of statewide circulation at least once. Provided, That items having a value of less than $100.00 may be disposed of by sale in the most advantageous way to the Department, and provided, further, that the Department of Highways and Public Transportation may make negotiated sales of surplus materials, equipment and supplies to county, state, and municipal agencies on a mutually agreed upon basis. All proceeds from the sale of such obsolete, surplus or junk material, supplies, and equipment shall be credited to the Highway and Public Transportation Fund. Provided, Further, That the Department of Highways and Public Transportation is authorized to publish, in the interest of employee relations, a periodical devoted to Department operations and related activities. Such publication shall be for free distribution to Department personnel and other interested citizens. The cost of publishing and distributing such periodical shall be paid from the Highway and Public Transportation Fund. Provided, Further, That the Department of Highways and Public Transportation shall pay into the General Fund of the State the sum of $3,013,605, as its proportionate share of the cost of administration of the following departments: State Treasurer's Office $ 245,441 Comptroller General's Office 356,168 Attorney General's Office 668,318 State Budget and Control Board: Finance Division (Computer Service) 258,355 General Services Division (Purchasing) 163,852 Personnel Division 317,547 Retirement Divisions 255,006 State Tax Commission: Collection of Highway Revenue 748,918 ----------- Total $ 3,013,605 Provided, Further, That employees of the Department of Highways and Public Transportation shall receive equal compensation increases and health insurance benefits provided in this Act for employees of the State generally. Provided, Further, That the Department of Highways and Public Transportation shall pay from Highway and Public Transportation Fund revenues, that portion of the State's contribution to the costs of retirement, social security, workmen's compensation insurance, unemployment compensation insurance, health and other insurance, and other employer contributions provided by the State for the Agency's employees whose salaries are funded by the Highway and Public Transportation Fund. Provided, Further, That the compensation of the Chief Highway Commissioner, the Secretary-Treasurer and the State Highway Engineer shall be paid in accordance with the provisions of Section 57-3-410, 57-3-450 and 57-3-470 of the Code of Laws, 1976. Provided, Further, That members of the Department of Highways and Public Transportation Commission shall receive such per diem, subsistence and mileage for each official meeting as is provided by law for members of boards, commissions and committees. Provided, Further, That the expenditure of funds known as "C" construction funds shall have the approval of a majority of the Legislative Delegation members of the county in which the expenditures are to be made. Provided, further, That the Department Commission may transfer funds appropriated to this Section from one line item to another as the needs demand without permission from the Budget and Control Board. Provided, Further, That the reduction of authorized positions from 7030 to 6950 shall be effectuated by the Department of Highways and Public Transportation by the elimination of such positions as the Department's discretion dictates. SECTION 158 Recapitulation (Budget Reference: Volume II, Page 2838) General Operations: Total Funds General Funds ----------------------------- Legislative Division Sec. 3. Legislative Department: The Senate $ 3,605,454 $ 3,605,454 House of Representatives-- 4,917,210 4,917,210 Special Services--Both Houses 171,779 171,779 Codification of Laws Legislative Council 1,079,828 1,066,501 Legislative Audit Council 513,191 513,191 Legislative Information Systems 574,501 574,501 Joint Legislative Membership Research Committee 107,518 107,518 Joint Legislative Committee on Energy 124,600 124,600 Joint Legislative Appropriation Review Committee 35,000 35,000 Health Care Planning and Oversight Committee 132,000 132,000 State Reorganization Committee 893,440 632,681 ----------- ----------- Total Legislative Department $ 12,154,521 $ 11,880,435 Judicial Division Sec. 4. Judicial Department $ 12,606,279 $ 12,601,343 Executive and Administrative Division Sec. 5. Governor's Office: Executive Control of State 698,621 698,621 SLED 8,676,354 8,659,792 Executive Policy and Programs 103,409,642 3,980,199 Mansion and Grounds 212,579 212,579 Sec. 6. Lieutenant Governor 137,157 137,157 Sec. 7. Secretary of State 450,826 450,826 Sec. 8. Comptroller General 2,822,375 2,822,375 Sec. 9. State Treasurer's Office 967,515 967,515 Sec. 10. Attorney General 7,519,228 6,202,654 Sec. 11. Commission on Appellate Defense 298,027 200,302 Sec. 12. Adjutant General 4,404,946 2,294,126 Sec. 13. State Election Commission 802,174 767,174 Sec. 14. Budget and Control Board: Office of Executive Director 762,942 762,942 Finance Division 5,014,781 4,606,276 Research/Statistics 2,471,740 1,459,977 General Services 23,064,447 5,380,359 Motor Vehicle Management 1,498,829 259,143 Retirement 1,712,479 1,692,063 Personnel 2,997,221 2,131,049 Local Government 430,370 430,370 Employee Benefits 60,647,829 60,647,829 ----------- ----------- Total Executive and Administrative Division $229,000,082 $104,763,328 Educational Division Sec. 15. Higher Education Commission $ 1,797,278 $ 1,549,201 Sec. 16. Higher Education Tuition Grants Committee 11,880,769 10,999,726 Sec. 17. The Citadel 17,314,190 8,312,124 Sec. 18. Clemson University (Ed and Gen.) 71,110,209 38,035,097 Sec. 19. College of Charleston 16,947,963 10,179,651 Sec. 20. Francis Marion College 7,097,712 5,336,093 Sec. 21. Lander College 6,537,550 3,759,650 Sec. 22. S. C. State College 19,020,948 10,633,859 Sec. 23. University of South Carolina: 123,250,443 73,666,970 U.S.C.--Aiken Campus 4,772,968 3,229,594 U.S.C.--Coastal Carolina Campus 5,678,982 3,945,768 U.S.C.--Spartanburg Campus 6,625,715 4,386,170 U.S.C.--Beaufort Campus 988,186 625,605 U.S.C.--Lancaster Campus 1,788,952 1,122,020 U.S.C.--Salkahatchie Campus 1,199,373 676,714 U.S.C.--Sumter Campus 2,382,391 1,422,627 U.S.C.--Union Campus 777,763 496,977 U.S.C.--Military Center 300,020 Sec. 24. Winthrop College 18,654,925 10,218,237 Sec. 25. Medical University of S.C. 123,931,688 65,422,062 Sec. 26. Advisory Council on Vocational and Technical Education 135,197 27,028 Sec. 27. Technical and Comprehensive Education Board 89,465,894 47,416,435 Sec. 28. Education Department 774,974,923 626,035,426 Sec. 29. Educational Television Commission 14,736,966 11,406,206 Sec. 30. Wil Lou Gray Opportunity School 1,486,836 1,083,975 Sec. 31. The Deaf and The Blind School 6,874,746 6,202,464 Sec. 32. Archives and History Department 2,457,416 2,333,161 Sec. 33. Confederate Relic Room 102,162 102,162 Sec. 34. State Library 3,696,451 2,882,055 Sec. 35. Arts Commission 2,093,793 931,623 Sec. 36. Museum Commission 330,826 306,998 ----------- ----------- Total Educational Division 1,338,413,235 $952,745,678 Health Division Sec. 37. Health and Environmental Control $113,620,267 $ 44,933,540 Sec. 39. Mental Health Department 100,809,064 75,289,572 Sec. 40. Mental Retardation Department 75,962,348 44,107,652 Sec. 41. Alcohol and Drug Abuse Commission 7,164,743 2,671,546 ----------- ----------- Total Health Division $297,556,422 $167,002,310 Social Rehabilitation Services Division Sec. 42. Social Services Department $630,347,273 $116,860,421 Sec. 43. Vocational Rehabilitation 36,408,902 9,079,348 Sec. 44. John De La Howe School 1,449,391 1,091,943 Sec. 45. Ad. Bd. for Review of Foster Care for Children 270,988 270,853 Sec. 46. Children's Bureau 766,156 706,624 Sec. 47. Blind Commission 4,412,636 2,259,364 Sec. 48. Aging Commission 11,738,957 1,213,875 Sec. 49. Housing Authority 2,620,118 368,677 Sec. 50. Human Affairs Commission 955,284 667,716 Sec. 51. Veterans Affairs Department 880,015 880,015 Sec. 52. Commission on Women 36,139 36,139 ----------- ----------- Total Social Rehabilitation Service Division $689,885,859 $133,434,975 Correctional Division Sec. 53. Corrections Department $ 47,077,705 $ 42,913,969 Sec. 54. Probation, Parole and Pardon Board 4,919,170 4,710,768 Sec. 55. Youth Services Department 13,728,151 11,624,702 Sec. 56. Juvenile Placement and Aftercare 5,026,518 4,569,448 Sec. 57. Law Enforcement Training Council 2,514,524 Sec. 58. Law Officers Hall Fame Committee 108,990 ----------- ----------- Total Correctional Division $ 73,375,058 $ 63,818,887 Conservation, Natural Resources and Development Division Sec. 59. Water Resources Commission $ 1,356,673 $ 872,040 Sec. 60. Land Resources Conservation Committee 2,292,481 1,676,989 Sec. 61. Forestry Commission 10,620,430 8,772,235 Sec. 62. Agriculture Department 5,242,658 3,579,890 Sec. 63. Clemson University Public Service, Act 34,295,847 21,323,082 Sec. 64. Wildlife and Marine Resources Department 17,349,081 8,426,908 Sec. 65. Coastal Council 1,420,100 286,817 Sec. 66. Sea Grants Consortium 1,086,328 323,328 Sec. 67. Parks, Recreation and Tourism 14,570,757 6,451,525 Sec. 68. Development Board 2,840,631 2,840,631 Sec. 69. Patriots Point Development Authority 1,361,461 454,461 Sec. 70. Clark's Hill-Russell Authority 119,508 119,508 Sec. 71. Old Exchange Building Commission 24,403 24,403 Sec. 72. American Revolution Bicentennial Commission 22,300 17,500 ----------- ----------- Total Conservation, Natural Resources and Development Division $ 92,602,658 $ 55,169,317 Regulatory Division Sec. 73. Public Service Commission $ 3,511,196 $ 3,472,845 Sec. 74. Industrial Commission 1,587,844 1,568,844 Sec. 75. Workmen's Compensation Fund 603,194 603,194 Sec. 76. Second Injury Fund 210,697 Sec. 77. Insurance Department 3,795,425 3,795,425 Sec. 78. Financial Institutions 897,456 897,456 Sec. 79. Consumer Affairs Commission 966,386 934,856 Sec. 80. Dairy Commission 197,581 197,581 Sec. 81. Labor Department 3,297,262 1,958,312 Sec. 82. Tax Commission 14,927,163 14,927,163 Sec. 83. Alcoholic Beverage Control Commission 1,414,290 1,414,290 Sec. 84. State Ethics Commission 107,032 104,226 Sec. 85. Employment Security Commission 43,765,504 Sec. 86. Accountancy Board 83,786 83,786 Sec. 87. Architectural Examining Board 57,010 57,010 Sec. 88. Auctioneers Commission 76,347 76,347 Sec. 89. Barber Examiners Board 86,390 86,390 Sec. 90. Cemetery Board 2,621 2,621 Sec. 90-A. Board of Chiropractic Examiners 48,988 48,988 Sec. 91. Contractors Licensing Board 162,814 162,814 Sec. 92. Cosmetic Art Examiners Board 192,475 192,475 Sec. 93. Dentistry Board 73,342 73,342 Sec. 94. Engineering Examiners Board 162,401 162,401 Sec. 95. Environmental Systems Operators--Board of Certification 72,906 72,906 Sec. 96. Foresters Registration Board 4,325 4,325 Sec. 97. Funeral Service Board 45,814 45,814 Sec. 98. Medical Examiners Board 309,127 309,127 Sec. 99. Nursing Board 373,602 373,602 Sec. 100. Nursing Home Administrators-- Examining Board 17,903 17,903 Sec. 101. Board of Occupational Therapy 2,185 2,185 Sec. 102. Board of Examiners in Opticianry 13,196 13,196 Sec. 103. Board of Examiners Optometry 21,556 21,556 Sec. 104. Pharmaceutical Examiners 80,901 80,901 Sec. 105. Physical Therapist Examining Board 10,842 10,842 Sec. 106. Podiatry Examiners Board 1,097 1,097 Sec. 107. Psychology Board of Examiners 7,478 7,478 Sec. 108. Real Estate Commission 511,011 511,011 Sec. 109. Residential Home Builders Commission 215,480 215,480 Sec. 110. Registered Sanitarians Board 3,683 3,683 Sec. 111. Social Workers Registration Board 3,081 3,081 SEC. 112. Speech Pathology and Audiology--Examiners Board 6,373 6,373 Sec. 113. Veterinary Medical Examiners Board 10,051 10,051 ----------- ----------- Total Regulatory Division $ 77,937,815 $ 32,530,977 Transportation Division Sec. 114. Aeronautics Commission $ 1,498,282 $ 1,413,219 Sec. 115. Public Railways Commission 1,174,410 264,557 Sec. 116. Department of Highways and Public Transportation Council on Public Transportation 316,382 293,335 Total Transportation Division $ 2,989,074 $ 1,971,111 Debt Service Division Sec. 117. Debt Service $ 84,183,709 $ 84,183,709 Total Debt Service $ 84,183,709 $ 84,183,709 Miscellaneous Division Sec. 118. Atlantic States Marine Fisheries $ 3,400 $ 3,400 Sec. 119. Judicial Council 20,000 20,000 Sec. 120. Tax Study Commission 32,276 32,276 Sec. 121. Committee on Uniform State Laws 5,400 5,400 Sec. 122. Workmen's Compensation Laws Advisory Council 2,725 2,725 Sec. 123. S.C. Tobacco Advisory Committee 7,500 7,500 Sec. 124. Committee to Study Public, Private Program Facility for Aging 27,643 27,643 Sec. 125. Agriculture Study Committee 15,000 15,000 Sec. 126. Automobile Liability Insurance Study Committee 16,000 16,000 Sec. 127. Committee on Consumer Affairs 30,000 30,000 Sec. 128. S.C. Crime Study Committee 3,000 3,000 Sec. 129. Education Study Committee 15,000 15,000 Sec. 134. Insurance Law Study Committee 15,000 15,000 Sec. 136. Local Government Study Committee 3,000 3,000 Sec. 138. Mental Health and Retardation Committee 43,630 43,630 Sec. 139. State Employees Employment Committee 25,000 25,000 Sec. 140. Social Services Advisory Committee 13,906 13,906 Sec. 141. Textile Study Committee 10,000 10,000 Sec. 142. Committee on Tourism 18,800 18,800 Sec. 143. Public Transportation Study Committee 7,500 7,500 Sec. 144. Water Resources Study Committee 2,500 2,500 Sec. 145. Workmen's Compensation Study Committee 17,975 17,975 Sec. 146. Alcohol and Drug Abuse Committee 16,250 16,250 Sec. 147. Continuing Committee Retirement System 12,000 12,000 Sec. 148. Joint Legislative Committee to Study Problems of the Handicapped 10,000 10,000 Sec. 149. Joint Legislative Committee on Children 61,244 36,644 Sec. 150. Committee Structure Authorized of State Government 29,570 29,570 Sec. 151. Catawba Indian Reservation Study Committee 2,000 2,000 Sec. 152. State Bidding Practices Study Committee 5,000 5,000 Sec. 153. Intergovernmental Relations Study Committee 5,000 5,000 Sec. 154A. Internal Security Committee 5,000 5,000 Sec. 155. Contributions 849,321 849,321 Sec. 156. Aid to Subdivisions 83,925,661 83,925,661 Sec. 156A. Additional Equipment Appropriation 39,801,230 21,691,936 ----------- ----------- Total Miscellaneous Division $125,057,531 $106,923,637 ----------- ----------- Total General Fund Operations 3,035,762,243 1,727,025,707 =========== =========== Total General Fund 3,035,762,243 1,727,025,707 =========== =========== Sec. 157. Department of Highways and Public Transportation 289,557,826 289,557,826 =========== =========== GRAND TOTAL 3,325,320,069 1,727,025,707 =========== =========== Source of Funds: Appropriated General Funds 1,727,025,707 Federal Funds 1,072,186,805 Other Funds 526,107,557 ----------- Total 3,325,320,069 =========== Sec. 159. The expenditure of money appropriated in this Act shall be by warrant requisitions directed to the Comptroller General. Upon receipt of the requisition, accompanied by invoices or other satisfactory evidence of the propriety of the payment, and itemized according to standard budget classifications, the Comptroller General shall issue his warrant on the State Treasurer to the payee designated in the requisition. Provided, However, That upon approval and designation by the State Budget and Control Board, state institutions may requisition funds in favor of their own treasurer, itemized only to the extent of the purpose of the appropriation as expressed in this Act, and may deposit such funds in the name of the institution, in such bank or banking institutions as shall be designated by the State Treasurer, and disburse same by check to meet the purposes of the appropriation, but strict account shall be kept of all such expenditures according to standard budget classifications. All money shall be drawn only when actually owing and due. Sec. 160. All departments, institutions and agencies of the State having revenue funds other than State appropriated funds available for operations, shall use such revenue before appropriations from the State's general fund are expended or requisitioned. Provided, however, the Budget and Control Board may waive this requirement when, in its opinion, such a procedure is not practicable. Provided, further, that no funds shall be requisitioned from such appropriations except to meet actual operating obligations of the year for which such appropriations are provided. Sec. 161. During the fiscal year 1980-81, student fees at the State institutions of higher learning shall be fixed by the respective Boards of Trustees as follows: (1) Fees applicable to dormitory rental, dining halls, laundry, infirmary and all other personal subsistence expenses shall be sufficient to fully cover the cost of providing such facilities and services. Provided, However, That this requirement may be waived at the South Carolina Medical University with respect to charges for dormitory rental upon approval of the Budget and Control Board. (2) Student Activity Fees may be fixed at such rates as the respective Boards shall deem reasonable and necessary. Sec. 162. The University of South Carolina, Clemson University, the Medical University of S. C. (including the Medical University Hospital), The Citadel, Winthrop College, S. C. State College, Francis Marion College, College of Charleston, Lander College and the Wil Lou Gray Opportunity School shall remit all revenues and income, collected at the respective institutions, to the State Treasurer according to the terms of Section 1 of this Act, but all such revenues or income so collected, except fees received as regular term tuition, matriculation, and registration, shall be carried in a special continuing account by the State Treasurer, to the credit of the respective institutions, and may be requisitioned by said institutions, in the manner prescribed in Section 158 of this Act, and expended to fulfill the purpose for which such fees or income were levied, but no part of such income shall be used for permanent improvements Without the express written approval of the State Budget and Control Board and the Joint Legislative Capital Bond Review Committee; and it is further required that no such fee or income shall be charged in excess of the amount that is necessary to supply the service, or fulfill the purpose for which such fee or income was charged. Provided, Further, That notwithstanding other provisions of this act, funds at State Institutions of Higher Learning derived wholly from athletic or other student contests, from the activities of student organizations, and from the operations of canteens and bookstores, may be retained at the institution and used as determined by the respective governing boards. Such funds shall be audited annually by the State but the provisions of this Act concerning unclassified personnel compensation, travel, equipment purchases and other purchasing regulations shall not apply to the use of these funds. Sec. 163. That if necessary the board of trustees of State institutions of higher learning may limit the admission of students upon the basis of Scholarship standing. Provided, Further, That no State scholarships shall be granted by State institutions of higher learning, namely: The University of South Carolina, Clemson University, The Citadel, Winthrop College, S. C. State College, Francis Marion College, Ille College of Charleston and Lander College. Sec. 164. The Boards of Trustees of the University of South Carolina, Clemson University, The Citadel, Winthrop College, S.C. State College, Francis Marion College, the College of Charleston, and Lander College, are hereby authorized to abate the tuition fee charged at these institutions to the extent of Fifty ($50.00) Dollars to the winner of the American Legion High School Oratorical Contest and to the Governor of Boys' State and to the highest ranking student in the State in the annual National Science Talent Search and to the Governor of Girls' State; and said abatements to be for four (4) years in each instance. As to the winner of the American Legion High School Oratorical Contest and the Governor of Boys' State, the abatement shall be granted only when the American Legion, Department of South Carolina, shall have contributed a like amount per year. The abatement of tuition herein provided is for the purpose of furnishing a scholarship of One Hundred ($100.00) Dollars per year to the winners of the above contests, the State of South Carolina and the American Legion, Department of South Carolina, co-operating on an equal basis in providing these scholarships. Sec. 164A. Until the implementation of a uniform physician fee schedule, state agencies and departments shall continue to pay physician's fees in the same manner that such fees are now paid. Sec. 165. All departments, institutions, and agencies of the State are hereby directed to budget and allocate the appropriations herein made to them as quarterly allocations so as to provide for operation on uniform standards throughout the fiscal year and in order to avoid a deficiency in such appropriations. The Budget and Control Board is authorized to require any agency, institution or department to file a quarterly allocations plan and is further authorized to restrict the rate of expenditures of the agency, institution or department if the Board determines that a deficit may occur. Provided, That the bonds of State officials violating the terms of this section shall be held liable there for, unless the Budget and Control Board has been advised of, and officially recognizes the necessity for such deficit. Sec. 166. All Federal Funds received shall be deposited in the State Treasury, if not in conflict with Federal regulations, and withdrawn therefrom as needed, in the same manner as that provided for the disbursement of state funds. If it shall be determined that federal funds are not available for, or cannot be appropriately used in connection with, all or any part of any activity or program for which state funds are specifically appropriated in this Act to match Federal funds, the appropriated funds may not be expended and shall be returned to the General Fund, except upon specific written approval of the Budget and Control Board after review by the Joint Appropriations Review Committee. Provided, Further, That donations or contributions from sources other than the Federal Government, for use by any state agency, shall be deposited in the State Treasury, but in special accounts, and shall be withdrawn from the treasury as needed to fulfill the purposes and conditions of the said donations, or contributions, if specified, and, if not specified, as may be directed by the proper authorities of the department. Provided, Further, That the expenditure of funds by agencies of the State Government from sources other than General Fund appropriations shall be subject to the same limitations and provisions of law applicable to the expenditure of appropriated funds with respect to salaries, wages or other compensation, travel expense, and other allowances or benefits for employees. Sec. 167. except as otherwise provided in this Act, all appropriations for compensation of State Employees shall be paid in weekly or bi-weekly installments to the person holding such position. In order to provide a regular and permanent schedule for payment of employees, it is hereby established that the payroll period for the weekly payroll shall begin June 27, 1980 and the payroll period for the bi-weekly payroll shall begin June 20, 1980 and end on the established payment date of Thursday, July 3, 1980 in each instance. For the remainder of the fiscal year payment dates shall fall in one week and two weeks intervals following the initial dates indicated above. It is the intent of the General Assembly that the schedule thus established will continue from one fiscal year to another without interruption. The Budget and Control Board is authorized to approve any exceptions to this schedule where circumstances are deemed justifiable. Provided, Further, That the appropriated salaries for specified positions shall mean the maximum compensation for such position, and in any case Where the head of any department can secure the services for a particular position or work at a lower rate than the salary specified in this Act, authority for so doing is hereby given. Provided, Further, That no employee of any state department or institution shall be paid any compensation from any other department of the State government except with the approval of the State Budget and Control Board, and no employee of any department or institution shall be paid travel expenses by any other department or institution without approval of the agency by which he is regularly employed. Sec. 168. That salaries paid to officers and employees of the State, Including its several boards, commissions, and institutions shall be in full for all services rendered, and no perquisites of office or of employment shall be allowed in addition thereto, but such perquisites, commodities, services or other benefits shall be charged for at the prevailing local value and without the purpose or effect of increasing the compensation of said officer or employee; Provided, However, That this shall not apply to the Governor's Mansion, nor to guards at any of the State's penal institutions and nurses and attendants at the Department of Mental Health, Department of Mental Retardation and the S.C. Sanatorium (Department of Health and environmental Control), and to the cottage parents of Will Lou Gray Opportunity School. Provided, Further, That the Presidents of State's institutions of higher learning may be permitted to occupy a residence on the grounds of such institutions without charge. Except in the case of elected officials, the fair market rental value of any residence furnished to a state employee in an amount determined by the Budget and Control Board shall be listed in the General Appropriation Act as a portion of the compensation paid to the individual receiving such benefit. Provided, However, That such listing shall not be construed to reduce the cash salary paid to the person concerned. Provided, Further, That the Director of the Department of Corrections, the Farm Director, Farm Managers and Specialists employed at Wateree River Correctional Institution, Walden Correctional Institution, MacDougall Youth Correctional Center and Givens Youth Correctional Center may be permitted to occupy residences owned by the Department without charge. The fair market rental value of any residence furnished to a state employee in an amount determined by the Budget and Control Board shall be listed in the General Appropriation Act as a portion of the compensation paid to the individual receiving Such benefit. Provided, however, that such listing shall not be construed to reduce the cash salary paid to the person concerned. Provided, Further, That all salaries paid by departments and institutions shall be in accord with a uniform classification and compensation plan, approved by the Budget and Control Board, applicable to all personnel of the State Government whose compensation is not specifically fixed in this act. Such plan shall include all employees regardless of the source of funds from which payment for personal service is drawn. Provided, However, that academic personnel of the institutions of higher learning and other individual or group of positions that cannot practically be covered by the plan may be excluded therefrom but their compensation shall, nevertheless, be subject to approval by the Budget and Control Board. Provided, Further, That salary appropriations for Employees fixed in this Act shall be in full for all services rendered. and no supplements from other sources shall be permitted or approved by the State Budget and Control Board. Provided, Further, that salaries of the heads of all agencies of the State Government shall be specifically fixed in this Act and no salary shall be paid any agency head whose salary is not so fixed. Provided, Further, That the source of compensation for any position in the State Government shall not be changed without approval of the Budget and Control Board. Sec. 169. The Budget and Control Board shall develop a plan for the distribution of the funds appropriated in Section 14 and designated as compensation plan merit increments so as to provide funds for an average two and one half (2 1/2%) merit increment. The State agencies and institutions shall absorb, within their appropriation, funds to provide an additional one percent (1) merit increment so as to provide for a maximum average merit increase for classified and unclassified employees of three and one half (3 1/2%). For the purpose of computing the allocation of merit increment funds to the various agencies and institutions, it is assumed that the average merit review date for both classified and unclassified employees shall be January 1 of the fiscal year. Provided, Further, That not withstanding any other provisions of this act, including specific line appropriations, no State officer or State employee, from whatever source paid, shall receive an increase in compensation over the fiscal year 1979-80, including base pay, longevity, merit increments, which on an annual basis, would exceed the sum of $3,000.00. For the purpose of computing the limitation as provided in this section, State officers and employees shall be defined as individuals receiving payment from the State or any agency or institution thereof, regardless of source of funding, for personal services provided to the State or any agency or institution thereof. The Budget and Control Board is authorized and directed to reduce the allocation of base pay and merit increment funds to the separate agencies and institutions to insure that savings to be derived from the limitation as herewith established shall accrue to the General Fund and shall not be distributed to the agencies and institutions for expenditures. In computing the reduction to be applied to the distributions to the agencies and institutions of base pay increases and merit increases, the Budget and Control Board shall compute the salaries of all classified and unclassified employees by adding a 7% base pay increase and a 2 1/2% merit increase. It is the intention of the General Assembly that the plan as developed by the Budget and Control Board shall provide for merit increment at fixed percentage levels. No merit increments shall be awarded to employees at or above the maximum of their pay grades, and employees with less than satisfactory performance shall not be eligible for merit increments. It shall be the responsibility of the individual agency to operate this program with funds available. Appropriated funds may be used for merit increases only in the same ratio that the employees' base salary is paid from appropriated sources. However, the Budget and Control Board may authorize the use of appropriated State funds to grant merit increases to those employees who are paid from federal funds under the Comprehensive Education and Training Act (CETA) and who may not be entitled to an increase from federal funds because of a maximum limitation, if such increase is permitted under federal rules and regulations. Sec. 170. That the authorities of all institutions and departments for which a lump sum operating appropriation is provided, if requested, beginning with the next fiscal year, before the beginning of the fiscal year to which appropriations are applicable, submit to the State Budget and Control Board for approval an itemized budget for the operation of such department or institution during the ensuing fiscal year, and shall further report upon the Board's request, any subsequent changes in such approved budget so as to reflect the actual detailed operating costs of such department or institution. Provided, Further, That no part of such lump sum appropriations shall be used for permanent improvements unless specifically authorized herein. Sec. 171. Travel and subsistence expenses, whether paid from State appropriated, Federal or other funds, shall be allowed in accordance with the following provisions: A. Unless otherwise provided in paragraphs B through H of this section, all employees of the State of South Carolina or any agency thereof while traveling on the business of the State shall, upon presentation of a paid receipt, be allowed reimbursement for actual expenses incurred for lodging. The employee shall also be reimbursed for the actual expenses incurred in the obtaining of meals except that such costs shall not exceed $12 per day, except in urban areas outside of South Carolina with populations in excess of 250,000, in which case the maximum daily reimbursement for meals shall not exceed $20. It shall be the responsibility of the agency head to monitor the charges for lodging which might be claimed by his employees In order to determine that such charges are reasonable, taking into consideration location, purpose of travel or other extenuating circumstances. The provisions of this item shall not apply to Section 42-340 of the 1976 Code. B. That employees of the State, when traveling outside the United States, Canada and Puerto Rico upon promotional business for the State of South Carolina shall be entitled to actual expenses for both food and lodging. C. The Governor, Lieutenant Governor, Secretary of State, Comptroller General, Attorney General, State Treasurer, Adjutant General, Superintendent of Education and the Commissioner of Agriculture shall be reimbursed actual expenses for subsistence. D. Members of committees appointed pursuant to Acts and Resolutions of the General Assembly whose membership consists solely of members of the General Assembly or members of the General Assembly and other personnel who are not employees of the State of South Carolina shall be allowed subsistence expenses of $35 per day while traveling on official business. Members of such committees may opt to receive actual expenses incurred for lodging and actual expenses incurred in the obtaining of meals in lieu of the allowable subsistence expense. E. Members of the State Boards, Commissions or Committees whose duties are not full-time and who are paid on a per diem basis, shall be allowed reimbursement for actual expenses incurred at the rates provided in Paragraph A and I of this Section while away from their places of residence on official business of the State. F. Each Justice of the Supreme Court, while traveling upon official business of said Court, shall be allowed subsistence expenses in the amount of $35 per day plus such mileage allowance for travel as is provided for other employees of the State. The Chief Justice, or such other person as he designates, while attending the Conference of Chief Justices and one member of the Supreme Court while attending the National Convention of Appellate Court Judges, and three Circuit Judges w kite attending the National Convention of State Trial Judges shall be allowed actual subsistence and travel expenses. G. No subsistence reimbursement shall be allowed to a Circuit Judge or Family Court Judge while holding court within the county in which he resides. While holding court or on other official business without the county in which he resides a Circuit Court Judge or Family Court Judge shall be entitled to a subsistence allowance in the amount of $35 per day. H. No expense shall be allowed an employee either at his place of residence or at the official headquarters of the agency by which he is employed except as provided in paragraph D of this section and except reporters of the circuit or family courts who shall be allowed expenses when required to travel to counties outside their residences. When an employee is assigned to work a particular territory or district, and such territory or district and his official headquarters are in different localities or sections of the State. expenses may be allowed for the necessary travel to his official headquarters. Provided, however, that the members of the Public Service Commission and the Employment Security Commission may be reimbursed at the regular mileage rate of one round trip each week from their respective homes to Columbia and each member of the Employment Security Commission and each member of the Public Service Commission, regardless of the district he represents, may receive a subsistence allowance of $35 per day for not exceeding five days in any week while in Columbia on official business. I. When an employee of the State shall use his or her personal automobile in traveling on necessary official business, a charge of 20c per mile will be allowed for the use of such automobile and the employee shall bear the expense of supplies and upkeep thereof. When such travel is by a State-owned automobile, the State shall bear the expense of supplies and upkeep thereof but no mileage will be allowed. Agencies are requested to effect a reduction in the number of miles traveled to provide necessary funds for the essential travel. Provided, that in traveling on the business of the State, employees are required to use the most economical mode of transportation, due consideration being given to urgency, schedules and like factors. J. That a State agency may advance travel and subsistence expense monies to employees of that agency for the financing of ordinary and necessary travel required in the conducting of the business of the agency. The Budget and Control Board is directed to develop and publish rules and regulations pertaining to the advancing of travel expenses and no State agency shall make such advances except under the rules and regulations as published. K. The State Budget and Control Board is authorized to promulgate and publish rules and regulations governing travel and subsistence payments which shall be effective July 1, 1980. Sec. 172. That the per diem allowance of all boards, commissions and committees shall be at the rate of Thirty-five ($35) Dollars per day. Provided, That no full-time officer or employee of the State shall draw any per diem allowance for service on such boards, commissions or committees. Sec. 173. In addition to the powers and duties devolved upon the Budget and Control Board by the 1976 Code of Laws of this State, the said Board is hereby given full power and authority to make surveys, studies, and examinations of departments, institutions, and agencies of this State, as well as its programs, so as to determine whether there may be an overlapping in the performance of the duties of the several departments, institutions, and agencies of the State, that proper administrative and organizational economy is being observed, and for the purpose of determining whether a proper system of accounting is maintained in such departments, institutions, commissions, and agencies, and to require and enforce the adoption of such policies as are deemed necessary to accomplish these purposes; and to survey, appraise, examine and inspect, and determine the true conditions of all property of the State, and what may be necessary to protect it against fire hazard or deterioration, and to conserve its use for State purposes, and to make and issue and to enforce all necessary, needful, and convenient rules and regulations for the enforcement of this provision and to approve the destruction or disposal of records of no value to the State. Provided, Further, That the State Budget and Control Board may require that all plans and specifications for permanent improvements of any nature by any State approval prior to the awarding of any contract there for, or prior department or institution shall be submitted to the said Board for to construction by any other means. Provided, Further, That the State Budget and Control Board shall have the authority to approve blanket bonds for each of the several departments, agencies and institutions of the state government, which bonds shall include coverage requirements by law for particular officials and employees and any others who, in the opinion of the Board, should be bonded. Such blanket bonds shalt be subject to approval as to form and execution by the Attorney General. Sec. 174. Provided, That notwithstanding any other provision of law, the State Treasurer may enter into contracts whereby the agency or institution may accept credit cards as payment for goods or services provided. Sec. 175. Any appropriations made herein or by special act now or hereafter, are hereby declared to be maximum, conditional and proportionate, the purpose being to make them payable in full in the amount named herein, if necessary, but only in the event the aggregate revenues available during the period for which the appropriation is made are sufficient to pay them in full. The State Budget and Control Board Shall have full power and authority to survey the progress of the collection of revenue and the expenditure of funds by all departments and institutions, and is hereby authorized and directed to make such reductions of appropriations as may be necessary to prevent a deficit; Provided, That no institution or activity for which the General Assembly has herein provided shall be discontinued. Provided, Further, That any reduction of appropriations by the said Board, under authority of this Act, shall be applied as uniformly as may be practicable except that no reduction shall be applied to any part of such appropriations which may be encumbered by a written contract with an agency not connected with the State Government; and Provided, Further, That in making such reductions any amounts of State Revenues allocated by law to Counties and Municipalities (commonly referred to as Aid to subdivisions) shall be subject to reduction the same as appropriations. Counties and Municipalities shall be immediately notified of any such action by the Board. Provided, Further, That no such reduction shall be ordered by the State Budget and Control Board while the General Assembly is in session without first reporting such necessity to the General Assembly. Provided, Further, That the State Budget and Control Board is hereby authorized to borrow such amounts of money as may be necessary to pay appropriations made by the General Assembly, and to pledge for the payments of such loans any General Fund assets, including revenues of the next succeeding fiscal year. Provided, Further, That the expenditure of funds, heretofore or hereafter provided, by any State Agency, except the Department of Highways and Public Transportation for permanent improvements as defined in the State Budget, shall be subject to approval and regulations of the State Budget and Control Board. The Board shall have authority to allot to specific projects from funds made available for such purposes, such amounts as are estimated to cover the respective costs of such projects, to declare the completion of any such projects, and to dispose, according to law, of any unexpended balances of allotments, or appropriations, or funds otherwise provided for such projects, upon the completion thereof. Provided, However, That the approval of the Budget and Control Board shall not be required for permanent improvements, renovations and alterations where the cost does not exceed $10,000.00. Provided, Further, That in all construction improvement and renovations of State buildings, the applicable standards and specifications set forth in each of the following codes shall be followed: The Standard Building Code-- 1980 Edition; The Standard Plumbing Code--1980 Edition; The Standard Gas Code--1980 Edition; The Standard Mechanical Code--1980 Edition as adopted by the Southern Building Code Congress International, Inc., The National Electrical Code--NFPA 70-1978 and The National Electrical Safety Code--ANSI- C2-1977 Edition. Provided, However, That Section 508 of The Standard Building Code--1980 Edition shall not be followed. Sec. 176. That transfers of appropriations herein provided may be made within departments, upon the unanimous approval of the State Budget and Control Board, but no such transfer shall be permitted for the purpose of increasing the compensation of any State employee which is specifically fixed in this Act nor shall any transfer be permitted from any appropriation for per diem. Sec. 177. Subsection (a). The Budget and Control Board through its Division of General Services is hereby directed to assess and collect a rental charge from all departments and agencies of the State Government occupying space in State-controlled office buildings. The amount charged each department or agency shall be calculated on a square foot, or other equitable basis of measurement, and at such rates as will yield sufficient total annual revenue to cover, in priority order, both (1) the annual principal and interest due on the Capital Improvement Obligations authorized by Act No. 829 of the 1964 Acts, Act No. 1273 of the 1970 Acts and Act No. 508 of the 1971 Acts and Act No. 1377 of the 1968 Acts as amended for projects administered by the Division of General Services and (2) maintenance and operation costs of State-controlled office buildings in the City of Columbia. The amount so collected which is applicable to the payment of principal and interest due on obligations authorized by Act 1377 of the 1968 Acts as amended shall be paid into the State's General Fund to apply on debt service appropriations under Section 117 of this Act. Subsection (b). All departments and agencies against which rental charges are assessed and whose operations are financed in whole or in part by Federal and/or other non-appropriated funds are directed to apportion the payment of such charges equitably among all such funds, so that each shall bear its proportionate share. All appropriations in this Act applicable to the rental of space in State-controlled Buildings (exclusive of the Department of Highways and Public Transportation), shall be available only for payment of that portion of rental charges applicable to State-appropriated operations. Subsection (c). Rental collections shall be deposited by the General Services Division in the State Treasury in a special account and shall be expended only for (1) payment of principal and interest due on the obligations referred to in Subsection (a) above and (2) maintenance and operations costs of the buildings referred to in Subsection (a) above. Sec. 178. All institutions, departments and agencies shall file an annual report with the Budget and Control Board at such time as the Board shall specify. The Board shall be charged with the responsibility of printing these reports. They shall be made available on or before January first to each member of the General Assembly at his request; individually from the State Library, or bound to get her as "Reports and Resolutions" from the Legislative Council. The clerk of the House of Representatives is hereby authorized to refuse to place upon the desks of the members any reports not submitted in compliance with this section. The Budget and Control Board shall prescribe such specifications and deadlines as may appear practicable for all State and departmental reports, the objective being to limit the content, style of printing and cost of publication of such reports within reasonable limits. Provided, that the Comptroller General may submit his annual report in two parts. The report on State Finances and Confederate Pensions shall be submitted within the above prescribed time and the report on County Finances shall be submitted when available. The Budget and Control Board shall report annually to the General Assembly on the expenditure of appropriations for such reports showing, by departments, the number of copies and cost of publication. All departmental annual reports shall be submitted to the Budget and Control Board. Only such reports shall be printed as shall be expressly requested by the Budget and Control Board and a report of such requests shall be available to each member of the General Assembly. Sec. 179. Each agency having in its custody one or more aircraft shall maintain a continuing log on all flights, which shall be open for public inspection. All passengers on every flight of state-owned aircraft shall be listed by their legal name. Any and all aircraft owned by agencies of the State Government shall be used only for official business. The Aeronautics Commission and other agencies owning and operating aircraft may furnish transportation to legislators and members of State boards, commissions and agencies on official business only. Provided, the provisions above shall not apply to aircraft of the Athletic Department of any State supported institution of Higher Education. Sec. 180. No aircraft will be purchased by any State Agency without the authorization of the State Budget and Control Board and Joint Legislative Appropriation Review Committee. Sec. 181. Any funds derived by the State Ports Authority from the rental, lease or sale of any of its facilities shall be expended for the benefit of the particular Port where such facilities are located. Sec. 182. In any instances where Federal laws or regulations, relating to funds allotted to State Government agencies, include requirements relating to banking procedures, the State Treasury shall be deemed to meet the definition of a bank. Sec. 183. The President of the University of South Carolina, Clemson University, the Medical University of South Carolina, The Citadel, Winthrop College, South Carolina State College, Francis Marion College, College of Charleston, and Lander College shall not be paid a fixed allowance for personal expenses incurred in connection with the performance of their official duties. Reimbursements may be made to such Presidents from funds available to their respective institutions for any such personal expenses incurred provided that all requests for such reimbursement are supported by properly documented vouchers processed through the normal accounting procedures of such institutions. Sec. 184. That to the extent funds are available, amounts appropriated for the state's contribution to the South Carolina Retirement System for state employees and for Social Security for state employees shall be payable from funds allotted to the state by the federal government under the State and Local Fiscal Assistance Acts of 1972 and 1976 (Revenue Sharing) and the Public Works Employment Act of 1976. Such payments shall be in the following order of priority: (1) from funds allotted to the State by the federal government under the Public Works Employment Act of 1976 and any amendment of that act or employees maintaining basic services provided during the two preceding fiscal years; and (2) from funds allotted to the State by the federal government under the State and Local Fiscal Assistance Acts of 1972 and 1976 (Revenue Sharing). Provided, Further, That Federal Funds allotted to the State for the period January 1, 1972 through June 30, 1973 or the investment thereof, under the provisions of the State and Local Fiscal Assistance Act of 1972 (commonly referred to as "Windfall Revenue Sharing Funds") not heretofore appropriated shall be applied to the payment of appropriations for the State contribution to the South Carolina Retirement System for public school employees. Sec. 185. The funds appropriated to each agency or institution for payment of employer contributions for state employees shall be used for that purpose only and it is intended that the amount so provided to each agency or institution shall be sufficient to pay the employer contribution costs of that agency. The Budget and Control Board is directed to devise a plan for the expenditure of the funds appropriated for employer contributions and may require transfers of funds within an agency or institution if it becomes evident that the employer contribution costs will exceed the funds available for that purpose. Sec. 186. The General Assembly hereby expresses its grave concern over the disturbing increase in the number of personnel employed by the State of South Carolina. It is further declared to be the intent of the General Assembly to take positive steps to control and restrict such growth in the future, without unduly hampering the legitimate functions of state government. In order to increase the efficiency of state government, promote economy and reduce costs, the Budget and Control Board is hereby directed to maintain close supervision over the number of state employees, and to require specifically the following: 1. That no state agency exceed the authorized number of positions funded from state, federal, or other sources as provided in each section of this Act without unanimous consent of the Budget and Control Board. Specific written confirmation of such unanimous approval shall be forwarded to each member of the Joint Appropriations Review Committee in the event that any agency is allowed to exceed the number of positions authorized in this Act. 2. That the State Auditor shall maintain a record of the total number of authorized positions by agency categorized by State, Federal and Other funding sources. No position shall be established by the State Personnel Division in excess of the number authorized in the State Auditor's record. 3. That the number of positions authorized in this Act shall be reduced in the following circumstances: a. When a position has been vacant for nine months. b. When anticipated federal funds for such positions are denied. c. When the Budget and Control Board, through study or analysis, becomes aware of any unjustifiable excess of positions in any State agency. 4. That the State Budget and Control Board shall submit monthly reports to the Joint Legislative Committee on Personal Service Financing and Budgeting. Such reports shall include any changes in the authorized number of positions, the number of filled and vacant positions and any other data requested by the Committee. 5. That, notwithstanding any other provision of this act, state funds appropriated for new positions in this act shall be used to fund those positions only. Any funds not used for this specific purpose shall be returned to the General Fund; provided, further, that each state agency with new positions funded in this act shall file a report with thee Joint Legislative Committee on Personal Service Financing and Budgeting and the State Auditor ,by July 15, 1981 indicating the date the new position was established, the date filled, the annual salary and the amount expended during the fiscal year for salary and fringe benefits. 6. That no new permanent positions in state government shall be funded by appropriations in acts supplemental to this act but temporary positions may,be so funded. 7. That any agency proposal submitted to the Budget and Control Board, the Ways and Means Committee of the House of Representatives or the Senate Finance Committee which includes the creation of new positions shall include at the time of submission written justification for creation of such new positions and an impact statement reflecting the cost to the State for each new position for the next three fiscal years. Sec. 187. It is the intent of the General Assembly that any surplus, unappropriated balance in the state's general fund at the end of 1979-80 together with any amount in the general fund reserve, shall be retained and made available to cover appropriations in this act to the extent that general fund revenue in 1980-81 may be insufficient there for. Sec. 188. That unless specifically authorized herein, the appropriations provided in Part I of this Act as ordinary operating expenses of the State Government shall lapse on July 31, 1981. Provided, That on July 31, 1981, the Budget and Control Board may authorize an extension of not exceeding 31 days for the expenditure of funds to pay for outstanding commitments of employer contributions and assistance payments. The Budget and Control Board may authorize such accounting procedures as may be necessary to accomplish this purpose. Provided, That appropriations for permanent improvements, or for other specific purposes aside from ordinary operating expenses, now outstanding or hereafter provided, shall lapse at the end of the second fiscal year following the close of the fiscal year in which such appropriations were provided, unless definite commitments shall have been made, with the approval of the State Budget and Control Board, toward the accomplishment of the purposes for which the appropriations were provided. Sec. 189. In order to establish a more uniform schedule for state agencies to follow in reimbursing physicians for medical services rendered on behalf of such agencies and institutions, the State Budget and Control Board and the Health Care Planning and Oversight Committee of the Legislature is hereby authorized and directed to develop recommendations for the implementation of a uniform fee schedule to govern such reimbursement mechanisms taking into account the California Relative Value Studies or other possible alternatives in recommending a uniform reimbursement schedule within the shortest time frame as is reasonably feasible. In developing such schedule, the Budget and Control Board and the Oversight Committee should utilize the input of such public and private persons or organizations as in their judgment is necessary to develop a fair and equitable plan. The Committee is hereby directed to make its recommendations in writing to the State Budget and Control Board, the Ways and Means Committee and the Finance Committee of the Legislature and such other parties as it deems necessary. The agencies and institutions shall implement the uniform fee schedule at the direction of the Budget and Control Board and the Oversight Committee." Sec. 190. Provided, Further, That all state employees, who are commissioned law enforcement officers upon retirement, if vested, may purchase their assigned weapon at a nominal fee. Sec. 191. That the Legislative Audit Council and the State Auditor shall be furnished a copy of each audit report issued by a federal Audit Agency within fifteen days from the date of receipt by the State Agency. Provided, Further, That the State Auditor shall periodically furnish a list of such reports to each member of the General Assembly. Sec. 192. The provisions of Section 26 of Part II of Act 644 of 1978 are extended and shall be effective in all respects through the fiscal year 1980- 1981 and a regional committee is established to advise the Interagency Council and the Santee-Wateree Regional Transportation Authority in the implementation of the project, including the planning for services at the conclusion of the project. The Committee shall be composed of representatives of all local participating agencies. The chairman of the Committee shall be elected at the first meeting among its membership. The Committee shall meet monthly during the period stated above. The Committee shall meet and begin to perform its duties immediately upon the effective date of this act and shall be staffed by the Santee-Lynches Council of Governments. Sec. 193. Any unexpended balances in appropriations provided in Part II of Act 354 of 1973 shall be carried forward and made available for expenditure through June 30, 1981. Sec. 194. All temporary provisions in PART II (Permanent Provisions) of this act are hereby transferred to PART IV (General and Temporary Provisions) of this act. The Auditor's Office in conjunction with the Legislative Council shall make the necessary transfers before this act is sent to the Governor's Office. Sec. 195. Notwithstanding the provisions of Act 652 of 1978, if any capital improvement bond funds authorized by Act 354 of 1973 and Act 1294 of 1974 for expansion of Colleton Area Vocational School are not committed by a construction contract by June 30, 1980, such funds shall be reallocated as the General Assembly may determine. End of Part I PART II Permanent Provisions SECTION 1 It is hereby declared to be the intent of the General Assembly that the following sections shall constitute a part of the permanent laws of the State of South Carolina, and the Code Commissioner is hereby directed to include same in the next edition of the Code of Laws of South Carolina and all Supplements to the Code. SECTION 2 To create the Joint Legislative Committee on Personal service Financing and Budgeting, to Define Its Powers and Duties and to Impose Duties on State Bonds, Agencies and Institutions Relative to the Committee and Its Duties. A. There is hereby created the Joint Legislative Committee on Personal Service Financing and Budgeting to study issues pertaining to the budgeting of personal service funds and positions, and to overview the implementation of recommendations made pursuant to Section 151 of Act 199 of 1979, the General Appropriation Act of 1979. The committee shall be composed of ten members, five of whom shall be members of the Ways and Means Committee of the House of Representatives to be appointed by the Chairman of that committee and five of whom shall be members of the Senate Finance Committee to be appointed by the Chairman of that committee. B. The committee shall have the responsibility of reviewing on behalf of the General Assembly the report of the Task Force on Control of Growth in State Government as mandated by Section 151 of Part I of Act 199 of 1979. It shall monitor, oversee, and evaluate actions taken to implement the findings of that report, including but not limited to measures pertaining to position control contained in Part I of this act. The committee shall further have the responsibility of reviewing the appropriation process and the position approval process and statutes relating thereto as such processes and statutes affect or pertain to the financing or budgeting of personal service throughout the various agencies and institutions of state government. It shall make annual reports to the General Assembly concerning the progress of efforts to contain the growth of state government. C. 1. State agencies and institutions shall comply with requests made by the committee for information necessary to its efforts. 2. The committee may request assistance from the research staffs of the Senate, the House of Representatives, the Legislative Council, the Legislative Audit Council, and the State Reorganization Commission. D. 1. The committee shall cooperate with the Joint Legislative Appropriations Review Committee in analyzing the system for approving, monitoring, and accounting for any positions which are funded, or which may be funded, with federal or other funds. It may present, from time to time, recommendations to the Review Committee concerning modifications of budget format or content which might be necessary to contain further the growth of state government. 2. The committee shall cooperate with the Committee on State Employees and Their Employment in making reports on matters pertaining to the compensation of state employees whose compensation derives from federal, state, or other funds, to employment or hiring practices which may result in personal service annualization; or, to employee benefits and employer contributions and the financing or provision thereof. 3. The Committee shall also have the responsibility of reviewing, analyzing and reporting on certain perquisites, housing and automobiles furnished to state employees. The Committee may make recommendations as to the legality and termination of such perquisites or benefits should such perquisites be found to be in violation of State statutes. E. The committee may create and appoint ad hoc committees composed of state and local government officials or employees and qualified persons in the private sector to serve as subcommittees for various studies which may be conducted by the committee. F. The General Assembly hereby reaffirms its prior expression of grave concern over the disturbing increase in the number of personnel employed by the State and hereby expresses its further concern over the increasing magnitude of state, federal and other funds necessary to maintain the growing complement of employees. The State Budget and Control Board, before exercising its authority to allow agencies to exceed the number of positions authorized in any General Appropriation Act, shall submit requests made by agencies to exceed the number of positions so authorized to the Joint Legislative Committee on Personal Service Financing and Budgeting for review and comment. The Budget and Control Board shall give consideration to the intent of the General Assembly expressed in this section and to the recommendations of such joint committee when exercising its authority to allow agencies to so exceed the number of positions. G. Expenses of the committee shall be paid from the approved accounts of both Houses. H. The Legislative Council shall provide such legal services as the committee may require in the performance of its duties. SECTION 3 To Amend Section 8 of Part II of Act 199 of 1979, Relating to Justification of Amounts of Money Requested by Agencies, Departments or Institutions, so as to Require Additional Information Deemed Necessary by the State Budget and Control Board after Consultation with the Joint Legislative Appropriations Review Committee. Section 8 of Part II of Act 199 of 1979 is amended by adding at the end: "For the purpose of justification as set forth in this provision, the Budget and Control Board shall require each state agency, department and institution to submit for each program the purposes, objectives and such quantitative measurements regarding services provided as the Budget and Control Board in consultation with the Joint Legislative Appropriations Review Committee might deem necessary for program evaluation." SECTION 4 To Require an Annual Inventory and Report of Residential Property of all State Agencies, to Provide for the Sale Of Property not Being Utilized and to Provide for the Use of the Funds Derived from the Sale. Every State agency, as defined by Section 1-19-40, shall annually perform an inventory and prepare a report of all residential property owned by it. The report shall be submitted to the State Budget and Control Board and the Joint Legislative Committee on Personal Service Financing and Budgeting on or before June thirtieth and shall indicate current use, current value and projected use of the property. Property not currently being utilized for necessary agency operations shall be made available for sale and funds received from the sale of the property shall revert to the general fund. SECTION 5 To Provide for Dental coverage under the Health Insurance Master Contract. The Budget and Control Board shall make available an amended master health insurance contract offering dental coverage to the same persons covered by the master contract if a majority of such persons covered desire dental coverage. The total premium cost for dental coverage shall be paid by the state employee, school district or political subdivision employee covered under the present state employee health insurance contract. SECTION 6 To Provide that Parolees and Probationers Shall Pay a Fee of Ten Dollars Per Month for Each Month on Probation Except in Certain Cases, to Provide for the Disposition of Such Fees, and to Amend Section 12-7-660, Code of Laws of South Carolina, 1976, as Amended, Relating to Exclusion from Gross Income, so as to Exclude Fees Paid by Parolees and Probationers from Gross Income for State Income Tax Purposes. A. Every person granted parole by the Probation, Parole and Pardon Board (Board), and every adult placed on probation by a court of competent jurisdiction shall be required to pay one hundred twenty dollars per year toward offsetting the cost of his supervision for so long as he remains under supervision. This fee is due and payable on the date of sentencing or date of parole and each Anniversary thereafter for the duration of the supervision period. The payment of the fee shall be a condition of parole or probation and a delinquency of two months or more in making payments shall operate as a revocation of parole or probation rendering the violator liable to serving out any remaining part of his sentence. Provided, however, that the Board, in the case of parolees, or a court of competent jurisdiction, in the case of probationers, may exempt the probationer or parolee from payment of any part or all of the yearly fee during any part or all of the term, where the Board or the court determines that such payments would work a severe hardship on the parolee or probationer. Delinquencies of two months or more in payment of any reduced fee shall operate in the same manner as delinquencies for the full amount. B. Each probation officer shall keep an accurate account of the money he collects pursuant to this act and shall give a receipt to the probationer or parolee for each payment. Money collected shall be forwarded to the Board where it shall be deposited in the State Treasury. C. Section 12-7-660 of the 1976 Code, as last amended by Act 114 of 1979, is further amended by adding a new item to read: "( ) Any fees required to be paid by a taxpayer to a probation officer as a condition of the taxpayer's parole or probation." D. It is the intent of the General Assembly that the fees collected from probationers and parolees by the Probation, Parole and Pardon Board be used, in future years, for the hiring of additional parole and probation staff. The Budget and Control Board is directed to take this intent into consideration in developing budget recommendations for fiscal year 1981-82. SECTION 7 Senate Management and Operations Committee Created There is hereby created a permanent Senate Operations and Management Committee composed of seven members of the Senate, appointed by the President Pro Tempore whose duties shall include but not be limited to the following: 1. Management of the L. Marion Gressette Building with authority to formulate and implement policies and procedures for the effective utilization of personnel, equipment, and space within the building. 2. Develop and implement policies for a Senate Personnel Plan which shall include: (a) Establishment of policies and procedures for the employment and dismissal of Senate employees. (b) Establishment of guidelines for the effective management and supervision of Senate employees. (c) Review requirements and needs of members and committees of the Senate for staff support. The personnel policies and procedures established by the committee shall be the controlling policies and procedures for management of Senate personnel. In furtherance of the requirements of this section the committee is authorized to continue work during the interim to secure such information and make such investigations as it may deem necessary. The members shall be paid the regular per diem, mileage and subsistence allowance provided by law to be paid from approved accounts of the Senate. SECTION 8 To Amend Item (g) of Section 10-3-30 of the 1973 Code, As Amended, Relating to the Governor's Mansion and Lace House Commission, so as to Delete the Provision which Allows Funds to be Accepted and Disbursed Without Passing through the Office of the State Treasurer. Item (g) of Section 10-3-30 of the 1976 Code, as last amended by Section 5 of Part II of Act 632 of 1978, is further amended by striking beginning on line five "Such funds may be received and disbursed without passing through the office of the State Treasurer or the state general fund and, because" and inserting "Because". The item when amended shall read: '(g) Accept and disburse funds which shall be utilized to purchase articles of historical, artistic, decorative or intrinsic permanent value for use in the Governor's Mansion and other buildings owned by the State of South Carolina in the two blocks surrounded by Lincoln, Laurel, Gadsden and Calhoun Streets in the City of Columbia. Because of the nature of the articles purchased, such purchases shall be exempt from the bidding and purchasing procedures of the Division of General Services applicable to other state agencies if they are in the categories of articles above described in this item. All such receipts and disbursements shall be made with the approval of the Commission and be subject to an annual audit for each fiscal year by the state auditor (including past fiscal years). Such funds and purchases made therewith and gifts made hereunder shall be the property of the State of South Carolina." SECTION 9 To Amend Act 651 of 1978, as Amended, Relating to a Revised Structure and Content of the general Appropriation Act, so as to Provide for Annual State Indirect Cost Allocation Plans and Procedures. Act 651 of 1978, as last amended by Section 6 of Part II of Act 199 of 1979, is further amended by adding: 'Section 9A. An annual state indirect cost allocation plan shall be prepared by the State Auditor's Office. Each state agency's, department's or institution's indirect cost rate proposal shall be prepared by the agency, department or institution and shall be submitted to the State Budget and Control Board and the Joint Review Committee prior to the submission to any federal agency for the agency's approval. After being approved by the Board and the Committee the proposal shall be forwarded to the federal agency by the Auditor's Office and a rate shall be issued to the state agency from the Auditor's Office. The Auditor's Office shall provide an annual estimate of indirect funds collected from federal and other programs for inclusion in the annual state general appropriation act and the Auditor's Office shall continually monitor these funds.' SECTION 10 To Establish a Governor's Nuclear Advisory Council A. There is hereby established a Governor's Nuclear Advisory Council which shall be responsible to and report to the Governor. B. The duties of the Council, in addition to such other duties as may be requested by the Governor, shall be: (1) To provide advice and recommendations to the Governor on issues involving the use, handling and management of the transportation, storage or disposal of nuclear materials within South Carolina, or such use, handling, transportation, storage or disposal of nuclear materials outside of the State which may affect the public health, welfare, safety and environment of the citizens of South Carolina. (2) To provide advice and recommendations to the Governor regard in the various programs of the United States Department of Energy and other federal agencies related to the Establishment of a National Radioactive Waste Management Plan and the applicability of South Carolina laws, and administrative rules and regulations to such a plan. C. The recommendations described in Subsection B shall be made available to the General Assembly and Joint Legislative Committee on Energy. D. The Council shall consist of five (5) members appointed by the Governor as follows: One shall be actively involved in the area of environmental protection; one shall have experience in the generation of power by nuclear means; one shall have experience in the field of nuclear activities other than power generation; one shall be a scientist or engineer from the faculty of one of the institutions of higher learning in the State; and one shall be from the public at large. The terms of the members of the Council shall be co-terminus with that of the appointing Governor, but they shall serve at the pleasure of the Governor. Vacancies on the Council shall be filled in the manner of the original appointment. E. The Governor shall designate the Chairman from the membership. When on business of the Council, members shall be entitled to receive such compensation as provided by law for boards and commissions. F. The Council may employ, on a full or part-time basis, staff as necessary to carry out the activities of the Council. Unclassified staff of the previous S.C. Nuclear Advisory Council transferred to the Joint Legislative Committee on Energy under Part II, Section 19D of Act No. 644 of 1978 are hereby transferred to the Governor's Nuclear Advisory Council. G. Part II, Section 17 of Act 199 of 1979 is repealed. SECTION 11 To Establish a Legislative Advisory Committee on Early Childhood Education and Development, To provide for a forum for the exchange of information regarding legislative recommendations and priorities in early childhood education and development by various groups and agencies, a Legislative Advisory Committee on Early Childhood Education and Development is hereby created. The membership of the committee shall consist of the Chairman or designee of the Senate Education Committee, Senate General Committee, Senate Medical Affairs Committee, House Education Committee, House Medical, Military and Municipal Affairs Committee and the Joint Legislative Committee on Children. The committee shall meet at least three times a year to consider legislative proposals in the area of early childhood education and development. The committee shall be encouraged to work in conjunction with the Interagency Coordinating Council for Early Childhood Education and Development. The chairman of the committee shall be selected by the members of the committee for a period of one year. The Legislative Council shall provide such research and legal services as the committee shall require in the performance of its duties. SECTION 12 To Provide for the Establishment of an Official Annual Spending Limitation on State Expenditures Based on the Principle that the Expenditure of State Funds to any One Fiscal Year shall not Exceed Expenditures of the Prior Year by a Greater Percentage than the Past Three-Years Average Rate of Annual Growth in State Personal Income; to Provide that the Ratio of State Employees to state Population shall Not Be Increased Above Such Ratio as it Existed for the Fiscal Year 1980-81 and to Establish Procedures to Implement Such Limitation; to Require that Acts which Levy or Increase Taxes shall be Separate from the State General Appropriations Act; and to Limit the Amount of Funds Used for Bonded Debt Service to Five Percent of General Revenue for the Previous Year. A. The General Assembly finds that it is in the best interests of the State that any attempt to control the growth of state government be accomplished in a reasonable and responsible manner which allows the State to continue to provide necessary government services and provide for continued growth in the economy of the State. It further finds that an intelligent approach to controlled growth requires action in relation to state taxes, state expenditures and state borrowing. The General Assembly intends to adjust and control the growth of state government and provide a framework for the establishment of a permanent policy not later than July 1, 1982, which will mandate growth parameters in the constitution when sufficient experience has been acquired to determine what policies are appropriate to accomplish these important purposes. B. The Budget and Control Board shall annually and prior to June first determine a limitation on state expenditures computed in accordance with the provisions of this section. Such limitation shall be considered by the Board and the General Assembly as the official state guideline for state general fund appropriations for the next ensuing fiscal year but nothing herein shall prohibit the Board from recommending and the General Assembly from appropriating amounts lesser than the adopted limitation. C. As used in this section "state expenditures" shall mean total state general fund appropriations contained in the annual state general appropriations act and acts amendatory thereto. "State personal income" shall mean total annual personal income of the State as determined by the Budget and Control Board based upon data of the United States Department of Commerce or its successor. D. The limitation on state expenditures in any fiscal year as determined by the Budget and Control Board shall be an amount equal to the total of state expenditures for the previous fiscal year increased by the average percentage rate of growth in state personal income for the previous three years. E. (1) Beginning with fiscal year 1981-82 and thereafter, the ratio of the number of state employees based on full-time annual equivalency funded in whole or in part by appropriations of the General Assembly to the total population of the State shall not in any fiscal year exceed that ratio as it existed for fiscal year 1980-81. (2) To insure compliance with subsection (1) the Budget and Control Board shall annually and prior to December first, beginning in 1980, determine the total number of state employees based on full-time annual equivalency and the total population of the State as most recently estimated by the Federal Census Bureau. (3) The Budget and Control Board shall not present to the Ways and Means Committee of the House of Representatives and such committee shall not introduce any appropriations bill which provides for an increase in state employment in excess of the ratio prescribed in subsection (1); provided, however, that the committee may alter the specific positions created or eliminated so long as the total number of state employees remains within the prescribed limitation. (4) When any appropriations bill is under consideration by the House of Representatives or the Senate, the presiding officer of either House of the General Assembly shall not allow to be introduced any amendment to such bill which increases the number of state employees unless there is attached thereto a certificate of the State Auditor that such increase in state employees is within the limitations prescribed in subsection (1). F. In order to continue to maintain the fiscal integrity of the State, the proceeds of state revenue bonds shall not be used to fund operating expenses of state government and such proceeds shall be used only for capital improvements. G. In order to continue the policy of the State to maintain the full faith and credit of the State with respect to any existing or future bonded indebtedness, the principal and interest payments on general obligation bonds shall constitute priority state expenditures. The issuance of general obligation bonds of the State shall be limited so that the maximum annual debt service on all general obligation bonds of the State (excluding highway bonds, state institution bonds, tax anticipation notes and bond anticipation notes) shall not exceed five percent of the general revenues of the State for the fiscal year next preceding (excluding revenues which are authorized to be pledged for state highway bonds and state institution bonds). H. The General Assembly shall reasonably attempt to limit taxes to amounts necessary to fund authorized expenditures and minimize the accumulation of excess revenue other than to maintain the state reserve fund; provided, however, that there shall be no limitation on the accumulation of user fees, federal grants or funds, contributions, unemployment and disability insurance funds, pension fund contributions from employees and interest on pension fund investments. The General Assembly shall not provide for any general tax increase or enact new general taxes in the permanent provisions of the state general appropriations act or acts supplemental thereto, and any such general tax increases or new general taxes shall be enacted only by separate act. General tax increase and new general taxes as used in this section shall mean tax increases and new taxes which apply to the population as a whole. All circumstances and not the adjustments of existing taxes or the imposition of new special taxes so as to provide for a more effective system of taxation if the need of such appears. SECTION 13 To Require a Statement in the Legal Description of any Deed or Other conveyance of Property Previously Used as a Hazardous Waste Facility that Such Property has been so Used. When any real property used as a hazardous waste storage or, disposal facility permitted under Act 436 of 1978, is sold, leased, conveyed or transferred in any manner, the deed or other instrument of transfer shall contain in the legal description in no smaller type than that used in the body of such deed or instrument, the following statement: "The real property conveyed or transferred by this instrument has previously been used as a storage or disposal facility for hazardous wastes." SECTION 14 To Amend Act 163 of 1977, as Amended, Relating to the South Carolina Education Finance Program, so as to Provide that the Written Appraisal by the school District Board of Trustees shall be Received by the school no Later than June Thirtieth of each Year and Provide that a Summary of the Full Report and Appraisal shall be Distributed to the Parents of Children Enrolled in the school no later than September Thirtieth of each Year. Item (b) of subsection (3) of Section 6 of Act 163 of 1977, as amended by Section 18 of Act 199 of 1979, is further amended to read: "(b) recommending needed programmatic improvements in each pupil classification for the ensuing years. This report shall present an explicit statement of the needs of the students; shall define specific goals and objectives; and propose an identifiable strategy for priorities in the expenditure of funds to achieve the stated objectives. The full report from each school in the district shall be completed in a format approved by the State Board of Education and shall be submitted to the school district boards of trustees no later than March first of each year. The school shall receive the written appraisal from the school district board of trustees no later than June thirtieth of each year. A copy of the full report and written appraisal shall be forwarded to the State Department of Education. A summary of the full report and appraisal shall be prepared in a format approved by the State Board of Education. Upon approval by the district board of trustees, the summary shall be distributed to the parents of the children enrolled in the school no later than September thirtieth of each year. Each school board of trustees shall establish an advisory council at each school in the district composed of at least two parents, elected by the parents of the children enrolled in the school; at least two teachers, elected by the faculty; at least two students in schools with grades 9 and above elected by the students; other representatives of the community and persons selected by the principal; provided, however, that the elected members of the committee shall comprise at least a two-thirds majority of the membership of the committee. These councils shall be constituted in each school no later than January 1, 1978. Each council shall assist in the preparation of the annual school report required in this section and shall provide such assistance as the principal may request as well as carrying out any other duties prescribed by the local school board. The local school board shall make provisions to allow any council to file a separate report to the local school board if the council deems it necessary. However, no council shall have any of the powers and duties reserved I by law or regulation to the local school board." SECTION 15 To Authorize and Direct the Department of Health and Environmental Control to Establish a Hazardous Waste Contingency Fund and to Provide for the Collection and Disbursement Or Fees to be Deposited in such Fund. A. The Department of Health and Environmental Control is hereby authorized and directed to establish a hazardous waste Contingency Fund to ensure the availability of funds for contingencies arising from permitted hazardous waste landfills not covered by other funds, provided, that in the event a national hazardous waste fund is created by federal statute or regulation then the contingency fund authorized in this section shall revert to the State and become the South Carolina Hazardous Waste Fund to be used by the Department to defray the cost of mitigating any problems caused by preexisting abandoned hazardous waste storage or disposal sites. B. Pursuant to the effective dates and reporting requirements contained in R. 61-79 (DHEC), no later than 7 days after the end of each quarter: (1) Each generator of hazardous waste in this State shall submit a report indicating the total number of tons of hazardous waste generated and delivered into a hazardous waste landfill during that quarter and shall submit a check made payable to the Department for an amount computed at a rate of $1.50 per ton of waste reported. (2) Each owner/operator of a hazardous waste landfill in this State shall submit a report indicating the total number of tons of hazardous waste generated outside this State and received for disposal at the facility during that quarter and submit a check made payable to the Department for an amount computed at a rate of $2.00 per ton of waste reported. (3) The Department shall deposit, disburse and administer the fund in accordance with regulation R. 61-79.5C(2) d & e (DHEC). C. The Department shall suspend thee collection of fees provided for in subsection B when the amount accumulated in the fund reaches 40 million dollars, provided that when the fund reaches 20 million dollars the Department may reduce the charges provided for in B(l) and B(2). D. The Department of Health and Environmental Control is directed to revise and amend the necessary provisions of R. 61-79(DHEC) which are contrary to or inconsistent with the provisions of this section. SECTION 16 To Amend Part IV-A of Act 164 of 1979, as Amended, and Sections 14-8-20 and 14-8-640, Code of Laws of South Carolina, 1976, as Amended, relating to the Court of Appeals, so as to Delay the Implementation Date of the Court of Appeals, to Extend the Time for Electing Judges of the Court, to Revise the Beginning Date of the Initial Terms of the Judges of the Court, to Create a Joint Committee on the Court of Appeals and to Provide for the Manner in Which Certain Appropriations for the Court of Appeals Shall be Expended. (A) Section 2 of Part IV-A of Act 164 of 1979 is amended to read: "Section 2. Notwithstanding the provisions of Part VII of this act, the judges of the court may be elected in the 1979, 1980, or 1981 session of the General Assembly." (B) Section 5 of Part IV-A of Act 164 of 1979, as last amended by Act 194 of 1979, is further amended to read: "Section 5. Beginning October 1, 1981, or upon the implementation of the Court of Appeals by the General Assembly, whichever date occurs later, the Supreme Court may transfer any action in which the Court of Appeals has been granted jurisdiction under this Part and in which a Notice of Appeal has been filed with the Supreme Court prior to such date, for hearing and decision, to such Court of Appeals." (C) Subsection (a) of Section 14-8-20 of the 1976 Code, as last amended by Act 194 of 1979, is further amended to read: "(a) The members of the Court shall be elected by joint public vote of the General Assembly for a term of six years and until their successors are elected and qualify. The terms of office of the judges of the Court shall begin October 1, 1981, or upon the implementation of the Court of Appeals by the General Assembly, whichever date occurs later. Prior to such date, the General Assembly shall have authority to take such measures as necessary to secure accommodations, personnel, supplies and equipment and such other matters as may be necessary to effect full implementation of the Court for operation by such date." (D) Section 14-8-540 of the 1976 Code, as last amended by Act 194 of 1979, is further amended to read: "Section 14-8-540. (1) All cases in which a Notice of Appeal to the Supreme Court has been filed with the Supreme Court on or before October 1, 1981, or upon the implementation of the Court of Appeals by the General Assembly, whichever date occurs later, and which have not been finally determined on that date, shall be disposed of in accordance with the laws and rules governing such appeals which were applicable immediately prior to such date. (2) On and after October 1, 1981, or upon the implementation of the Court of Appeals by the General Assembly, whichever date occurs later, all cases appealed to the Court of Appeals shall be filed with the Clerk of Court of Appeals. (3) The Supreme Court, by rule, shall implement this section to the end that all cases appealed to the Court of Appeals or to the Supreme Court during the period of transition from the existing judicial structure to a fully operational Court of Appeals are processed efficiently and without prejudice or inconvenience to any litigant." (E) Notwithstanding any other provision of law, the Court of Appeals created by Chapter 8 of Title 14 of the 1976 Code and referred to in Acts 164 and 194 of 1979 shall not become operational until October 1, 1981, or upon the implementation of the Court of Appeals by the General Assembly, whichever date occurs later. (F) The Chairman of the Senate Judiciary Committee and the Chairman of the House Judiciary Committee shall appoint three member of their respective committees to serve as the Joint Study Committee on the Court of Appeals and the study committee shall use the five thousand dollar appropriation for the Court of Appeals contained in Part I, Section 3, to provide such interim study as is necessary to assist the General Assembly in determining whether the Court of Appeals should be implemented in statutory form or should be incorporated in some manner into the Constitution of South Carolina. (G) As used in this Section 17, the term "implementation of the Court of Appeals by the General Assembly" shall mean election of the full complement of authorized Court of Appeals' judges whether elected in 1979, 1980 or 1981, and appropriation of general fund revenues for operation of the Court of Appeals by the General Assembly. SECTION 17 Board of Financial Institutions Reconstituted. Section 34-1-20 of the 1976 Code as last amended by Act 683 of 1976 is further amended to read: "Section 34-1-20. The State Board of Financial Institutions shall of Appeals by the General Assembly, whichever date occurs later, be composed of nine members, one of whom shall be the State and which have not been finally determined on that date, shall be Treasurer as an ex officio member, who shall be chairman. The disposed of in accordance with the laws and rules governing such remaining eight members shall be appointed by the Governor with appeals which were applicable immediately prior to such date the advice and consent of the Senate. Three shall be engaged in commercial banking recommended by the State Bankers Association, two shall be engaged in the State Savings and Loan League, one shall be engaged in the licensed consumer finance business and recommended by the Consumer Finance Associations, one shall be engaged in cooperative credit union business and recommended by the State Cooperative Credit Union League, and one shall be unaffiliated with any financial organization and shall serve as a representative of the consumer of the State. Provided, that the terms of the present members shall not be affected. All shall serve and represent the best interest of the public and no appointed member shall serve more than two consecutive four-year terms. No member shall be appointed who is not affiliated with a State-chartered association or institution except for the consumer representative. Prior to any vacancy on the board except for the consumer representative, the association which is to provide a member shall submit three names, none of whom shall represent the same institution, from which the Governor shall select one." SECTION 18 To Amend Section 54-3-10, Code of Laws of South Carolina, 1979, Relating to the Board of the South Carolina State Ports Authority, so as to Increase its Membership. Section 54-3-10 of the 1976 Code is amended to read: "Section 54-3-10. The South Carolina State Ports Authority is hereby created consisting of a governing body of nine members, hereafter referred to as the Authority." SECTION 19 To Amend Sections 9-1-1790 and 9-11-90, Code of Laws of South Carolina, 1976, as Amended, Relating to the South Carolina Retirement System and the South Carolina Police Officers Retirement System, So as to Increase the Amount a Retired Member who Returns to Covered Employment may earn Without Affecting his Benefits. A. Section 9-1-1790 of the 1976 Code, as last amended by Section 24, Part II, of Act 199 of 1979, is further amended by striking 'four thousand five hundred dollars' where it appears in the section and inserting 'five thousand dollars'. The section when amended shall read: "Section 9-1-1790. Any retired member of the System may return to employment covered by the System and earn up to five thousand dollars per fiscal year without affecting the monthly retirement allowance he is receiving from the System; provided, if such retired member continues in service after having earned five thousand dollars in a fiscal year, his retirement allowance shall be discontinued during his period of service in the remainder of such fiscal year. If such employment continues for at least forty-eight consecutive months the provisions of Section 9-1-1590 shall apply. Provided, further, the provisions of this section shall not apply to any employee or member of the System who has mandatorily retired because of age pursuant to Section 9-1-1530." B. Subsection (4) of Section 9-11-90 of the 1976 Code, as last amended by Section 24, Part II, of Act 199 of 1979, is further amended by striking "four thousand five hundred dollars" where it appears in the section and inserting 'five thousand dollars'. The subsection when amended shall read: "(4) Notwithstanding the provisions of subsections (1) and (2) of this section, any retired member of the System may return to employment covered by the System and earn up to five thousand dollars per fiscal year without affecting the monthly retirement allowance he is receiving from the System; provided, if such retired member continues in service after having earned five thousand dollars in a fiscal year, his retirement allowance shall be discontinued during his period of service in the remainder of such fiscal year. If such employment continues for at least forty-eight consecutive months the provisions of subsection (3) of this section shall apply. Provided, further, the provisions of this subsection shall not apply to any employee or member of the System who has mandatorily retired because of age pursuant to Section 9-1-1530." C. This section shall take effect July 1, 1980. SECTION 20 To Amend Section 42-5-90, Code of Laws of South Carolina, 1976, Relating to the Authorization of the Chief Insurance Commissioner to Approve Rates for Workmen's Compensation Insurance Policies, so as to Provide that Proceedings Under the section Shall Be Deemed to Be Proceedings to be Proceedings to Fix or Alter Rates for Consumer Services in Relation to the Duties of the Division of Consumer Advocacy. Section 42-5-90 of the 1976 Code is amended by adding at the end: "A proceeding under this section shall be deemed a proceeding to fix or alter rates for consumer services in relation to the duties of the Division of Consumer Advocacy." SECTION 21 Distribution of the Same Brand or Brands of Wine, Beer or Ale. A. Section 12-21-1510 of the 1976 Code is amended by adding the following proviso at the end of the section which shall read: "Provided, however, that nothing contained in this section nor in Section 61-9-315, shall be construed to prevent the transfer or purchase and sale, for resale to retailers only, between wholesalers authorized by the registered producer or any exclusive agent thereof in South Carolina to distribute the same brand or brands of wine, beer or ale." SECTION 22 To Provide that Persons Eligible for Participation in the South Carolina Retirement System shall also be Eligible for Membership in the South Carolina State Employees Credit Union. "Notwithstanding any other provision of law, any person who is eligible to participate in the South Carolina Retirement System shall also be eligible for membership in the South Carolina State Employees Credit Union." SECTION 23 To Provide for the Disclosure of the Impact of Inflation on this State's Individual Income Tax Revenues and to Provide for An Annual Inflation Adjustment To Individual Income Tax Rates and to Certain Exemptions and Deductions Allowed to Be Used in Computing Individual Rate Income Taxes. A. The General Assembly finds that inflation erodes the value of personal exemptions, deductions and tax credits in the individual income tax structure of this State and distorts fiscal equity among taxpayers. The General Assembly further finds that inflation-induced increases in individual income tax revenues result in annual collections that exceed the amounts anticipated by legislative actions establishing rates, exemptions, deductions and other features of the individual income tax of this State. It is the purpose of this section to correct these situations by (1) requiring that the Governor prepare an annual estimate of the impact of inflation on individual income tax collections and (2) requiring that certain elements of the individual income tax structure be adjusted in accordance with annual increases in the consumer price index. B. As used in this section: (a) "Inflation factor" means the ratio of the consumer price index for the twelve-month period ending June thirtieth of the current taxable year to the consumer price index for the immediately preceding tax year, rounded to the nearest one thousandth; provided, however, that if such inflation factor exceeds 1.06, 1.06 shall be deemed to be the inflation factor. (b) "Consumer price index" means the average over a twelve month period of the consumer price index published monthly by the Bureau of Labor Statistics, United States Department of Labor. C. The Governor shall in a report to the General Assembly to be submitted on February first of each year make an estimate for the prior fiscal year, the current fiscal year and the following fiscal year of the amount of actual and anticipated revenue from the individual income tax that can be reasonably attributed to inflation. These estimates shall be highlighted in the Governor's State of the State address and included prominently in press releases relating to the budget. D. (a) The Budget and Control Board shall annually by July fifteenth of each year prepare and promulgate an inflation factor for that tax year for use by the Tax Commission in making the adjustment under the provisions of item (b) of this subsection. In preparing the inflation factor, the Budget and Control Board shall, using the best statistical techniques compatible with those used by the United States Department of Labor in preparing the monthly consumer price index, adjust the consumer price index to conform most nearly to the situation that exists in this State. (b) Upon promulgation of the inflation factor, as required under item (a) of this subsection, the chairman of the tax commission shall annually multiply and adjust each dollar amount set forth in Sections 12-7-210, 12-7- 310 and 12-7-710 of the 1976 Code as previously adjusted by the inflation factor so that the effect of the annual adjustment shall be cumulative and such annual adjustment may cause such adjusted dollars amount to increase or decrease. The Tax Commission shall adjust the tax tables set forth in Section 12-7-1810 of the 1976 Code so as to reflect the adjustments made pursuant to this subsection. Such annual adjustment information shall be shown prominently on the appropriate tax return forms furnished by the commission for the year in which such adjustment applies and such adjusted dollar amounts rounded to the nearest dollar shall be used to calculate the tax for the year in which such adjustment applies; provided, that if the inflation factor determined under item (a) of this subsection for a tax year commencing after December 31, 1981, is more than .99 but less than 1.01 no adjustment shall be made for that year. E. The provisions of this section shall be applicable to all taxable years beginning after December 31, 1981. SECTION 24 To Amend Section 2-3-30, Code of Laws of South Carolina, 1976, as Amended, Relating to Subsistence Allowances, So as to Increase Such Allowances for Members of the General Assembly and the Lieutenant Governor. Section 2-3-30 of the 1976 Code, as last amended by Section 6 of Part II of Act 219 of 1977, is further amended by striking beginning on line four "thirty-five ($35.00)" and inserting "fifty ($50.00)". The section when amended shall read: "Section 2-3-30. Except for legislative days which, by Senate or House action, are designated for consideration only of local and uncontested matters, members of the General Assembly, including the Lieutenant Governor, shall be paid fifty ($50.00) dollars subsistence expenses for each legislative day. Provided, such subsistence allowances shall be paid for each calendar day occurring within the same legislative day to members of that body in session on each calendar day." SECTION 25 To Amend Act 163 of 1977, as Amended, Relating to the South Carolina Education Finance Act, so as to Exempt for the 1979-80 and 1980-81 School Years Spending Requirements for Funds Generated by Pupil Classification "Speech Handicapped Pupils". Subsection (3) of Section 5 of Act 163 of 1977, as last amended by Section 28 of Part II of Act 644 of 1978, is further amended to read: "(3) Eighty-five percent of the funds appropriated through state and local effort for each weighted classification shall be spent in direct and indirect aid in the specific area of the program planned to serve those children who generated the funds. Districts expending less than the required eighty-five percent of the appropriated amount shall be subject to a penalty the following fiscal year in the amount equal to the difference between the amount spent and the required eighty-five percent figure. Provided, however, that during the 1978-79, 1979-80 and 1980-81 school years, this requirement will not apply to the funds generated by children in the pupil classification 'Speech Handicapped Pupils'." SECTION 26 To Amend Section 32 of Part II of Act 199 of 1979, Relating to the Budget Format of the General Appropriations Bill, so as to Require that Each Section contain a Separate Line Item for All Employees Whose Compensation is coming from Funds Being Transferred to the General Fund from Another Funding Source. Section 32 of Part II, Permanent Provisions, of Act 199 of 1979 is amended to read: "SECTION 32 Budget Format Beginning with the State General Appropriations Bill for the fiscal year 1980-81 and each year thereafter, each section of the Bill which provides for the employment of additional personnel shall include a separate line item for all new employees for whom compensation is provided in the section concerned and such line items shall be divided according to the job classifications of such additional employees. Such line items shall further include the amount of funds appropriated including employer contributions for each employee or group of employees according to their job classification." SECTION 27 Additional Report to Be Made by the State Treasurer to the General Assembly on State Revenue Interest on Deposit and Investments, Debt Service Expenditures, Status of General Fund Reserve and Other Information He Deems Pertinent. In addition to other reports required by law to be made, by the State Treasurer, he shall also report annually to the General Assembly in the month of January on the following matters: (1) The amount of state revenue collected in the previous fiscal year. (2) The amount of such revenue deposited in the state general fund. (3) The location of general fund revenue in banks and other financial institutions including invested funds, as of the end of the previous fiscal year. (4) The interest accrued from deposits and investments for the previous fiscal year and the use of such interest. (5) The amount expended for debt service in the previous fiscal year. (6) The current status of the general fund reserve including any expenditure or reimbursement thereof. (7) Any other information relating to state revenue which the Treasurer deems pertinent and of value to the General Assembly, including such items as special state funds, the highway fund and other funds not specified herein, as may be deemed appropriate by the Treasurer. The General Assembly shall provide in the annual general appropriations act for the cost of preparing this report. End of Part II PART III Supplemental Appropriations from Surplus SECTION 1. There is hereby appropriated out of the General Fund of the State to supplement the appropriations heretofore made in Act 199 of 1979, Part I, Section 120, the following: Aid to Subdivisions I. Aid to Counties: Aid to Subdivisions: Alcoholic Liquors Tax $ 1,147,207 $ 1,147,207 Bank Tax 417,728 417,728 Beer and Wine Tax 429,563 429,563 Gasoline Tax--Regular 1,213,407 1,213,407 Income Tax 15,958,359 15,958,359 Insurance Tax 1,854,308 1,854,308 ----------- ----------- Total Aid to Subdivisions $ 21,020,572 $ 21,020,572 ----------- ----------- Total Aid to Counties $ 21,020,572 $ 21,020,572 =========== =========== II. Aid to Municipalities: Aid to Subdivisions: Alcoholic Liquors Tax $ 1,146,174 $ 1,146,174 Bank Tax 211,426 211,426 Beer and Wine Tax 164,451 164,451 Motor Transport Tax 1,098,046 1,098,046 ----------- ----------- Total Aid to Subdivisions $ 2,620,097 $ 2,620,097 ----------- ----------- Total Aid to Municipalities $ 2,620,097 $ 2,620,097 =========== =========== Total Aid to Subdivisions $ 23,640,669 $ 23,640,669 =========== =========== This appropriation shall be distributed to the counties and municipalities in the same manner as the distributions to all counties and municipalities as provided in Section 120 of Act 199 of 1979. SECTION 2. The amounts appropriated in this part may be carried forward and expended for the same purposes during fiscal year 1980-81. End of Part III PART IV General and Temporary Provisions SECTION 1 It is hereby declared to be the intent of the General Assembly that the following sections shall constitute general and temporary laws of the state of South Carolina. SECTION 2 To Authorize School Trustees to Waive up to Three Days Or Required school Attendance Because of Inclement Weather during the 1979-80 school year and to Repeal an Act of 1980 bearing Ratification No. 405 relating thereto. A. Notwithstanding any other provision of law, any school district board of trustees may waive up to three days of required school attendance in that district if the schools were closed on those days due to inclement weather during the 1979-80 school year. B. An act of 1980 bearing Ratification No. 405 is repealed. SECTION 3 Department of Mental Health Paying Patient Fee Account. Notwithstanding any other provision of law and in addition to payments provided in Part I of this act, the Department of Mental Health is hereby directed during fiscal year 1980-81 to remit to the general fund of the State the amount of $1,483,000 to be paid from the surplus funds in the paying patient account which has been previously designated for capital improvements and debt service under the provisions of Act 1276 of 1970. SECTION 4 To Amend Subsection (M) of Section 5 of Act 646 of 1978, Relating to Special Obligation Bonds of Technical Education Colleges and Centers, So as to Delete Provisions Relating to Deposit of Income Earned from Temporary Investments. Subsection (M) of Section 5 of Act 646 of 1978 is amended to read: "(M) The proceeds of all bonds shall be delivered to the State Treasurer and retained by him in a special fund or funds and applied solely to the purposes for which the bonds shall have been issued. Withdrawals from the fund shall be made on the order or requisition of the board and shall be in such form as the State Treasurer shall prescribe. The State Treasurer may make temporary investments of funds derived from the proceeds of bonds in the manner prescribed by law." SECTION 5 To Provide that the Operations and Management Committees of the Senate and House of Representatives shall Evaluate and Make Recommendations to the General Assembly Concerning Existing Study Committees and a Possible Reduction in the Number Thereof. A. The Operations and Management Committees of the Senate and the House of Representatives shall meet jointly as soon as feasible and evaluate each study committee of the General Assembly, both permanent and interim. Such evaluation shall in dude consideration of the status of assigned studies, the technical nature of matters assigned and such other matters as the operation and management committees deem relevant. B. Joint recommendations of the two operations and management Committees with regard to each existing study committee shall be submitted to the Ways and Means Committee of the House of Representatives and the Senate Finance Committee not later than February 1, 1981. In the event any such recommendations recommend the termination or phasing out of a particular committee, the chairman thereof shall be consulted prior to the time such recommendations are forwarded to the Finance and Ways and Means Committees. End of Part IV All Acts or parts of Acts inconsistent with any of the provisions of Part I and Part III of this Act are hereby suspended for the fiscal year 1980-81. All Acts or parts of Acts inconsistent with any of the provisions of Part II and Part IV of this Act are hereby repealed. Except as otherwise specifically provided herein, this act shall take effect immediately upon its approval by the Governor.