S. 6260 2
period April 1 through April [10] 17, 2023
to state officers and employees of the
executive branch, INCLUDING THE GOVERNOR,
LIEUTENANT GOVERNOR, COMPTROLLER, AND
ATTORNEY GENERAL, AND TO EMPLOYEES OF THE
LEGISLATURE. This appropriation also
includes funding for payment of health
care and mental hygiene bonuses to eligi-
ble state employees, and payments for
services performed by mentally ill or
developmentally disabled persons who are
employed in state-operated special employ-
ment, work-for-pay or sheltered workshop
programs .................... [215,500,000] 458,000,000
--------------
§ 3. Section 3 of chapter 121 of the laws of 2023, relating to making
appropriations for the support of government, is amended to read as
follows:
§ 3. The amount specified in this section, or so much thereof as shall
be sufficient to accomplish the purpose designated, is hereby appropri-
ated and authorized to be paid as hereinafter provided, to the public
officers and for the purpose specified, which amount shall be available
for the state fiscal year beginning April 1, 2023.
ALL STATE DEPARTMENTS AND AGENCIES
For the payment of state operations non
personal service liabilities to the execu-
tive branch, including the comptroller,
and the attorney general, AND LEGISLATURE,
incurred in the ordinary course of busi-
ness, during the period April 1 through
April [10] 17, 2023, pursuant to existing
state law and for purposes for which the
legislature authorized the expenditure of
moneys during the 2022-2023 state fiscal
year; provided, however, that nothing
contained herein shall be deemed to limit
or restrict the power or authority of
state departments or agencies to conduct
their activities or operations in accord-
ance with existing law, and further
provided that nothing contained herein
shall be deemed to supersede, nullify or
modify the provisions of section 40 of the
state finance law prescribing when appro-
priations made for the 2022-2023 state
fiscal year shall have ceased to have
force and effect ............. [13,300,000] 22,000,000
--------------
§ 4. Section 4 of chapter 121 of the laws of 2023, relating to making
appropriations for the support of government, is amended to read as
follows:
S. 6260 3
§ 4. The amounts specified in this section, or so much thereof as
shall be sufficient to accomplish the purposes designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purposes specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
ALL STATE DEPARTMENTS AND AGENCIES
The sum of [twelve million eight hundred
sixty thousand dollars ($12,860,000)]
THIRTY MILLION DOLLARS ($30,000,000), or
so much thereof as shall be sufficient to
accomplish the purpose designated, is
hereby appropriated for contracts and
grants approved for purposes for which the
legislature authorized the expenditures of
money during the 2022-2023 fiscal year. An
amount up to [twelve million eight hundred
sixty thousand dollars ($12,860,000)]
THIRTY MILLION DOLLARS ($30,000,000) shall
be available for the payment of capital
projects liabilities incurred during the
period from April 1 through April [10] 17,
2023 for contracts and grants approved
prior to April 1, 2023, provided, however,
that nothing contained herein shall be
deemed to limit or restrict the power or
authority of state departments or agencies
to conduct their activities or operations
in accordance with existing law, and
further provided that nothing contained
herein shall be deemed to supersede,
nullify, or modify the provisions of
section 40 of the state finance law
prescribing when appropriations made for
the 2022-2023 fiscal year shall have
ceased to have force and effect ..........
.............................. [12,860,000] 30,000,000
--------------
§ 5. Section 5 of chapter 121 of the laws of 2023, relating to making
appropriations for the support of government, is amended to read as
follows:
§ 5. The several amounts specified in this section, or so much thereof
as shall be sufficient to accomplish the purposes designated, are hereby
appropriated and authorized to be paid as hereinafter provided, to the
respective public officers and for the several purposes specified, which
amounts shall be available for the state fiscal year beginning April 1,
2023.
ALL STATE DEPARTMENTS AND AGENCIES
The sum of [two million one hundred forty
thousand dollars ($2,140,000)] FIVE
MILLION DOLLARS ($5,000,000), or so much
thereof as shall be sufficient to accom-
S. 6260 4
plish the purpose designated, is hereby
appropriated for contracts and grants
approved for which the legislature author-
ized the expenditures of money during the
2022-2023 fiscal year. An amount up to
[two million one hundred forty thousand
dollars ($2,140,000)] FIVE MILLION DOLLARS
($5,000,000) shall be available for the
payment of capital projects liabilities
incurred during the period from April 1
through April [10] 17, 2023 for contracts
and grants approved after April 1, 2023,
provided, however, that nothing contained
herein shall be deemed to limit or
restrict the power or authority of state
departments or agencies to conduct their
activities or operations in accordance
with existing law, and further provided
that nothing contained herein shall be
deemed to supersede, nullify, or modify
the provisions of section 40 of the state
finance law prescribing when appropri-
ations made for the 2022-2023 fiscal year
shall have ceased to have force and effect
............................... [2,140,000] 5,000,000
--------------
§ 6. Section 6 of chapter 121 of the laws of 2023, relating to making
appropriations for the support of government, is amended to read as
follows:
§ 6. The amounts specified in this section, or so much thereof as
shall be sufficient to accomplish the purposes designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purposes specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
MISCELLANEOUS -- ALL STATE DEPARTMENTS AND AGENCIES
GENERAL STATE CHARGES
STATE OPERATIONS
GENERAL STATE CHARGES ....................... [43,330,000] 524,660,000
--------------
General Fund
State Purposes Account - 10050
For employee fringe benefits according to
the following project schedule including
those benefits which are related to
employees paid from funds, accounts, or
programs where the division of the budget
has issued waivers ........... [42,230,000] 522,460,000
S. 6260 5
Project Schedule
PROJECT AMOUNT
--------------------------------------------
For the state's contribution
to the social security
contribution fund ............. 42,000,000
For the state's share of
contributions to the volun-
tary defined contribution
plan made on behalf of
eligible employees pursuant
to chapter 18 of the laws of
2012 who elect to partic-
ipate in such plan and who
are not otherwise eligible
to participate in the SUNY
optional retirement program
................... [230,000] 460,000
FOR THE STATE'S CONTRIBUTION
TO THE HEALTH INSURANCE FUND
AND DEPOSIT INTO THE RETIREE
HEALTH BENEFIT TRUST FUND
PURSUANT TO SECTION 99-AA OF
THE STATE FINANCE LAW. THE
STATE'S SHARE OF THE HEALTH
INSURANCE PROGRAM DIVIDENDS
SHALL BE AVAILABLE TO PAY
FOR THE PREMIUMS IN 2023-24 .. 400,000,000
FOR PAYMENTS TO THE STATE
INSURANCE FUND FOR WORKERS'
COMPENSATION BENEFITS AND
OTHER RELATED WORKERS'
COMPENSATION COSTS PRIOR TO
OR AFTER THEY BECOME
INCURRED INCLUDING BUT NOT
LIMITED TO THE BENEFITS
DEFINED IN CHAPTERS 302 AND
303 OF THE LAWS OF 1985 ....... 45,000,000
FOR THE STATE'S CONTRIBUTION
TO EMPLOYEE BENEFIT FUND
PROGRAMS ...................... 35,000,000
--------------
Project schedule total ...
............ [42,230,000] 522,460,000
--------------
For the payment of the metropolitan commuter
transportation mobility tax pursuant to
article 23 of the tax law as added by
chapter 25 of the laws of 2009 on behalf
of the state employees employed in the
metropolitan commuter transportation
district ...................... [1,100,000] 2,200,000
--------------
S. 6260 6
§ 7. Section 7 of chapter 121 of the laws of 2023, relating to making
appropriations for the support of government, is amended to read as
follows:
§ 7. The amounts specified in this section, or so much thereof as
shall be sufficient to accomplish the purposes designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purposes specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
JUDICIARY
FOR THE PURPOSE OF MAKING PAYMENTS FOR
PERSONAL SERVICE, INCLUDING LIABILITIES
INCURRED PRIOR TO APRIL 1, 2023, ON THE
PAYROLLS SCHEDULED TO BE PAID DURING THE
PERIOD APRIL 1 THROUGH APRIL 17, 2023 TO
OFFICERS AND EMPLOYEES OF THE JUDICIARY ..... 65,000,000
For the payment of state operations nonper-
sonal service liabilities, the sum of
[thirty-three million three hundred and
thirty thousand dollars ($33,330,000)]
FIFTY MILLION DOLLARS ($50,000,000), or so
much thereof as shall be sufficient to
accomplish the purpose designated, is
hereby appropriated to the judiciary out
of any moneys in the general fund or other
funds to the credit of the state purposes
account not otherwise appropriated. The
comptroller is hereby authorized and
directed to utilize this appropriation for
the purpose of making payments for non-
personal service liabilities incurred by
the judiciary from April 1 through April
[10] 17, 2023 ................ [33,330,000] 50,000,000
For the payment of aid to localities liabil-
ities, the sum of [ten] FIFTEEN million
dollars [($10,000,000)] ($15,000,000), or
so much thereof as shall be sufficient to
accomplish the purpose designated, is
hereby appropriated to the judiciary out
of any moneys in the general fund or other
funds to the credit of the state purposes
account not otherwise appropriated. The
comptroller is hereby authorized and
directed to utilize this appropriation for
the purpose of making payments for aid to
localities liabilities incurred by the
judiciary from April 1 through April [10]
17, 2023 ..................... [10,000,000] 15,000,000
For the payment of employee fringe benefit
programs including, but not limited to,
the judiciary's contributions to the
health insurance fund, the employees'
retirement system pension accumulation
fund, the social security contribution
fund, employee benefit fund programs, the
S. 6260 7
dental insurance plan, the vision care
plan, the unemployment insurance fund, and
for workers' compensation benefits, the
sum of seventy-five million dollars
($75,000,000), or so much thereof as shall
be sufficient to accomplish the purpose
designated, is hereby appropriated to the
judiciary out of any moneys in the general
fund or other funds to the credit of the
state purposes account not otherwise
appropriated. The comptroller is hereby
authorized and directed to utilize this
appropriation for the purpose of making
payments for employee fringe benefit
liabilities incurred by the judiciary from
April 1 through April 10, 2023 .............. 75,000,000
§ 8. The amount specified in this section, or so much thereof as shall
be sufficient to accomplish the purpose designated, is hereby appropri-
ated and authorized to be paid as hereinafter provided, to the public
officers and for the purpose specified, which amount shall be available
for the state fiscal year beginning April 1, 2023.
DEPARTMENT OF FAMILY ASSISTANCE
OFFICE OF TEMPORARY AND DISABILITY ASSISTANCE
AID TO LOCALITIES
EMPLOYMENT AND INCOME SUPPORT PROGRAM ...................... 235,416,000
--------------
General Fund
Local Assistance Account - 10000
For state reimbursement of the safety net
assistance program as established pursuant
to chapter 436 of the laws of 1997.
Notwithstanding section 153 of the social
services law or any other inconsistent
provision of law, funds appropriated here-
in shall reimburse 29 percent of safety
net assistance expenditures, including the
cost of providing shelter supplements for
safety net assistance households at local
option, including eligible households
containing a household member who has been
released from prison, in order to prevent
eviction and address homelessness in
accordance with social services district
plans approved by the office of temporary
and disability assistance and the director
of the budget, provided, however, that in
social services districts with a popu-
lation over five million no shelter
supplements other than those to prevent
eviction shall be reimbursed, and further
S. 6260 8
provided that such supplements shall not
be part of the standard of need pursuant
to section 131-a of the social services
law. Funds appropriated herein shall also
reimburse 29 percent of safety net assist-
ance expenditures, in social services
districts with a population over five
million, for emergency shelter, transpor-
tation, or nutrition payments which the
district determines are necessary to
establish or maintain independent living
arrangements among persons living with
medically diagnosed HIV infection as
defined by the AIDS institute of the state
department of health and who are homeless
or facing homelessness and for whom no
viable and less costly alternative to
housing is available; provided, however,
that funds appropriated herein may only be
used for such purposes if the cost of such
allowances are not eligible for reimburse-
ment under medical assistance or other
programs. Funds appropriated herein shall
reimburse 29 percent of safety net assist-
ance expenditures, in social services
districts with a population of five
million or fewer, for emergency shelter
payments promulgated by the office of
temporary and disability assistance which
the district determines are necessary to
establish or maintain independent living
arrangements among persons living with
medically diagnosed HIV infection as
defined by the AIDS institute of the state
department of health and who are homeless
or facing homelessness and for whom no
viable and less costly alternative to
housing is available; provided, however,
that funds appropriated herein may only be
used for such purposes if the cost of such
allowances are not eligible for reimburse-
ment under medical assistance or other
programs. Funds appropriated herein shall
reimburse 29 percent of safety net assist-
ance expenditures, in social services
districts with a population of five
million or fewer, for emergency shelter
payments in excess of those promulgated by
the office of temporary and disability
assistance but not exceeding an amount
reasonably approximate to 100 percent of
fair market rent, at local option which
the district determines are necessary to
establish or maintain independent living
arrangements among persons living with
medically diagnosed HIV infection as
S. 6260 9
defined by the AIDS institute of the State
department of health and who are homeless
or facing homelessness and for whom no
viable and less costly alternative to
housing is available; provided, however,
that funds appropriated herein may only be
used for such purposes if the cost of such
allowances are not eligible for reimburse-
ment under medical assistance or other
programs. Such emergency shelter payments
shall only be made at local option and in
accordance with a plan approved by the
office of temporary and disability assist-
ance and the director of the budget.
Provided, however, notwithstanding section
153 of the social services law or any
other inconsistent provision of law, if
necessary funding, as determined by the
director of the budget, is secured in a
social services district from the medical
assistance program by reducing the capita-
tion rates paid to medicaid managed care
organizations by the amount of savings
resulting from stably housing individuals
living with medically diagnosed HIV
infection as defined by the AIDS institute
of the state department of health, the
social services district shall make such
emergency shelter payments in excess of
those promulgated by the office of tempo-
rary and disability assistance but not
exceeding an amount reasonably approximate
to 100 percent of fair market rent, and
the savings shall be used to reimburse 100
percent of the cost of such excess emer-
gency shelter payments for cases reim-
bursed under the safety net assistance or
family assistance programs in social
services districts with a population of
five million or fewer, in accordance with
a plan approved by the office of temporary
and disability assistance and the director
of the budget; provided further that
reimbursement shall be provided to medi-
caid managed care organizations through
adjustments to capitation rates should
actual gross savings not be realized as
determined by the director of the budget.
For persons living with medically diag-
nosed HIV infection as defined by the AIDS
institute of the state department of
health living in social service districts
with a population over five million who
are receiving public assistance, funds
appropriated herein shall be used to reim-
burse 29 percent of the additional rental
S. 6260 10
costs determined based on limiting such
person's earned and/or unearned income
contribution to 30 percent. For persons
living with medically diagnosed HIV
infection as defined by the AIDS institute
of the state department of health living
in social services districts with a popu-
lation of five million or fewer who are
receiving public assistance, funds appro-
priated herein may be used to reimburse up
to 100 percent of the additional rental
costs determined based on limiting such
person's earned and/or unearned income
contribution to 30 percent. Such payments
of additional rental costs shall only be
made at local option and in accordance
with a plan approved by the office of
temporary and disability assistance and
the director of the budget. Provided,
however, notwithstanding section 153 of
the social services law or any other
inconsistent provision of law, if neces-
sary funding, as determined by the direc-
tor of the budget, is secured in a social
services district from the medical assist-
ance program by reducing the capitation
rates paid to medicaid managed care organ-
izations by the amount of savings result-
ing from stably housing individuals living
with medically diagnosed HIV infection as
defined by the AIDS institute of the state
department of health, the social services
district shall make such payments of addi-
tional rental costs, for cases reimbursed
under the safety net assistance and family
assistance program, and the savings shall
be used to reimburse 100 percent of the
cost of the additional rental costs deter-
mined based on limiting such person's
earned and/or unearned income contribution
to 30 percent in social services districts
with a population of five million or
fewer, in accordance with a plan approved
by the director of the budget. Amounts
appropriated herein may be used to enter
into contracts with persons or entities
authorized pursuant to subdivision (i) of
section 17 of the social services law
consistent with federal law and require-
ments. Such contracts will be consistent
with subdivision (i) of section 17 of the
social services law. Notwithstanding
section 153 of the social services law or
any other inconsistent provision of law,
the office may reduce reimbursement other-
wise payable to social services districts
S. 6260 11
to recover 29 percent of costs incurred by
the office for expenditures related to
subdivision (i) of section 17 of the
social services law. Such funds are to be
available for payment of aid heretofore
accrued or hereafter to accrue to munici-
palities. Subject to the approval of the
director of the budget, such funds shall
be available to the office of temporary
and disability assistance net of disallow-
ances, refunds, reimbursements, and cred-
its, including those related to title IV-E
of the social security act; and including,
but not limited to, additional federal
funds resulting from any changes in feder-
al cost allocation methodologies. Notwith-
standing any inconsistent provision of
law, the amount herein appropriated may be
increased or decreased by interchange with
any other appropriation within the office
of temporary and disability assistance
general fund - local assistance account
with the approval of the director of the
budget, who shall file such approval with
the department of audit and control and
copies thereof with the chairman of the
senate finance committee and the chairman
of the assembly ways and means committee.
Social services districts shall be
required to report to the office of tempo-
rary and disability assistance on an annu-
al basis, information, as determined and
requested by the office, related to
services and expenditures for which
reimbursement is sought for providing
temporary housing assistance to homeless
individuals and families. Such information
shall be submitted electronically to the
extent feasible as determined by the
office, and shall be used to evaluate
expenditures by such social services
districts for the provision of temporary
housing assistance for homeless individ-
uals and families. Notwithstanding section
153 of the social services law, or any
other inconsistent provision of law, the
office of temporary and disability assist-
ance may withhold or deny reimbursement,
in whole or in part, to any social
services district that fails to develop or
submit a homeless services plan subject to
the approval of the office of temporary
and disability assistance, fails to
provide homeless services and outreach in
accordance with its approved homeless
services plan, or fails to develop or
S. 6260 12
submit homeless services outcome reports,
consistent with those requirements promul-
gated by the office of temporary and disa-
bility assistance. Notwithstanding section
153 of the social services law, or any
other inconsistent provision of law, such
appropriation shall be available for
reimbursement of eligible costs incurred
on or after January 1, 2023 and before
January 1, 2024, that are otherwise reim-
bursable by the state on or after April 1,
2023, that are claimed by March 1, 2024.
Such reimbursement shall constitute total
state reimbursement for activities funded
herein in state fiscal year 2023-24
(52203) ..................................... 52,083,000
For expenditures for additional state
payments for eligible aged, blind, and
disabled persons related to supplemental
security income and for expenditures made
pursuant to title 8 of article 5 of the
social services law. Such funds are avail-
able for payment of aid heretofore accrued
or hereafter to accrue. Notwithstanding
any inconsistent provision of law, the
amount herein appropriated may be
increased or decreased by interchange with
any other appropriation within the office
of temporary and disability assistance
general fund - local assistance account
with the approval of the director of the
budget, who shall file such approval with
the department of audit and control and
copies thereof with the chairman of the
senate finance committee and the chairman
of the assembly ways and means committee
(52311) ..................................... 58,333,000
Special Revenue Funds - Federal
Federal Health and Human Services Fund
Temporary Assistance for Needy Families Account - 25178
For reimbursement of the cost of the family
assistance and the emergency assistance to
families programs. Notwithstanding section
153 of the social services law or any
inconsistent provision of law, funds
appropriated herein shall be provided
without state or local participation
except that for social services districts
with a population of five million or more,
reimbursement will be eighty-five percent.
Funds appropriated herein shall also
include the cost of providing shelter
supplements for family assistance house-
holds at local option, including eligible
S. 6260 13
households containing a household member
who has been released from prison, in
order to prevent eviction and address
homelessness in accordance with social
services district plans approved by the
office of temporary and disability assist-
ance and the director of the budget,
provided, however, that in social services
districts with a population over five
million no shelter supplements other than
those to prevent eviction shall be reim-
bursed, and further provided that such
supplements shall not be part of the stan-
dard of need pursuant to section 131-a of
the social services law. Funds appropri-
ated herein shall also reimburse for fami-
ly assistance expenditures for emergency
shelter, transportation, or nutrition
payments which the district determines are
necessary to establish or maintain inde-
pendent living arrangements among persons
living with medically diagnosed HIV
infection as defined by the AIDS institute
of the State department of health and who
are homeless or facing homelessness and
for whom no viable and less costly alter-
native to housing is available; provided,
however, that funds appropriated herein
may only be used for such purposes if the
cost of such allowances are not eligible
for reimbursement under medical assistance
or other programs. For persons living with
medically diagnosed HIV infection as
defined by the AIDS institute of the state
department of health who are receiving
public assistance funds appropriated here-
in shall not be used to reimburse the
additional rental costs determined based
on limiting such person's earned and/or
unearned income contribution to 30
percent. Amounts appropriated herein may
be used to enter into contracts with
persons or entities authorized pursuant to
subdivision (i) of section 17 of the
social services law consistent with feder-
al law and requirements. Such contracts
will be made consistent with subdivision
(i) of section 17 of the social services
law. Notwithstanding section 153 of the
social services law or any other incon-
sistent provision of law, the office may
reduce reimbursement otherwise payable to
social services districts to recover the
federal share of costs incurred by the
office for expenditures related to subdi-
vision (i) of section 17 of the social
S. 6260 14
services law. Such funds are to be avail-
able for payment of aid heretofore accrued
or hereafter to accrue to municipalities.
Subject to the approval of the director of
the budget, such funds shall be available
to the office of temporary and disability
assistance net of disallowances, refunds,
reimbursements, and credits including, but
not limited to, additional federal funds
resulting from any changes in federal cost
allocation methodologies. Notwithstanding
any inconsistent provision of law, the
amount herein appropriated may be
increased or decreased by interchange with
any other appropriation within the office
of temporary and disability assistance
federal fund - local assistance account
with the approval of the director of the
budget, who shall file such approval with
the department of audit and control and
copies thereof with the chairman of the
senate finance committee and the chairman
of the assembly ways and means committee.
Social services districts shall be
required to report to the office of tempo-
rary and disability assistance on an annu-
al basis, information, as determined and
requested by the office, related to
services and expenditures for which
reimbursement is sought for providing
temporary housing assistance to homeless
individuals and families. Such information
shall be submitted electronically to the
extent feasible as determined by the
office, and shall be used to evaluate
expenditures by such social services
districts for the provision of temporary
housing assistance for homeless individ-
uals and families. Notwithstanding section
153 of the social services law, or any
other inconsistent provision of law, the
office of temporary and disability assist-
ance may withhold or deny reimbursement,
in whole or in part, to any social
services district that fails to develop or
submit a homeless services plan subject to
the approval of the office of temporary
and disability assistance, fails to
provide homeless services and outreach in
accordance with its approved homeless
services plan, or fails to develop or
submit homeless services outcome reports,
consistent with those requirements promul-
gated by the office of temporary and disa-
bility assistance. Notwithstanding section
153 of the social services law, or any
S. 6260 15
other inconsistent provision of law, such
appropriation shall be available for
reimbursement of eligible costs incurred
on or after January 1, 2023 and before
January 1, 2024, that are otherwise reim-
bursable by the state on or after April 1,
2023, that are claimed by March 1, 2024.
Such reimbursement shall constitute total
federal reimbursement for activities fund-
ed herein in state fiscal year 2023-24
(52203) .................................... 125,000,000
§ 9. Section 8 of chapter 121 of the laws of 2023, relating to making
appropriations for the support of government, is amended to read as
follows:
§ 8. The amounts specified in this section, or so much thereof as
shall be sufficient to accomplish the purposes designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purposes specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
DEPARTMENT OF HEALTH
AID TO LOCALITIES
CENTER FOR COMMUNITY HEALTH PROGRAM .......... [13,867,000] 19,200,000
--------------
General Fund
Local Assistance Account - 10000
For services and expenses related to the
Indian health program. The moneys hereby
appropriated shall be for payment of
financial assistance heretofore accrued or
hereafter to accrue (26840) .................. 3,200,000
--------------
Special Revenue Funds - Federal
Federal USDA-Food and Nutrition Services Fund
Federal Food and Nutrition Services Account - 25022
For various federal food and nutritional
services. The moneys hereby appropriated
shall be available for payment of finan-
cial assistance heretofore accrued (26986)
.............................. [10,667,000] 16,000,000
--------------
MEDICAL ASSISTANCE PROGRAM ................................... 9,000,000
--------------
GENERAL FUND
LOCAL ASSISTANCE ACCOUNT - 10000
S. 6260 16
FOR TRANSFER TO HEALTH RESEARCH INCORPORATED
(HRI) FOR THE AIDS DRUG ASSISTANCE
PROGRAM, INCLUDING PAYMENTS TO RYAN WHITE
CENTERS (29880) .............................. 9,000,000
§ 10. The amounts specified in this section, or so much thereof as
shall be sufficient to accomplish the purposes designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purposes specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
DEPARTMENT OF LABOR
AID TO LOCALITIES
UNEMPLOYMENT INSURANCE BENEFIT PROGRAM ..................... 400,000,000
--------------
Enterprise Funds
Unemployment Insurance Benefit Fund
Unemployment Insurance Benefit Account - 50650
For payment of unemployment insurance bene-
fits pursuant to article 18 of the labor
law or as authorized by the federal
government through the disaster unemploy-
ment assistance program, the emergency
unemployment compensation program, the
extended benefit program, the federal
additional compensation program or any
other federally funded unemployment bene-
fit program (34787) ........................ 400,000,000
§ 11. The amounts specified in this section, or so much thereof as
shall be sufficient to accomplish the purposes designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purposes specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
DEPARTMENT OF TRANSPORTATION
AID TO LOCALITIES
DEDICATED MASS TRANSPORTATION TRUST FUND PROGRAM ............ 71,400,000
--------------
Special Revenue Funds - Other
Dedicated Mass Transportation Trust Fund
Railroad Account - 20852
To the metropolitan transportation authority
for deposit in the metropolitan transpor-
tation authority dedicated tax fund for
the expenses of the New York city transit
authority, the Manhattan and Bronx surface
S. 6260 17
transit operating authority, and the
Staten Island rapid transit operating
authority, the Long Island rail road
company and the Metro-North commuter rail-
road company which includes the New York
state portion of the Harlem, Hudson, Port
Jervis, Pascack, and the New Haven commu-
ter railroad service regardless of whether
the services are provided directly or
pursuant to joint service agreements.
No expenditure shall be made hereunder until
a certificate of approval has been issued
by the director of the budget and a copy
of such certificate filed with the state
comptroller, the chairperson of the senate
finance committee and the chairperson of
the assembly ways and means committee.
Moneys appropriated herein may be made
available at such times and upon such
conditions as may be deemed appropriate by
the commissioner of transportation and the
director of the budget in accordance with
the following:
To the metropolitan transportation authority
for the operating expenses of the Long
Island rail road company and the Metro-
North commuter railroad company which
include operating expenses for the New
York state portion of Harlem, Hudson, Port
Jervis, Pascack, and New Haven commuter
railroad services regardless of whether
such services are provided directly or
pursuant to joint service agreements
(54282) ..................................... 10,800,000
--------------
Special Revenue Funds - Other
Dedicated Mass Transportation Trust Fund
Transit Authorities Account - 20851
To the metropolitan transportation authority
for deposit in the metropolitan transpor-
tation authority dedicated tax fund for
the expenses of the New York city transit
authority, the Manhattan and Bronx surface
transit operating authority, and the
Staten Island rapid transit operating
authority, the Long Island rail road
company and the Metro-North commuter rail-
road company which includes the New York
state portion of the Harlem, Hudson, Port
Jervis, Pascack, and the New Haven commu-
ter railroad service regardless of whether
the services are provided directly or
pursuant to joint service agreements.
S. 6260 18
No expenditure shall be made hereunder until
a certificate of approval has been issued
by the director of the budget and a copy
of such certificate filed with the state
comptroller, the chairperson of the senate
finance committee and the chairperson of
the assembly ways and means committee.
Moneys appropriated herein may be made
available at such times and upon such
conditions as may be deemed appropriate by
the commissioner of transportation and the
director of the budget in accordance with
the following:
To the metropolitan transportation authority
for the operating expenses of the New York
city transit authority, the Manhattan and
Bronx surface transit operating authority,
and the Staten Island rapid transit oper-
ating authority (53173) ..................... 60,600,000
--------------
§ 12. The amount specified in this section, or so much thereof as
shall be sufficient to accomplish the purpose designated, is hereby
appropriated and authorized to be paid as hereinafter provided, to the
public officers and for the purpose specified, which amount shall be
available for the state fiscal year beginning April 1, 2023.
DEPARTMENT OF VETERANS' SERVICES
AID TO LOCALITIES
BLIND VETERAN ANNUITY ASSISTANCE PROGRAM ....................... 385,000
--------------
General Fund
Local Assistance Account - 10000
For payment of annuities to blind veterans
and eligible surviving spouses. Up to
$15,000 of this appropriation may be
transferred to state operations for admin-
istrative costs associated with this
program (54606) ................................ 385,000
--------------
§ 13. No expenditure may be made from any appropriation in this act,
until a certificate of approval has been issued by the director of the
budget and a copy of such certificate shall have been filed with the
state comptroller, the chairman of the senate finance committee and the
chairman of the assembly ways and means committee provided, however,
that any expenditures from any appropriation in this act made by the
legislature or judiciary shall not require such certificate.
§ 14. All expenditures and disbursements made against the appropri-
ations in this act shall, upon final action by the legislature on appro-
priation bills submitted by the governor pursuant to article VII of the
S. 6260 19
state constitution for the support of government for the state fiscal
year beginning April 1, 2023, be transferred by the comptroller as
expenditures and disbursements to such appropriations for all state
departments and agencies, as applicable, in amounts equal to the amounts
charged against the appropriations in this act for each such department,
agency, and the legislature and the judiciary.
§ 15. Severability clause. If any clause, sentence, paragraph, subdi-
vision, section or part of this act shall be adjudged by any court of
competent jurisdiction to be invalid, such judgment shall not affect,
impair, or invalidate the remainder thereof, but shall be confined in
its operation to the clause, sentence, paragraph, subdivision, section
or part thereof directly involved in the controversy in which such judg-
ment shall have been rendered. It is hereby declared to be the intent of
the legislature that this act would have been enacted even if such
invalid provisions had not been included herein.
§ 16. This act shall take effect immediately and shall be deemed to
have been in full force and effect on and after April 1, 2023; provided,
however, that upon the transfer of expenditures and disbursements by the
comptroller as provided in section fourteen of this act, the appropri-
ations made by this act and subject to such section shall be deemed
repealed.