MISSISSIPPI LEGISLATURE

1998 Regular Session

To: Appropriations

By: Senator(s) Hall, Burton, Thames, Blackmon, Farris, Gollott, Hamilton, Jackson

Senate Bill 3231

AN ACT MAKING AN APPROPRIATION TO DEFRAY THE EXPENSES OF THE DEPARTMENT OF MENTAL HEALTH AND CERTAIN PROGRAMS OF THE DIVISION OF ALCOHOL AND DRUG ABUSE, FOR FISCAL YEAR 1999.  

BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF MISSISSIPPI:

SECTION 1. The following sum, or so much thereof as may be necessary, is hereby appropriated out of any money in the State General Fund not otherwise appropriated, for the support and maintenance of the Department of Mental Health for the fiscal year beginning July 1, 1998, and ending June 30, 1999

$ 188,003,811.00.

SECTION 2. The following sum, or so much thereof as may be necessary, is hereby authorized for expenditure out of any special source funds which are collected by or otherwise become available for the support and maintenance of the Department of Mental Health for the fiscal year beginning July 1, 1998, and ending June 30, 1999 $ 207,222,894.00.

SECTION 3. Of the funds appropriated under the provisions of Section 1 and authorized for expenditure under the provisions of Section 2, not more than the amounts set forth below shall be expended for the respective major objects or purposes of expenditure:

CENTRAL OFFICE

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 4,049,794.00

Travel and Subsistence 309,974.00

Contractual Services 1,064,396.00

Commodities 174,000.00

Capital Outlay:

Other Than Equipment 25,000.00

Equipment 106,300.00

Subsidies, Loans and Grants 2,150,000.00

Total $ 7,879,464.00

FUNDING:

General Funds $ 2,700,393.00

Special Funds 5,179,071.00

Total $ 7,879,464.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 58

Part Time. . . . . . . . . 3

Time-Limited: Full Time. . . . . . . . . 28

Part Time. . . . . . . . . 0

ELLISVILLE STATE SCHOOL AND FARM

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 37,664,812.00

Travel and Subsistence 78,018.00

Contractual Services 3,240,172.00

Commodities 3,643,032.00

Capital Outlay:

Other Than Equipment 209,200.00

Equipment 404,609.00

Subsidies, Loans and Grants 10,499,888.00

Total $ 55,739,731.00

FUNDING:

General Funds $ 16,318,944.00

Special Funds 39,420,787.00

Total $ 55,739,731.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 1,419

Part Time. . . . . . . . . 32

Time-Limited: Full Time. . . . . . . . . 31

Part Time. . . . . . . . . 0

EAST MISSISSIPPI STATE HOSPITAL

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 34,166,677.00

Travel and Subsistence 47,906.00

Contractual Services 2,744,046.00

Commodities 4,675,673.00

Capital Outlay:

Other Than Equipment 150,000.00

Equipment 471,511.00

Subsidies, Loans and Grants 2,288,875.00

Total $ 44,544,688.00

FUNDING:

General Funds $ 33,722,342.00

Special Funds 10,822,346.00

Total $ 44,544,688.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 1,303

Part Time. . . . . . . . . 6

Time-Limited: Full Time. . . . . . . . . 116

Part Time. . . . . . . . . 0

HUDSPETH REGIONAL CENTER

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 21,745,533.00

Travel and Subsistence 98,776.00

Contractual Services 2,124,837.00

Commodities 2,800,528.00

Capital Outlay:

Other Than Equipment 250,000.00

Equipment 597,228.00

Subsidies, Loans and Grants 7,043,465.00

Total $ 34,660,367.00

FUNDING:

General Funds $ 7,293,910.00

Special Funds 27,366,457.00

Total $ 34,660,367.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 798

Part Time. . . . . . . . . 28

Time-Limited: Full Time. . . . . . . . . 38

Part Time. . . . . . . . . 0

MISSISSIPPI STATE HOSPITAL

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 80,543,532.00

Travel and Subsistence 97,750.00

Contractual Services 9,052,502.00

Commodities 7,799,585.00

Capital Outlay:

Other Than Equipment 471,000.00

Equipment 1,068,471.00

Subsidies, Loans and Grants 8,290,478.00

Total $ 107,323,318.00

FUNDING:

General Funds $ 72,763,736.00

Special Funds 34,559,582.00

Total $ 107,323,318.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 2,762

Part Time. . . . . . . . . 11

Time-Limited: Full Time. . . . . . . . . 213

Part Time. . . . . . . . . 0

NORTH MISSISSIPPI REGIONAL CENTER

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 21,792,484.00

Travel and Subsistence 111,906.00

Contractual Services 2,814,261.00

Commodities 2,983,302.00

Capital Outlay:

Other Than Equipment 71,500.00

Equipment 494,708.00

Subsidies, Loans and Grants 8,085,848.00

Total $ 36,354,009.00

FUNDING:

General Funds $ 9,680,385.00

Special Funds 26,673,624.00

Total $ 36,354,009.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 727

Part Time. . . . . . . . . 19

Time-Limited: Full Time. . . . . . . . . 87

Part Time. . . . . . . . . 14

SOUTH MISSISSIPPI REGIONAL CENTER

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 16,673,060.00

Travel and Subsistence 97,952.00

Contractual Services 2,574,219.00

Commodities 2,020,171.00

Capital Outlay:

Other Than Equipment 175,000.00

Equipment 607,624.00

Subsidies, Loans and Grants 6,004,940.00

Total $ 28,152,966.00

FUNDING:

General Funds $ 7,264,627.00

Special Funds 20,888,339.00

Total $ 28,152,966.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 543

Part Time. . . . . . . . . 8

Time-Limited: Full Time. . . . . . . . . 66

Part Time. . . . . . . . . 4

BOSWELL REGIONAL CENTER

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 14,097,465.00

Travel and Subsistence 49,845.00

Contractual Services 1,917,711.00

Commodities 1,814,944.00

Capital Outlay:

Other Than Equipment 257,250.00

Equipment 643,919.00

Subsidies, Loans and Grants 3,525,897.00

Total $ 22,307,031.00

FUNDING:

General Funds $ 8,902,657.00

Special Funds 13,404,374.00

Total $ 22,307,031.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 441

Part Time. . . . . . . . . 3

Time-Limited: Full Time. . . . . . . . . 80

Part Time. . . . . . . . . 2

NORTH MISSISSIPPI STATE HOSPITAL

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 2,922,757.00

Travel and Subsistence 10,246.00

Contractual Services 333,689.00

Commodities 406,041.00

Capital Outlay:

Other Than Equipment 25,443.00

Equipment 762,793.00

Subsidies, Loans and Grants 745,000.00

Total $ 5,205,969.00

FUNDING:

General Funds $ 4,205,969.00

Special Funds 1,000,000.00

Total $ 5,205,969.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 140

Part Time. . . . . . . . . 0

Time-Limited: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

SOUTH MISSISSIPPI STATE HOSPITAL

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 100,000.00

Travel and Subsistence 5,000.00

Contractual Services 0.00

Commodities 0.00

Capital Outlay:

Other Than Equipment 0.00

Equipment 0.00

Subsidies, Loans and Grants 150,000.00

Total $ 255,000.00

FUNDING:

General Funds $ 255,000.00

Special Funds 0.00

Total $ 255,000.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 4

Part Time. . . . . . . . . 0

Time-Limited: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

CLARKE COLLEGE PROJECT

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 123,229.00

Travel and Subsistence 11,316.00

Contractual Services 76,030.00

Commodities 27,885.00

Capital Outlay:

Other Than Equipment 259,688.00

Equipment 55,886.00

Subsidies, Loans and Grants 0.00

Total $ 554,034.00

FUNDING:

General Funds $ 554,034.00

Special Funds 0.00

Total $ 554,034.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 5

Part Time. . . . . . . . . 0

Time-Limited: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

BROOKHAVEN JUVENILE FACILITY

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 1,850,973.00

Travel and Subsistence 14,994.00

Contractual Services 380,312.00

Commodities 219,049.00

Capital Outlay:

Other Than Equipment 39,043.00

Equipment 963,678.00

Subsidies, Loans and Grants 177,881.00

Total $ 3,645,930.00

FUNDING:

General Funds $ 3,003,130.00

Special Funds 642,800.00

Total $ 3,645,930.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 118

Part Time. . . . . . . . . 0

Time-Limited: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

SERVICE BUDGET

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 0.00

Travel and Subsistence 0.00

Contractual Services 973,773.00

Commodities 0.00

Capital Outlay:

Other Than Equipment 0.00

Equipment 0.00

Subsidies, Loans and Grants 44,118,051.00

Total $ 45,091,824.00

FUNDING:

General Funds $ 21,338,684.00

Special Funds 23,753,140.00

Total $ 45,091,824.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

Time-Limited: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

Any transfers or escalations shall be made in accordance with the terms, conditions, and procedures established by law.

No general funds authorized to be expended herein shall be used to replace federal funds and/or other special funds which are being used for salaries authorized under the provisions of this act and which are withdrawn and no longer available.

Of the general funds appropriated to the "Service Budget" in the category "Subsidies, Loans and Grants," the sum of Seventy-five Thousand Dollars ($75,000.00) may be used for Special Olympics and choir and tumbling team consisting of students from the institutions included in this act.

SECTION 4. Of the funds appropriated under the provisions of Section 1, authorized for expenditure in Section 2, and allocated in Section 3 to the "Central Office", funds are included for an Alzheimer's education and training program.

SECTION 5. Of the funds appropriated under the provisions of Section 1, authorized for expenditure in Section 2, and allocated in Section 3 to the "Central Office", funds are included to compensate part-time members of the Sexual Predator Review Board at an hourly rate not to exceed the hourly rate for similarly qualified and titled full-time state employees, plus fringe benefits allowable for such part-time employees.

SECTION 6. With the funds herein appropriated, the Department of Mental Health is granted the authority to purchase the train depot and land on which it sits located at the entrance to Boswell Regional Center, from the current owner in accordance with state purchasing laws and regulations which govern such purchases of real property.

SECTION 7. Of the funds appropriated under the provisions of Section 1, authorized for expenditure under the provisions of Section 2, and allocated under the provisions of Section 3, funds in the amount of Two Hundred Thousand Dollars ($200,000.00) may be expended for the support of a pilot project to provide authority for East Mississippi State Hospital and Mississippi State Hospital to contract with local hospitals located in counties with a population of less than fifty thousand (50,000) to provide emergency in-patient care to individuals committed by the Chancery Court to East Mississippi State Hospital or Mississippi State Hospital for treatment of mental illness if, at the time that such commitment is made, a bed is not available for admission to East Mississippi State Hospital or Mississippi State Hospital. East Mississippi State Hospital and Mississippi State Hospital shall have the authority to contract with local hospitals located in counties with a population of less than fifty thousand (50,000) for in-patient emergency care for a period not to exceed seven (7) days at a rate not to exceed One Hundred and Fifty Dollars ($150.00) per day with East Mississippi State Hospital or Mississippi State Hospital providing One Hundred Dollars ($100.00) and the local government providing Fifty Dollars ($50.00) per day for such care. Payment for such physician fees shall be made at the Medicaid rate of reimbursement and paid by East Mississippi State Hospital or Mississippi State Hospital. Funds provided for the initiation of this pilot project shall not be expended for in-patient hospital care unless there is participation in the reimbursement for such care by the local government as required by the provisions of this section.

SECTION 8. It is the intention of the Legislature that the Executive Director of the Department of Mental Health has the authority to transfer cash from one special fund treasury fund to another special fund treasury fund under the control of the Department of Mental Health. The purpose of this authority is to more efficiently use available cash reserves. It is further the intention of the Legislature that the Executive Director of the Department of Mental Health shall submit written justification for the transfer to the Legislative Budget Office and the Department of Finance and Administration on or before the fifteenth (15th) of the month prior to the effective date of the transfer.

SECTION 9. The executive director of the Department of Mental Health and the directors of each separate facility operated by the Department of Mental Health are hereby authorized to transfer spending authority from any major objects to any other major objects in any amounts deemed necessary for the efficient management and operation of their budgets, provided that the total spending authority remains unchanged after such transfers and the total of such transfers into any major object do no exceed twenty-five percent (25%) of the original appropriated amount for that major object plus any escalations of spending authority that have occurred during any given fiscal year.

SECTION 10. The Department of Mental Health is hereby authorized to accept and expend in any major objects deemed necessary by the Department of Mental Health any non-federal funds from any source for the purposes of defraying the operational costs of any of the separate budget entities operated by the Department of Mental Health. Such non-federal funds shall include patient revenues, including Medicaid income, and grants, contributions and donations from any individual, public, or private organization, received in excess of amounts originally anticipated when spending authority was appropriated. Such non-federal funds shall be received and expended under the rules and regulations of the Department of Finance and Administration in a manner consistent with the escalation of federal funds.

SECTION 11. The Department of Mental Health and its facilities shall have the authority, within funding and spending authority appropriated under the provisions of Section 1, authorized for expenditure in Section 2, and allocated under the provisions of Section 3 of this act, to transfer funds to the Division of Medicaid in payment of Medicaid match and designate that the funds thus transferred shall be applied to Medicaid match obligations arising in the subsequent fiscal year.

SECTION 12. Any person within the Department of Mental Health who must work on a statutory holiday or any holiday proclaimed by the Governor, may at the discretion of the Director of the Institution and the Executive Director of the Department of Mental Health and within available personnel funds, be paid "call back pay" in lieu of "compensatory time credit."

SECTION 13. Of the funds appropriated to the "Service Budget" in the category "Subsidies, Loans and Grants," funds are included for the support of community mental health services for fiscal year 1999.

Provided, however, that none of the funds appropriated for the support of community mental health services shall be made available to any Regional Mental Health/Retardation Center which does not receive from each of its participating counties a dollar amount equivalent to what the proceeds of a three-fourths (3/4) mill tax on all taxable property in the county in Fiscal Year 1999 would have been or the amount of funds contributed to the center by the county in Fiscal Year 1999, whichever shall be greater. By means of performance contracts, the Department of Mental Health shall disburse the funds appropriated in this section for services for the mentally ill, mentally retarded and alcohol/drug abusers. The State Board of Mental Health and the Department of Mental Health shall be responsible for selecting the types of services which shall be provided with the funds appropriated in this section, for developing and monitoring performance contracts and for holding contractors accountable for utilization of funds.

SECTION 14. Funds presently included or any funds received in the future for timber funds at Ellisville State School and East Mississippi State Hospital are hereby authorized for transfer to the regular operating budgets of the respective facilities. Each facility shall receive such funds as "Special" funds, and such funds shall be available for use in payment of any and all expenses of each facility, paid by the State Treasurer upon warrants issued by the State Fiscal Officer; and the State Fiscal Officer shall issue his warrants upon requisitions signed by the proper person, officer or officers in the manner provided by law.

SECTION 15. The Department of Mental Health and its facilities shall have the express legal authority, within funding and spending authority appropriated under the provisions of Section 1, authorized for expenditure under the provisions of Section 2, and allocated under the provisions of Section 3 of this act, to transfer such funds to Bureau of Building, Grounds, and Real Property Management for the purposes of purchasing land for use by residential facilities operated by the Department; constructing and equipping group homes for persons with mental illness, mental retardation, and/or substance abuse; constructing and equipping such other buildings as may be required for treatment of persons with mental illness, mental retardation, and/or substance abuse; repair and renovate existing buildings; and to construct, repair and/or renovate employee housing. Any intermediate care facilities for the mentally retarded (ICF/MR) constructed with funds authorized in this section shall be authorized to participate in Medicaid Funding available for such services.

SECTION 16. Of the General Funds appropriated to the "Service Budget" in the category of "Subsidies, Loans and Grants," the sum required may be expended to fund the Home and Community Based Waiver Option for community mental retardation services as authorized under Section 43-13-117 (29) of the Mississippi Code of 1972 (Annotated).

SECTION 17. With the funds herein appropriated, the Department of Mental Health is authorized to provide home and community based treatment and institutional treatment to not more than ten (10) persons at any given time who, on or after reaching their twenty-first birthday (age 21), suffered a severe brain injury and whose condition as a result of that brain injury would have resulted in their classification as developmentally disabled if such injury had occurred prior to their twenty-first birthday.

SECTION 18. The following sum, or so much thereof as may be necessary, is hereby reappropriated out of any money in the special fund in the State Treasury to the credit of the Department of Mental Health Funds 3372, 3373, 3374, 3382, 3385, 3386 and 3387 for the fiscal year beginning July 1, 1998, and ending June 30, 1999 $ 6,000,000.00

Notwithstanding the amount reappropriated under the provisions of this section, in no event shall the amount expended exceed the unexpended balance as of June 30, 1998, or change the purpose for which the funds were originally authorized.

SECTION 19. The following sum, or so much thereof as may be necessary, is hereby appropriated out of the Mental Health Programs Fund to the Department of Mental Health for the purpose of defraying the expenses of certain programs of the Division of Alcohol and Drug Abuse, for the fiscal year beginning July 1, 1998, and ending June 30, 1999 $ 3,512,374.00.

SECTION 20. Of the funds appropriated under the provisions of Section 19, not more than the amounts set forth below shall be expended for the respective major objects or purposes of expenditure:

MAJOR OBJECTS OF EXPENDITURE:

Personal Services:

Salaries, Wages and Fringe Benefits $ 277,855.00

Travel and Subsistence 21,000.00

Contractual Services 39,000.00

Commodities 6,500.00

Capital Outlay:

Other Than Equipment 0.00

Equipment 21,000.00

Subsidies, Loans and Grants 3,147,019.00

Total $ 3,512,374.00

AUTHORIZED POSITIONS:

Permanent: Full Time. . . . . . . . . 7

Part Time. . . . . . . . . 0

Time-Limited: Full Time. . . . . . . . . 0

Part Time. . . . . . . . . 0

Any transfers or escalations shall be made in accordance with the terms, conditions, and procedures established by law.

No general funds authorized to be expended herein shall be used to replace federal funds and/or other special funds which are being used for salaries authorized under the provisions of this act and which are withdrawn and no longer available.

SECTION 21. From the funds provided in this act in the budget category "Personal Services: Salaries, Wages and Fringe Benefits," funds may be expended for the following purposes, in compliance with the policies established by the State Personnel Board and any conditions placed on such expenditures:

(a) The components of the Variable Compensation Plan shall be maintained within the constraints of the funds appropriated herein.

(b) Funds are provided herein and shall be used to fund the "Realignment" component of the Variable Compensation Plan at the requirement established by the State Personnel Board.

In addition to the funds provided in part (b) above, it is the intention of the Legislature that the fiscal year 1999 Variable Compensation Plan shall provide funds to the appropriate budgets to fund MH-Direct Care Worker classifications increases resulting from implementing the provisions of Senate Bill No. 2100, 1997 Regular Session.

It is the agency's responsibility to make certain that funds required to be appropriated for Personal Services for Fiscal Year 1999 do not exceed Fiscal Year 1999 funds appropriated for that purpose unless programs and/or positions are added to the agency's budget by the Mississippi Legislature.

SECTION 22. In compliance with the "Mississippi Performance Budget and Strategic Planning Act of 1994," it is the intent of the Legislature that the funds provided herein shall be utilized in the most efficient and effective manner possible to achieve the intended mission of this agency. Based on the funding authorized, this agency shall make every effort to attain the targeted performance measures provided below:

FY99

Performance Measures Target

SERVICES MANAGEMENT

State Institutions Operated (Number of) 8

Units Monitored, etc. (Number of) 1,400

Grants Administered (Number of) 350

DIRECT CLIENT SERVICES

Employment Related Clients (Number of) 1,703

Case Management Clients (Individuals) 520

 

MENTAL HEALTH SERVICES

Group Homes - Alternate Living Beds (Beds) 339

Halfway Houses (Beds) 35

Psycotropic Drugs Purchased (Prescriptions) 18,350

MENTAL RETARDATION SERVICES

Community Living Clients 419

Work Activity & Employment Related (Clients) 1,703

CHILDREN & YOUTH SERVICES

Group Homes (Beds) 82

Chemical Dependency (Beds) 24

ALCOHOL & DRUG SERVICES

Residential Treatment (Beds) 623

Out-Patient Admissions (Number of patients) 5,377

INSTITUTIONAL CARE

Patient & Resident Days (Number of) 1,002,659

ICF & MR Residential Care (Client Days) 151,256

Cost per Patient & Resident Day 0

Independent Living Skills (Client Days) 16,790

Residential ICF & MR Program (Clients) 160

Cost per Client Day of Service ($) 189.40

Operating Cost per Patient & Resident Day 0

PRE/POST INSTITUTIONAL CARE

Total Residents & Clients Served (Persons) 580

Clients served (Individuals) 418

SUPPORT SERVICES

Percent of Support Staff to Direct Staff (%) 1.70

Units Administered (Number of) 4

Administration as Percent of Total Budget 2.98

Support Staff to Direct Care Positions (%) 4.65

Support Services Budget Percent 3.60

Budget Use for Support Services (% of total) 3.10

Percent of Support Staff to Total Staff 0

Administrative Budget Percentage (%) 4.49

Percent of Support Services to Total Budget 0

GROUP HOMES

Community Based Services (Client Days) 22,750

ICF/MR Residential Services (Client Days) 102,298

24 Hour Per Day Care (Client Days) 47,110

Early Intervention Services (Children Served) 200

ICF & MR Group Home (Client Days) 33,740

COMMUNITY MR TREATMENT

Clients Served (Individuals) 765

Therapy for Children & Families (Sessions) 6,300

Employment Support (Contacts & Visits) 10,060

Diagnostic & Evaluation Services (Contacts) 775

Clients Served (Number of) 4,000

FARM OPERATIONS

Patients' Meals Provided (Patients) 656

Beef Production (Pounds) 78,619

Pork Production (Pounds) 38,242

COMMUNITY SERVICES

Total Patient & Resident Days 0

A reporting of the degree to which the performance targets set above have been or are being achieved shall be provided in the agency's budget request submitted to the Joint Legislative Budget Committee for Fiscal Year 2000.

SECTION 23. The money herein appropriated shall be paid by the State Treasurer out of any money in the State Treasury to the credit of the proper fund or funds as set forth in this act, upon warrants issued by the State Fiscal Officer; and the State Fiscal Officer shall issue his warrants upon requisitions signed by the proper person, officer or officers in the manner provided by law.

SECTION 24. This act shall take effect and be in force from and after July 1, 1998, except for Section 11 which shall take effect and be in force from and after passage.