SENATE FINANCE COMMITTEE SUBSTITUTE FOR

SENATE BILLS 2, 4, and 7



44TH LEGISLATURE - STATE OF NEW MEXICO - FIRST SESSION, 1999











AN ACT

MAKING GENERAL APPROPRIATIONS AND AUTHORIZING EXPENDITURES BY STATE AGENCIES REQUIRED BY LAW.

BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF NEW MEXICO:

Section 1. SHORT TITLE.--This act may be cited as the "General Appropriation Act of 1999".

Section 2. DEFINITIONS.--As used in the General Appropriation Act of 1999:

A. "agency" means an office, department, agency, institution, board, bureau, commission, court, district attorney, council or committee of state government;

B. "expenditures" means costs, expenses, encumbrances and other financing uses, other than refunds authorized by law, recognized in accordance with generally accepted accounting principles for the legally authorized budget amounts and budget period;

C. "federal funds" means any payments by the United States government to state government or agencies except those payments made in accordance with the federal Mineral Lands Leasing Act;

D. "full-time equivalent" or "FTE" means one or more authorized positions that together receive compensation for not more than two thousand ninety-six hours worked in fiscal year 2000. The calculation of hours worked includes compensated absences but does not include overtime, compensatory time or sick leave paid pursuant to Section 10-7-10 NMSA 1978;

E. "general fund" means that fund created by Section 6-4-2 NMSA 1978 and includes federal Mineral Lands Leasing Act receipts, but excludes the general fund operating reserve, the appropriation contingency fund and the risk reserve;

F. "interagency transfers" means revenue, other than internal service funds, legally transferred from one agency to another;

G. "internal service funds" means:

(1) revenue transferred to an agency for the financing of goods or services to another agency on a cost-reimbursement basis; and

(2) unencumbered balances in agency internal service fund accounts appropriated by the General Appropriation Act of 1999;

H. "other state funds" means:

(1) unencumbered, nonreverting balances in agency accounts, other than in internal service funds accounts, appropriated by the General Appropriation Act of 1999;

(2) all revenue available to agencies from sources other than the general fund, internal service funds, interagency transfers and federal funds; and

(3) all revenue, the use of which is restricted by statute or agreement;

I. "revenue" means all money received by an agency from sources external to that agency, net of refunds and other correcting transactions, other than from issue of debt, liquidation of investments or as agent or trustee for other governmental entities or private persons; and

J. "unforeseen federal funds" means a source of federal funds or an increased amount of federal funds that could not have been reasonably anticipated or known during the first session of the forty-fourth legislature and, therefore, could not have been requested by an agency or appropriated by the legislature.

Section 3. GENERAL PROVISIONS.--

A. Amounts set out under column headings are expressed in thousands of dollars.

B. Amounts set out under column headings are appropriated from the source indicated by the column heading. All amounts set out under the column heading "Internal Service Funds/Interagency Transfers" indicate an intergovernmental transfer and do not represent a portion of total state government appropriations. All information designated as "Totals" or "Subtotals" are provided for information and are not appropriations.

C. Amounts set out in Section 4 of the General Appropriation Act of 1999, or so much as may be necessary, are appropriated from the indicated source for expenditure in fiscal year 2000 for the objects expressed.

D. Unencumbered balances in agency accounts remaining at the end of fiscal year 1999 shall revert to the general fund by October 1, 1999, unless otherwise indicated in the General Appropriation Act of 1999 or otherwise provided by law.

E. Unencumbered balances in agency accounts remaining at the end of fiscal year 2000 shall revert to the general fund by October 1, 2000, unless otherwise indicated in the General Appropriation Act of 1999 or otherwise provided by law.

F. The state budget division shall monitor revenue received by agencies from sources other than the general fund and shall reduce the operating budget of any agency whose revenue from such sources is not meeting projections. The state budget division shall notify the legislative finance committee of any operating budget reduced pursuant to this subsection.

G. Except as otherwise specifically stated in the General Appropriation Act of 1999, appropriations are made in that act for the expenditures of agencies and for other purposes as required by existing law for fiscal year 2000. If any other act of the first session of the forty-fourth legislature changes existing law with regard to the name or responsibilities of an agency or the name or purpose of a fund or distribution, the appropriation made in the General Appropriation Act of 1999 shall be transferred from the agency, fund or distribution to which an appropriation has been made as required by existing law to the appropriate agency, fund or distribution provided by the new law.

H. In August, October, December and May of fiscal year 2000, the department of finance and administration, in consultation with the staff of the legislative finance committee and other agencies, shall prepare and present revenue estimates to the legislative finance committee. If these revenue estimates indicate that revenues and transfers to the general fund, excluding transfers to the general fund operating reserve, the risk reserve, the appropriation contingency fund or the state-support reserve fund, as of the end of fiscal year 2000, are not expected to meet appropriations from the general fund, then the department shall present a plan to the legislative finance committee that outlines the methods by which the administration proposes to address the deficit.

I. Pursuant to Sections 6-3-23 through 6-3-25 NMSA 1978, agencies whose revenue from unforeseen federal funds, from state board of finance loans, from revenue appropriated by other acts of

the legislature, or from gifts, donations, bequests, insurance settlements, refunds, or payments into revolving funds exceed specifically appropriated amounts may request budget increases from the state budget division. If approved by the state budget division, such money is appropriated. In approving a budget increase from unforeseen federal funds, the director of the state budget division shall advise the legislative finance committee as to the source of the federal funds and the source and amount of any matching funds required.

J. For fiscal year 2000, the number of permanent and term full-time equivalent positions specified for each agency shows the maximum number of employees intended by the legislature for that agency, unless another provision of the General Appropriation Act of 1999 or another act of the first session of the forty-fourth legislature provides for additional employees.

K. Except for gasoline credit cards used solely for operation of official vehicles and telephone credit cards used solely for official business, none of the appropriations contained in the General Appropriation Act of 1999 may be expended for payment of credit card invoices.

L. To prevent unnecessary spending, expenditures from the General Appropriation Act of 1999 for gasoline for state-owned vehicles at public gasoline service stations shall be made only for self-service gasoline; provided that a state agency head may provide exceptions from the requirement to accommodate disabled persons or for other reasons the public interest may require.

M. When approving operating budgets based on appropriations in the General Appropriation Act of 1999, the state budget division is specifically authorized to approve only those budgets that are in accordance with generally accepted accounting principles for the purpose of properly classifying other financing sources and uses, including interfund, intrafund and interagency transfers.

N. Laws 1998, Chapter 116, Section 4 is repealed effective July 1, 1999.

Section 4. FISCAL YEAR 2000 APPROPRIATIONS.--

A. LEGISLATIVE

LEGISLATIVE COUNCIL SERVICE:

(1) Legislative maintenance department:

(a) Personal services 1,130.0 1,130.0

(b) Employee benefits 377.6 377.6

(c) Travel 2.7 2.7

(d) Maintenance and repairs 168.1 168.1

(e) Supplies and materials 20.0 20.0

(f) Contractual services 56.8 56.8

(g) Operating costs 592.9 592.9

(h) Capital outlay 19.7 19.7

(i) Out-of-state travel 1.8 1.8

(j) Other financing uses .7 .7

Authorized FTE: 35.00 Permanent; 4.00 Temporary

(2) Energy council dues: 35.0 35.0

(3) Legislative retirement: 960.0 960.0

The general fund appropriation for legislative retirement includes six hundred thousand dollars

($600,000) contingent upon Senate Bill 731 or similar legislation of the first session of the forty-fourth legislature, becoming law.

(4) Pre-session meetings: 50.0 50.0

Subtotal [ 3,415.3] 3,415.3

TOTAL 3,415.3 3,415.3

B. JUDICIAL

SUPREME COURT LAW LIBRARY:

(a) Personal services 339.9 339.9

(b) Employee benefits 106.9 106.9

(c) Travel 1.6 1.6

(d) Maintenance and repairs 25.0 25.0

(e) Supplies and materials 8.3 8.3

(f) Contractual services 117.4 117.4

(g) Operating costs 289.9 289.9

(h) Capital outlay 179.2 179.2

(i) Out-of-state travel 1.4 1.4

Authorized FTE: 8.00 Permanent

Subtotal [ 1,069.6] 1,069.6

NEW MEXICO COMPILATION COMMISSION:

(a) Personal services 109.1 109.1

(b) Employee benefits 37.2 37.2

(c) Travel 13.2 13.2

(d) Maintenance and repairs 15.0 15.0

(e) Supplies and materials 18.0 18.0

(f) Contractual services 800.0 800.0

(g) Operating costs 103.5 103.5

(h) Capital outlay 20.0 20.0

Authorized FTE: 3.00 Permanent

Subtotal [ 1,116.0] 1,116.0

JUDICIAL STANDARDS COMMISSION:

(a) Personal services 161.9 161.9

(b) Employee benefits 50.5 50.5

(c) Travel 21.9 21.9

(d) Maintenance and repairs 1.3 1.3

(e) Supplies and materials 3.8 3.8

(f) Contractual services 14.5 14.5

(g) Operating costs 41.2 41.2

(h) Other costs .3 .3

(i) Capital outlay .7 .7

(j) Other financing uses .1 .1

Authorized FTE: 3.00 Permanent

Subtotal [ 296.2] 296.2

COURT OF APPEALS:

(a) Personal services 2,570.2 2,570.2

(b) Employee benefits 750.4 750.4

(c) Travel 12.6 12.6

(d) Maintenance and repairs 25.5 25.5

(e) Supplies and materials 36.9 36.9

(f) Contractual services 25.8 25.8

(g) Operating costs 241.6 241.6

(h) Capital outlay 20.0 20.0

(i) Out-of-state travel 5.7 5.7

(j) Other financing uses 1.0 1.0

Authorized FTE: 55.50 Permanent

Subtotal [ 3,689.7] 3,689.7

SUPREME COURT:

(a) Personal services 1,258.0 1,258.0

(b) Employee benefits 384.3 384.3

(c) Travel 5.6 5.6

(d) Maintenance and repairs 17.4 17.4

(e) Supplies and materials 11.6 11.6

(f) Contractual services 96.4 96.4

(g) Operating costs 83.3 83.3

(h) Capital outlay 18.0 18.0

(i) Out-of-state travel 10.8 10.8

(j) Other financing uses .4 .4

Authorized FTE: 28.00 Permanent

Subtotal [ 1,885.8] 1,885.8

ADMINISTRATIVE OFFICE OF THE COURTS:

(1) Administration:

(a) Personal services 1,037.8 1,037.8

(b) Employee benefits 351.6 351.6

(c) Travel 26.0 26.0

(d) Maintenance and repairs 8.0 8.0

(e) Supplies and materials 20.0 20.0

(f) Contractual services 86.6 86.6

(g) Operating costs 134.4 134.4

(h) Capital outlay 5.0 5.0

(i) Out-of-state travel 6.3 6.3

(j) Other financing uses .5 .5

Authorized FTE: 26.00 Permanent

(2) Magistrate courts:

(a) Personal services 7,403.7 7,403.7

(b) Employee benefits 2,309.8 2,309.8

(c) Travel 46.0 46.0

(d) Maintenance and repairs 15.0 15.0

(e) Supplies and materials 195.5 195.5

(f) Contractual services 122.5 122.5

(g) Operating costs 1,211.3 1,546.0 2,757.3

(h) Capital outlay 67.3 67.3

(i) Other financing uses 4.5 4.5

Authorized FTE: 231.50 Permanent

(3) Judicial information division:

(a) Personal services 1,016.0 1,016.0

(b) Employee benefits 320.1 320.1

(c) Other financing uses .4 .4

Authorized FTE: 21.00 Permanent

(4) Supreme court automation fund:

(a) Personal services 456.8 456.8

(b) Employee benefits 157.1 157.1

(c) Travel 95.6 95.6

(d) Maintenance and repairs 594.6 594.6

(e) Supplies and materials 104.3 104.3

(f) Contractual services 162.4 162.4

(g) Operating costs 844.5 844.5

(h) Capital outlay 588.7 588.7

(i) Out-of-state travel 42.0 42.0

(j) Other financing uses .3 .3

Authorized FTE: 12.50 Permanent

(5) Judges pro tempore: 40.0 40.0

Unexpended or unencumbered balances in the judges pro tempore appropriation remaining at the end of

fiscal year 2000 shall not revert.

(6) Jury and witness fee fund:

(a) Operating costs 946.0 946.0

(b) Other costs 2,029.0 600.0 2,629.0

(7) Court-appointed attorney fees fund: 2,049.9 2,049.9

(8) Municipal court automation fund:

(a) Personal services 48.2 48.2

(b) Employee benefits 15.0 15.0

(c) Travel 13.5 13.5

(d) Supplies and materials 4.0 4.0

(e) Operating costs 6.8 6.8

(f) Other costs 770.0 770.0

(g) Out-of-state travel 8.0 8.0

Authorized FTE: 1.00 Term

(9) Magistrate court warrant enforcement fund:

(a) Personal services 544.1 544.1

(b) Employee benefits 185.2 185.2

(c) Travel 5.0 5.0

(d) Maintenance and repairs .3 .3

(e) Supplies and materials 45.0 45.0

(f) Contractual services 50.0 50.0

(g) Operating costs 37.0 37.0

(h) Capital outlay 5.0 5.0

(i) Other financing uses .6 .6

Authorized FTE: 26.00 Term

(10) Court appointed special advocate: 767.3 767.3

(11) Water rights litigation: 212.8 212.8

Subtotal [ 20,393.3] [ 6,370.0] [ 600.0] 27,363.3

SUPREME COURT BUILDING COMMISSION:

(a) Personal services 246.0 246.0

(b) Employee benefits 105.6 105.6

(c) Travel 1.3 1.3

(d) Maintenance and repairs 56.0 56.0

(e) Supplies and materials 2.3 2.3

(f) Contractual services 60.5 60.5

(g) Operating costs 93.5 93.5

(h) Capital outlay 3.0 3.0

(i) Other financing uses .2 .2

Authorized FTE: 12.00 Permanent

Subtotal [ 568.4] 568.4

DISTRICT COURTS:

(1) First judicial district:

(a) Personal services 2,074.1 35.6 122.0 2,231.7

(b) Employee benefits 669.8 10.0 33.7 713.5

(c) Travel 14.7 1.0 1.0 16.7

(d) Maintenance and repairs 14.2 1.0 1.0 16.2

(e) Supplies and materials 30.4 9.0 19.5 58.9

(f) Contractual services 123.6 45.5 25.5 194.6

(g) Operating costs 160.4 9.0 14.6 184.0

(h) Capital outlay 79.7 79.7

(i) Out-of-state travel 3.7 .5 4.2

Authorized FTE: 60.50 Permanent; 2.00 Term

(2) Second judicial district:

(a) Personal services 8,768.8 280.3 300.2 9,349.3

(b) Employee benefits 2,748.7 91.9 89.2 2,929.8

(c) Travel 22.4 1.0 1.4 24.8

(d) Maintenance and repairs 100.9 6.3 .5 107.7

(e) Supplies and materials 286.2 19.9 7.5 313.6

(f) Contractual services 369.6 25.7 1.7 397.0

(g) Operating costs 420.0 66.5 18.2 504.7

(h) Other costs 102.0 102.0

(i) Capital outlay 161.1 17.4 20.1 198.6

(j) Out-of-state travel 15.5 4.8 2.2 22.5

(k) Other financing uses 4.7 4.7

Authorized FTE: 257.50 Permanent; 15.00 Term

(3) Third judicial district:

(a) Personal services 1,550.8 23.9 85.4 1,660.1

(b) Employee benefits 492.3 7.7 28.4 528.4

(c) Travel 14.8 2.0 1.0 17.8

(d) Maintenance and repairs 10.3 .8 1.0 12.1

(e) Supplies and materials 26.5 4.0 4.1 34.6

(f) Contractual services 392.7 38.1 7.7 438.5

(g) Operating costs 69.8 11.9 8.3 90.0

(h) Capital outlay 27.2 7.9 .5 35.6

(i) Out-of-state travel .8 4.0 1.1 5.9

Authorized FTE: 41.00 Permanent; 4.00 Term

(4) Fourth judicial district:

(a) Personal services 614.1 614.1

(b) Employee benefits 196.4 196.4

(c) Travel 4.1 4.1

(d) Maintenance and repairs 8.6 8.6

(e) Supplies and materials 10.2 10.2

(f) Contractual services 2.8 2.8

(g) Operating costs 29.6 29.6

(h) Capital outlay 24.1 24.1

(i) Other financing uses 27.8 27.8

Authorized FTE: 18.00 Permanent

(5) Fifth judicial district:

(a) Personal services 2,103.1 2,103.1

(b) Employee benefits 676.8 676.8

(c) Travel 30.6 30.6

(d) Maintenance and repairs 27.8 27.8

(e) Supplies and materials 49.6 1.5 51.1

(f) Contractual services 204.4 57.0 261.4

(g) Operating costs 189.6 1.5 191.1

(h) Capital outlay 95.6 95.6

(i) Out-of-state travel 2.7 2.7

(j) Other financing uses 1.2 1.2

Authorized FTE: 61.00 Permanent

(6) Sixth judicial district:

(a) Personal services 595.6 595.6

(b) Employee benefits 203.7 203.7

(c) Travel 16.5 16.5

(d) Maintenance and repairs 7.0 7.0

(e) Supplies and materials 11.9 11.9

(f) Contractual services 213.9 213.9

(g) Operating costs 71.1 71.1

(h) Capital outlay 53.3 53.3

(i) Out-of-state travel 3.6 3.6

(j) Other financing uses .3 .3

Authorized FTE: 17.00 Permanent

(7) Seventh judicial district:

(a) Personal services 753.6 753.6

(b) Employee benefits 252.7 252.7

(c) Travel 10.1 10.1

(d) Maintenance and repairs 8.0 8.0

(e) Supplies and materials 21.7 21.7

(f) Contractual services 60.2 60.2

(g) Operating costs 71.5 71.5

(h) Capital outlay 28.9 28.9

(i) Out-of-state travel 2.7 2.7

(j) Other financing uses .4 .4

Authorized FTE: 21.50 Permanent

(8) Eighth judicial district:

(a) Personal services 711.6 711.6

(b) Employee benefits 240.6 240.6

(c) Travel 12.4 12.4

(d) Maintenance and repairs 5.4 5.4

(e) Supplies and materials 14.0 14.0

(f) Contractual services 130.0 25.0 155.0

(g) Operating costs 62.3 62.3

(h) Capital outlay 28.0 28.0

(i) Other financing uses .4 .4

Authorized FTE: 19.00 Permanent

(9) Ninth judicial district:

(a) Personal services 844.8 84.5 929.3

(b) Employee benefits 286.6 28.9 315.5

(c) Travel 10.3 5.0 15.3

(d) Maintenance and repairs 14.9 1.5 16.4

(e) Supplies and materials 22.3 1.5 2.5 26.3

(f) Contractual services 120.9 23.5 42.5 186.9

(g) Operating costs 47.6 8.6 56.2

(h) Other costs .5 .5

(i) Capital outlay 87.0 87.0

(j) Other financing uses .6 .6

Authorized FTE: 23.00 Permanent; 2.00 Term

(10) Tenth judicial district:

(a) Personal services 337.4 337.4

(b) Employee benefits 120.0 120.0

(c) Travel 4.2 4.2

(d) Maintenance and repairs 6.8 6.8

(e) Supplies and materials 11.7 11.7

(f) Contractual services 5.6 5.6

(g) Operating costs 27.6 27.6

(h) Capital outlay 11.4 11.4

(i) Other financing uses 13.7 13.7

Authorized FTE: 9.14 Permanent

(11) Eleventh judicial district:

(a) Personal services 1,476.9 1,476.9

(b) Employee benefits 459.3 459.3

(c) Travel 16.5 .3 16.8

(d) Maintenance and repairs 15.6 .5 16.1

(e) Supplies and materials 59.1 .5 .3 59.9

(f) Contractual services 287.0 39.0 18.8 344.8

(g) Operating costs 146.8 1.4 148.2

(h) Capital outlay 54.0 54.0

(i) Out-of-state travel 10.3 10.3

(j) Other financing uses .7 .7

Authorized FTE: 41.00 Permanent; .50 Term

(12) Twelfth judicial district:

(a) Personal services 879.0 23.6 902.6

(b) Employee benefits 293.8 9.5 303.3

(c) Travel 9.5 .6 10.1

(d) Maintenance and repairs 8.8 8.8

(e) Supplies and materials 13.7 2.0 15.7

(f) Contractual services 93.1 26.5 119.6

(g) Operating costs 88.6 1.0 .1 89.7

(h) Capital outlay 22.0 22.0

(i) Other financing uses .5 .5

Authorized FTE: 24.50 Permanent; 1.00 Term

(13) Thirteenth judicial district:

(a) Personal services 1,389.5 1,389.5

(b) Employee benefits 466.1 466.1

(c) Travel 29.9 29.9

(d) Maintenance and repairs 14.5 14.5

(e) Supplies and materials 52.3 4.0 56.3

(f) Contractual services 33.2 41.0 74.2

(g) Operating costs 118.9 118.9

(h) Capital outlay 80.0 80.0

(i) Out-of-state travel 15.1 15.1

(j) Other financing uses .8 .8

Authorized FTE: 41.00 Permanent

Subtotal [ 34,755.6] [ 951.1] [ 1,003.6][ 19.4] 36,729.7

BERNALILLO COUNTY METROPOLITAN COURT:

(a) Personal services 6,727.7 851.4 7,579.1

(b) Employee benefits 2,183.6 276.3 2,459.9

(c) Travel 8.8 2.1 10.9

(d) Maintenance and repairs 365.1 365.1

(e) Supplies and materials 301.9 54.8 356.7

(f) Contractual services 933.0 425.8 1,358.8

(g) Operating costs 749.4 82.6 832.0

(h) Capital outlay 248.6 44.9 293.5

(i) Out-of-state travel 20.4 20.4

(j) Other financing uses 4.4 4.4

Authorized FTE: 203.00 Permanent; 36.50 Term; .50 Temporary

The general fund appropriation for all court units includes sufficient funding to bring all classified state court, and magistrate, district and metropolitan court employees to a ninety-five percent compa ratio and all unclassified state court, and magistrate district and metropolitan court employees to a one hundred five and one-half percent compa ratio.

Subtotal [ 11,542.9] [ 1,737.9] 13,280.8

DISTRICT ATTORNEYS:

(1) First judicial district:

(a) Personal services 1,716.4 115.0 189.9 2,021.3

(b) Employee benefits 613.9 38.3 66.0 718.2

(c) Travel 17.8 .9 4.0 22.7

(d) Maintenance and repairs 9.8 9.8

(e) Supplies and materials 33.6 1.0 6.6 41.2

(f) Contractual services 18.2 20.6 68.0 106.8

(g) Operating costs 108.4 2.7 34.0 145.1

(h) Other costs .5 .5

(i) Capital outlay 21.2 21.2

(j) Out-of-state travel 6.5 6.0 12.5

Authorized FTE: 49.50 Permanent; 9.50 Term

(2) Second judicial district:

(a) Personal services 7,330.7 23.2 274.0 159.9 7,787.8

(b) Employee benefits 2,438.4 8.8 91.3 48.0 2,586.5

(c) Travel 108.2 108.2

(d) Maintenance and repairs 41.0 41.0

(e) Supplies and materials 149.1 149.1

(f) Contractual services 105.3 105.3

(g) Operating costs 613.3 613.3

(h) Capital outlay 81.2 81.2

(i) Out-of-state travel 4.0 4.0

(j) Other financing uses 3.9 3.9

Authorized FTE: 207.00 Permanent; 19.50 Term

(3) Third judicial district:

(a) Personal services 1,462.4 490.9 1,953.3

(b) Employee benefits 567.4 164.6 732.0

(c) Travel 16.9 6.3 23.2

(d) Maintenance and repairs 12.0 1.5 13.5

(e) Supplies and materials 15.5 13.0 28.5

(f) Contractual services 24.8 80.0 104.8

(g) Operating costs 92.0 14.0 106.0

(h) Capital outlay 6.0 13.0 19.0

(i) Out-of-state travel 1.3 1.5 2.8

(j) Other financing uses 1.0 1.0

Authorized FTE: 41.25 Permanent; 14.00 Term

(4) Fourth judicial district:

(a) Personal services 998.8 10.4 1,009.2

(b) Employee benefits 416.0 6.5 422.5

(c) Travel 21.4 21.4

(d) Maintenance and repairs 7.7 7.7

(e) Supplies and materials 16.2 16.2

(f) Contractual services 47.9 47.9

(g) Operating costs 79.0 79.0

(h) Capital outlay 25.0 25.0

(i) Out-of-state travel 1.7 1.7

(j) Other financing uses .5 .5

Authorized FTE: 28.50 Permanent; .50 Term

(5) Fifth judicial district:

(a) Personal services 1,555.5 1,555.5

(b) Employee benefits 502.6 502.6

(c) Travel 29.3 29.3

(d) Maintenance and repairs 11.9 11.9

(e) Supplies and materials 22.7 22.7

(f) Contractual services 10.8 10.8

(g) Operating costs 120.4 120.4

(h) Capital outlay 30.7 30.7

(i) Out-of-state travel 1.8 1.8

Authorized FTE: 45.50 Permanent

(6) Sixth judicial district:

(a) Personal services 730.7 46.9 262.3 1,039.9

(b) Employee benefits 286.9 26.6 22.9 336.4

(c) Travel 16.9 11.3 28.2

(d) Maintenance and repairs 3.8 3.8

(e) Supplies and materials 20.0 5.1 25.1

(f) Contractual services 6.8 45.6 52.4

(g) Operating costs 68.6 24.4 93.0

(h) Other costs 1.0 1.0

(i) Capital outlay 6.0 .1 6.1

(j) Out-of-state travel 4.5 4.5

(k) Other financing uses .6 .6

Authorized FTE: 20.00 Permanent; 7.50 Term

(7) Seventh judicial district:

(a) Personal services 987.5 987.5

(b) Employee benefits 325.5 325.5

(c) Travel 19.0 19.0

(d) Maintenance and repairs 5.0 5.0

(e) Supplies and materials 14.9 14.9

(f) Contractual services 43.4 43.4

(g) Operating costs 70.3 70.3

(h) Capital outlay 3.1 3.1

(i) Out-of-state travel 1.8 1.8

(j) Other financing uses .7 .7

Authorized FTE: 30.00 Permanent

(8) Eighth judicial district:

(a) Personal services 1,019.2 1,019.2

(b) Employee benefits 382.4 382.4

(c) Travel 27.7 27.7

(d) Maintenance and repairs 15.7 15.7

(e) Supplies and materials 22.6 22.6

(f) Contractual services 10.5 10.5

(g) Operating costs 104.2 104.2

(h) Capital outlay 61.5 61.5

(i) Out-of-state travel 3.1 3.1

(j) Other financing uses .5 .5

Authorized FTE: 27.00 Permanent

(9) Ninth judicial district:

(a) Personal services 991.7 991.7

(b) Employee benefits 339.9 339.9

(c) Travel 15.9 3.0 18.9

(d) Maintenance and repairs 5.7 5.7

(e) Supplies and materials 12.4 2.2 14.6

(f) Contractual services 2.9 2.0 4.9

(g) Operating costs 72.3 2.5 74.8

(h) Capital outlay 15.0 15.0

(i) Out-of-state travel 2.9 2.9

Authorized FTE: 26.00 Permanent; 1.00 Term

(10) Tenth judicial district:

(a) Personal services 311.9 311.9

(b) Employee benefits 112.3 112.3

(c) Travel 5.7 5.7

(d) Maintenance and repairs 2.5 2.5

(e) Supplies and materials 12.3 12.3

(f) Contractual services 3.7 3.7

(g) Operating costs 31.1 31.1

(h) Capital outlay 16.7 16.7

(i) Out-of-state travel .9 .9

Authorized FTE: 8.00 Permanent

(11) Eleventh judicial district--Farmington office:

(a) Personal services 1,142.0 82.3 1,224.3

(b) Employee benefits 390.0 24.4 414.4

(c) Travel 14.7 .4 15.1

(d) Maintenance and repairs 8.8 8.8

(e) Supplies and materials 16.0 .3 16.3

(f) Contractual services 3.3 45.6 48.9

(g) Operating costs 77.6 .4 78.0

(h) Capital outlay 28.0 28.0

(i) Out-of-state travel 2.0 .9 2.9

(j) Other financing uses .8 .8

Authorized FTE: 34.50 Permanent; 2.50 Term

(12) Eleventh judicial district--Gallup office:

(a) Personal services 692.4 91.9 784.3

(b) Employee benefits 227.7 31.4 259.1

(c) Travel 7.6 1.9 9.5

(d) Maintenance and repairs 1.3 1.3

(e) Supplies and materials 14.2 14.2

(f) Contractual services 5.9 6.2 12.1

(g) Operating costs 52.5 1.8 54.3

(h) Capital outlay 11.9 11.9

(i) Out-of-state travel 1.6 1.6

(j) Other financing uses .4 .4

Authorized FTE: 21.00 Permanent; 2.00 Term

(13) Twelfth judicial district:

(a) Personal services 1,070.5 233.2 1,303.7

(b) Employee benefits 367.0 72.3 439.3

(c) Travel 16.1 12.0 28.1

(d) Maintenance and repairs 8.6 .8 9.4

(e) Supplies and materials 19.1 7.1 26.2

(f) Contractual services 4.9 80.4 85.3

(g) Operating costs 115.4 19.8 135.2

(h) Capital outlay 2.0 2.0

(i) Out-of-state travel 2.5 2.5

(j) Other financing uses .7 .7

Authorized FTE: 31.50 Permanent; 5.50 Term

(14) Thirteenth judicial district:

(a) Personal services 1,455.8 1,455.8

(b) Employee benefits 475.7 475.7

(c) Travel 20.4 20.4

(d) Maintenance and repairs 6.0 6.0

(e) Supplies and materials 14.7 14.7

(f) Contractual services 45.0 45.0

(g) Operating costs 88.5 88.5

(h) Capital outlay 13.4 13.4

(i) Out-of-state travel 1.8 1.8

(j) Other financing uses .9 .9

Authorized FTE: 41.00 Permanent; 3.00 Term

Subtotal [ 32,144.8] [ 259.3] [ 2,288.7][ 603.6] 35,296.4

ADMINISTRATIVE OFFICE OF THE DISTRICT ATTORNEYS:

(a) Personal services 151.3 151.3

(b) Employee benefits 4.2 4.2

(c) Travel 8.4 17.1 25.5

(d) Maintenance and repairs 1.6 1.6

(e) Supplies and materials 6.7 6.7

(f) Operating costs 201.5 201.5

(g) Other costs 157.5 157.5

(h) Capital outlay 6.0 6.0

(i) Out-of-state travel 27.0 27.0

Authorized FTE: 3.00 Permanent

Subtotal [ 335.7] [ 245.6] 581.3

TOTAL JUDICIAL 106,682.0 10,679.9 3,892.3 623.0 121,877.2

C. GENERAL CONTROL

ATTORNEY GENERAL:

(1) Regular operations:

(a) Personal services 5,494.4 245.0 119.2 5,858.6

(b) Employee benefits 1,847.5 105.0 51.8 2,004.3

(c) Travel 149.5 149.5

(d) Maintenance and repairs 64.8 64.8

(e) Supplies and materials 72.8 72.8

(f) Contractual services 160.4 160.4

(g) Operating costs 801.5 801.5

(h) Other costs .5 .5

(i) Capital outlay 20.0 20.0

(j) Out-of-state travel 17.8 17.8

(k) Other financing uses 2.0 2.0

Authorized FTE: 138.00 Permanent; 1.00 Term

The internal service funds/interagency transfers appropriations to the regular operations of the attorney

general include forty-six thousand dollars ($46,000) from the Medicaid fraud division; twenty-five thousand dollars ($25,000) from the corrections department for costs associated with the attorney general's representation of habeas corpus cases on behalf of the corrections department and one hundred

thousand dollars ($100,000) from the risk management division of the general services department for

providing legal representation of governmental entities and public employees at the request of the risk

management division.

All revenue generated from antitrust cases through the attorney general on behalf of the state,

political subdivisions or private citizens shall revert to the general fund.

(2) Guardianship services program:

(a) Personal services 77.3 77.3

(b) Employee benefits 24.4 24.4

(c) Travel .2 .2

(d) Supplies and materials .3 .3

(e) Contractual services 1,266.7 1,266.7

(f) Operating costs 1.5 1.5

(g) Out-of-state travel .7 .7

Authorized FTE: 1.50 Permanent

(3) Medicaid fraud division:

(a) Personal services 140.4 421.2 561.6

(b) Employee benefits 42.3 126.9 169.2

(c) Travel 6.8 20.4 27.2

(d) Maintenance and repairs 1.6 4.8 6.4

(e) Supplies and materials 1.1 3.3 4.4

(f) Contractual services 3.8 11.4 15.2

(g) Operating costs 16.6 49.8 66.4

(h) Out-of-state travel .8 2.4 3.2

(i) Other financing uses 11.7 35.1 46.8

Authorized FTE: 13.00 Term

Subtotal [ 10,227.4] [ 350.0] [ 171.0][ 675.3] 11,423.7

STATE AUDITOR:

(a) Personal services 856.3 203.7 1,060.0

(b) Employee benefits 268.1 66.8 334.9

(c) Travel 21.3 9.0 30.3

(d) Maintenance and repairs 7.9 7.9

(e) Supplies and materials 11.5 1.2 12.7

(f) Contractual services 51.6 51.6

(g) Operating costs 109.7 96.3 206.0

(h) Capital outlay 35.2 35.2

(i) Out-of-state travel 3.6 6.7 10.3

(j) Other financing uses .5 .5

Authorized FTE: 25.00 Permanent; 1.00 Term

Subtotal [ 1,330.5] [ 418.9] 1,749.4

TAXATION AND REVENUE DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 2,517.0 2,517.0

(b) Employee benefits 813.2 813.2

(c) Travel 38.8 38.8

(d) Maintenance and repairs 3.7 3.7

(e) Supplies and materials 19.1 19.1

(f) Contractual services 259.2 259.2

(g) Operating costs 173.0 173.0

(h) Capital outlay 9.0 9.0

(i) Out-of-state travel 20.0 20.0

Authorized FTE: 65.00 Permanent

(2) Administrative services division:

(a) Personal services 4,328.2 81.6 4,409.8

(b) Employee benefits 1,376.3 15.4 1,391.7

(c) Travel 12.6 12.6

(d) Maintenance and repairs 145.7 145.7

(e) Supplies and materials 1,785.1 .5 1,785.6

(f) Contractual services 46.0 46.0

(g) Operating costs 3,556.9 77.3 3,634.2

(h) Other costs .2 .2

(i) Capital outlay 38.8 38.8

(j) Out-of-state travel 5.0 5.0

(k) Other financing uses 16.7 16.7

Authorized FTE: 127.00 Permanent

(3) Audit and compliance division:

(a) Personal services 6,537.0 21.0 307.6 6,865.6

(b) Employee benefits 2,093.7 6.3 96.4 2,196.4

(c) Travel 292.9 9.9 302.8

(d) Maintenance and repairs 33.5 33.5

(e) Supplies and materials 99.8 7.0 106.8

(f) Contractual services 214.1 214.1

(g) Operating costs 1,365.2 58.2 16.8 1,440.2

(h) Other costs 1.7 1.7

(i) Capital outlay 56.6 3.4 60.0

(j) Out-of-state travel 344.9 93.9 438.8

Authorized FTE: 232.00 Permanent; 10.00 Term; 9.00 Temporary

(4) Revenue processing division:

(a) Personal services 3,677.7 296.2 3,973.9

(b) Employee benefits 1,153.7 91.7 1,245.4

(c) Travel 5.0 .6 5.6

(d) Maintenance and repairs 397.4 26.5 423.9

(e) Supplies and materials 155.3 12.4 167.7

(f) Contractual services 16.5 3.5 20.0

(g) Operating costs 2,271.4 169.6 2,441.0

(h) Capital outlay 32.8 2.2 35.0

(i) Out-of-state travel 1.6 3.0 4.6

Authorized FTE: 159.00 Permanent; 42.40 Term

(5) Property tax division:

(a) Personal services 718.7 574.7 1,293.4

(b) Employee benefits 235.7 175.8 411.5

(c) Travel 81.1 196.7 277.8

(d) Maintenance and repairs 1.4 1.4

(e) Supplies and materials 3.7 13.3 17.0

(f) Contractual services 70.9 9.1 80.0

(g) Operating costs 43.2 79.6 122.8

(h) Other costs .3 .7 1.0

(i) Capital outlay 14.3 14.3

(j) Out-of-state travel 21.0 21.0

Authorized FTE: 45.00 Permanent

(6) Motor vehicle division:

(a) Personal services 6,095.1 104.5 6,199.6

(b) Employee benefits 2,310.0 12.3 2,322.3

(c) Travel 36.7 20.4 57.1

(d) Maintenance and repairs 75.0 75.0

(e) Supplies and materials 371.8 84.5 456.3

(f) Contractual services 564.5 956.5 1,521.0

(g) Operating costs 1,583.1 140.0 1,723.1

(h) Other costs .1 .1

(i) Capital outlay 182.8 182.8

(j) Out-of-state travel 17.2 17.2

Authorized FTE: 262.00 Permanent; 8.00 Temporary

(7) ONGARD service center:

(a) Personal services 350.4 161.1 511.5

(b) Employee benefits 102.5 63.3 165.8

(c) Travel .2 1.1 1.3

(d) Maintenance and repairs 7.0 .4 7.4

(e) Supplies and materials 2.0 1.0 3.0

(f) Contractual services 143.6 143.3 286.9

(g) Operating costs 246.7 86.6 333.3

(h) Capital outlay 39.6 10.4 50.0

(i) Out-of-state travel 8.4 1.6 10.0

Authorized FTE: 13.00 Permanent

Subtotal [ 47,045.2] [ 3,373.0] [ 527.0][ 535.0] 51,480.2

STATE INVESTMENT COUNCIL:

(a) Personal services 1,170.5 1,170.5

(b) Employee benefits 366.3 366.3

(c) Travel 20.9 20.9

(d) Maintenance and repairs 7.7 7.7

(e) Supplies and materials 19.2 19.2

(f) Contractual services 9,532.0 80.0 9,612.0

(g) Operating costs 307.6 307.6

(h) Capital outlay 38.7 38.7

(i) Out-of-state travel 40.0 40.0

(j) Other financing uses 927.0 927.0

Authorized FTE: 24.00 Permanent

The other state funds appropriation to the state investment council in the other financing uses category

includes nine hundred twenty-seven thousand dollars ($927,000) for payment of custody services associated with the fiscal agent contract to the state board of finance upon receipt of monthly assessments. Any unexpended or unencumbered balance in the state board of finance remaining at the end of fiscal year 2000 from this appropriation shall revert to the state investment council.

Subtotal [ 12,429.9] [ 80.0] 12,509.9

DEPARTMENT OF FINANCE AND ADMINISTRATION:

(1) Office of the secretary:

(a) Personal services 372.4 372.4

(b) Employee benefits 125.3 125.3

(c) Travel 3.1 3.1

(d) Maintenance and repairs .6 .6

(e) Supplies and materials 4.5 4.5

(f) Contractual services 46.0 46.0

(g) Operating costs 29.9 29.9

(h) Capital outlay 2.0 2.0

(i) Out-of-state travel 2.1 2.1

(j) Other financing uses 2.7 2.7

Authorized FTE: 6.80 Permanent

(2) Administrative services division:

(a) Personal services 724.3 724.3

(b) Employee benefits 232.5 232.5

(c) Travel .9 .9

(d) Maintenance and repairs 9.8 9.8

(e) Supplies and materials 14.3 14.3

(f) Contractual services 47.2 47.2

(g) Operating costs 76.4 76.4

(h) Capital outlay 5.0 5.0

(i) Out-of-state travel .9 .9

Authorized FTE: 19.00 Permanent

(3) State board of finance:

(a) Personal services 286.3 286.3

(b) Employee benefits 87.9 87.9

(c) Travel 6.5 6.5

(d) Maintenance and repairs .7 .7

(e) Supplies and materials 3.4 3.4

(f) Contractual services 29.5 29.5

(g) Operating costs 16.3 16.3

(h) Capital outlay 5.5 5.5

(i) Out-of-state travel 2.2 2.2

Authorized FTE: 6.00 Permanent

(4) State budget division:

(a) Personal services 936.0 936.0

(b) Employee benefits 301.0 301.0

(c) Travel 8.4 8.4

(d) Maintenance and repairs 2.7 2.7

(e) Supplies and materials 12.0 12.0

(f) Contractual services 30.7 30.7

(g) Operating costs 69.5 69.5

(h) Capital outlay 30.0 30.0

(i) Out-of-state travel 5.5 5.5

Authorized FTE: 21.00 Permanent

(5) Local government division:

(a) Personal services 836.0 162.6 481.1 1,479.7

(b) Employee benefits 263.4 56.9 181.8 502.1

(c) Travel 20.3 6.6 55.7 82.6

(d) Maintenance and repairs 3.9 2.6 3.4 9.9

(e) Supplies and materials 12.7 6.1 20.2 39.0

(f) Contractual services 13.0 1.0 24.4 38.4

(g) Operating costs 59.9 36.9 84.2 181.0

(h) Capital outlay 6.0 3.1 8.1 17.2

(i) Out-of-state travel 2.7 2.1 16.1 20.9

Authorized FTE: 25.00 Permanent; 17.00 Term

(6) Financial control division:

(a) Personal services 1,899.0 1,899.0

(b) Employee benefits 620.2 620.2

(c) Travel 7.5 7.5

(d) Maintenance and repairs 42.4 42.4

(e) Supplies and materials 97.8 97.8

(f) Contractual services 228.0 228.0

(g) Operating costs 1,321.3 1,321.3

(h) Capital outlay 36.7 36.7

(i) Out-of-state travel 5.3 5.3

Authorized FTE: 54.20 Permanent

(7) Dues and membership fees/special appropriations:

(a) National association of

state budget officers 8.7 8.7

(b) Council of state governments 70.2 70.2

(c) Western interstate commission

for higher education 85.0 85.0

(d) Education commission of the

states 40.8 40.8

(e) Rocky Mountain corporation for

public broadcasting 13.1 13.1

(f) National conference of state

legislatures 87.6 87.6

(g) Western governor's association 36.0 36.0

(h) Cumbres and Toltec scenic

railroad commission 10.0 10.0

(i) Commission on intergovernmental

relations 5.6 5.6

(j) Governmental accounting

standards board 15.7 15.7

(k) National center for state courts 63.7 63.7

(l) National governors' association 51.4 51.4

(m) Citizens review board 230.0 108.6 338.6

(n) Emergency water fund 45.0 45.0

(o) Fiscal agent contract 750.0 1,927.0 2,677.0

(p) Community assistance programs 249.9 249.9

(q) Big brothers and big sisters

programs 650.0 650.0

(r) Enhanced 911 fund 50.0 4,450.0 4,500.0

(s) Community development block

grant revolving loan fund 16.0 584.0 600.0

(t) Emergency 911 income 100.0 4,000.0 4,100.0

(u) Emergency 911 reserve 28.0 458.0 486.0

(v) Network and database surcharge

fund 400.0 7,200.0 7,600.0

(w) Governor's career development

conference 70.0 70.0

(x) Community development programs 20,000.0 20,000.0

(y) DWI grants 9,700.0 9,700.0

(z) Leasehold community assistance 131.2 131.2

(aa) Acequia and community ditch

program 30.0 30.0

(bb) School-to-work program 3,181.1 3,181.1

(cc) Acequia parciante claims pilot

project for water right

adjudication 75.0 75.0

(dd) Las Cruces city dance

program 50.0 50.0

Upon certification by the state board of finance pursuant to Section 6-1-2 NMSA 1978 that a critical

emergency exists that cannot be addressed by disaster declaration or other emergency or contingency

funds, and upon review by the legislative finance committee, the secretary of the department of finance

and administration is authorized to transfer from the general fund operating reserve to the state board

of finance emergency fund the amount necessary to meet the emergency. Such transfers shall not exceed an

aggregate amount of five hundred thousand dollars ($500,000) in fiscal year 2000. Repayments of

emergency loans made pursuant to this paragraph shall be deposited in the board of finance emergency fund

pursuant to the provisions of Section 6-1-5 NMSA 1978; provided that, after the total amounts deposited

in fiscal year 2000 exceed two hundred fifty thousand dollars ($250,000), additional repayments shall be

transferred to the general fund.

Fifty thousand dollars ($50,000) of the general fund appropriation to the big brothers and big sisters program is for the Chavez county and Eddy county big brothers and big sisters programs.

Unexpended or unencumbered balances remaining in the governor's career development conference fund

at the end of fiscal year 2000 shall not revert to the general fund.

The general fund appropriation of seventy-five thousand dollars ($75,000) for the acequia parciante

claims pilot project for water right adjudications is for the local government division of the department

of finance and administration to establish pilot project programs for addressing acequia parciante claims

in five water right adjudications now pending in the United States district court for the district of New

Mexico and involving the stream systems of the Rio Santa Cruz, Rio Truchas, Rio Chama, Rio Pueblo de

Taos, Rio Hondo, Jemez River and Red River.

The general fund appropriation of fifty thousand dollars ($50,000) for the Las Cruces city dance

program is to the local government division of the department of finance and administration.

Subtotal [ 11,459.1] [ 594.0] [ 28,191.5][ 24,890.0] 65,134.6

PUBLIC SCHOOL INSURANCE AUTHORITY:

(1) Operations division:

(a) Personal services 411.7 411.7

(b) Employee benefits 137.1 137.1

(c) Travel 45.7 45.7

(d) Maintenance and repairs 55.0 55.0

(e) Supplies and materials 14.0 14.0

(f) Contractual services 142.6 142.6

(g) Operating costs 61.6 61.6

(h) Other costs .2 .2

(i) Capital outlay 2.4 2.4

(j) Out-of-state travel 2.8 2.8

(k) Other financing uses .2 .2

Authorized FTE: 10.00 Permanent

(2) Benefits division:

(a) Contractual services 109,795.3 109,795.3

(b) Other financing uses 436.9 436.9

(3) Risk division:

(a) Contractual services 21,314.8 21,314.8

(b) Other financing uses 436.9 436.9

One-half of the unexpended or unencumbered balances in the operations division of the public school

insurance authority remaining at the end of fiscal year 2000 shall revert to the benefits division of the

public school insurance authority and one-half of the unexpended or unencumbered balances in the

operations division of the public school insurance authority remaining at the end of fiscal year 2000

shall revert to the risk division of the public school insurance authority.

Subtotal [132,857.2] 132,857.2

RETIREE HEALTH CARE AUTHORITY:

(1) Administration division:

(a) Personal services 570.6 570.6

(b) Employee benefits 276.0 276.0

(c) Travel 40.2 40.2

(d) Maintenance and repairs 3.2 3.2

(e) Supplies and materials 47.3 47.3

(f) Contractual services 111.9 111.9

(g) Operating costs 403.7 403.7

(h) Capital outlay 47.1 47.1

(i) Out-of-state travel 6.4 6.4

Authorized FTE: 17.00 Permanent

Any unexpended or unencumbered balance in the administration division of the retiree health care

authority remaining at the end of fiscal year 2000 shall revert to the benefits division.

(2) Benefits division:

(a) Contractual services 64,947.4 64,947.4

(b) Other financing uses 1,506.4 1,506.4

Subtotal [ 67,960.2] 67,960.2

GENERAL SERVICES DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 25.0 345.2 370.2

(b) Employee benefits 119.3 119.3

(c) Travel 8.0 8.0

(d) Maintenance and repairs .7 .7

(e) Supplies and materials 4.0 4.0

(f) Operating costs 22.9 22.9

(g) Capital outlay 5.0 5.0

(h) Out-of-state travel 3.5 3.5

(i) Other financing uses 4.6 4.6

Authorized FTE: 7.00 Permanent

(2) Administrative services division:

(a) Personal services 125.0 1,228.6 1,353.6

(b) Employee benefits 437.7 437.7

(c) Travel 16.1 16.1

(d) Maintenance and repairs 5.6 5.6

(e) Supplies and materials 47.2 47.2

(f) Contractual services 129.1 129.1

(g) Operating costs 458.4 458.4

(h) Capital outlay 4.0 4.0

(i) Out-of-state travel 4.0 4.0

(j) Other financing uses 153.1 153.1

Authorized FTE: 38.00 Permanent

(3) Telecommunications access fund:

(a) Contractual services 1,600.0 1,600.0

(b) Capital outlay 500.0 500.0

(c) Other financing uses 160.0 160.0

(4) Purchasing division:

(a) Personal services 687.9 343.5 133.2 1,164.6

(b) Employee benefits 232.0 116.7 44.8 393.5

(c) Travel 7.0 20.0 .5 21.6 49.1

(d) Maintenance and repairs 1.3 2.7 2.0 6.0

(e) Supplies and materials 10.9 12.6 9.9 33.4

(f) Contractual services 130.0 40.0 8.8 178.8

(g) Operating costs 116.7 113.1 37.1 266.9

(h) Capital outlay 25.0 25.0

(i) Out-of-state travel .7 7.8 4.3 12.8

(j) Other financing uses 80.4 114.0 .1 194.5

Authorized FTE: 33.00 Permanent; 6.00 Term

(5) Information systems division--regular:

(a) Personal services 9,304.2 9,304.2

(b) Employee benefits 2,869.2 2,869.2

(c) Travel 193.3 193.3

(d) Maintenance and repairs 3,440.5 3,440.5

(e) Supplies and materials 1,310.5 1,310.5

(f) Contractual services 8,650.2 8,650.2

(g) Operating costs 62.7 11,227.7 11,290.4

(h) Capital outlay 725.0 725.0

(i) Out-of-state travel 26.3 26.3

(j) Other financing uses 6,041.5 6,041.5

Authorized FTE: 238.00 Permanent

(6) Information systems division--equipment

replacement funds:

(a) Supplies and materials 300.0 300.0

(b) Operating costs 148.0 148.0

(c) Capital outlay 5,009.0 5,009.0

(7) Risk management division--regular:

(a) Personal services 1,723.5 1,723.5

(b) Employee benefits 572.0 572.0

(c) Travel 79.2 79.2

(d) Maintenance and repairs 109.9 109.9

(e) Supplies and materials 41.8 41.8

(f) Contractual services 874.0 874.0

(g) Operating costs 475.6 475.6

(h) Capital outlay 75.0 75.0

(i) Out-of-state travel 14.0 14.0

(j) Other financing uses 324.5 324.5

Authorized FTE: 46.00 Permanent

(8) Risk management division--funds:

(a) Public liability 32,724.0 32,724.0

(b) Surety bond 116.2 116.2

(c) Public property reserve 3,981.2 3,981.2

(d) Local public bodies unemployment

compensation 698.2 698.2

(e) Workers' compensation retention 13,084.9 13,084.9

(f) State unemployment compensation 3,820.7 3,820.7

(g) Health benefits stabilization 86,273.1 86,273.1

The internal service funds/interagency transfers appropriation to the surety bond fund includes one

hundred sixteen thousand two hundred dollars ($116,200) in operating transfers in from the surety bond

account in the risk reserve. The internal service funds/interagency transfers appropriation to the

workers' compensation retention fund includes thirteen million eighty-four thousand nine hundred dollars

($13,084,900) in operating transfers in from the workers' compensation account in the risk reserve.

(9) Property control division:

(a) Personal services 853.6 853.6

(b) Employee benefits 288.9 288.9

(c) Travel 11.0 11.0

(d) Maintenance and repairs 106.7 106.7

(e) Supplies and materials 6.1 6.1

(f) Operating costs 68.7 68.7

(g) Other financing uses 45.0 45.0

Authorized FTE: 28.00 Permanent

(10) Building services division:

(a) Personal services 2,286.3 2,286.3

(b) Employee benefits 923.1 923.1

(c) Travel 64.5 64.5

(d) Maintenance and repairs 1,136.2 1,136.2

(e) Supplies and materials 29.7 29.7

(f) Operating costs 2,124.8 2,124.8

(g) Capital outlay 35.2 35.2

(h) Out-of-state travel 3.0 3.0

(i) Other financing uses 34.1 34.1

Authorized FTE: 113.00 Permanent

(11) State transportation pool:

(a) Personal services 489.8 489.8

(b) Employee benefits 155.0 155.0

(c) Travel 2,758.0 2,758.0

(d) Maintenance and repairs 14.1 14.1

(e) Supplies and materials 6.3 6.3

(f) Contractual services 50.8 50.8

(g) Operating costs 60.0 60.0

(h) Capital outlay 76.9 76.9

(i) Out-of-state travel 7.5 7.5

(j) Other financing uses 2,169.7 2,169.7

Authorized FTE: 16.00 Permanent

(12) PSL/NMSU aircraft fund: 280.5 280.5

(13) State aviation bureau:

(a) Personal services 83.7 175.0 258.7

(b) Employee benefits 25.8 54.0 79.8

(c) Travel 107.8 250.7 358.5

(d) Maintenance and repairs 7.0 14.6 21.6

(e) Supplies and materials .8 1.6 2.4

(f) Contractual services .3 .3

(g) Operating costs 31.4 65.5 96.9

(h) Capital outlay .5 1.0 1.5

(i) Out-of-state travel 2.5 5.7 8.2

(j) Other financing uses 13.2 27.8 41.0

Authorized FTE: 6.00 Permanent

(14) Transportation services division--equipment

replacement fund: 2,000.0 2,000.0

Subtotal [ 9,639.2] [ 3,120.4] [205,935.5][ 286.8] 218,981.9

EDUCATIONAL RETIREMENT BOARD:

(a) Personal services 1,426.6 1,426.6

(b) Employee benefits 453.0 453.0

(c) Travel 37.2 37.2

(d) Maintenance and repairs 132.2 132.2

(e) Supplies and materials 38.0 38.0

(f) Contractual services 3,915.8 3,915.8

(g) Operating costs 374.4 374.4

(h) Other costs 201.0 201.0

(i) Capital outlay 62.1 62.1

(j) Out-of-state travel 30.0 30.0

(k) Other financing uses .8 .8

Authorized FTE: 43.00 Permanent

The other state funds appropriation to the educational retirement board in the contractual services

category includes three million seven hundred thousand dollars ($3,700,000) to be used only for

investment manager fees.

The other state funds appropriation to the educational retirement board in the other costs category

includes two hundred thousand dollars ($200,000) for payment of custody services associated with the

fiscal agent contract to the state board of finance upon receipt of monthly assessments. Any unexpended

or unencumbered balance in the state board of finance remaining at the end of fiscal year 2000 from this

appropriation shall revert to the educational retirement board income fund.

Subtotal [ 6,671.1] 6,671.1

PUBLIC DEFENDER DEPARTMENT:

(a) Personal services 9,319.3 580.1 9,899.4

(b) Employee benefits 3,139.3 193.4 3,332.7

(c) Travel 142.9 142.9

(d) Maintenance and repairs 88.0 88.0

(e) Supplies and materials 95.5 95.5

(f) Contractual services 7,251.7 7,251.7

(g) Operating costs 2,268.2 2,268.2

(h) Other costs .3 .3

(i) Capital outlay 134.1 114.7 248.8

(j) Out-of-state travel 4.5 4.5

(k) Other financing uses 4.8 4.8

Authorized FTE: 269.00 Permanent

Subtotal [ 22,448.6] [ 773.5] [ 114.7] 23,336.8

Unexpended or unencumbered balances in the public defender department remaining at the end of fiscal year 2000 from appropriations made from the general fund shall not revert.

GOVERNOR:

(a) Personal services 1,163.0 1,163.0

(b) Employee benefits 397.0 397.0

(c) Travel 31.4 31.4

(d) Maintenance and repairs 21.4 21.4

(e) Supplies and materials 47.4 47.4

(f) Contractual services 72.8 72.8

(g) Operating costs 164.6 164.6

(h) Other costs 30.0 30.0

(i) Capital outlay 10.0 10.0

(j) Out-of-state travel 26.8 26.8

(k) Other financing uses .5 .5

Authorized FTE: 27.00 Permanent

Subtotal [ 1,964.9] 1,964.9

LIEUTENANT GOVERNOR:

(a) Personal services 216.1 216.1

(b) Employee benefits 72.3 72.3

(c) Travel 15.6 15.6

(d) Maintenance and repairs .9 .9

(e) Supplies and materials 4.5 4.5

(f) Contractual services 3.5 3.5

(g) Operating costs 23.4 23.4

(h) Capital outlay 3.0 3.0

(i) Out-of-state travel 3.1 3.1

(j) Other financing uses .1 .1

Authorized FTE: 5.00 Permanent

Subtotal [ 342.5] 342.5

PUBLIC EMPLOYEES RETIREMENT ASSOCIATION:

(1) Administrative division:

(a) Personal services 1,890.0 1,890.0

(b) Employee benefits 611.5 611.5

(c) Travel 28.4 28.4

(d) Maintenance and repairs 78.7 78.7

(e) Supplies and materials 56.8 56.8

(f) Contractual services 8,870.8 8,870.8

(g) Operating costs 798.5 798.5

(h) Capital outlay 143.0 143.0

(i) Out-of-state travel 16.1 16.1

(j) Other financing uses 800.0 800.0

Authorized FTE: 51.00 Permanent; 2.00 Term

The other state funds appropriation to the administrative division of the public employees retirement

association in the contractual services category includes eight million fifty thousand dollars

($8,050,000) to be used only for investment manager fees.

The other state funds appropriation to the administrative division of the public employees

retirement association in the other financing uses category includes eight hundred thousand dollars

($800,000) for payment of custody services associated with the fiscal agent contract to the state board

of finance upon receipt of monthly assessments. Any unexpended or unencumbered balance in the state

board of finance remaining at the end of fiscal year 2000 from this appropriation shall revert to the

public employees retirement association income fund.

(2) Maintenance division:

(a) Personal services 399.4 399.4

(b) Employee benefits 176.5 176.5

(c) Travel 5.6 5.6

(d) Maintenance and repairs 598.3 598.3

(e) Supplies and materials 9.0 9.0

(f) Contractual services 25.6 25.6

(g) Operating costs 321.0 321.0

(h) Capital outlay 12.5 12.5

(i) Other financing uses .3 .3

Authorized FTE: 22.00 Permanent

(3) Deferred compensation:

(a) Personal services 66.7 66.7

(b) Employee benefits 28.2 28.2

(c) Travel 2.0 2.0

(d) Maintenance and repairs .5 .5

(e) Supplies and materials 4.5 4.5

(f) Contractual services 30.1 30.1

(g) Operating costs 14.0 14.0

(h) Capital outlay 15.3 15.3

(i) Out-of-state travel 4.0 4.0

Authorized FTE: 2.00 Permanent

Subtotal [ 15,007.3] 15,007.3

STATE COMMISSION OF PUBLIC RECORDS:

(a) Personal services 971.4 971.4

(b) Employee benefits 344.1 344.1

(c) Travel 7.0 7.0

(d) Maintenance and repairs 71.2 9.7 80.9

(e) Supplies and materials 8.3 14.5 22.8

(f) Contractual services 5.1 5.1

(g) Operating costs 130.0 4.0 134.0

(h) Other costs 25.0 27.5 52.5

(i) Capital outlay 14.0 46.1 60.1

(j) Out-of-state travel 3.0 3.0

(k) Other financing uses .7 .7

Authorized FTE: 32.50 Permanent

Subtotal [ 1,579.8] [ 101.8] 1,681.6

SECRETARY OF STATE:

(a) Personal services 1,009.1 1,009.1

(b) Employee benefits 331.8 331.8

(c) Travel 14.7 14.7

(d) Maintenance and repairs 19.0 19.0

(e) Supplies and materials 41.0 41.0

(f) Contractual services 35.8 35.8

(g) Operating costs 511.1 511.1

(h) Other costs 76.0 76.0

(i) Capital outlay 88.1 88.1

(j) Out-of-state travel 5.2 5.2

(k) Other financing uses .8 .8

Authorized FTE: 36.00 Permanent; 1.00 Term; 1.33 Temporary

Subtotal [ 2,132.6] 2,132.6

PERSONNEL BOARD:

(a) Personal services 2,351.0 2,351.0

(b) Employee benefits 766.3 766.3

(c) Travel 26.8 26.8

(d) Maintenance and repairs 72.1 72.1

(e) Supplies and materials 49.5 49.5

(f) Contractual services 19.2 19.2

(g) Operating costs 170.8 170.8

(h) Capital outlay 10.0 10.0

(i) Out-of-state travel 4.8 4.8

(j) Other financing uses 1.0 1.0

Authorized FTE: 67.50 Permanent

Subtotal [ 3,471.5] 3,471.5

PUBLIC EMPLOYEE LABOR RELATIONS BOARD:

(a) Personal services 82.2 82.2

(b) Employee benefits 37.0 37.0

(c) Travel 5.3 5.3

(d) Maintenance and repairs 1.5 1.5

(e) Supplies and materials 3.0 3.0

(f) Contractual services 41.1 41.1

(g) Operating costs 35.3 35.3

(h) Capital outlay 2.0 2.0

(i) Out-of-state travel 1.8 1.8

(j) Other financing uses .1 .1

Authorized FTE: 2.00 Permanent

The appropriation to the public employee labor relations board is contingent upon passage of legislation

that extends the termination date of the Public Employee Bargaining Act beyond June 30, 1999.

Subtotal [ 209.3] 209.3

STATE TREASURER:

(a) Personal services 1,845.7 35.0 1,880.7

(b) Employee benefits 681.2 681.2

(c) Travel 20.5 20.5

(d) Maintenance and repairs 21.8 21.8

(e) Supplies and materials 40.3 40.3

(f) Contractual services 81.9 81.9

(g) Operating costs 480.8 480.8

(h) Capital outlay 39.5 39.5

(i) Out-of-state travel 5.0 5.0

(j) Other financing uses .7 .7

Authorized FTE: 48.50 Permanent; 1.00 Term

Subtotal [ 3,217.4] [ 35.0] 3,252.4

TOTAL GENERAL CONTROL 115,068.0 42,319.2 436,357.8 26,422.1 620,167.1

D. COMMERCE AND INDUSTRY

BOARD OF EXAMINERS FOR ARCHITECTS:

(a) Personal services 125.9 125.9

(b) Employee benefits 42.6 42.6

(c) Travel 17.1 17.1

(d) Maintenance and repairs 2.3 2.3

(e) Supplies and materials 7.5 7.5

(f) Contractual services 13.5 13.5

(g) Operating costs 42.1 42.1

(h) Capital outlay 15.5 15.5

(i) Out-of-state travel 9.1 9.1

(j) Other financing uses 1.5 1.5

Authorized FTE: 4.00 Permanent

Subtotal [ 277.1] 277.1

TOURISM DEPARTMENT:

(1) Travel and marketing:

(a) Personal services 384.8 384.8

(b) Employee benefits 120.9 120.9

(c) Travel 27.2 27.2

(d) Maintenance and repairs 8.7 8.7

(e) Supplies and materials 35.0 35.0

(f) Contractual services 172.8 172.8

(g) Operating costs 4,409.6 4,409.6

(h) Other costs 1,354.2 1,354.2

(i) Out-of-state travel 27.0 27.0

(j) Other financing uses .2 .2

Authorized FTE: 11.00 Permanent

(2) Welcome centers:

(a) Personal services 544.7 544.7

(b) Employee benefits 218.7 218.7

(c) Travel 13.6 13.6

(d) Maintenance and repairs 13.3 13.3

(e) Supplies and materials 12.0 12.0

(f) Contractual services 9.6 9.6

(g) Operating costs 51.9 51.9

(h) Capital outlay 17.5 17.5

(i) Out-of-state travel .9 .9

(j) Other financing uses .4 .4

Authorized FTE: 28.50 Permanent

(3) New Mexico magazine:

(a) Personal services 751.9 751.9

(b) Employee benefits 261.1 261.1

(c) Travel 7.7 7.7

(d) Maintenance and repairs 5.2 5.2

(e) Supplies and materials 24.1 24.1

(f) Contractual services 917.8 917.8

(g) Operating costs 2,662.8 2,662.8

(h) Other costs 200.0 200.0

(i) Capital outlay 19.2 19.2

(j) Out-of-state travel 5.0 5.0

(k) Other financing uses .4 .4

Authorized FTE: 22.00 Permanent

(4) Administrative services:

(a) Personal services 369.9 369.9

(b) Employee benefits 130.1 130.1

(c) Travel 9.4 9.4

(d) Maintenance and repairs 4.7 4.7

(e) Supplies and materials 5.5 5.5

(f) Contractual services 9.9 9.9

(g) Operating costs 20.9 20.9

(h) Out-of-state travel 14.4 14.4

(i) Other financing uses .2 .2

Authorized FTE: 10.00 Permanent

Subtotal [ 7,988.0] [ 4,855.2] 12,843.2

ECONOMIC DEVELOPMENT DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 344.6 344.6

(b) Employee benefits 108.8 108.8

(c) Travel 26.9 26.9

(d) Maintenance and repairs .6 .6

(e) Supplies and materials 10.0 10.0

(f) Operating costs 510.6 510.6

(g) Other costs 2.0 2.0

(h) Capital outlay 2.5 2.5

(i) Out-of-state travel 12.6 12.6

(j) Other financing uses .2 .2

Authorized FTE: 8.00 Permanent

(2) Administrative services:

(a) Personal services 562.9 562.9

(b) Employee benefits 188.3 188.3

(c) Travel 4.7 4.7

(d) Maintenance and repairs 29.0 29.0

(e) Supplies and materials 10.0 10.0

(f) Contractual services 62.4 62.4

(g) Operating costs 51.0 51.0

(h) Capital outlay 2.5 2.5

(i) Other financing uses .2 .2

Authorized FTE: 14.00 Permanent

(3) Economic development division:

(a) Personal services 897.4 897.4

(b) Employee benefits 267.4 267.4

(c) Travel 59.3 59.3

(d) Maintenance and repairs 4.2 4.2

(e) Supplies and materials 17.8 17.8

(f) Contractual services 290.3 290.3

(g) Operating costs 196.3 196.3

(h) Other costs 150.0 150.0

(i) Capital outlay 3.0 3.0

(j) Out-of-state travel 45.0 45.0

(k) Other financing uses .4 .4

Authorized FTE: 23.00 Permanent

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) for a southwest regional director of the Main Street

program.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including San Juan, McKinley and Cibola counties, to be located in the county with the highest unemployment rate in the specified region that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including Rio Arriba, Taos, Colfax, Mora, Santa Fe and San Miguel counties, to be located in the county with the highest unemployment rate in the specified district that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including Bernalillo, Sandoval, Valencia and Torrance counties, to be located in the county with the highest unemployment rate in the specified district that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including Curry, Union, Harding, Quay, Guadalupe, De Baca and Roosevelt counties, to be located in the county with the highest unemployment rate in the specified district that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including Grant, Catron, Hidalgo and Luna counties, to be located in the county with the highest unemployment rate in the specified district that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including Lea, Eddy, Chaves, Lincoln and Otero counties, to be located in the county with the highest unemployment rate in the specified district that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

The general fund appropriation to the economic development division of the economic development

department includes fifty thousand dollars ($50,000) and one economic development specialist for a regional economic development office in the economic development district including Dona Ana, Sierra and Socorro counties, to be located in the county with the highest unemployment rate in the specified district that will supply office space and utilities for the regional economic development office. The regional economic development office will concentrate its efforts on areas in the district with the highest unemployment rates.

(4) Science and technology:

(a) Personal services 95.7 40.0 135.7

(b) Employee benefits 40.3 40.3

(c) Travel 5.0 5.0

(d) Maintenance and repairs .1 .1

(e) Supplies and materials 4.8 4.8

(f) Operating costs 17.7 17.7

(g) Capital outlay 2.0 2.0

(h) Out-of-state travel 5.7 5.7

(i) Other financing uses .1 .1

Authorized FTE: 3.00 Permanent

(5) Office of space commercialization:

(a) Personal services 143.8 143.8

(b) Employee benefits 45.8 45.8

(c) Travel 11.9 11.9

(d) Maintenance and repairs .1 .1

(e) Supplies and materials 5.1 5.1

(f) Contractual services 142.5 142.5

(g) Operating costs 25.4 25.4

(h) Other costs 1.0 1.0

(i) Capital outlay 2.5 2.5

(j) Out-of-state travel 11.4 11.4

(k) Other financing uses .1 .1

Authorized FTE: 3.00 Permanent

(6) Trade division:

(a) Personal services 228.9 228.9

(b) Employee benefits 73.8 73.8

(c) Travel 8.0 8.0

(d) Maintenance and repairs .3 .3

(e) Supplies and materials 5.6 5.6

(f) Contractual services 155.1 155.1

(g) Operating costs 148.9 148.9

(h) Other costs 1.0 1.0

(i) Capital outlay 2.0 2.0

(j) Out-of-state travel 44.9 44.9

(k) Other financing uses .1 .1

Authorized FTE: 6.00 Permanent

The general fund appropriations to the trade division of the economic development department include one

hundred twenty-five thousand dollars ($125,000) to open trade offices in Chihuahua, Mexico and Ciudad

Juarez, Mexico.

(7) Film division:

(a) Personal services 239.6 239.6

(b) Employee benefits 77.9 77.9

(c) Travel 6.5 6.5

(d) Maintenance and repairs 1.3 1.3

(e) Supplies and materials 9.8 9.8

(f) Contractual services 10.0 10.0

(g) Operating costs 133.9 133.9

(h) Other costs 1.0 1.0

(i) Capital outlay 2.5 2.5

(j) Out-of-state travel 14.3 14.3

(k) Other financing uses .2 .2

Authorized FTE: 7.00 Permanent

Subtotal [ 5,587.5] [ 40.0] 5,627.5

REGULATION AND LICENSING DEPARTMENT:

(1) Administrative services division:

(a) Personal services 815.4 233.8 1,049.2

(b) Employee benefits 279.1 87.0 366.1

(c) Travel 7.6 .9 8.5

(d) Maintenance and repairs 25.0 18.2 43.2

(e) Supplies and materials 20.7 6.0 26.7

(f) Contractual services 17.7 15.1 32.8

(g) Operating costs 281.0 66.0 347.0

(h) Capital outlay 22.7 22.7

(i) Out-of-state travel 2.8 .8 3.6

(j) Other financing uses .5 1.2 1.7

Authorized FTE: 26.40 Permanent

(2) Construction industries division:

(a) Personal services 3,306.3 3,306.3

(b) Employee benefits 1,115.2 1,115.2

(c) Travel 232.9 232.9

(d) Maintenance and repairs 7.4 7.4

(e) Supplies and materials 64.1 64.1

(f) Contractual services 219.2 219.2

(g) Operating costs 566.4 566.4

(h) Capital outlay 50.0 50.0

(i) Out-of-state travel 3.0 3.0

(j) Other financing uses 1.8 1.8

Authorized FTE: 97.00 Permanent

(3) Manufactured housing division:

(a) Personal services 351.8 49.9 401.7

(b) Employee benefits 126.7 18.1 144.8

(c) Travel 25.8 5.2 31.0

(d) Maintenance and repairs 1.2 1.2

(e) Supplies and materials 6.3 1.8 8.1

(f) Contractual services 100.0 100.0 200.0

(g) Operating costs 46.2 16.6 62.8

(h) Capital outlay 2.5 1.5 4.0

(i) Out-of-state travel 6.8 6.8

(j) Other financing uses .2 .1 .3

Authorized FTE: 12.00 Permanent

The general fund appropriation to the manufactured housing division of the regulation and licensing department in the contractual services category includes one hundred thousand dollars ($100,000) for the purpose of conducting field inspections of manufactured homes.

(4) Financial institutions division:

(a) Personal services 624.7 624.7

(b) Employee benefits 206.3 206.3

(c) Travel 62.7 62.7

(d) Maintenance and repairs 2.6 2.6

(e) Supplies and materials 6.9 6.9

(f) Contractual services .5 .5

(g) Operating costs 94.9 94.9

(h) Capital outlay 17.5 17.5

(i) Out-of-state travel 10.1 10.1

(j) Other financing uses .4 .4

Authorized FTE: 17.75 Permanent

(5) Alcohol and gaming division:

(a) Personal services 499.1 499.1

(b) Employee benefits 191.3 191.3

(c) Travel 3.1 3.1

(d) Maintenance and repairs .8 .8

(e) Supplies and materials 8.1 8.1

(f) Contractual services 11.2 11.2

(g) Operating costs 130.6 130.6

(h) Capital outlay 5.5 5.5

(i) Out-of-state travel 3.3 3.3

(j) Other financing uses .3 .3

Authorized FTE: 15.00 Permanent

(6) Securities division:

(a) Personal services 606.0 606.0

(b) Employee benefits 203.1 203.1

(c) Travel 3.2 3.2

(d) Maintenance and repairs 2.0 2.0

(e) Supplies and materials 6.2 6.2

(f) Contractual services 1.4 1.4

(g) Operating costs 114.3 114.3

(h) Capital outlay 5.0 5.0

(i) Out-of-state travel 2.4 2.4

(j) Other financing uses .4 .4

Authorized FTE: 17.25 Permanent

(7) Securities and education training division:

(a) Travel 1.0 1.0

(b) Supplies and materials 5.6 5.6

(c) Contractual services 45.0 45.0

(d) Operating costs 21.0 21.0

(e) Capital outlay 7.0 7.0

(8) New Mexico state board of public accountancy: 345.5 345.5

Authorized FTE: 4.00 Permanent

(9) Board of acupuncture and oriental medicine: 90.7 90.7

Authorized FTE: 1.05 Permanent

(10) New Mexico athletic commission: 88.8 88.8

Authorized FTE: .65 Permanent

(11) Athletic trainer practice board: 19.5 19.5

Authorized FTE: .20 Permanent

(12) Board of barbers and cosmetologists: 516.7 516.7

Authorized FTE: 7.00 Permanent

(13) Chiropractic board: 114.5 114.5

Authorized FTE: 1.50 Permanent

(14) New Mexico board of dental health care: 234.6 234.6

Authorized FTE: 2.70 Permanent

(15) Board of landscape architects: 28.8 28.8

Authorized FTE: .25 Permanent

(16) Board of nursing home administrators: 49.0 49.0

Authorized FTE: .60 Permanent

(17) Board of examiners for occupational therapy: 47.7 47.7

Authorized FTE: .60 Permanent

(18) Board of optometry: 56.6 56.6

Authorized FTE: .70 Permanent

(19) Board of osteopathic medical examiners: 49.2 49.2

Authorized FTE: .50 Permanent

(20) Board of pharmacy: 1,089.3 1,089.3

Authorized FTE: 13.00 Permanent

(21) Physical therapists' licensing board: 111.4 111.4

Authorized FTE: 1.40 Permanent

(22) Board of podiatry: 20.6 20.6

Authorized FTE: .20 Permanent

(23) Advisory board of private investigators and

polygraphers: 160.2 160.2

Authorized FTE: 1.35 Permanent

(24) New Mexico state board of psychologist

examiners: 150.5 150.5

Authorized FTE: 1.45 Permanent

(25) New Mexico real estate commission: 794.9 794.9

Authorized FTE: 9.40 Permanent

(26) Advisory board of respiratory care

practitioners: 47.8 47.8

Authorized FTE: .70 Permanent

(27) Speech language pathology, audiology and hearing

aid dispensing practices board: 86.1 86.1

Authorized FTE: 1.80 Permanent

(28) Board of thanatopractice: 93.6 93.6

Authorized FTE: .35 Permanent

(29) Nutrition and dietetics practice board: 26.6 26.6

Authorized FTE: .30 Permanent

(30) Board of social work examiners: 234.5 234.5

Authorized FTE: 2.00 Permanent

(31) Interior design board: 32.7 32.7

Authorized FTE: .30 Permanent

(32) Real estate recovery fund: 50.0 50.0

(33) Real estate appraisers board: 104.1 104.1

Authorized FTE: 1.45 Permanent

(34) Board of massage therapy: 140.4 140.4

Authorized FTE: 1.65 Permanent

(35) Counseling and therapy practice board: 346.2 346.2

Authorized FTE: 5.50 Permanent

The other state funds appropriations to the various boards and commissions of the regulation and licensing department include ninety-one thousand two hundred dollars ($91,200) for out-of-state travel and are contingent upon the department developing and finalizing administrative policies and procedures for boards and commissions for review by the legislative finance committee and department of finance and administration.

Subtotal [ 10,523.4] [ 5,210.1] [ 429.0][ 200.0] 16,362.5

PUBLIC REGULATION COMMISSION:

(1) Administrative services division:

(a) Personal services 2,474.1 340.0 2,814.1

(b) Employee benefits 832.5 110.0 942.5

(c) Travel 3.3 3.3

(d) Maintenance and repairs 20.2 20.2

(e) Supplies and materials 7.8 7.8

(f) Contractual services 37.4 37.4

(g) Operating costs 501.4 501.4

(h) Capital outlay 20.0 20.0

(i) Out-of-state travel 9.4 9.4

Authorized FTE: 78.00 Permanent

The internal service funds/interagency transfers appropriations to the administrative services division

of the public regulation commission include one hundred thousand dollars ($100,000) from the patient's

compensation fund, two hundred fifty thousand dollars ($250,000) from the fire protection fund,

sixty-five thousand dollars ($65,000) from the title insurance maintenance fund and thirty-five thousand

dollars ($35,000) from the reproduction fund.

(2) Consumer relations division:

(a) Personal services 412.5 412.5

(b) Employee benefits 140.8 140.8

(c) Operating costs 28.0 28.0

Authorized FTE: 13.00 Permanent

(3) Insurance division:

(a) Personal services 2,423.6 960.4 3,384.0

(b) Employee benefits 848.8 343.5 1,192.3

(c) Travel 6.3 104.5 110.8

(d) Maintenance and repairs 3.2 75.9 79.1

(e) Supplies and materials 61.0 67.2 128.2

(f) Contractual services 52.8 630.3 683.1

(g) Operating costs 532.5 388.9 921.4

(h) Other costs 10,030.0 10,030.0

(i) Capital outlay 115.0 74.3 189.3

(j) Out-of-state travel 18.0 22.0 40.0

Authorized FTE: 101.00 Permanent

The internal service funds/interagency transfers appropriations to the insurance division of the public

regulation commission include ten thousand dollars ($10,000) from the insurance examination fund; forty

thousand dollars ($40,000) from the insurance license continuing education fund; ten million three

hundred forty-three thousand five hundred dollars ($10,343,500) from the patient's compensation fund; and

four hundred eighty-eight thousand dollars ($488,000) from the insurance fraud fund.

The internal service funds/interagency transfers appropriations in the insurance division of the

public regulation commission for the state fire marshal include nine hundred twenty-nine thousand four

hundred dollars ($929,400) from the fire protection fund.

The internal service funds/interagency transfers appropriations in the insurance division of the

public regulation commission for the firefighter training academy include six hundred fifty-eight

thousand two hundred dollars ($658,200) from the fire protection fund.

(4) Legal division:

(a) Personal services 690.7 690.7

(b) Employee benefits 217.5 217.5

(c) Operating costs 28.0 28.0

Authorized FTE: 15.00 Permanent

(5) Transportation division:

(a) Personal services 567.0 89.0 656.0

(b) Employee benefits 199.9 31.0 230.9

(c) Travel 21.5 21.5

(d) Maintenance and repairs 15.0 15.0

(e) Supplies and materials 8.0 8.0

(f) Contractual services 4.8 4.8

(g) Operating costs 111.2 111.2

(h) Out-of-state travel 4.5 4.5

Authorized FTE: 21.00 Permanent

(6) Utility division:

(a) Personal services 880.2 880.2

(b) Employee benefits 283.6 283.6

(c) Travel 6.8 6.8

(d) Maintenance and repairs 38.8 38.8

(e) Supplies and materials 11.6 11.6

(f) Contractual services 129.6 129.6

(g) Operating costs 175.9 175.9

(h) Out-of-state travel 9.0 9.0

Authorized FTE: 22.00 Permanent

Subtotal [ 11,952.2] [ 13,147.0][ 120.0] 25,219.2

NEW MEXICO BOARD OF MEDICAL EXAMINERS:

(a) Personal services 317.4 317.4

(b) Employee benefits 124.7 124.7

(c) Travel 22.6 22.6

(d) Maintenance and repairs 21.1 21.1

(e) Supplies and materials 11.0 11.0

(f) Contractual services 226.9 226.9

(g) Operating costs 49.1 49.1

(h) Capital outlay 3.0 3.0

(i) Out-of-state travel 15.0 15.0

(j) Other financing uses .2 .2

Authorized FTE: 10.00 Permanent

Subtotal [ 791.0] 791.0

BOARD OF NURSING:

(a) Personal services 341.0 9.0 350.0

(b) Employee benefits 109.1 2.9 112.0

(c) Travel 27.1 .4 27.5

(d) Maintenance and repairs 9.1 .1 9.2

(e) Supplies and materials 17.5 .3 17.8

(f) Contractual services 152.0 152.0

(g) Operating costs 193.2 .8 194.0

(h) Other costs 3.8 .4 4.2

(i) Capital outlay 12.0 .2 12.2

(j) Out-of-state travel 5.0 5.0

(k) Other financing uses .2 .2

Authorized FTE: 10.00 Permanent

Subtotal [ 870.0] [ 14.1] 884.1

NEW MEXICO STATE FAIR:

(a) Personal services 3,749.7 3,749.7

(b) Employee benefits 645.9 645.9

(c) Travel 80.1 80.1

(d) Maintenance and repairs 749.1 749.1

(e) Supplies and materials 155.4 155.4

(f) Contractual services 2,251.9 2,251.9

(g) Operating costs 1,546.9 1,546.9

(h) Other costs 1,382.5 1,382.5

(i) Capital outlay 3,101.8 3,101.8

(j) Out-of-state travel 8.2 8.2

Authorized FTE: 42.00 Permanent; 13.00 Term

Subtotal [ 13,671.5] 13,671.5

STATE BOARD OF REGISTRATION FOR PROFESSIONAL

ENGINEERS AND SURVEYORS:

(a) Personal services 159.4 159.4

(b) Employee benefits 55.6 55.6

(c) Travel 22.1 22.1

(d) Maintenance and repairs 7.0 7.0

(e) Supplies and materials 7.3 7.3

(f) Contractual services 66.7 66.7

(g) Operating costs 123.0 123.0

(h) Capital outlay 4.1 4.1

(i) Out-of-state travel 8.7 8.7

(j) Other financing uses .2 .2

Authorized FTE: 6.00 Permanent

Subtotal [ 454.1] 454.1

GAMING CONTROL BOARD:

(a) Personal services 1,687.4 1,687.4

(b) Employee benefits 421.8 421.8

(c) Maintenance and repairs 5.3 5.3

(d) Supplies and materials 59.0 59.0

(e) Contractual services 218.1 218.1

(f) Operating costs 99.0 99.0

(g) Out-of-state travel .9 .9

(h) Other financing uses 1.0 1.0

Authorized FTE: 50.00 Permanent

Subtotal [ 2,492.5] 2,492.5

STATE RACING COMMISSION:

(a) Personal services 545.7 545.7

(b) Employee benefits 314.0 314.0

(c) Travel 31.2 31.2

(d) Maintenance and repairs 3.0 3.0

(e) Supplies and materials 10.5 10.5

(f) Contractual services 305.6 305.6

(g) Operating costs 93.1 93.1

(h) Capital outlay .1 .1

(i) Out-of-state travel 1.9 1.9

(j) Other financing uses .3 .3

Authorized FTE: 15.01 Permanent; 1.56 Temporary

Subtotal [ 1,305.4] 1,305.4

NEW MEXICO APPLE COMMISSION:

(a) Travel 4.7 4.7

(b) Supplies and materials .5 .5

(c) Contractual services 29.0 5.0 34.0

(d) Operating costs 3.7 3.7

(e) Out-of-state travel 2.5 2.5

Subtotal [ 40.4] [ 5.0] 45.4

BOARD OF VETERINARY MEDICINE:

(a) Personal services 47.2 47.2

(b) Employee benefits 19.2 19.2

(c) Travel 9.8 9.8

(d) Maintenance and repairs .6 .6

(e) Supplies and materials 4.0 4.0

(f) Contractual services 38.2 38.2

(g) Operating costs 26.3 26.3

(h) Capital outlay 2.2 2.2

(i) Out-of-state travel 4.6 4.6

(j) Other financing uses .1 .1

Authorized FTE: 2.00 Permanent

Subtotal [ 152.2] 152.2

TOTAL COMMERCE AND INDUSTRY 39,889.4 26,286.2 13,590.1 360.0 80,125.7

E. AGRICULTURE, ENERGY AND NATURAL RESOURCES

OFFICE OF CULTURAL AFFAIRS:

(1) Administrative services division:

(a) Personal services 817.2 817.2

(b) Employee benefits 270.1 270.1

(c) Travel 10.4 10.4

(d) Maintenance and repairs 13.8 13.8

(e) Supplies and materials 8.3 8.3

(f) Contractual services 39.9 55.0 94.9

(g) Operating costs 48.5 55.0 103.5

(h) Capital outlay 14.1 14.1

(i) Other financing uses .5 .5

Authorized FTE: 22.50 Permanent

(2) Hispanic cultural division:

(a) Personal services 284.6 284.6

(b) Employee benefits 141.7 141.7

(c) Travel 28.5 28.5

(d) Maintenance and repairs 25.3 25.3

(e) Supplies and materials 39.8 39.8

(f) Contractual services 380.7 380.7

(g) Operating costs 356.3 356.3

(h) Capital outlay 214.2 214.2

(i) Out-of-state travel 1.8 1.8

(j) Other financing uses .2 .2

Authorized FTE: 9.00 Permanent

(3) Museum division:

(a) Personal services 4,516.2 714.5 5,230.7

(b) Employee benefits 1,582.0 236.2 1,818.2

(c) Travel 11.4 58.2 69.6

(d) Maintenance and repairs 2.3 400.1 402.4

(e) Supplies and materials 2.4 86.6 89.0

(f) Contractual services 50.0 98.0 148.0

(g) Operating costs 283.5 461.6 745.1

(h) Other costs 10.8 249.0 259.8

(i) Capital outlay 161.0 161.0

(j) Out-of-state travel 2.0 2.0

(k) Other financing uses 3.6 3.6

Authorized FTE: 161.75 Permanent; 29.75 Term

The general fund appropriation to the museum division of the office of cultural affairs in the travel

category includes eleven thousand four hundred dollars ($11,400), in the maintenance and repairs category

includes two thousand three hundred dollars ($2,300), in the supplies and materials category includes two

thousand four hundred dollars ($2,400) and in the other costs category includes ten thousand eight

hundred dollars ($10,800) for the lease of a van and other operating costs for the governor's gallery.

The general fund appropriation to the museum division of the office of cultural affairs in the

contractual services category includes fifty thousand dollars ($50,000) to provide equipment, teaching

materials and supplies, instructional assistance and travel for the Hispanic folklore dance workshops at

the annual international ethnomusicology conference in Las Cruces in Dona Ana county.

(4) Office of archaeological studies:

(a) Personal services 1,321.3 1,321.3

(b) Employee benefits 449.8 449.8

(c) Travel 146.5 146.5

(d) Maintenance and repairs 7.0 7.0

(e) Supplies and materials 23.5 23.5

(f) Contractual services 200.0 200.0

(g) Operating costs 27.7 27.7

(h) Other costs 1.6 1.6

(i) Capital outlay 36.0 36.0

(j) Out-of-state travel 1.3 1.3

(k) Other financing uses 1.1 1.1

Authorized FTE: 25.00 Permanent; 18.50 Term; 8.00 Temporary

The internal service funds/interagency transfers appropriations to the office of archaeological studies

of the office of cultural affairs include one million six hundred thousand dollars ($1,600,000) from the

state road fund for archaeological studies relating to highway projects. Any unexpended or unencumbered

balance in the office of archaeological studies remaining at the end of fiscal year 2000 from appropriations made from the state road fund shall revert to the state road fund.

(5) Natural history museum:

(a) Personal services 1,504.1 243.8 27.9 1,775.8

(b) Employee benefits 507.9 101.5 11.2 620.6

(c) Travel 11.2 44.7 55.9

(d) Maintenance and repairs 165.4 165.4

(e) Supplies and materials 104.4 104.4

(f) Contractual services 180.0 180.0

(g) Operating costs 333.3 166.8 500.1

(h) Other costs 33.6 33.6

(i) Capital outlay 21.8 21.8

(j) Out-of-state travel 1.0 1.0

(k) Other financing uses 1.4 1.4

Authorized FTE: 53.50 Permanent; 17.25 Term

(6) Arts division:

(a) Personal services 434.7 133.9 568.6

(b) Employee benefits 148.0 42.8 190.8

(c) Travel 36.9 36.9

(d) Maintenance and repairs 2.9 2.9

(e) Supplies and materials 10.0 10.0

(f) Contractual services 144.0 400.0 55.0 599.0

(g) Operating costs 91.6 91.6

(h) Other costs 889.7 181.3 1,071.0

(i) Out-of-state travel 7.0 7.0

(j) Other financing uses .4 .4

Authorized FTE: 12.50 Permanent; 5.50 Term; 2.00 Temporary

(7) Library division:

(a) Personal services 1,473.3 365.3 1,838.6

(b) Employee benefits 521.6 108.1 629.7

(c) Travel 25.9 76.0 101.9

(d) Maintenance and repairs 45.1 6.5 51.6

(e) Supplies and materials 22.1 10.2 32.3

(f) Contractual services 629.0 43.0 672.0

(g) Operating costs 183.0 188.0 371.0

(h) Other costs 265.0 265.0

(i) Capital outlay 322.9 59.0 39.0 420.9

(j) Out-of-state travel 1.0 2.0 3.0

(k) Other financing uses 1.3 1.3

Authorized FTE: 46.00 Permanent; 19.00 Term

(8) Historic preservation division:

(a) Personal services 386.3 156.7 343.9 886.9

(b) Employee benefits 122.8 48.6 108.4 279.8

(c) Travel 12.3 9.9 22.2

(d) Maintenance and repairs 15.0 8.0 23.0 46.0

(e) Supplies and materials 12.5 4.2 11.3 28.0

(f) Contractual services 149.3 25.5 34.0 208.8

(g) Operating costs 41.6 22.1 63.7

(h) Other costs 180.0 180.0

(i) Capital outlay 1.0 1.0

(j) Out-of-state travel 7.9 1.0 8.9

(k) Other financing uses .5 .5

Authorized FTE: 10.00 Permanent; 16.00 Term

(9) Space center:

(a) Personal services 642.1 116.7 758.8

(b) Employee benefits 226.8 32.7 259.5

(c) Travel 11.4 10.7 22.1

(d) Maintenance and repairs 65.7 74.8 140.5

(e) Supplies and materials 2.1 96.0 98.1

(f) Operating costs 146.9 64.7 211.6

(g) Capital outlay 12.8 12.8

(h) Out-of-state travel 1.0 1.0

(i) Other financing uses .6 .6

Authorized FTE: 24.00 Permanent; 6.50 Term

(10) Farm and ranch heritage museum:

(a) Personal services 620.6 157.6 778.2

(b) Employee benefits 212.5 44.6 257.1

(c) Travel 41.7 41.7

(d) Maintenance and repairs 19.7 92.0 111.7

(e) Supplies and materials 69.0 69.0

(f) Contractual services 170.5 39.4 209.9

(g) Operating costs 253.1 253.1

(h) Other costs .1 .1

(i) Capital outlay 123.0 123.0

(j) Out-of-state travel 3.0 3.0

(k) Other financing uses .6 .6

Authorized FTE: 28.50 Permanent

Unexpended or unencumbered balances in the office of cultural affairs remaining at the end of fiscal year

2000 from appropriations made from the general fund shall not revert.

Subtotal [ 20,090.1] [ 5,125.1] [ 2,215.8][ 2,023.8] 29,454.8

NEW MEXICO LIVESTOCK BOARD:

(a) Personal services 196.5 1,772.4 241.9 2,210.8

(b) Employee benefits 69.9 676.6 89.0 835.5

(c) Travel 16.5 296.0 19.0 331.5

(d) Maintenance and repairs .6 10.3 1.3 12.2

(e) Supplies and materials 3.9 148.6 5.4 157.9

(f) Contractual services 8.8 236.2 18.2 263.2

(g) Operating costs 9.6 296.8 4.2 310.6

(h) Capital outlay 12.7 144.9 29.2 186.8

(i) Out-of-state travel .8 6.1 1.1 8.0

Authorized FTE: 78.00 Permanent

The general fund appropriation to the New Mexico livestock board for its meat inspection program,

including administrative costs, is contingent upon a dollar-for-dollar match of federal funds for that

program.

Subtotal [ 319.3] [ 3,587.9] [ 409.3] 4,316.5

DEPARTMENT OF GAME AND FISH:

(1) Game protection division:

(a) Personal services 6,313.0 2,978.1 9,291.1

(b) Employee benefits 2,307.2 1,104.8 3,412.0

(c) Travel 948.2 520.1 1,468.3

(d) Maintenance and repairs 303.6 166.5 470.1

(e) Supplies and materials 787.2 431.7 1,218.9

(f) Contractual services 1,475.7 809.4 2,285.1

(g) Operating costs 1,585.2 847.6 2,432.8

(h) Other costs 76.1 41.8 117.9

(i) Capital outlay 820.3 396.0 1,216.3

(j) Out-of-state travel 47.3 25.9 73.2

(k) Other financing uses 3.5 350.0 353.5

Authorized FTE: 250.00 Permanent; 10.00 Term; 7.00 Temporary

The internal service funds/interagency transfers appropriations to the game protection division of the

department of game and fish include three hundred twenty thousand dollars ($320,000) in the personal

services and employee benefits categories to add eight wildlife management officers in each district

excluding Santa Fe; three hundred twenty thousand dollars ($320,000) in the personal services and

employee benefits categories to hire and train ten temporary assistance for needy families program

participants as defined in the New Mexico Works Act; and one hundred thousand dollars ($100,000) in the

operating costs category for the administration of Ute dam.

(2) Bighorn sheep auction fund:

(a) Personal services 2.4 2.6 5.0

(b) Travel 43.1 45.2 88.3

(c) Supplies and materials 22.4 23.6 46.0

(d) Contractual services 82.4 86.6 169.0

(e) Operating costs 1.3 1.3 2.6

(f) Out-of-state travel .4 .4 .8

(3) Sikes Act fund:

(a) Personal services 43.9 43.9

(b) Employee benefits 17.0 17.0

(c) Travel 4.7 4.7

(d) Maintenance and repairs .4 .4

(e) Supplies and materials 1.7 1.7

(f) Operating costs 25.4 25.4

(g) Other costs 1,100.0 1,100.0

(h) Capital outlay 27.0 27.0

Authorized FTE: 1.00 Term

(4) Share with wildlife program: 70.0 70.0

(5) Endangered species program:

(a) Personal services 49.2 136.0 185.2

(b) Employee benefits 17.0 47.1 64.1

(c) Travel 8.9 24.6 33.5

(d) Maintenance and repairs 2.5 4.1 6.6

(e) Supplies and materials 3.4 5.6 9.0

(f) Contractual services 73.5 61.5 135.0

(g) Operating costs 20.0 14.7 34.7

(h) Capital outlay 5.8 14.2 20.0

(i) Out-of-state travel .7 2.2 2.9

Authorized FTE: 5.00 Permanent

Subtotal [ 181.0] [ 16,109.4][ 8,141.6] 24,432.0

ENERGY, MINERALS AND NATURAL RESOURCES DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 301.8 75.8 377.6

(b) Employee benefits 116.5 23.6 140.1

(c) Travel 7.2 7.0 14.2

(d) Maintenance and repairs .7 .5 1.2

(e) Supplies and materials 5.4 1.9 7.3

(f) Contractual services 98.3 13.1 111.4

(g) Operating costs 99.6 12.3 111.9

(h) Capital outlay 5.2 6.0 11.2

(i) Out-of-state travel 4.2 9.0 13.2

(j) Other financing uses .2 831.3 831.5

Authorized FTE: 10.00 Permanent

(2) Administrative services division:

(a) Personal services 999.4 73.8 1,073.2

(b) Employee benefits 357.4 21.6 379.0

(c) Travel 6.9 6.9

(d) Maintenance and repairs 12.2 12.2

(e) Supplies and materials 3.9 26.5 30.4

(f) Contractual services 3.5 3.5

(g) Operating costs 134.5 102.8 237.3

(h) Capital outlay 55.0 55.0

(i) Out-of-state travel .9 .9

(j) Other financing uses .6 .6

Authorized FTE: 24.00 Permanent; 3.00 Term

(3) Energy conservation and management division:

(a) Personal services 203.3 29.6 232.9

(b) Employee benefits 71.6 10.0 81.6

(c) Travel 17.0 17.0

(d) Maintenance and repairs 1.6 4.8 6.4

(e) Supplies and materials 14.8 14.8

(f) Contractual services 69.7 525.0 637.7 1,232.4

(g) Operating costs 3.0 81.9 84.9

(h) Other costs .2 110.0 .8 111.0

(i) Capital outlay 3.7 49.9 53.6

(j) Out-of-state travel 16.2 16.2

(k) Other financing uses .2 1,010.0 375.0 150.0 1,535.2

Authorized FTE: 5.00 Permanent; 1.00 Term

(4) Forestry division:

(a) Personal services 1,610.7 58.0 2.0 301.6 1,972.3

(b) Employee benefits 581.4 5.9 .2 90.5 678.0

(c) Travel 71.6 73.0 69.1 213.7

(d) Maintenance and repairs 32.3 6.6 27.3 66.2

(e) Supplies and materials 29.5 27.5 36.1 93.1

(f) Contractual services 9.1 2.0 210.0 221.1

(g) Operating costs 214.6 37.5 166.7 418.8

(h) Other costs 1.3 160.0 23.0 184.3

(i) Capital outlay 70.9 18.0 22.2 111.1

(j) Out-of-state travel 9.9 1.9 6.0 17.8

(k) Other financing uses 3.4 2.1 5.5

Authorized FTE: 47.00 Permanent; 11.00 Term; 2.00 Temporary

(5) Mining and minerals division:

(a) Personal services 202.2 359.1 627.6 1,188.9

(b) Employee benefits 66.2 122.2 218.5 406.9

(c) Travel 5.3 23.4 75.2 103.9

(d) Maintenance and repairs 1.1 1.6 25.9 28.6

(e) Supplies and materials .7 8.7 26.5 35.9

(f) Contractual services 3.7 7.2 1,048.9 1,059.8

(g) Operating costs 15.3 45.2 123.3 183.8

(h) Capital outlay 2.0 4.0 26.5 58.0 90.5

(i) Out-of-state travel 1.4 4.5 13.0 18.9

(j) Other financing uses .1 598.5 .1 .4 599.1

Authorized FTE: 16.00 Permanent; 13.00 Term

(6) Oil conservation division:

(a) Personal services 1,899.4 24.6 46.2 182.2 2,152.4

(b) Employee benefits 682.6 7.4 13.8 53.5 757.3

(c) Travel 70.6 2.7 73.3

(d) Maintenance and repairs 25.7 25.7

(e) Supplies and materials 43.4 4.2 47.6

(f) Contractual services 29.0 538.0 567.0

(g) Operating costs 686.3 .7 687.0

(h) Other costs .3 .7 1.0

(i) Capital outlay 228.8 8.0 35.9 272.7

(j) Out-of-state travel 5.2 2.6 7.8

(k) Other financing uses 1.0 125.2 126.2

Authorized FTE: 60.00 Permanent; 2.00 Term

(7) Youth conservation corps:

(a) Personal services 72.8 72.8

(b) Employee benefits 19.7 19.7

(c) Travel 6.2 6.2

(d) Supplies and materials 6.8 6.8

(e) Contractual services 2,531.8 2,531.8

(f) Operating costs 8.2 8.2

(g) Out-of-state travel 1.2 1.2

(h) Other financing uses .1 .1

Authorized FTE: 2.00 Permanent

The other state funds appropriation to the youth conservation corps of the energy, minerals and natural resources department includes six hundred thirty-two thousand seven hundred dollars ($632,700) from the youth conservation corps fund balances, of which two hundred fifty thousand dollars ($250,000) shall be used for projects within the Rio Grande valley state park.

Subtotal [ 9,171.7] [ 5,229.8] [ 1,670.7][ 5,795.4] 21,867.6

COMMISSIONER OF PUBLIC LANDS:

(a) Personal services 5,185.5 5,185.5

(b) Employee benefits 1,715.9 1,715.9

(c) Travel 102.3 102.3

(d) Maintenance and repairs 120.7 120.7

(e) Supplies and materials 162.2 162.2

(f) Contractual services 579.5 579.5

(g) Operating costs 1,200.5 1,200.5

(h) Other costs 1.5 1.5

(i) Capital outlay 255.3 255.3

(j) Out-of-state travel 53.0 53.0

(k) Other financing uses 563.7 563.7

Authorized FTE: 151.00 Permanent; 4.00 Temporary

Subtotal [ 9,940.1] 9,940.1

STATE ENGINEER:

(1) Administration:

(a) Personal services 5,332.0 249.0 5,581.0

(b) Employee benefits 1,802.4 75.0 1,877.4

(c) Travel 193.3 35.0 228.3

(d) Maintenance and repairs 53.9 53.9

(e) Supplies and materials 79.9 5.0 84.9

(f) Contractual services 1,717.1 214.0 1,931.1

(g) Operating costs 996.4 50.1 1,046.5

(h) Other costs 10.2 10.2

(i) Capital outlay 291.0 430.0 721.0

(j) Out-of-state travel 6.7 6.7

(k) Other financing uses 3.9 3.9

Authorized FTE: 162.00 Permanent; .69 Temporary

The internal service funds/interagency transfers appropriations to the administration of the state

engineer in the contractual services and capital outlay categories include six hundred forty-four

thousand dollars ($644,000) from the irrigation works construction fund.

(2) Legal services division:

(a) Personal services 1,083.6 1,083.6

(b) Employee benefits 339.7 339.7

(c) Travel 38.3 38.3

(d) Maintenance and repairs 3.0 3.0

(e) Supplies and materials 17.4 17.4

(f) Contractual services 505.0 1,702.0 2,207.0

(g) Operating costs 243.5 243.5

(h) Capital outlay 46.0 46.0

(i) Out-of-state travel 7.8 7.8

(j) Other financing uses .4 .4

Authorized FTE: 25.00 Permanent

The general fund appropriation to the legal services division of the state engineer in the contractual

services category includes three hundred eighty thousand dollars ($380,000) to be used for hydrologic and

related investigations and contractual services pertaining to the Pecos stream system, Rio Grande stream

system and the San Juan river basin.

The general fund appropriations to the legal services division of the state engineer in the

personal services, employee benefits, travel, supplies and materials and capital outlay categories include seventy five thousand dollars ($75,000) for establishing one FTE to provide acequia liaison services for facilitating and expediting claims related to adjudication of acequias; one hundred thousand dollars ($100,000) for computerizing adjudication records in the legal services division and for the digitization of acequia maps in the northern Rio Grande tributaries adjudications to be linked through a geographical information system database system; twenty-five thousand ($25,000) for historical research related to treaties and obligations of the United States to successors in interest to land grants for defending provisionally adjudicated acequia rights which may be challenged by federal reserved right claimants during inter se. None of these appropriations may be expended by the state engineer for any other purpose. Any unexpended or unencumbered balance remaining at the end of fiscal year 2000 shall revert to the general fund.

The internal service funds/interagency transfers appropriation to the legal services division of the

state engineer in the contractual services category includes one million seven hundred two thousand

dollars ($1,702,000) from the irrigation works construction fund. This appropriation includes one hundred twenty-five thousand dollars ($125,000) to establish pilot project programs for addressing acequia parciante claims in pending water right adjudications which include responding to errors and ommissions claims made by individual acequia members and to pay the state's share of special master fees incurred by the adjudication court and assessed against the state. None of the appropriations for the pilot project programs may be expended by the state engineer for any other purpose. Any unexpended or unencumbered balance remaining at the end of fiscal year 2000 shall revert to the irrigation works construction fund.

(3) Interstate stream commission:

(a) Personal services 726.4 726.4

(b) Employee benefits 220.6 220.6

(c) Travel 43.8 10.3 54.1

(d) Maintenance and repairs 7.0 7.0

(e) Supplies and materials 8.9 8.9

(f) Contractual services 298.9 32.0 302.9 633.8

(g) Operating costs 235.5 10.4 245.9

(h) Capital outlay 9.6 9.6

(i) Out-of-state travel 17.9 10.3 28.2

(j) Other financing uses .3 .3

Authorized FTE: 18.00 Permanent

The internal service funds/interagency transfers appropriations to the interstate stream commission in

the contractual services category includes three hundred thirty-three thousand nine hundred dollars

($333,900) from the irrigation works construction fund.

(4) Ute dam operation:

(a) Personal services 27.8 27.8

(b) Employee benefits 15.8 15.8

(c) Travel 2.6 2.6

(d) Maintenance and repairs 3.9 3.9

(e) Supplies and materials 1.6 1.6

(f) Contractual services 17.5 17.5

(g) Operating costs 3.5 3.5

(h) Out-of-state travel .3 .3

Authorized FTE: 1.00 Permanent

The internal service funds/interagency transfers appropriations for Ute dam operation include sixty

thousand dollars ($60,000) from the game protection fund and thirteen thousand dollars ($13,000) from the

Ute dam construction fund.

Any unexpended or unencumbered balance remaining at the end of fiscal year 2000 from appropriations

made from the game protection fund shall revert to the game protection fund.

(5) Irrigation works construction fund programs:

(a) Contractual services 203.0 372.0 575.0

(b) Other costs 3,000.0 3,000.0

(c) Other financing uses 2,679.9 2,679.9

The appropriations to irrigation works construction fund programs include:

(a) four hundred thousand dollars ($400,000) to match seventeen and one-half percent of the cost of

work undertaken by the United States army corps of engineers pursuant to the federal Water Resources

Development Act of 1986, provided that no amount of this appropriation shall be expended for any project

unless the appropriate acequia system or community ditch has agreed to provide seven and one-half percent

of the cost;

(b) five hundred fifty thousand dollars ($550,000) for designing and supervision of construction, in

cooperation with the United States Department of Agriculture, and for the construction, improvement,

repair and protection from floods the dams, reservoirs, ditches, flumes and appurtenances of community

ditches in the state, provided that not more than eighty percent of the total cost of any one project

shall be paid from this appropriation and not more than sixty thousand dollars ($60,000) of this

appropriation shall be used for any one community ditch. The state engineer may enter into cooperative

agreements with the owners or commissioners of ditch associations to ensure that the work is done in the

most efficient and economical manner and may contract with the federal government or any of its agencies

or instrumentalities that provide matching funds or assistance; and

(c) such amounts, as determined by the interstate stream commission, in the form of grants for

construction, improvement, repair and protection from floods the dams, reservoirs, ditches, flumes and

appurtenances of community ditches in the state located on Indian land whether pueblo or reservation.

(6) Debt service fund: 270.0 270.0

(7) Income fund: 4,809.0 4,809.0

(8) Improvement of Rio Grande income fund

program: 2,578.0 897.0 3,475.0

None of the money appropriated to the state engineer for operating or trust purposes shall be expended

for primary clearing of vegetation in a phreatophyte removal project, except insofar as is required to

meet the terms of the Pecos river compact between Texas and New Mexico. However, this prohibition shall

not apply to removal of vegetation incidental to the construction, operation or maintenance of works for

flood control or carriage of water or both.

Subtotal [ 14,340.4] [ 8,036.1] [ 9,971.8] 32,348.3

ORGANIC COMMODITY COMMISSION:

(a) Personal services 38.5 27.4 65.9

(b) Employee benefits 18.8 18.8

(c) Travel 1.4 1.4

(d) Supplies and materials 1.9 1.9

(e) Contractual services 6.0 6.0

(f) Operating costs 13.2 13.2

(g) Out-of-state travel .8 .8

(h) Other financing uses .1 .1

Authorized FTE: 2.50 Permanent

Subtotal [ 80.7] [ 27.4] 108.1

TOTAL AGRICULTURE, ENERGY AND

NATURAL RESOURCES 44,183.2 31,946.4 29,967.7 16,370.1 122,467.4

F. HEALTH, HOSPITALS AND HUMAN SERVICES

COMMISSION ON THE STATUS OF WOMEN:

(a) Personal services 196.6 196.6

(b) Employee benefits 85.6 85.6

(c) Travel 28.3 28.3

(d) Maintenance and repairs 2.1 2.1

(e) Supplies and materials 5.3 5.3

(f) Contractual services 2.8 2.8

(g) Operating costs 81.2 81.2

(h) Other costs 700.0 700.0

(i) Capital outlay 1.8 1.8

(j) Out-of-state travel 2.7 2.7

(k) Other financing uses .1 .1

Authorized FTE: 7.00 Permanent

The internal services funds/interagency transfers appropriation to the commission on the status of women

in the other costs category includes seven hundred thousand dollars ($700,000) for a program directed at

workforce development for adult women in accordance with the maintenance-of-effort requirements for the

temporary assistance for needy families block grant program for the state of New Mexico.

Subtotal [ 406.5] [ 700.0] 1,106.5

COMMISSION FOR DEAF AND HARD-OF-HEARING PERSONS:

(a) Personal services 174.3 25.7 33.4 233.4

(b) Employee benefits 55.0 9.6 12.6 77.2

(c) Travel 10.9 8.0 6.0 24.9

(d) Maintenance and repairs 1.9 1.9

(e) Supplies and materials 7.5 20.9 3.5 31.9

(f) Contractual services 17.3 16.0 3.0 36.3

(g) Operating costs 80.6 10.5 4.6 95.7

(h) Capital outlay 6.5 4.5 3.0 14.0

(i) Out-of-state travel 2.9 1.5 4.4

(j) Other financing uses .1 .1 .2

Authorized FTE: 6.00 Permanent; 2.00 Term

Subtotal [ 354.1] [ 98.2][ 67.6] 519.9

MARTIN LUTHER KING, JR. COMMISSION:

(a) Personal services 61.7 61.7

(b) Employee benefits 21.0 21.0

(c) Travel 4.6 4.6

(d) Maintenance and repairs .3 .3

(e) Supplies and materials 3.5 3.5

(f) Contractual services 7.7 7.7

(g) Operating costs 30.9 30.9

(h) Other costs 31.2 31.2

(i) Capital outlay 1.0 1.0

(j) Out-of-state travel 2.2 2.2

(k) Other financing uses .1 .1

Authorized FTE: 2.00 Permanent

Subtotal [ 164.2] 164.2

COMMISSION FOR THE BLIND:

(a) Personal services 400.6 317.1 1,785.1 2,502.8

(b) Employee benefits 137.4 103.7 583.6 824.7

(c) Travel 35.8 16.6 93.6 146.0

(d) Maintenance and repairs 17.3 8.9 50.4 76.6

(e) Supplies and materials 18.8 14.7 82.6 116.1

(f) Contractual services 28.7 23.4 131.4 183.5

(g) Operating costs 97.0 67.6 380.6 545.2

(h) Other costs 672.8 433.3 1,261.8 2,367.9

(i) Capital outlay 59.8 46.7 263.0 369.5

(j) Out-of-state travel 2.4 10.4 12.8

(k) Other financing uses .3 .2 1.2 1.7

Authorized FTE: 101.00 Permanent; 9.00 Term; .60 Temporary

Subtotal [ 1,470.9] [ 1,032.2] [ 4,643.7] 7,146.8

NEW MEXICO OFFICE OF INDIAN AFFAIRS:

(a) Personal services 326.2 96.0 422.2

(b) Employee benefits 100.1 23.7 123.8

(c) Travel 30.9 7.8 38.7

(d) Maintenance and repairs 1.7 .5 2.2

(e) Supplies and materials 7.8 1.9 9.7

(f) Contractual services 25.7 1.0 26.7

(g) Operating costs 33.1 7.6 40.7

(h) Other costs 1,498.0 1,040.8 2,538.8

(i) Capital outlay 4.5 4.5

(j) Out-of-state travel 4.9 2.5 7.4

Authorized FTE: 10.00 Permanent; 4.00 Term

The general fund appropriation to the office of Indian affairs in the other costs category includes five

hundred thousand dollars ($500,000) for a tribal-state community-based education program designed to

improve Indian education; one hundred fifty thousand dollars ($150,000) to initiate and implement a

public policy program to prepare Native American youth for assuming leadership roles in their

communities; and one hundred thousand dollars ($100,000) for funding tribal tourism education programs

for the public or tribal members.

Subtotal [ 2,032.9] [ 1,181.8] 3,214.7

STATE AGENCY ON AGING:

(1) Administration:

(a) Personal services 613.6 48.8 341.8 1,004.2

(b) Employee benefits 215.8 16.5 114.1 346.4

(c) Travel 20.1 23.5 18.9 62.5

(d) Maintenance and repairs 1.2 .8 2.0

(e) Supplies and materials 7.0 5.4 2.8 15.2

(f) Contractual services 17.8 8.0 25.8

(g) Operating costs 45.4 14.9 34.3 94.6

(h) Other costs 22.1 5.5 27.6

(i) Capital outlay 1.5 1.5

(j) Out-of-state travel 1.7 2.0 2.9 6.6

Authorized FTE: 25.50 Permanent

(2) Special programs:

(a) Personal services 144.9 166.6 311.5

(b) Employee benefits 55.6 52.4 108.0

(c) Travel 19.1 6.4 25.5

(d) Supplies and materials 17.2 2.2 19.4

(e) Contractual services 4.9 4.9

(f) Operating costs 46.8 31.0 77.8

(g) Other costs 21.5 69.3 90.8

(h) Out-of-state travel 7.3 7.3

Authorized FTE: 8.00 Permanent; 1.00 Term

(3) Employment programs:

(a) Personal services 15.0 15.0

(b) Employee benefits 4.5 4.5

(c) Travel 4.0 4.0

(d) Supplies and materials .7 .7

(e) Operating costs 3.4 3.4

(f) Other costs 858.9 173.8 388.3 1,421.0

The general fund appropriation to the employment programs of the state agency on aging in the other costs

category includes one hundred thousand dollars ($100,000) to fund fourteen additional older worker

positions to provide employment training for older, low-income individuals.

(4) Community programs:

(a) Other costs 11,999.5 5,264.5 17,264.0

(b) Other financing uses 1,181.8 1,181.8

The general fund appropriations to the community programs of the state agency on aging used to supplement

federal older Americans Act programs shall be contracted to the designated area agencies on aging.

The general fund appropriation to the community programs of the state agency on aging in the other costs category includes one million seven hundred thirty-one thousand eight hundred dollars ($1,731,800) to support senior center services, especially those that help individuals remain at home and avoid institutionalization; ninety-four thousand dollars ($94,000) to expand services for individuals with Alzheimer's disease and related disorders; three thousand two hundred dollars ($3,200) to support senior olympics; eleven thousand eight hundred dollars ($11,800) for legal assistance to older individuals; twenty-nine thousand six hundred dollars ($29,600) to expand mental health peer counseling; twenty-nine thousand six hundred dollars ($29,600) to develop additional respite care to support caregivers; twenty thousand dollars ($20,000) for senior citizen emergency services in Dona Ana county; and ten thousand dollars ($10,000) for operating expenses of the Harding senior center.

(5) Volunteer programs:

(a) Other costs 2,672.9 2,672.9

(b) Other financing uses 220.2 220.2

Any unexpended or unencumbered balance in the state agency on aging remaining at the end of fiscal year

2000 from appropriations made from the general fund shall revert to the general fund sixty days after

fiscal year 2000 audit reports have been approved by the state auditor.

Subtotal [ 18,188.0] [ 286.4][ 6,544.7] 25,019.1

HUMAN SERVICES DEPARTMENT:

(1) Administrative services division:

(a) Personal services 3,227.0 3,385.3 6,612.3

(b) Employee benefits 1,146.1 1,202.4 2,348.5

(c) Travel 37.1 38.9 76.0

(d) Maintenance and repairs 95.2 99.9 195.1

(e) Supplies and materials 53.6 56.2 109.8

(f) Contractual services 177.3 186.0 363.3

(g) Operating costs 650.7 1,104.4 1,841.3 3,596.4

(h) Out-of-state travel 3.9 4.1 8.0

(i) Other financing uses 1.9 1.9 3.8

Authorized FTE: 176.00 Permanent; 15.00 Term

(2) Child support enforcement division:

(a) Personal services 126.3 2,704.3 5,491.0 8,321.6

(b) Employee benefits 63.0 918.4 1,904.3 2,885.7

(c) Travel 2.3 34.7 71.6 108.6

(d) Maintenance and repairs 1.1 23.6 48.0 72.7

(e) Supplies and materials 2.7 40.1 83.0 125.8

(f) Contractual services 500.0 2,023.7 4,566.7 7,090.4

(g) Operating costs 2,631.7 5,434.1 8,065.8

(h) Out-of-state travel 3.2 6.3 9.5

(i) Other financing uses 2.0 3.9 5.9

Authorized FTE: 298.00 Permanent

The general fund appropriation to the child support enforcement division of the human services department in the contractual services category include five hundred thousand dollars ($500,000) for the Navajo Nation child support enforcement program.

(3) Medical assistance division:

(a) Personal services 1,604.7 2,127.2 3,731.9

(b) Employee benefits 491.5 651.5 1,143.0

(c) Travel 23.6 23.6 47.2

(d) Maintenance and repairs .3 .3 .6

(e) Supplies and materials 69.6 69.6 139.2

(f) Contractual services 3,991.1 326.0 472.0 9,179.9 13,969.0

(g) Operating costs 1,332.5 1,332.5 2,665.0

(h) Capital outlay 2.2 2.3 4.5

(i) Out-of-state travel 5.0 5.0 10.0

(j) Other financing uses 4.7 19,152.2 19,156.9

Authorized FTE: 108.00 Permanent

(4) Medicaid payments:

(a) Other costs 206,130.0 4,701.0 58,767.8 772,530.3 1,042,129.1

(b) Other financing uses 8,499.3 26,500.7 35,000.0

The general fund appropriations to the Medicaid payments of the human services department in the other costs category includes four hundred thousand dollars ($400,000) to provide Medicaid health coverage on a sliding scale co-payment system to working disabled individuals who meet supplemental security income eligibility except whose net earned income is less than two hundred fifty percent of federal poverty guidelines; one million five hundred thousand dollars ($1,500,000) to increase dental reimbursement rates to approximate commercial insurance levels; two million eight hundred thousand dollars ($2,800,000) to add the personal care benefit to the Mediciad program; and two hundred one million four hundred thirty thousand dollars ($201,430,000) to provide Medicaid services to eligible persons and families and to fund the Medicaid managed care contracts at the fiscal year 1999 negotiated rate.

(5) Income support division:

(a) Personal services 9,469.1 11,116.0 20,585.1

(b) Employee benefits 3,398.3 3,989.3 7,387.6

(c) Travel 220.6 259.0 479.6

(d) Maintenance and repairs 196.1 230.3 426.4

(e) Supplies and materials 343.6 403.3 746.9

(f) Contractual services 4,472.6 936.1 8,283.0 13,691.7

(g) Operating costs 4,776.6 5,607.4 10,384.0

(h) Capital outlay 48.4 145.1 193.5

(i) Out-of-state travel 2.7 7.3 10.0

(j) Other financing uses 8.0 1,818.8 1,826.8

Authorized FTE: 803.50 Permanent; 19.00 Term; 14.00 Temporary

The general fund appropriation to the income support division of the human services department in the

contractual services category includes two hundred thousand dollars ($200,000) to provide emergency

shelter, meals, transitional housing and stable supportive housing to homeless persons and families

statewide; one million two hundred thousand dollars ($1,200,000) to provide emergency assistance with

rent, mortgage payments, utility bills and food to indigent persons and families statewide; five hundred

thousand dollars ($500,000) to provide a safe water assistance program through regional community action

agencies for indigent and low-income persons statewide; and two hundred thousand dollars ($200,000) to

conduct a longitudinal study of outcomes of the New Mexico Works Act.

(6) Income support programs:

(a) Contractual services 5,000.0 5,000.0

(b) Other costs 13,155.6 646.8 304,232.1 318,034.5

(c) Other financing uses 3,182.5 32,426.8 35,609.3

The federal funds appropriation to the income support programs of the human services department in the

other costs category includes one hundred seven million eight hundred eighty-eight thousand four hundred

dollars ($107,888,400) from the temporary assistance for needy families block grant and the general fund

appropriations to the income support programs of the human services department in the other costs category include five million four hundred twenty-seven thousand six hundred dollars ($5,427,600) to provide cash assistance grants to participants as defined in the New Mexico Works Act, including housing subsidies, clothing allowances, child support pass-throughs, education grants and subsidies, and employment grants and subsidies.

The federal funds appropriation to the income support programs of the human services department in

the other costs category includes two million five hundred thousand dollars ($2,500,000) to create and

implement a transportation subsidy and grant program for participants as defined in the New Mexico Works

Act.

The federal funds appropriation to the income support programs of the human services department in

the other financing uses category includes twenty million fifty thousand eight hundred dollars

($20,050,800) from the temporary assistance for needy families block grant to provide child care to

participants as defined in the New Mexico Works Act.

The federal funds appropriation to the income support programs of the human services department in

the contractual services category includes five million dollars ($5,000,000) from the temporary assistance

for needy families block grant to fund job training and placement programs for participants as defined in

the New Mexico Works Act, contingent upon verification to the legislative finance committee that a

comprehensive plan is in place for use of the funds and performance outcomes will be tracked and reported

to the welfare reform oversight committee.

The federal funds appropriation to the income support programs of the human services department in

the other financing uses category includes five million nine hundred thousand dollars ($5,900,000) from

the temporary assistance for needy families block grant for transfer to the child care development block

grant of which two million nine hundred thousand dollars ($2,900,000) is for child care reimbursement rate increases, contingent upon House Bill 908 or similar legislation of the first session of the forty-fourth legislature, becoming law.

The federal funds appropriation to the income support programs of the human services department in

the other financing uses category includes five million four hundred thousand dollars ($5,400,000) from

the temporary assistance for needy families block grant to work in cooperation with the southern New

Mexico family outreach center to provide nonmedical substance abuse treatment, pre-pregnancy planning,

domestic violence counseling, job training, job readiness, parenting classes, money management classes

and life skills training for participants as defined in the New Mexico Works Act, contingent upon Senate Bill 480 or similar legislation of the first session of the forty-fourth legislature, becoming law.

The general fund appropriation to the income support programs of the human services department in

the other costs category includes two million dollars ($2,000,000) to fund benefits for participants as

defined in the Education Works Act, contingent upon Senate Bill 175 of similar legislation of the first session of the forty-fourth legislature, becoming law.

The general fund appropriation to the income support programs of the human services department in

the other financing uses category includes two million four hundred eighty-two thousand five hundred

dollars ($2,482,500) to work in cooperation with the state department of public education to develop

early childhood development programs for participants as defined in the New Mexico Works Act.

The general fund appropriation to the income support programs of the human services department in

the other financing uses category includes seven hundred thousand dollars ($700,000) to work in

cooperation with the commission on the status of women to operate job placement programs for participants

as defined in the New Mexico Works Act.

The general fund appropriation to the income support programs of the human services department in the other costs category includes five hundred thousand dollars ($500,000) to fund the Navajo Nation temporary assistance for needy families plan, contingent upon approval by the United States Department of Health and Human Services of a Navajo family assistance plan.

Subtotal [ 267,516.8] [ 16,096.0] [ 59,239.8][1,229,518.4] 1,572,371.0

LABOR DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 1,010.9 1,010.9

(b) Employee benefits 291.0 291.0

(c) Travel 47.1 47.1

(d) Maintenance and repairs 13.6 13.6

(e) Supplies and materials 45.4 45.4

(f) Contractual services 9.2 9.2

(g) Operating costs 174.7 174.7

(h) Other costs 19.6 19.6

(i) Capital outlay 16.0 16.0

(j) Out-of-state travel 13.3 13.3

(k) Other financing uses .5 .5

Authorized FTE: 28.00 Permanent; 1.00 Term

(2) Administrative services division:

(a) Personal services 104.7 3,375.3 3,480.0

(b) Employee benefits 8.7 1,157.7 1,166.4

(c) Travel 95.7 95.7

(d) Maintenance and repairs 227.5 227.5

(e) Supplies and materials 232.5 232.5

(f) Contractual services 7.7 1,247.7 1,255.4

(g) Operating costs 904.7 904.7

(h) Other costs 344.0 81.3 425.3

(i) Capital outlay 297.5 297.5

(j) Out-of-state travel 23.7 23.7

(k) Other financing uses 2.3 2.3

Authorized FTE: 100.00 Permanent; 2.00 Term; 15.76 Temporary

(3) Employment security division:

(a) Personal services 11,222.5 11,222.5

(b) Employee benefits 3,832.5 3,832.5

(c) Travel 312.5 312.5

(d) Maintenance and repairs 317.1 317.1

(e) Supplies and materials 428.6 428.6

(f) Contractual services 776.8 776.8

(g) Operating costs 1,664.5 1,664.5

(h) Other costs 8,870.7 8,870.7

(i) Capital outlay 561.8 561.8

(j) Out-of-state travel 78.8 78.8

(k) Other financing uses 8.2 8.2

Authorized FTE: 392.00 Permanent; 23.00 Term; 29.50 Temporary

(4) Job training division:

(a) Personal services 1,183.9 1,183.9

(b) Employee benefits 371.9 371.9

(c) Travel 63.9 63.9

(d) Maintenance and repairs 7.2 7.2

(e) Supplies and materials 14.3 14.3

(f) Contractual services 676.3 53.0 729.3

(g) Operating costs 267.7 267.7

(h) Other costs 13,494.5 13,494.5

(i) Capital outlay 19.4 19.4

(j) Out-of-state travel 11.1 11.1

(k) Other financing uses .7 .7

Authorized FTE: 33.00 Permanent; 4.50 Temporary

(5) Labor and industrial division:

(a) Personal services 155.4 594.3 749.7

(b) Employee benefits 52.6 201.1 253.7

(c) Travel 46.2 46.2

(d) Maintenance and repairs 7.7 7.7

(e) Supplies and materials 12.3 12.3

(f) Contractual services 4.1 4.1

(g) Operating costs 162.5 162.5

(h) Other costs 127.5 127.5

(i) Capital outlay 30.0 30.0

(j) Out-of-state travel .9 .9

(k) Other financing uses .5 .5

Authorized FTE: 23.00 Permanent; 2.70 Temporary

(6) Human rights division:

(a) Personal services 384.4 84.4 468.8

(b) Employee benefits 217.7 51.7 269.4

(c) Travel 28.3 28.3

(d) Maintenance and repairs 3.7 3.7

(e) Supplies and materials 12.6 12.6

(f) Contractual services 9.2 9.2

(g) Operating costs 110.9 110.9

(h) Capital outlay 5.5 5.5

(i) Out-of-state travel 1.3 1.3

(j) Other financing uses .3 .3

Authorized FTE: 16.00 Permanent

Subtotal [ 1,922.4] [ 1,388.0] [ 52,984.9] 56,295.3

WORKERS' COMPENSATION ADMINISTRATION:

(1) Office of the director:

(a) Personal services 320.7 320.7

(b) Employee benefits 105.4 105.4

(c) Travel 20.3 20.3

(d) Supplies and materials 3.4 3.4

(e) Contractual services 97.5 97.5

(f) Operating costs 21.1 21.1

(g) Capital outlay 2.3 2.3

(h) Out-of-state travel 9.0 9.0

(i) Other financing uses .1 .1

Authorized FTE: 8.00 Permanent

(2) Administration division:

(a) Personal services 1,975.1 1,975.1

(b) Employee benefits 704.8 704.8

(c) Travel 93.5 93.5

(d) Maintenance and repairs 162.6 162.6

(e) Supplies and materials 44.9 44.9

(f) Contractual services 158.5 158.5

(g) Operating costs 608.3 608.3

(h) Capital outlay 75.0 75.0

(i) Out-of-state travel 12.1 12.1

(j) Other financing uses 32.1 32.1

Authorized FTE: 60.00 Permanent

(3) Compliance division:

(a) Personal services 1,768.1 1,768.1

(b) Employee benefits 647.3 647.3

(c) Travel 42.1 42.1

(d) Supplies and materials 12.1 12.1

(e) Contractual services 430.0 430.0

(f) Operating costs 31.4 31.4

(g) Capital outlay 20.7 20.7

(h) Out-of-state travel 15.2 15.2

(i) Other financing uses 1.0 1.0

Authorized FTE: 62.00 Permanent

Subtotal [ 7,414.6] 7,414.6

DIVISION OF VOCATIONAL REHABILITATION:

(1) Rehabilitative services unit:

(a) Personal services 933.5 5,122.3 6,055.8

(b) Employee benefits 300.6 1,643.6 1,944.2

(c) Travel 52.9 244.9 297.8

(d) Maintenance and repairs 20.5 91.1 111.6

(e) Supplies and materials 24.9 128.7 153.6

(f) Contractual services 126.0 569.9 695.9

(g) Operating costs 505.7 2,236.1 2,741.8

(h) Other costs 2,537.4 232.7 15.0 8,561.0 11,346.1

(i) Capital outlay 5.6 26.4 32.0

(j) Out-of-state travel 6.0 62.6 68.6

(k) Other financing uses .5 2.5 3.0

Authorized FTE: 184.00 Permanent; 22.00 Term

The division of vocational rehabilitation may apply an indirect cost rate of up to five percent for

administering and monitoring independent living projects.

(2) Disability determination unit:

(a) Personal services 9.4 3,003.0 3,012.4

(b) Employee benefits 3.1 980.1 983.2

(c) Travel 27.2 27.2

(d) Maintenance and repairs 81.7 81.7

(e) Supplies and materials 44.7 44.7

(f) Contractual services 18.5 18.5

(g) Operating costs 879.1 879.1

(h) Other costs 4,127.3 4,127.3

(i) Capital outlay 8.3 8.3

(j) Out-of-state travel 29.8 29.8

(k) Other financing uses 1.8 1.8

Authorized FTE: 97.00 Permanent

Any unexpended or unencumbered balance in the division of vocational rehabilitation remaining at the end

of fiscal year 2000 from appropriations made from the general fund shall not revert.

Subtotal [ 4,513.6] [ 232.7] [ 27.5][ 27,890.6] 32,664.4

GOVERNOR'S COMMITTEE ON CONCERNS OF THE HANDICAPPED:

(a) Personal services 259.4 53.8 313.2

(b) Employee benefits 95.6 21.5 117.1

(c) Travel 6.2 5.4 11.6

(d) Maintenance and repairs 1.8 1.2 3.0

(e) Supplies and materials 4.8 4.4 9.2

(f) Contractual services 19.4 .8 20.2

(g) Operating costs 24.3 9.4 33.7

(h) Other costs .8 .8

(i) Out-of-state travel 3.6 3.6

(j) Other financing uses .1 .1 .2

Authorized FTE: 7.00 Permanent; 2.00 Term

Subtotal [ 416.0] [ 96.6] 512.6

DEVELOPMENTAL DISABILITIES PLANNING COUNCIL:

(a) Personal services 164.5 40.7 205.2

(b) Employee benefits 61.5 21.7 83.2

(c) Travel 12.0 22.5 34.5

(d) Supplies and materials 1.3 1.5 2.8

(e) Contractual services 21.4 25.0 46.4

(f) Operating costs 29.3 12.0 39.5 80.8

(g) Other costs 287.7 287.7

(h) Out-of-state travel 1.5 4.0 5.5

(i) Other financing uses .1 .1

Authorized FTE: 6.00 Permanent; 1.50 Term

Subtotal [ 291.6] [ 12.0][ 442.6] 746.2

MINERS' HOSPITAL:

(a) Personal services 4,522.1 58.0 4,580.1

(b) Employee benefits 1,708.7 19.1 1,727.8

(c) Travel 53.2 1.1 54.3

(d) Maintenance and repairs 361.9 361.9

(e) Supplies and materials 1,410.9 .7 1,411.6

(f) Contractual services 1,629.0 70.0 1,699.0

(g) Operating costs 720.7 2.5 723.2

(h) Other costs 6.0 6.0

(i) Capital outlay 200.6 200.6

(j) Out-of-state travel 8.0 2.5 10.5

(k) Other financing uses 6.1 6.1

Authorized FTE: 187.50 Permanent; 13.50 Term

Subtotal [ 10,627.2] [ 153.9] 10,781.1

DEPARTMENT OF HEALTH:

(1) Office of the secretary:

(a) Personal services 291.4 291.4

(b) Employee benefits 87.3 87.3

(c) Travel 6.3 6.3

(d) Maintenance and repairs .5 .5

(e) Supplies and materials 4.2 4.2

(f) Operating costs 21.6 21.6

(g) Out-of-state travel 4.7 4.7

(h) Other financing uses .1 .1

Authorized FTE: 5.00 Permanent; 1.00 Term

The general fund appropriation of four hundred sixteen thousand one hundred dollars ($416,100) to the

office of the secretary is contingent on the appointment of a full-time secretary dedicated solely to the

department of health.

(2) Administrative services division:

(a) Personal services 2,014.2 123.3 895.8 3,033.3

(b) Employee benefits 675.2 43.8 311.0 1,030.0

(c) Travel 379.3 .8 5.5 385.6

(d) Maintenance and repairs 28.0 2.3 12.1 42.4

(e) Supplies and materials 29.2 3.7 21.9 54.8

(f) Contractual services 161.6 12.0 80.4 254.0

(g) Operating costs 686.4 41.8 282.5 1,010.7

(h) Capital outlay 63.0 1.0 6.0 70.0

(i) Out-of-state travel 2.9 .3 1.0 4.2

(j) Other financing uses 1.5 .3 1.8

Authorized FTE: 92.00 Permanent; 4.00 Term

(3) General counsel:

(a) Personal services 498.5 498.5

(b) Employee benefits 156.2 156.2

(c) Travel 8.5 8.5

(d) Maintenance and repairs 3.0 3.0

(e) Supplies and materials 10.0 10.0

(f) Contractual services 6.7 6.7

(g) Operating costs 47.6 47.6

(h) Capital outlay 8.5 8.5

(i) Out-of-state travel 4.0 4.0

(j) Other financing uses .2 .2

Authorized FTE: 11.00 Permanent

(4) Reproduction services:

(a) Personal services 22.0 22.0

(b) Employee benefits 8.2 8.2

(c) Maintenance and repairs 32.7 32.7

(d) Supplies and materials 77.7 77.7

(e) Operating costs 285.0 285.0

Authorized FTE: 1.00 Permanent

(5) Scientific laboratory division:

(a) Personal services 2,225.5 277.8 960.0 10.2 3,473.5

(b) Employee benefits 772.7 97.2 335.8 3.6 1,209.3

(c) Travel 10.7 1.4 4.9 .1 17.1

(d) Maintenance and repairs 186.5 22.5 78.0 .8 287.8

(e) Supplies and materials 798.4 96.5 333.4 3.6 1,231.9

(f) Contractual services 326.7 41.1 142.1 1.5 511.4

(g) Operating costs 203.9 24.6 85.2 .9 314.6

(h) Other costs 1.9 .2 .9 3.0

(i) Capital outlay 307.5 37.2 128.4 1.4 474.5

(j) Out-of-state travel 9.4 1.3 4.3 15.0

(k) Other financing uses 1.3 .2 .5 2.0

Authorized FTE: 76.00 Permanent; 33.00 Term

(6) Public health division:

(a) Personal services 13,598.0 947.2 888.3 7,891.9 23,325.4

(b) Employee benefits 4,942.5 352.9 317.1 2,724.9 8,337.4

(c) Travel 600.7 42.1 32.7 193.7 869.2

(d) Maintenance and repairs 256.7 6.4 .2 22.0 285.3

(e) Supplies and materials 5,195.4 1,580.7 16.7 1,212.5 8,005.3

(f) Contractual services 23,269.3 513.3 1,662.5 6,595.9 32,041.0

(g) Operating costs 3,085.0 126.4 67.1 801.3 4,079.8

(h) Other costs 8,112.0 4,374.6 3.5 2,394.7 14,884.8

(i) Capital outlay 267.6 20.8 288.4

(j) Out-of-state travel 52.5 4.2 33.5 90.2

(k) Other financing uses 15.0 .2 15.2

Authorized FTE: 434.00 Permanent; 382.50 Term; 1.50 Temporary

The other state funds appropriations to the public health division of the department of health include

one million dollars ($1,000,000) from the department's cash balances as of June 30, 1999.

The general fund appropriation to the public health division of the department of health in the

contractual services category includes five hundred thousand dollars ($500,000) to provide statewide maternal and child health programs.

The general fund appropriation to the public health division of the department of health in the

supplies and materials category includes two hundred fifty thousand dollars ($250,000) to purchase

medication and drugs for the HIV/AIDS program.

The general fund appropriation to the public health division of the department of health in the

contractual services category includes one hundred thousand dollars ($100,000) to support operation of La

Familia medical center in Santa Fe county and one hundred fifty thousand dollars ($150,000) for HIV

culturally competent case management for Native Americans.

(7) Southern New Mexico rehabilitation center:

(a) Personal services 1,650.0 900.0 750.0 3,300.0

(b) Employee benefits 550.0 500.0 50.0 1,100.0

(c) Travel 10.0 10.0 20.0

(d) Maintenance and repairs 65.0 65.0 130.0

(e) Supplies and materials 130.0 140.0 270.0

(f) Contractual services 100.0 163.0 263.0

(g) Operating costs 140.0 120.0 260.0

(h) Other costs 18.0 18.0

(i) Capital outlay 30.0 30.0

(j) Out-of-state travel 5.0 5.0

(k) Other financing uses 2.0 2.0 4.0

Authorized FTE: 101.00 Permanent; 18.00 Term

(8) Women, infants and children food:

(a) Supplies and materials 8,337.6 20,829.4 29,167.0

(9) Women, infants and children program:

(a) Personal services 70.5 229.7 4,236.5 4,536.7

(b) Employee benefits 23.4 76.4 1,408.2 1,508.0

(c) Travel 154.3 154.3

(d) Maintenance and repairs 49.2 49.2

(e) Supplies and materials 181.8 181.8

(f) Contractual services 1,318.3 3,476.9 4,795.2

(g) Operating costs 96.7 616.8 713.5

(h) Capital outlay 241.0 241.0

(i) Out-of-state travel 20.5 20.5

(j) Other financing uses 3.8 3.8

Authorized FTE: 224.00 Term

The general fund appropriation to the women, infants and children program in the department of health in

the contractual services category includes one hundred thousand dollars ($100,000) to provide expansion of

the women, infants and children farmers' market program.

(10) Health improvement division:

(a) Personal services 2,161.5 1,030.8 455.7 3,648.0

(b) Employee benefits 704.8 342.6 151.5 1,198.9

(c) Travel 124.1 61.7 27.3 213.1

(d) Maintenance and repairs 12.9 5.8 2.6 21.3

(e) Supplies and materials 36.2 16.2 7.2 59.6

(f) Contractual services 43.8 20.4 9.0 73.2

(g) Operating costs 240.5 107.7 47.6 395.8

(h) Capital outlay 9.1 4.1 1.8 15.0

(i) Out-of-state travel 13.7 6.8 3.0 23.5

(j) Other financing uses 1.2 .5 .2 1.9

Authorized FTE: 55.00 Permanent; 59.00 Term

(11) Community programs--substance abuse:

(a) Contractual services 7,470.0 5,608.2 13,078.2

(b) Other financing uses 392.4 273.6 666.0

The general fund appropriation to the substance abuse community programs unit of the department of

health in the contractual services category includes fifty thousand dollars ($50,000) to provide youth, family and individual counseling in San Miguel county.

(12) Community programs--mental health:

(a) Contractual services 17,500.4 930.1 18,430.5

(b) Other financing uses 1,486.0 79.9 1,565.9

The general fund appropriation to the mental health community programs unit of the department of health

in the contractual services category includes five hundred thousand dollars ($500,000) to provide

psychiatric care in southern New Mexico.

The general fund appropriation to the mental health community programs unit of the department of

health in the contractual services category includes nine hundred fifty thousand dollars ($950,000) to

provide statewide programs for the mentally ill and to begin development of a mental health insurance

parity project with the general services department.

(13) Community programs--developmental disabilities:

(a) Contractual services 17,594.1 17,594.1

(14) Behavioral health services division:

(a) Personal services 713.3 607.8 1,321.1

(b) Employee benefits 231.6 197.4 429.0

(c) Travel 9.0 8.6 17.6

(d) Maintenance and repairs 2.5 2.2 4.7

(e) Supplies and materials 7.7 6.5 14.2

(f) Contractual services 12.5 11.0 23.5

(g) Operating costs 65.3 55.6 120.9

(h) Out-of-state travel 3.3 3.2 6.5

(i) Other financing uses .3 .3 .6

Authorized FTE: 25.00 Permanent; 9.00 Term

(15) Long-term care and restorative services division:

(a) Personal services 1,705.3 1,389.2 372.1 3,466.6

(b) Employee benefits 638.8 526.6 141.0 1,306.4

(c) Travel 82.2 68.2 18.3 168.7

(d) Maintenance and repairs 5.8 4.3 1.2 11.3

(e) Supplies and materials 27.3 20.4 5.4 53.1

(f) Contractual services 1,059.2 824.4 220.8 2,104.4

(g) Operating costs 272.4 203.5 54.5 530.4

(h) Other costs 86.8 64.8 17.4 169.0

(i) Capital outlay 6.4 4.8 1.3 12.5

(j) Out-of-state travel 4.1 3.5 .9 8.5

(k) Other financing uses 47.1 35.3 9.4 91.8

Authorized FTE: 74.00 Permanent; 32.00 Term

(16) Las Vegas medical center:

(a) Personal services 14,151.1 2,209.8 7,773.5 24,134.4

(b) Employee benefits 5,051.5 627.2 3,635.7 9,314.4

(c) Travel 62.9 12.7 59.4 135.0

(d) Maintenance and repairs 370.2 46.7 129.8 546.7

(e) Supplies and materials 854.6 114.0 364.8 1,333.4

(f) Contractual services 833.9 177.9 720.5 1,732.3

(g) Operating costs 1,206.7 172.4 376.7 1,755.8

(h) Other costs 460.5 44.6 237.0 742.1

(i) Capital outlay 76.3 2.1 78.4

(j) Out-of-state travel 5.7 1.2 6.9

(k) Other financing uses 119.7 25.5 54.3 199.5

Authorized FTE: 940.00 Permanent; 58.00 Term

The general fund appropriation to the Las Vegas medical center of the department of health in the other

costs category includes one hundred fifty thousand dollars ($150,000) to continue the program for a twelve

month dual-diagnosis psychiatric and addictive disorders program.

(17) Adolescent residential treatment facility:

(a) Personal services 2,158.3 1,272.0 3,430.3

(b) Employee benefits 669.8 400.4 1,070.2

(c) Travel 12.4 7.9 20.3

(d) Maintenance and repairs 43.7 24.8 68.5

(e) Supplies and materials 236.8 134.3 371.1

(f) Contractual services 140.9 83.3 224.2

(g) Operating costs 127.3 72.2 199.5

(h) Other costs 10.5 6.0 16.5

(i) Capital outlay 15.1 8.5 23.6

(j) Out-of-state travel 1.7 1.1 2.8

(k) Other financing uses 1.5 .8 2.3

Authorized FTE: 127.00 Permanent

(18) Fort Bayard medical center:

(a) Personal services 1,745.3 912.4 6,012.5 314.9 8,985.1

(b) Employee benefits 715.2 374.9 2,470.5 129.4 3,690.0

(c) Travel 21.5 11.8 77.5 4.1 114.9

(d) Maintenance and repairs 104.0 51.1 336.5 17.6 509.2

(e) Supplies and materials 366.4 180.0 1,186.1 62.1 1,794.6

(f) Contractual services 60.5 31.0 204.0 10.7 306.2

(g) Operating costs 166.8 82.0 540.0 28.3 817.1

(h) Other costs 16.3 7.9 52.6 2.8 79.6

(i) Capital outlay 56.6 27.8 183.1 9.6 277.1

(j) Out-of-state travel .5 .2 1.9 .1 2.7

(k) Other financing uses 2.4 1.2 7.8 .4 11.8

Authorized FTE: 319.00 Permanent; 24.00 Term; 45.50 Temporary

(19) Turquoise lodge:

(a) Personal services 1,244.3 430.9 1,675.2

(b) Employee benefits 459.8 149.6 609.4

(c) Travel 7.6 5.5 13.1

(d) Maintenance and repairs 18.5 11.6 30.1

(e) Supplies and materials 46.9 1.0 23.2 71.1

(f) Contractual services 487.5 1.9 80.0 569.4

(g) Operating costs 64.5 18.5 5.1 88.1

(h) Other costs 1.2 .4 1.6

(i) Capital outlay 19.4 6.3 25.7

(j) Out-of-state travel .8 1.4 2.2

(k) Other financing uses 1.1 1.1

Authorized FTE: 44.00 Permanent; 18.00 Term

(20) Los Lunas community waiver program:

(a) Personal services 1,402.9 364.0 3,440.4 5,207.3

(b) Employee benefits 530.5 139.3 1,316.8 1,986.6

(c) Travel 16.8 4.4 41.7 62.9

(d) Maintenance and repairs 51.4 12.1 114.6 178.1

(e) Supplies and materials 14.7 3.5 32.7 50.9

(f) Contractual services 540.2 132.7 1,254.6 1,927.5

(g) Operating costs 157.0 37.0 350.0 544.0

(h) Other costs 72.1 17.0 160.9 250.0

(i) Capital outlay 10.1 2.4 22.5 35.0

(j) Out-of-state travel 1.3 .3 3.0 4.6

(k) Other financing uses 1.1 .3 2.6 4.0

Authorized FTE: 126.00 Permanent; 105.00 Term

(21) New Mexico veterans' center:

(a) Personal services 884.9 1,206.4 1,258.0 943.9 4,293.2

(b) Employee benefits 354.6 484.5 505.3 379.1 1,723.5

(c) Travel 4.0 5.8 6.1 4.6 20.5

(d) Maintenance and repairs 49.0 64.2 67.0 50.3 230.5

(e) Supplies and materials 147.5 193.3 201.6 151.3 693.7

(f) Contractual services 38.8 53.0 55.2 41.4 188.4

(g) Operating costs 96.8 126.8 132.2 99.2 455.0

(h) Other costs 2.2 2.9 3.1 2.3 10.5

(i) Capital outlay 17.0 22.3 23.3 17.4 80.0

(j) Out-of-state travel .3 .4 .4 .3 1.4

(k) Other financing uses .7 1.0 1.0 .8 3.5

Authorized FTE: 175.00 Permanent; 30.50 Term

(22) Medicaid waivers: 41,104.8 2,000.0 43,104.8

The other state funds appropriation to the department of health for Medicaid waivers includes two million

dollars ($2,000,000) from the department's cash balances as of June 30, 1999.

The general fund appropriation to the Medicaid waivers of the department of health includes an increase of seven million dollars ($7,000,000) for use in the developmentally disabled waiver program, and two million dollars ($2,000,000) for use in the disabled and elderly waiver program.

Subtotal [ 204,137.2] [ 30,823.8] [ 45,698.4][ 66,330.6] 346,990.0

DEPARTMENT OF ENVIRONMENT:

(1) Office of the secretary:

(a) Personal services 267.2 497.8 187.0 952.0

(b) Employee benefits 83.7 156.9 60.5 301.1

(c) Travel 6.0 11.0 4.2 21.2

(d) Maintenance and repairs .4 1.1 .4 1.9

(e) Supplies and materials 2.8 4.9 2.0 9.7

(f) Contractual services 1.6 2.0 .8 4.4

(g) Operating costs 19.6 36.0 13.1 68.7

(h) Capital outlay .3 .3

(i) Out-of-state travel 2.0 3.8 1.5 7.3

(j) Other financing uses .2 .3 .1 .6

Authorized FTE: 17.00 Permanent; 1.50 Term

(2) Administrative services division:

(a) Personal services 538.1 704.7 799.1 2,041.9

(b) Employee benefits 183.2 236.3 270.0 689.5

(c) Travel 4.6 7.6 8.7 20.9

(d) Maintenance and repairs 57.8 77.1 87.4 222.3

(e) Supplies and materials 7.9 13.7 15.5 37.1

(f) Contractual services 18.6 66.3 75.2 160.1

(g) Operating costs 40.8 46.8 53.0 140.6

(h) Capital outlay 59.2 79.2 89.9 228.3

(i) Out-of-state travel 3.4 4.5 5.1 13.0

(j) Other financing uses 17.1 3.9 4.1 25.1

Authorized FTE: 37.00 Permanent; 29.00 Term

(3) Environmental protection division:

(a) Personal services 1,517.8 3,199.6 1,416.7 6,134.1

(b) Employee benefits 500.7 1,024.8 453.5 1,979.0

(c) Travel 49.2 140.7 62.4 252.3

(d) Maintenance and repairs 9.6 24.8 11.1 45.5

(e) Supplies and materials 41.9 111.7 49.5 203.1

(f) Contractual services 36.9 222.6 98.7 358.2

(g) Operating costs 247.1 569.7 252.5 1,069.3

(h) Capital outlay 50.0 198.2 87.9 336.1

(i) Out-of-state travel 13.7 41.6 18.5 73.8

(j) Other financing uses 38.0 184.9 84.2 307.1

Authorized FTE: 69.00 Permanent; 123.00 Term

(4) Field operations division:

(a) Personal services 2,214.9 854.7 757.2 3,826.8

(b) Employee benefits 749.1 278.9 249.3 1,277.3

(c) Travel 97.4 48.7 42.5 188.6

(d) Maintenance and repairs 11.3 6.9 5.9 24.1

(e) Supplies and materials 48.2 27.0 23.5 98.7

(f) Contractual services 793.0 1,626.2 939.3 3,358.5

(g) Operating costs 526.4 211.8 185.0 923.2

(h) Capital outlay 66.6 123.9 92.0 282.5

(i) Out-of-state travel 12.7 13.6 11.8 38.1

(j) Other financing uses 4.5 4.3 3.2 12.0

Authorized FTE: 110.00 Permanent; 22.00 Term

(5) Water and waste management division:

(a) Personal services 1,894.9 642.1 3,088.4 5,625.4

(b) Employee benefits 621.6 205.8 987.6 1,815.0

(c) Travel 94.9 1.6 42.8 203.3 342.6

(d) Maintenance and repairs 12.0 .1 5.2 24.9 42.2

(e) Supplies and materials 71.2 .9 25.6 121.6 219.3

(f) Contractual services 445.2 100.0 429.0 1,131.6 2,105.8

(g) Operating costs 250.8 3.4 98.6 468.7 821.5

(h) Capital outlay 48.7 23.0 109.9 181.6

(i) Out-of-state travel 31.7 15.1 72.0 118.8

(j) Other financing uses 43.6 23.2 93.0 159.8

Authorized FTE: 54.00 Permanent; 114.50 Term

(6) Tire recycling fund:

(a) Other costs 675.0 675.0

(b) Other financing uses 181.8 181.8

(7) Air quality Title V fund: 3,055.4 3,055.4

(8) Responsible party prepay: 318.0 318.0

(9) Hazardous waste fund: 909.4 909.4

(10) Water quality management fund: 106.1 106.1

(11) Water conservation fund: 2,883.4 2,883.4

(12) Air quality permit fund: 893.7 893.7

(13) Radiologic technology fund: 59.6 59.6

(14) Underground storage tank fund: 567.4 567.4

(15) Corrective action fund:

(a) Contractual services 5,000.0 5,000.0

(b) Other costs 12,000.0 12,000.0

(c) Other financing uses 2,375.8 2,375.8

(16) Food service sanitation fund: 496.4 496.4

(17) Miscellaneous revenue: 37.3 37.3

Subtotal [ 11,858.1] [ 29,665.3] [ 12,378.9][ 12,823.3] 66,725.6

OFFICE OF THE NATURAL RESOURCES TRUSTEE:

(a) Personal services 103.3 103.3

(b) Employee benefits 36.2 36.2

(c) Travel 2.1 2.1

(d) Maintenance and repairs .4 .4

(e) Supplies and materials 1.9 1.9

(f) Contractual services 1.1 1.1

(g) Operating costs 7.8 7.8

(h) Other financing uses .1 .1

Authorized FTE: 2.00 Permanent

Subtotal [ 152.9] 152.9

NEW MEXICO HEALTH POLICY COMMISSION: 2,234.6 1.0 2,235.6

Authorized FTE: 15.00 Permanent

NEW MEXICO VETERANS' SERVICE COMMISSION:

(a) Personal services 785.6 44.1 829.7

(b) Employee benefits 299.5 14.4 313.9

(c) Travel 26.4 25.5 12.9 64.8

(d) Maintenance and repairs 12.9 2.0 14.9

(e) Supplies and materials 9.1 2.0 4.7 15.8

(f) Contractual services 208.3 208.3

(g) Operating costs 74.7 3.5 12.6 90.8

(h) Other costs 1.2 1.2

(i) Capital outlay 13.4 6.1 19.5

(j) Out-of-state travel 5.4 2.0 3.0 10.4

(k) Other financing uses .5 .1 .6

Authorized FTE: 30.00 Permanent

Subtotal [ 1,437.0] [ 33.0] [ 99.9] 1,569.9

CHILDREN, YOUTH AND FAMILIES DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 816.9 258.8 1,075.7

(b) Employee benefits 257.2 79.9 337.1

(c) Travel 24.3 7.7 32.0

(d) Maintenance and repairs 4.4 1.4 5.8

(e) Supplies and materials 9.2 2.9 12.1

(f) Operating costs 159.1 46.7 205.8

(g) Out-of-state travel 1.4 .6 2.0

(h) Other financing uses .3 .1 .4

Authorized FTE: 26.00 Permanent

(2) Financial services division:

(a) Personal services 1,259.9 607.5 765.7 2,633.1

(b) Employee benefits 465.3 217.7 274.5 957.5

(c) Travel 21.4 10.2 12.9 44.5

(d) Maintenance and repairs 187.8 64.7 81.5 334.0

(e) Supplies and materials 546.7 53.5 113.5 713.7

(f) Contractual services 70.8 33.9 42.8 147.5

(g) Operating costs 643.2 313.9 468.6 1,425.7

(h) Capital outlay 20.0 20.0

(i) Out-of-state travel .5 .5 .5 1.5

(j) Other financing uses .4 .4 .4 1.2

Authorized FTE: 80.00 Permanent

(3) Juvenile justice division:

(a) Personal services 22,730.9 600.0 530.3 100.0 23,961.2

(b) Employee benefits 7,593.7 191.0 400.0 17.5 8,202.2

(c) Travel 595.8 11.4 2.8 13.5 623.5

(d) Maintenance and repairs 487.1 5.7 492.8

(e) Supplies and materials 1,813.0 28.6 521.0 3.1 2,365.7

(f) Contractual services 5,158.6 51.4 7.5 150.6 5,368.1

(g) Operating costs 2,530.1 28.6 2.3 20.4 2,581.4

(h) Other costs 2,509.9 45.7 920.9 521.8 3,998.3

(i) Capital outlay 144.2 6.0 45.1 195.3

(j) Out-of-state travel 5.0 6.0 11.0

(k) Other financing uses 15.2 15.2

Authorized FTE: 887.00 Permanent; 30.50 Term; 6.00 Temporary

The general fund appropriation to the juvenile justice division of the children, youth and families department in the contractual services category includes seven hundred fifty thousand dollars ($750,000)

for community corrections alternative programs; one hundred fifty thousand dollars ($150,000) for the New

Mexico boys' school social worker team; one hundred thousand dollars ($100,000) for the Tierra Blanca

ranch prevention program; and one hundred fifty thousand dollars ($150,000) for the youth build programs

offering construction, leadership and architectural design training and work experience to high-risk

youth.

(4) Protective services division:

(a) Personal services 11,222.2 4,183.6 11,213.4 26,619.2

(b) Employee benefits 4,071.5 1,631.7 4,050.8 9,754.0

(c) Travel 743.8 234.0 614.2 1,592.0

(d) Maintenance and repairs 52.8 20.2 52.8 125.8

(e) Supplies and materials 78.9 91.9 123.6 294.4

(f) Contractual services 3,881.0 2,686.2 6,567.2

(g) Operating costs 3,111.8 1,206.0 1,947.9 6,265.7

(h) Other costs 10,724.8 1,100.0 1,765.6 8,409.2 21,999.6

(i) Capital outlay 5.0 5.0 10.0

(j) Out-of-state travel 7.0 8.0 15.0

(k) Other financing uses 18.5 91.5 110.0

Authorized FTE: 918.70 Permanent; 7.00 Term; 2.00 Temporary

The general fund appropriation to the protective services division of the children, youth and families

department in the other costs category includes six hundred fifty thousand dollars ($650,000) for

domestic violence programs; eighty-three thousand dollars ($83,000) for domestic violence shelters; three

hundred thousand dollars ($300,000) for adult protective services; four hundred thousand dollars

($400,000) for foster care for abused and neglected children; and fifty thousand dollars ($50,000) to

support administration and operation of Esperanza battered women's shelter.

The general fund appropriation to the protective services division of the children, youth and

families department is contingent upon the department completing a comprehensive report on the status of

the adult protective services program. The report should include a detail of funding and programmatic

needs to address the program deficiencies.

(5) Preventive/intervention division:

(a) Personal services 3,167.5 195.0 1,972.7 5,335.2

(b) Employee benefits 1,054.3 50.0 732.3 1,836.6

(c) Travel 18.0 189.6 207.6

(d) Maintenance and repairs 9.2 23.8 33.0

(e) Supplies and materials 81.1 156.6 237.7

(f) Contractual services 3,359.3 211.0 131.0 1,845.7 5,547.0

(g) Operating costs 268.3 188.3 290.0 668.2 1,414.8

(h) Other costs 22,401.6 601.2 25,284.3 69,547.2 117,834.3

(i) Out-of-state travel 40.0 40.0

(j) Other financing uses .8 .5 1.5 2.8

Authorized FTE: 142.75 Permanent; 35.50 Term

The internal service funds/interagency transfers appropriation to the prevention/intervention division of the children, youth and families department in the other costs category includes five million nine hundred thousand dollars ($5,900,000) to be used for child care, including two million nine hundred thousand dollars ($2,900,000) for child care increases to be applied in those areas of the state that reflect the greatest disparity from the market rate in those areas, contingent upon House Bill 908 or similar legislation of the first session of the forty-fourth legislature, becoming law.

The general fund appropriation to the preventive/intervention division of the children, youth and

families department in the other costs category includes three hundred thousand dollars ($300,000) for early childhood programs - rural priorities.

The general fund appropriation to the preventive/intervention division of the children, youth and

families department in the other costs category includes two hundred thousand dollars ($200,000) to

support administration and operation of boys' and girls' clubs in Santa Fe county.

(6) Human resources division:

(a) Personal services 722.5 200.0 922.5

(b) Employee benefits 174.6 114.6 289.2

(c) Travel 22.2 7.8 30.0

(d) Maintenance and repairs 3.7 1.3 5.0

(e) Supplies and materials 20.7 7.3 28.0

(f) Operating costs 192.0 65.9 257.9

(g) Capital outlay .7 .3 1.0

(h) Out-of-state travel .3 .1 .4

Authorized FTE: 27.00 Permanent

Subtotal [ 113,481.4] [ 3,073.9] [ 39,611.4][ 106,973.5] 263,140.2

TOTAL HEALTH, HOSPITALS AND

HUMAN SERVICES 630,578.2 100,387.7 159,331.0 1,508,473.7 2,398,770.6

G. PUBLIC SAFETY

DEPARTMENT OF MILITARY AFFAIRS:

(a) Personal services 965.9 679.5 1,645.4

(b) Employee benefits 378.3 260.7 639.0

(c) Travel 60.4 8.8 69.2

(d) Maintenance and repairs 461.8 52.3 640.7 1,154.8

(e) Supplies and materials 23.6 16.9 40.5

(f) Contractual services 13.9 630.0 643.9

(g) Operating costs 1,426.7 690.9 2,117.6

(h) Other costs 9.1 2.0 11.1

(i) Capital outlay 2.0 212.9 214.9

(j) Out-of-state travel 5.5 29.4 34.9

(k) Other financing uses .6 .2 .8

Authorized FTE: 30.00 Permanent; 37.00 Term

The general fund appropriation to the department of military affairs in the operating costs category includes three hundred thousand dollars ($300,000) for tuition scholarships to New Mexico resident students who are active members of the New Mexico army national guard or the New Mexico air national guard.

Subtotal [ 3,347.8] [ 52.3] [ 3,172.0] 6,572.1

PAROLE BOARD:

(a) Personal services 150.7 150.7

(b) Employee benefits 80.1 80.1

(c) Travel 61.4 61.4

(d) Maintenance and repairs 1.6 1.6

(e) Supplies and materials 4.1 4.1

(f) Contractual services 4.7 4.7

(g) Operating costs 22.1 22.1

(h) Out-of-state travel 1.8 1.8

(i) Other financing uses .2 .2

Authorized FTE: 5.00 Permanent

Subtotal [ 326.7] 326.7

JUVENILE PAROLE BOARD:

(a) Personal services 185.3 185.3

(b) Employee benefits 66.3 66.3

(c) Travel 19.2 19.2

(d) Maintenance and repairs 4.5 4.5

(e) Supplies and materials 7.0 7.0

(f) Contractual services 3.6 3.6

(g) Operating costs 18.7 18.7

(h) Other financing uses .2 .2

Authorized FTE: 6.00 Permanent

Subtotal [ 304.8] 304.8

CORRECTIONS DEPARTMENT:

(1) Administrative services division:

(a) Personal services 2,447.2 131.6 2,578.8

(b) Employee benefits 795.8 39.0 834.8

(c) Travel 82.6 3.0 85.6

(d) Maintenance and repairs 158.1 158.1

(e) Supplies and materials 28.3 1.8 30.1

(f) Contractual services 144.6 144.6

(g) Operating costs 630.7 1,206.5 11.3 1,848.5

(h) Capital outlay 7.2 7.2

(i) Out-of-state travel 4.7 4.7

(j) Other financing uses 1.3 1.3

Authorized FTE: 70.00 Permanent

The other state funds appropriation to the administrative services division of the corrections department

is appropriated to the corrections department building fund.

(2) Training academy division:

(a) Personal services 1,091.4 1,091.4

(b) Employee benefits 369.4 369.4

(c) Travel 27.3 27.3

(d) Maintenance and repairs 48.9 48.9

(e) Supplies and materials 104.5 104.5

(f) Contractual services 33.7 33.7

(g) Operating costs 181.1 181.1

(h) Out-of-state travel 1.8 1.8

(i) Other financing uses .3 .3

Authorized FTE: 18.00 Permanent

(3) Probation and parole:

(a) Personal services 6,900.5 1,153.0 8,053.5

(b) Employee benefits 2,439.9 494.0 2,933.9

(c) Travel 356.3 356.3

(d) Maintenance and repairs 33.3 33.3

(e) Supplies and materials 119.7 119.7

(f) Contractual services 44.6 44.6

(g) Operating costs 1,722.4 1,722.4

(h) Other costs 1,912.0 1,912.0

(i) Capital outlay 150.2 150.2

(j) Out-of-state travel 1.7 1.7

(k) Other financing uses 5.1 5.1

Authorized FTE: 276.00 Permanent

(4) Department community corrections:

(a) Personal services 885.9 885.9

(b) Employee benefits 289.4 289.4

(c) Travel 34.2 34.2

(d) Maintenance and repairs .9 .9

(e) Supplies and materials 5.2 5.2

(f) Operating costs 23.1 23.1

(g) Other costs 59.0 59.0

(h) Other financing uses .6 .6

Authorized FTE: 30.00 Permanent

(5) Vendor community corrections:

(a) Travel 7.8 7.8

(b) Supplies and materials 15.8 15.8

(c) Contractual services 204.1 204.1

(d) Other costs 2,242.3 557.4 2,799.7

(e) Capital outlay 27.4 27.4

(f) Out-of-state travel 2.3 2.3

The appropriations for vendor operated community corrections programs are appropriated to the community

corrections grant fund.

(6) Adult institutions division director:

(a) Personal services 1,634.7 1,634.7

(b) Employee benefits 597.0 597.0

(c) Travel 91.5 91.5

(d) Maintenance and repairs 81.7 81.7

(e) Supplies and materials 414.4 414.4

(f) Contractual services 201.1 201.1

(g) Operating costs 297.6 297.6

(h) Other costs 28,387.6 59.4 1,500.0 29,947.0

(i) Capital outlay 14.3 14.3

(j) Out-of-state travel 1.8 1.8

(k) Other financing uses 1.1 1.1

Authorized FTE: 55.00 Permanent

The general fund appropriation to the adult institutions division director in the other costs category includes twenty-eight million three hundred seventy-two thousand nine hundred dollars ($28,372,900) to be used only for housing inmates in privately operated facilities.

Transfers to the other costs category within the adult institutions division are prohibited.

(7) Roswell correctional center:

(a) Personal services 1,443.5 79.3 1,522.8

(b) Employee benefits 558.3 44.7 603.0

(c) Travel 116.6 116.6

(d) Maintenance and repairs 158.5 158.5

(e) Supplies and materials 803.2 40.0 843.2

(f) Contractual services 1.6 1.6

(g) Operating costs 188.1 188.1

(h) Other costs 195.5 97.6 293.1

(i) Capital outlay 142.0 142.0

(j) Out-of-state travel 1.8 1.8

(k) Other financing uses 1.1 1.1

Authorized FTE: 59.00 Permanent; 2.00 Term

(8) Central New Mexico correctional facility--main:

(a) Personal services 9,307.3 167.0 9,474.3

(b) Employee benefits 3,829.7 10.0 3,839.7

(c) Travel 168.0 168.0

(d) Maintenance and repairs 453.4 10.0 463.4

(e) Supplies and materials 2,112.5 1.1 2,113.6

(f) Contractual services 43.1 43.1

(g) Operating costs 1,179.8 30.0 1,209.8

(h) Other costs 168.6 200.4 369.0

(i) Capital outlay 237.4 237.4

(j) Out-of-state travel 2.1 2.1

(k) Other financing uses 7.0 7.0

Authorized FTE: 376.00 Permanent

(9) Central New Mexico correctional facility--minimum:

(a) Personal services 1,635.8 1,635.8

(b) Employee benefits 579.0 97.8 2.1 678.9

(c) Travel 64.4 64.4

(d) Maintenance and repairs 142.1 142.1

(e) Supplies and materials 676.1 .1 676.2

(f) Contractual services .3 .3

(g) Operating costs 202.9 202.9

(h) Other costs 166.4 126.4 292.8

(i) Capital outlay 57.1 57.1

(j) Out-of-state travel 1.8 1.8

(k) Other financing uses 1.2 1.2

Authorized FTE: 62.00 Permanent; 1.00 Term

(10) Southern New Mexico correctional facility:

(a) Personal services 8,183.7 71.9 8,255.6

(b) Employee benefits 3,320.4 59.3 3,379.7

(c) Travel 85.2 85.2

(d) Maintenance and repairs 353.2 10.0 363.2

(e) Supplies and materials 1,789.5 .5 1,790.0

(f) Contractual services 46.7 46.7

(g) Operating costs 1,064.0 20.0 1,084.0

(h) Other costs 159.6 312.0 471.6

(i) Capital outlay 43.5 43.5

(j) Out-of-state travel 2.2 2.2

(k) Other financing uses 6.3 6.3

Authorized FTE: 333.00 Permanent; 3.00 Term

(11) Western New Mexico correctional facility:

(a) Personal services 4,481.8 105.2 4,587.0

(b) Employee benefits 1,982.5 5.5 1,988.0

(c) Travel 158.2 158.2

(d) Maintenance and repairs 220.1 220.1

(e) Supplies and materials 989.2 .3 989.5

(f) Contractual services 38.9 38.9

(g) Operating costs 755.7 755.7

(h) Other costs 105.8 150.6 256.4

(i) Capital outlay 55.4 55.4

(j) Out-of-state travel 4.9 4.9

(k) Other financing uses 3.2 3.2

Authorized FTE: 175.00 Permanent

(12) Penitentiary of New Mexico:

(a) Personal services 13,323.9 1,853.0 15,176.9

(b) Employee benefits 5,285.4 1,000.0 6,285.4

(c) Travel 128.3 128.3

(d) Maintenance and repairs 398.0 200.0 598.0

(e) Supplies and materials 1,096.1 1,004.7 2,100.8

(f) Contractual services 60.6 60.6

(g) Operating costs 741.6 1,000.0 1,741.6

(h) Other costs 285.3 184.3 469.6

(i) Capital outlay 100.4 100.4

(j) Out-of-state travel 3.4 3.4

(k) Other financing uses 10.0 10.0

Authorized FTE: 537.00 Permanent; 8.00 Term

(13) Adult health services:

(a) Personal services 2,895.4 170.4 3,065.8

(b) Employee benefits 947.0 47.3 994.3

(c) Travel 37.4 3.0 40.4

(d) Maintenance and repairs 2.2 2.2

(e) Supplies and materials 141.8 12.0 153.8

(f) Contractual services 17,828.3 17,828.3

(g) Operating costs 61.7 7.2 68.9

(h) Capital outlay 46.4 46.4

(i) Out-of-state travel 2.0 1.0 3.0

(j) Other financing uses 1.7 1.7

Authorized FTE: 85.75 Permanent; 5.00 Term

The appropriations to adult health services include sufficient funding for the United States District

Court special expert in substance abuse treatment.

(14) Adult education:

(a) Personal services 3,731.5 3,731.5

(b) Employee benefits 882.8 882.8

(c) Travel 21.9 21.9

(d) Maintenance and repairs 10.3 10.3

(e) Supplies and materials 235.9 235.9

(f) Contractual services 232.0 232.0

(g) Operating costs 83.0 83.0

(h) Other costs 1.6 1.6

(i) Capital outlay 9.3 9.3

(j) Other financing uses 1.9 1.9

Authorized FTE: 105.50 Permanent; 1.00 Term

(15) Corrections industries:

(a) Personal services 1,286.7 1,286.7

(b) Employee benefits 486.4 486.4

(c) Travel 90.3 90.3

(d) Maintenance and repairs 84.4 84.4

(e) Supplies and materials 84.4 84.4

(f) Contractual services 51.5 51.5

(g) Operating costs 87.4 87.4

(h) Other costs 2,454.5 2,454.5

(i) Capital outlay 20.0 94.5 114.5

(j) Out-of-state travel 7.5 7.5

(k) Other financing uses .8 .8

Authorized FTE: 37.00 Permanent; 4.00 Term

Subtotal [ 152,468.7] [ 10,372.0] [ 5,158.1][ 1,500.0] 169,498.8

CRIME VICTIMS REPARATION COMMISSION:

(a) Personal services 339.4 38.8 87.0 465.2

(b) Employee benefits 119.4 15.2 27.8 162.4

(c) Travel 15.3 1.3 5.0 21.6

(d) Maintenance and repairs 2.2 2.2

(e) Supplies and materials 5.9 3.0 10.0 18.9

(f) Contractual services 196.1 15.0 211.1

(g) Operating costs 62.0 1.9 29.4 93.3

(h) Other costs 652.7 114.8 375.0 3,211.8 4,354.3

(i) Capital outlay 13.0 13.0

(j) Out-of-state travel 15.0 15.0

(k) Other financing uses .3 .3

Authorized FTE: 12.00 Permanent; 4.00 Term

Subtotal [ 1,393.3] [ 175.0] [ 375.0][ 3,414.0] 5,357.3

DEPARTMENT OF PUBLIC SAFETY:

(1) Administrative services division:

(a) Personal services 1,864.0 60.2 19.7 295.9 2,239.8

(b) Employee benefits 654.6 19.0 .8 92.3 766.7

(c) Travel 29.6 35.6 65.2

(d) Maintenance and repairs 742.2 9.3 3.0 754.5

(e) Supplies and materials 95.4 1.2 17.8 114.4

(f) Contractual services 273.3 45.0 318.3

(g) Operating costs 3,518.4 653.6 11.1 38.2 4,221.3

(h) Other costs .6 4,494.0 4,494.6

(i) Capital outlay 15.0 15.0

(j) Out-of-state travel 8.5 5.5 16.0 30.0

(k) Other financing uses 1.7 1,033.4 1,035.1

Authorized FTE: 65.00 Permanent; 8.00 Term

The general fund appropriation to the administrative services division of the department of public safety in the contractual services category includes one hundred thousand dollars ($100,000) to conduct a facility master plan.

The general fund appropriation to the administrative services division of the department of public

safety in the operating costs category includes three hundred thousand dollars ($300,000) for radio telecommunication charges.

(2) Special investigations division:

(a) Personal services 1,106.8 10.0 62.9 1,179.7

(b) Employee benefits 421.2 20.5 441.7

(c) Travel 104.9 1.2 106.1

(d) Maintenance and repairs 2.6 2.6

(e) Supplies and materials 21.2 21.2

(f) Contractual services .4 .4

(g) Operating costs 31.7 2.6 34.3

(h) Other costs 11.2 11.2

(i) Capital outlay 6.2 6.2

(j) Out-of-state travel 10.0 3.2 13.2

(k) Other financing uses .7 .7

Authorized FTE: 33.00 Permanent; 2.00 Term

(3) Training and recruiting division:

(a) Personal services 669.5 21.5 691.0

(b) Employee benefits 216.2 7.1 223.3

(c) Travel 45.0 45.0

(d) Maintenance and repairs 8.2 8.2

(e) Supplies and materials 93.3 93.3

(f) Contractual services 227.6 228.9 456.5

(g) Operating costs 55.9 55.9

(h) Other costs 10.3 10.3

(i) Capital outlay 24.8 24.8

(j) Out-of-state travel 14.9 14.9

(k) Other financing uses .4 .4

Authorized FTE: 19.00 Permanent; 1.00 Term

(4) State police division:

(a) Personal services 24,293.5 280.0 438.8 352.8 25,365.1

(b) Employee benefits 9,276.4 12.4 9,288.8

(c) Travel 3,013.5 101.0 92.4 58.2 3,265.1

(d) Maintenance and repairs 320.1 320.1

(e) Supplies and materials 1,096.4 7.6 10.0 1,114.0

(f) Contractual services 431.6 20.0 1.2 452.8

(g) Operating costs 768.0 6.4 75.7 850.1

(h) Other costs 49.9 175.0 100.0 324.9

(i) Capital outlay 1,460.0 203.0 101.4 29.2 1,793.6

(j) Out-of-state travel 35.9 6.7 28.5 71.1

(k) Other financing uses 12.5 12.5

Authorized FTE: 672.00 Permanent; 1.00 Term

The general fund appropriations to the state police division of the department of public safety include

three hundred thousand dollars ($300,000) to establish the northern New Mexico narcotic district force in

state police districts one and seven comprised of one experienced sergeant and four experienced agents.

(5) Technical and emergency support division:

(a) Personal services 2,171.4 147.8 88.5 752.2 3,159.9

(b) Employee benefits 789.1 16.9 17.9 215.7 1,039.6

(c) Travel 72.3 2.0 30.7 26.1 131.1

(d) Maintenance and repairs 19.2 .3 1.2 15.7 36.4

(e) Supplies and materials 53.5 71.6 15.2 11.3 151.6

(f) Contractual services 7.8 16.0 23.7 47.5

(g) Operating costs 129.8 10.5 53.1 43.3 236.7

(h) Other costs 30.3 17.7 130.0 178.0

(i) Capital outlay 59.0 10.1 3.6 72.7

(j) Out-of-state travel 34.1 .9 16.5 13.6 65.1

(k) Other financing uses 1.8 1.8

Authorized FTE: 63.00 Permanent; 32.00 Term

(6) Motor transportation division:

(a) Personal services 1,827.4 3,430.9 698.3 5,956.6

(b) Employee benefits 832.0 1,140.2 204.4 2,176.6

(c) Travel 40.7 218.6 121.3 380.6

(d) Maintenance and repairs 86.5 96.6 6.0 189.1

(e) Supplies and materials 103.6 79.1 40.0 222.7

(f) Contractual services 25.8 50.0 75.8

(g) Operating costs 303.5 287.5 38.8 629.8

(h) Other costs 2.5 1.8 4.3

(i) Capital outlay 241.1 210.4 451.5

(j) Out-of-state travel 2.9 2.0 28.3 33.2

(k) Other financing uses 3.9 3.9

Authorized FTE: 182.00 Permanent; 25.00 Term

The internal service funds/interagency transfers appropriations to the motor transportation division of

the department of public safety include five million one hundred forty-five thousand four hundred dollars

($5,145,400) from the state road fund. Any unexpended or unencumbered balance in the department of

public safety remaining at the end of fiscal year 2000 from appropriations made from the state road fund

shall revert to the state road fund.

Subtotal [ 57,867.3] [ 2,045.3] [ 6,219.1][ 9,466.7] 75,598.4

TOTAL PUBLIC SAFETY 215,708.6 12,644.6 11,752.2 17,552.7 257,658.1

H. TRANSPORTATION

STATE HIGHWAY AND TRANSPORTATION DEPARTMENT:

(1) Office of the secretary:

(a) Personal services 2,095.6 144.2 2,239.8

(b) Employee benefits 648.4 46.9 695.3

(c) Travel 61.9 16.5 78.4

(d) Maintenance and repairs 7.8 7.8

(e) Supplies and materials 121.1 6.0 127.1

(f) Contractual services 554.5 21.5 576.0

(g) Operating costs 224.7 17.5 242.2

(h) Other costs 931.9 931.9

(i) Capital outlay 34.5 34.5

(j) Out-of-state travel 28.8 10.0 38.8

Authorized FTE: 62.00 Permanent

The other state funds appropriations to the office of the secretary of the state highway and

transportation department include one hundred thirty-three thousand two hundred dollars ($133,200) to

afford state highway and transportation department employees the option of choosing an external advocate

or external investigator in the discrimination complaint procedure.

(2) Administrative division:

(a) Personal services 4,521.3 4,521.3

(b) Employee benefits 4,403.5 4,403.5

(c) Travel 270.8 270.8

(d) Maintenance and repairs 1,797.2 1,797.2

(e) Supplies and materials 206.4 206.4

(f) Contractual services 1,670.9 1,670.9

(g) Operating costs 3,919.3 3,919.3

(h) Other costs 891.0 891.0

(i) Capital outlay 662.0 662.0

(j) Out-of-state travel 15.6 15.6

(k) Other financing uses 6,791.3 6,791.3

Authorized FTE: 135.00 Permanent

(3) Engineering design division:

(a) Personal services 7,805.0 3,014.6 10,819.6

(b) Employee benefits 2,328.9 1,014.2 3,343.1

(c) Travel 514.1 514.1

(d) Maintenance and repairs 434.1 434.1

(e) Supplies and materials 266.3 266.3

(f) Contractual services 827.5 827.5

(g) Operating costs 393.8 393.8

(h) Capital outlay 343.3 343.3

(i) Out-of-state travel 18.0 18.0

Authorized FTE: 286.00 Permanent; 8.00 Term; 1.00 Temporary

(4) Field operations division:

(a) Personal services 41,615.9 7,398.8 49,014.7

(b) Employee benefits 14,889.9 2,787.5 17,677.4

(c) Travel 9,973.6 429.4 10,403.0

(d) Maintenance and repairs 2,394.4 2,394.4

(e) Supplies and materials 1,229.3 1,229.3

(f) Contractual services 604.4 604.4

(g) Operating costs 4,867.7 4,867.7

(h) Capital outlay 9,761.5 9,761.5

(i) Out-of-state travel 17.4 17.4

Authorized FTE: 1,808.00 Permanent; 62.50 Temporary

The state highway and transportation department shall use a portion of the capital outlay appropriation

to the field operations division to revitalize the historical marker program and to renovate or replace

at least one hundred fifty historical markers in fiscal year 2000.

(5) Road betterment division:

(a) National program 4,670.9 25,407.1 30,078.0

(b) Surface transportation program 15,228.9 87,362.8 102,591.7

(c) Interstate 2,923.3 36,794.9 39,718.2

(d) Other federal highway administration 1,859.2 6,753.3 8,612.5

(e) Waste isolation pilot project

bonds--bond expense 274.0 274.0

(f) Waste isolation pilot project

bonds--principal 6,005.0 6,005.0

(g) Waste isolation pilot project

bonds--interest 13,721.0 13,721.0

(h) Rubberized asphalt 413.5 413.5

(i) Debt service--principal 5,230.0 5,230.0

(j) Debt service--interest 964.6 964.6

(k) Utilities 400.0 600.0 1,000.0

(l) Right-of-way condemnation

settlements 1,300.0 1,300.0

(m) Appraisal 500.0 500.0

(n) Title search 100.0 100.0

(o) Right-of-way acquisition 2,606.7 3,993.3 6,600.0

(p) Consultant design 400.0 9,600.0 10,000.0

(q) Construction management 3,000.0 3,000.0

(r) Bridge inspection 420.0 420.0

(s) Testing and inspection 400.0 400.0

(t) Rest area improvements 1,140.5 1,140.5

(u) Contract maintenance--district one 5,000.0 5,000.0

(v) Contract maintenance--district two 5,000.0 5,000.0

(w) Contract maintenance--district three 5,000.0 5,000.0

(x) Contract maintenance--district four 5,020.0 5,020.0

(y) Contract maintenance--district five 5,000.0 5,000.0

(z) Contract maintenance--district six 5,000.0 5,000.0

(aa) Underground storage tank

remediation 600.0 600.0

(bb) Road side environmental 50.0 50.0

(cc) Striping/signing 8,500.0 8,500.0

(dd) Field supplies--district one 4,187.7 4,187.7

(ee) Field supplies--district two 5,035.9 5,035.9

(ff) Field supplies--district three 1,938.4 1,938.4

(gg) Field supplies--district four 5,370.7 5,370.7

(hh) Field supplies--district five 4,839.2 4,839.2

(ii) Field supplies--district six 4,647.2 4,647.2

(jj) Field supplies--traffic services 380.9 380.9

(kk) Municipal arterial (other) 5,026.4 5,026.4

(ll) Cooperative program 7,118.9 7,118.9

(mm) School bus routes 2,712.0 2,712.0

(nn) County arterial 4,407.0 4,407.0

(oo) Local government road fund

road equipment 500.0 500.0

(pp) Rubberized asphalt/local 413.5 413.5

(qq) Rest area maintenance 1,000.0 1,000.0

(rr) High priority program 3,588.8 14,355.2 17,944.0

(ss) Major projects 18,355.5 18,355.5

(tt) State infrastructure bank 6,593.0 407.0 7,000.0

(uu) One hundred percent state road

program 34,109.4 34,109.4

(vv) Legal consultant services 200.0 200.0

(ww) Debt service--major investment

projects 38,007.3 38,007.3

(xx) Highway infrastructure--

planning, design, right-of-way

acquisition and construction of

United States 666 from Gallup to

Shiprock, United States 70 from

Ruidoso to Roswell, southwest loop

in Albuquerque and Silver City bypass 11,812.8 11,812.8

(6) Aviation division:

(a) Personal services 257.1 257.1

(b) Employee benefits 76.0 76.0

(c) Travel 12.0 10.0 22.0

(d) Maintenance and repairs 57.0 57.0

(e) Supplies and materials 17.2 17.2

(f) Contractual services 38.5 135.0 173.5

(g) Operating costs 79.6 79.6

(h) Other costs 1,300.0 1,300.0

(i) Capital outlay 6.0 6.0

(j) Out-of-state travel 7.0 7.0

Authorized FTE: 7.00 Permanent

(7) Transportation programs division:

(a) Personal services 539.6 328.2 867.8

(b) Employee benefits 222.0 50.9 272.9

(c) Travel 17.9 19.0 36.9

(d) Maintenance and repairs 19.0 .5 19.5

(e) Supplies and materials 121.5 61.2 182.7

(f) Contractual services 888.3 850.0 1,738.3

(g) Operating costs 205.6 36.1 241.7

(h) Other costs 2,053.4 3,346.5 5,399.9

(i) Capital outlay 3.1 28.8 31.9

(j) Out-of-state travel 29.4 29.4

Authorized FTE: 19.00 Permanent; 5.00 Term

(8) Transportation planning division:

(a) Personal services 707.1 2,419.0 3,126.1

(b) Employee benefits 253.2 714.9 968.1

(c) Travel 46.6 129.9 176.5

(d) Maintenance and repairs 51.4 185.7 237.1

(e) Supplies and materials 46.7 36.1 82.8

(f) Contractual services 555.1 1,732.3 2,287.4

(g) Operating costs 83.2 307.6 390.8

(h) Other costs 25.0 25.0

(i) Capital outlay 87.2 341.2 428.4

(j) Out-of-state travel 6.4 22.7 29.1

Authorized FTE: 80.00 Permanent; 7.00 Term

Subtotal [338,831.7] [ 269,032.5] 607,864.2

TOTAL TRANSPORTATION 338,831.7 269,032.5 607,864.2

I. OTHER EDUCATION

STATE DEPARTMENT OF PUBLIC EDUCATION SPECIAL

APPROPRIATIONS:

(a) After-school theatrical

production 200.0 200.0

(b) Educational services to

Native American students 150.0 150.0

(c) Teacher and administrator

summer academics 100.0 100.0

(d) Statewide service learning

program 100.0 100.0

Subtotal [ 550.0] 550.0

The general fund appropriation of two hundred thousand ($200,000) is for an after-school theatrical

production in Santa Fe.

The general fund appropriation of one hundred-fifty thousand ($150,000) is for a joint effort

between the federal bureau of Indian affairs and the state department of public education to develop

curricula, share technological resources and cooperate to provide educational services to Native American

students.

The general fund appropriation of one hundred thousand ($100,000) for the teacher and administrator summer academies is for a program designed to provide participants with work-related experiences

for use in classroom instruction. The appropriation is contingent upon obtaining an equal or greater

amount of matching funds from sources other than state funds.

The general fund appropriation of one hundred thousand dollars ($100,000) for the statewide

service learning program is for a program that integrates service learning into academic curricula and other educational initiatives so students, including students with disabilities, are provided public service learning opportunities.

TOTAL 550.0 550.0

NEW MEXICO SCHOOL FOR THE VISUALLY HANDICAPPED: 7,665.3 7,665.3

NEW MEXICO SCHOOL FOR THE DEAF: 2,557.6 6,330.0 578.2 9,465.8

TOTAL OTHER EDUCATION 3,107.6 13,995.3 578.2 17,681.1

J. HIGHER EDUCATION

COMMISSION ON HIGHER EDUCATION:

(1) Administration:

(a) Personal services 836.7 18.9 55.8 71.3 982.7

(b) Employee benefits 257.4 8.1 23.0 25.5 314.0

(c) Travel 42.0 3.0 6.0 3.8 54.8

(d) Maintenance and repairs 3.2 3.2

(e) Supplies and materials 21.4 5.0 10.0 6.4 42.8

(f) Contractual services 71.2 15.0 86.2

(g) Operating costs 134.4 8.6 60.0 27.3 230.3

(h) Other costs 362.0 362.0

(i) Out-of-state travel 11.5 1.5 .9 13.9

(j) Other financing uses .5 .5

Authorized FTE: 22.00 Permanent; 4.00 Term

(2) Special programs:

(a) State student incentive grant 8,306.1 8,306.1

(b) Nursing student loan program 100.0 192.1 292.1

(c) Medical student loan program 325.7 191.1 516.8

(d) Osteopathic student loan program 135.7 135.7

(e) Allied health student loan

program 182.7 21.7 204.4

(f) Health professional loan

repayment 450.5 86.2 536.7

(g) Work-study program 5,090.1 5,090.1

(h) Student Choice Act 800.0 800.0

(i) Vietnam veterans' scholarship

fund 147.0 147.0

(j) Graduate Fellowship Act 652.7 652.7

(k) New Mexico Scholars Act 1,000.0 100.0 1,100.0

(l) Minority doctoral assistance 177.8 177.8

(m) Student child care 768.0 768.0

(n) Minority/handicap teachers 106.2 106.2

(o) Small business development

centers 2,483.4 2,483.4

(p) Math, engineering and science

achievement 970.4 970.4

(q) Working to learn 58.6 58.6

(r) Legislative endowment fund 100.0 100.0

(s) Western interstate commission

on higher education loan

program 1,481.1 1,481.1

(t) Lottery scholarship 12,000.0 12,000.0

Loan programs included in the above are allied health, medical, minority doctoral assistance, nursing,

osteopathic, and western interstate commission on higher education student loan programs and state loan

repayment programs for teachers and health professionals. Earnings from investment of funds associated

with loan programs, including unanticipated federal funds, and loan payment or default recovery funds,

are hereby appropriated to the commission on higher education to meet the obligations and administration

of the financial aid loans, individually or in their entirety. The administration portion of this

appropriation is limited to two hundred fifteen thousand nine hundred dollars ($215,900).

Subtotal [ 24,372.4] [ 12,891.9] [ 169.8][ 583.4] 38,017.5

UNIVERSITY OF NEW MEXICO:

(a) Instruction and general

purposes 122,097.7 78,662.5 4,345.0 205,105.2

(b) Medical school instruction

and general purposes 36,489.1 18,635.0 1,000.0 56,124.1

(c) Athletics 2,571.3 12,350.1 29.9 14,951.3

(d) Educational television 1,140.3 3,234.4 854.8 5,229.5

(e) Extended services

instruction 1,360.7 1,618.1 2,978.8

(f) Gallup branch 6,876.7 4,054.6 110.0 11,041.3

(g) Los Alamos branch 1,655.0 1,813.4 23.7 3,492.1

(h) Valencia branch 3,100.6 2,256.3 1,075.4 6,432.3

(i) Cancer center 1,970.5 1,970.5

(j) State medical investigator 2,488.3 550.0 20.0 3,058.3

(k) Emergency medical services

academy 649.6 335.0 984.6

(l) Out-of-county indigent fund 1,677.7 1,677.7

(m) Children's psychiatric hospital 3,810.2 7,200.0 11,010.2

(n) Specialized perinatal care 461.7 461.7

(o) Newborn intensive care 2,075.7 510.0 2,585.7

(p) Pediatric oncology 199.6 199.6

(q) Hemophilia program 486.4 350.0 836.4

(r) Young children's health center 204.8 660.0 864.8

(s) Pediatric pulmonary center 187.4 187.4

(t) Health resources registry 20.4 33.1 53.5

(u) Area health education centers 216.1 200.0 416.1

(v) Grief intervention 167.2 167.2

(w) Carrie Tingley hospital 2,877.2 7,550.0 10,427.2

(x) Pediatric dysmorphology 148.2 148.2

(y) Locum tenens 316.6 1,650.0 1,966.6

(z) Substance abuse program 174.6 174.6

(aa) Poison control center 824.0 20.0 844.0

(bb) Judicial selection 64.8 64.8

(cc) Southwest research center 1,326.4 1,326.4

(dd) Native American intervention 265.6 265.6

(ee) Resource geographic information

system 142.6 14.9 157.5

(ff) Natural heritage program 91.5 91.5

(gg) Southwest Indian law clinic 85.9 85.9

(hh) BBER census and population

analysis 56.7 4.4 61.1

(ii) Taos off-campus center 1,120.9 1,393.8 37.4 2,552.1

(jj) Judicial education center 211.5 211.5

(kk) New Mexico historical review 92.9 10.5 103.4

(ll) Ibero-American education

consortium 186.6 186.6

(mm) Disabled student services 250.0 250.0

(nn) Youth education recreation

program 261.5 261.5

(oo) Advanced materials laboratory 76.0 76.0

(pp) Manufacturing engineering

program 248.2 248.2

(qq) Spanish resource center 105.8 105.8

(rr) Office of international

technical cooperative 72.9 72.9

(ss) Hispanic student center 133.2 133.2

(tt) Wildlife law institute 56.9 56.9

(uu) Science and engineering

women's career 15.0 15.0

(vv) Disaster medicine program 104.9 104.9

(ww) Youth leadership development 96.0 96.0

(xx) Morrissey hall research 50.3 50.3

(yy) Minority graduate recruitment

and retention 187.3 187.3

(zz) Fetal alcohol study 173.4 173.4

(aaa) Telemedicine 300.0 300.0

(bbb) Community based education 471.9 471.9

(ccc) Nurse-midwifery program 333.1 333.1

(ddd) Pharm D 144.4 144.4

(eee) Rio Grande educational

collaborative 125.0 125.0

(fff) Other--health sciences 172,900.0 33,000.0 205,900.0

(ggg) Other--main campus 134,073.8 100,106.2 234,180.0

(hhh) KANW radio program 100.0 100.0

(iii) Service learning 100.0 100.0

(jjj) Institute of public service 200.0 200.0

The general fund appropriation to the university of New Mexico medical school for instruction and general purposes includes five hundred thousand dollars ($500,000) to hire additional primary care faculty

to share the workload of teaching and providing clinical services.

The general fund appropriation to the university of New Mexico for instruction and general purposes includes two hundred thousand dollars ($200,000) to the school of law to establish the Corrine H. Wolfe children's law center.

The general fund appropriation to the university of New Mexico for the southwest research center includes one hundred thousand dollars ($100,000) for northern New Mexico communications center.

The general fund appropriation to the university of New Mexico for the Taos off-campus center includes three hundred thousand dollars ($300,000) for manpower development and training programs.

The general fund appropriation to the university of New Mexico for athletics includes fifty thousand dollars ($50,000) for women's club sports.

The general fund appropriation to the university of New Mexico for the youth education recreation program includes an additional one hundred thousand dollars ($100,000) for the natural high program.

The general fund appropriation to the university of New Mexico for the Gallup branch campus includes fifty thousand dollars ($50,000) to establish a graduate center.

Subtotal [ 201,498.8] [449,879.9] [ 140,802.4] 792,181.1

NEW MEXICO STATE UNIVERSITY:

(a) Instruction and general

purposes 80,006.5 44,290.8 6,503.1 130,800.4

(b) Athletics 2,914.5 3,452.1 32.2 6,398.8

(c) Educational television 955.0 794.9 1,749.9

(d) Extended services

instruction 345.0 432.0 777.0

(e) Alamogordo branch 4,943.4 2,544.4 1,797.3 9,285.1

(f) Carlsbad branch 2,801.3 2,577.9 1,117.9 6,497.1

(g) Dona Ana branch 8,502.6 5,199.8 5,428.7 19,131.1

(h) Grants branch 2,037.1 1,013.1 591.8 3,642.0

(i) Department of agriculture 7,047.4 1,919.8 883.8 9,851.0

(j) Agricultural experiment

station 10,308.4 2,387.1 5,979.3 18,674.8

(k) Cooperative extension service 7,923.8 2,544.6 4,790.0 15,258.4

(l) Water resources research 359.1 14.0 145.8 518.9

(m) Indian resources development

programs 354.1 354.1

(n) Campus security 100.9 100.9

(o) Coordination of Mexico

programs 102.7 102.7

(p) Manufacturing sector development

program 434.7 290.3 317.6 1,042.6

(q) Alliances for underrepresented

students 382.9 23.8 406.7

(r) Carlsbad manufacturing

sector development program 433.3 433.3

(s) Waste management education 507.0 955.1 4,629.0 6,091.1

(t) Center for energy technologies 200.0 200.0

(u) Other 42,915.5 55,133.2 98,048.7

The general fund appropriation to New Mexico state university for instruction and general purposes includes one hundred fifty thousand dollars ($150,000) for physical education, recreation and dance at

the college of education and one hundred fifty thousand dollars ($150,000) to expand the fine arts program.

The general fund appropriation to New Mexico state university includes four hundred thousand dollars ($400,000) for the soil and water conservation districts at the New Mexico department of agriculture.

The general fund appropriation to New Mexico state university for athletics includes fifty thousand dollars ($50,000) for women's club sports.

The general fund appropriation to New Mexico state university includes fifty thousand dollars

($50,000) at the agricultural experiment station and fifty thousand dollars ($50,000) at the cooperative

extension service for economic survival programs in Alcalde.

The general fund appropriation to New Mexico state university for the alliances for underrepresented students program includes eighty thousand dollars ($80,000) to expand the alliance for

minority participation and the regional alliance for science, mathematics, engineering and technology for

students with disabilities programs.

Subtotal [ 130,659.7] [111,355.2] [ 87,349.7] 329,364.6

NEW MEXICO HIGHLANDS UNIVERSITY:

(a) Instruction and general

purposes 16,762.8 7,385.1 900.0 25,047.9

(b) Athletics 1,196.6 187.8 10.0 1,394.4

(c) Extended services

instruction 488.9 329.4 818.3

(d) Native american recruitment

and retention 50.0 50.0

(e) Visiting scientist 21.2 21.2

(f) Upward bound 116.7 116.7

(g) Diverse populations study 195.0 195.0

(h) Advanced placement 202.1 202.1

(i) Other 5,927.5 18,211.5 24,139.0

The general fund appropriation to New Mexico highlands university for athletics includes thirty thousand dollars ($30,000) for women's club sports.

Subtotal [ 19,033.3] [ 13,829.8] [ 19,121.5] 51,984.6

WESTERN NEW MEXICO UNIVERSITY:

(a) Instruction and general

purposes 10,506.3 2,861.7 366.7 13,734.7

(b) Athletics 1,178.1 94.6 6.0 1,278.7

(c) Educational television 95.7 95.7

(d) Extended services

instruction 380.0 323.7 703.7

(e) Child development center 250.0 250.0

(f) Other 2,145.8 120.2 2,266.0

The general fund appropriation to western New Mexico university for athletics includes thirty thousand dollars ($30,000) for women's club sports.

Subtotal [ 12,410.1] [ 5,425.8] [ 492.9] 18,328.8

EASTERN NEW MEXICO UNIVERSITY:

(a) Instruction and general

purposes 18,379.4 5,800.0 1,500.0 25,679.4

(b) Athletics 1,412.6 300.0 1,712.6

(c) Educational television 898.0 525.0 1,423.0

(d) Extended services

instruction 536.4 650.0 1,186.4

(e) Roswell branch 8,227.0 5,000.0 4,750.0 17,977.0

(f) Roswell extended services

instruction 368.1 150.0 518.1

(g) Center for teaching excellence 244.9 244.9

(h) Ruidoso off-campus center 429.3 650.0 125.0 1,204.3

(i) Blackwater Draw site and

museum 99.5 99.5

(j) Assessment project 152.2 152.2

(k) Other 8,800.0 6,125.0 14,925.0

The general fund appropriation to eastern New Mexico university for extended services instruction includes one hundred fifty thousand dollars ($150,000) to fund a baccalaureate degree program in social work and to provide extended services for this program to Roswell.

The general fund appropriation to eastern New Mexico university for instruction and general purposes includes one hundred fifty thousand dollars ($150,000) to fund the social work degree program.

The general fund appropriation to eastern New Mexico university for the Roswell branch campus includes one hundred fifty thousand dollars ($150,000) for character counts.

The general fund appropriation to eastern New Mexico university for athletics includes thirty thousand dollars ($30,000) for women's club sports.

Subtotal [ 30,747.4] [ 21,875.0] [ 12,500.0] 65,122.4

NEW MEXICO INSTITUTE OF MINING AND

TECHNOLOGY:

(a) Instruction and general

purposes 17,859.1 4,009.3 21,868.4

(b) Athletics 182.7 182.7

(c) Extended services

instruction 23.7 23.7

(d) Geophysical research center 740.1 117.9 1,768.9 2,626.9

(e) Bureau of mines 3,272.9 59.0 589.7 3,921.6

(f) Science and engineering fair 70.4 70.4

(g) Petroleum recovery research

center 1,685.4 2,948.2 4,633.6

(h) Bureau of mine inspection 256.8 235.8 492.6

(i) Energetic materials research

center 568.6 11,202.9 11,771.5

(j) Other 6,485.9 14,151.0 20,636.9

The general fund appropriation to the New Mexico institute of mining and technology for the bureau of

mines includes one hundred thousand dollars ($100,000) from federal Mineral Lands Leasing Act receipts.

The general fund appropriation to New Mexico institute of mining and technology for athletics includes thirty thousand dollars ($30,000) for women's club sports.

Subtotal [ 24,659.7] [ 10,672.1] [ 30,896.5] 66,228.3

NORTHERN NEW MEXICO STATE SCHOOL:

(a) Instruction and general

purposes 6,824.5 2,750.4 2,406.8 11,981.7

(b) Extended services

instruction 188.6 188.6

(c) Northern pueblos institute 53.9 53.9

(d) Other 730.0 300.0 1,030.0

Subtotal [ 7,067.0] [ 3,480.4] [ 2,706.8] 13,254.2

SANTA FE COMMUNITY COLLEGE:

(a) Instruction and general

purposes 7,271.3 7,200.0 1,200.0 15,671.3

(b) Other 7,400.0 1,200.0 8,600.0

The general fund appropriation to Santa Fe community college for instruction and general purposes includes one hundred thousand dollars ($100,000) to study early childhood mental development.

Subtotal [ 7,271.3] [ 14,600.0] [ 2,400.0] 24,271.3

TECHNICAL-VOCATIONAL INSTITUTE:

(a) Instruction and general

purposes 29,794.6 20,171.3 4,299.2 54,265.1

(b) Extended services

instruction 9.3 9.3

(c) Other 8,380.7 7,040.1 15,420.8

(d) Women's club sports 20.0 20.0

Subtotal [ 29,823.9] [ 28,552.0] [ 11,339.3] 69,715.2

LUNA VOCATIONAL-TECHNICAL INSTITUTE:

(a) Instruction and general

purposes 5,610.3 229.1 433.8 6,273.2

(b) Other 232.0 1,167.1 1,399.1

Subtotal [ 5,610.3] [ 461.1] [ 1,600.9] 7,672.3

MESA TECHNICAL COLLEGE:

(a) Instruction and general

purposes 1,872.9 318.8 324.0 2,515.7

(b) Extended services

instruction 37.2 37.2

(c) Other 324.9 300.0 624.9

Subtotal [ 1,910.1] [ 643.7] [ 624.0] 3,177.8

NEW MEXICO JUNIOR COLLEGE:

(a) Instruction and general

purposes 5,544.7 6,246.7 785.5 12,576.9

(b) Athletics 52.1 7.9 60.0

(c) Extended services

instruction 25.8 25.8

(d) Other 1,781.7 2,330.0 4,111.7

The general fund appropriation to New Mexico junior college for athletics includes twenty thousand dollars ($20,000) for women's club sports.

Subtotal [ 5,622.6] [ 8,036.3] [ 3,115.5] 16,774.4

SAN JUAN COLLEGE:

(a) Instruction and general

purposes 9,747.3 12,600.0 2,700.0 25,047.3

(b) Other 800.0 5,200.0 6,000.0

(c) Women's club sports 20.0 20.0

Subtotal [ 9,767.3] [ 13,400.0] [ 7,900.0] 31,067.3

CLOVIS COMMUNITY COLLEGE:

(a) Instruction and general

purposes 7,182.3 2,023.4 899.3 10,105.0

(b) Extended services

instruction 60.8 60.8

(c) Other 1,967.3 2,383.2 4,350.5

(d) Women's club sports 20.0 20.0

Subtotal [ 7,263.1] [ 3,990.7] [ 3,282.5] 14,536.3

NEW MEXICO MILITARY INSTITUTE:

(a) Instruction and general

purposes 1,390.3 11,615.3 13,005.6

(b) Athletics 20.0 714.0 734.0

(c) Other 4,836.2 183.8 5,020.0

Included in the general fund appropriation to New Mexico military institute for athletics is twenty

thousand dollars ($20,000) for women's club sports.

Subtotal [ 1,410.3] [ 17,165.5] [ 183.8] 18,759.6

TOTAL HIGHER EDUCATION 519,127.3 716,259.4 169.8 324,899.2 1,560,455.7

GRAND TOTAL FISCAL YEAR 2000

APPROPRIATIONS 1,677,759.6 1,293,350.4 655,060.9 2,164,311.5 5,790,482.4

Section 5. SPECIAL APPROPRIATIONS.--The following amounts are appropriated from the general fund or other funds as indicated for the purposes specified. Unless otherwise indicated, the appropriations may be expended in fiscal year 1999 and fiscal year 2000. Unless otherwise indicated, any unexpended or unencumbered balance of the appropriations remaining at the end of fiscal year 2000 shall revert to the appropriate fund.

(1) ATTORNEY GENERAL: 90.0 9.0 99.0

For supplies, rent, publications and legal research materials.

(2) TAXATION AND REVENUE

DEPARTMENT: 100.0 100.0

For start-up costs of the graduated license program. The appropriation is contingent upon Senate Bill 256 of the first session of the forty-fourth legislature, becoming law.

(3) DEPARTMENT OF FINANCE AND

ADMINISTRATION: 30.0 30.0

For expenditure in fiscal year 2000 for design and development of a new capital outlay monitoring system.

(4) DEPARTMENT OF FINANCE AND

ADMINISTRATION: 1,000.0 1,000.0

To the local government division for weatherization programs.

(5) DEPARTMENT OF FINANCE AND

ADMINISTRATION: 100.0 100.0

To the northwest New Mexico council of governments for expansion of regional economic development capacity.

(6) GENERAL SERVICES DEPARTMENT: 500.0 500.0

From the public liability account in the risk reserve to the public liability fund for expenditure in fiscal year 2000 for legal fees for plaintiffs attorneys.

(7) GENERAL SERVICES DEPARTMENT:

All appropriations contained under the general fund, other state funds, internal service/interagency transfers and federal funds columns in Section 4, Subsections A through J of the General Appropriation Act of 1999 includes seven million dollars ($7,000,000) to be paid to the risk management division of the general services department for deposit to the public liability fund beginning in fiscal year 1999 and fiscal year 2000 pursuant to premium assessments made by the risk management division.

(8) GENERAL SERVICES DEPARTMENT:

Upon a determination by the director of the risk management division of the general services department that the balance in the public liability fund is not sufficient to meet the potential liabilities of the public liability fund and upon the approval of the determination by the secretary of finance and administration and review by the legislative finance committee, the amount necessary to meet the potential liabilities is appropriated from the public liability account of the risk reserve to the public liability fund. Any unexpended or unencumbered balance of the appropriation remaining at the end of fiscal year 2000 shall revert to the public liability account of the risk reserve.

(9) PUBLIC EMPLOYEES RETIREMENT

ASSOCIATION: 336.0 336.0

To the administrative division for expenditure in fiscal year 2000 for costs of litigation related to the public employees retirement information system.

(10) ECONOMIC DEVELOPMENT

DEPARTMENT: 300.0 300.0

For spaceport site development, including environmental impact studies, for expenditure in fiscal years 1999 through 2001.

(11) GAMING CONTROL BOARD:

The period of time for expending one million two hundred thousand dollars ($1,200,000) of the appropriation made in Laws 1998, Chapter 6, Section 1, Subsection A from the general fund to the gaming control board for operational expenses and capital expenditures is extended through fiscal year 2000.

(12) OFFICE OF CULTURAL AFFAIRS: 50.0 50.0

To the museum division for displays and promotion at the museum of the horse in Ruidoso.

(13) COMMISSIONER OF PUBLIC LANDS: 445.4 222.7 668.1

For expenditure in fiscal year 2000 for the payment of oil and natural gas administration and revenue database bonds and interest payments. The other state funds appropriation is from the state lands maintenance fund.

(14) DEPARTMENT OF HEALTH:

The contingency contained in Laws 1998, Chapter 116, Section 4, Subsection F for the southern New Mexico rehabilitation center of the department of health is void and the appropriation to the southern New Mexico rehabilitation center provided in that subsection shall not revert but may be expended in fiscal years 1999 and 2000 to pay for operations of the facility if no other appropriate services are available in the area.

(15) DEPARTMENT OF HEALTH:

Unencumbered or unexpended balances remaining from the appropriation contained in Laws 1998, Chapter 116, Section 6, Subsections E and F as amended by Laws 1998 (S.S.), Chapter 14 for the department of health for welfare-to-work related substance abuse treatment are reappropriated for the same purposes in fiscal year 2000. Balances resulting from the cancellation of two outstanding prior year encumbrances for children's health care services are reappropriated to the department of health for that purpose in fiscal years 1999 and 2000.

(16) CHILDREN, YOUTH AND FAMILIES DEPARTMENT:

The children, youth and families department may expend up to two million five hundred thousand dollars ($2,500,000) in departmental balances from each of fiscal years 1998 and 1999 for any shortfalls in title XX, social services block grant revenues in fiscal years 1999 or 2000.

(17) PUBLIC SCHOOL CAPITAL

IMPROVEMENT FUND: 6,595.5 6,595.5

TOTAL SPECIAL APPROPRIATIONS 8,620.9 648.7 500.0 9.0 9,778.6

Section 6. SUPPLEMENTAL AND DEFICIENCY APPROPRIATIONS.--The following amounts are appropriated from the general fund, or other funds as indicated, for expenditure in fiscal year 1999 for the purposes specified. Disbursement of these amounts shall be subject to the following conditions: certification by the agency to the department of finance and administration and the legislative finance committee that no other funds are available in fiscal year 1999 for the purpose specified; and approval by the department of finance and administration. Any unexpended or unencumbered balances remaining at the end of fiscal year 1999 shall revert to the appropriate fund.

(1) PUBLIC SCHOOL INSURANCE AUTHORITY: 3,000.0 3,000.0

For premiums and claims expenses.

(2) RETIREE HEALTH CARE AUTHORITY: 5,600.0 5,600.0

For benefit expenses.

(3) GENERAL SERVICES DEPARTMENT: 150.0 150.0

To the state purchasing division to match federal funds for a procurement assistance program.

(4) PUBLIC REGULATION COMMISSION: 75.0 75.0

To the utility division for a telecommunications rate hearing.

(5) PUBLIC REGULATION COMMISSION: 460.0 460.0

To pay outstanding subsequent injury claims and associated administrative costs.

(6) BOARD OF NURSING: 51.1 51.1

For operating costs.

(7) OFFICE OF CULTURAL AFFAIRS: 470.5 470.5

To the museum division for a van and one FTE for the van of enchantment program, a shuttle bus between the downtown Santa Fe museums and the Camino Lejo compound, collections management, museum of New Mexico press, reimbursement of expenditures at Coronado state monument campground, repairs to the palace of the governors, computer systems for the admissions program and for brochures.

(8) OFFICE OF CULTURAL AFFAIRS: 45.0 45.0

To the natural history museum for payments and deposits for large traveling exhibitions.

(9) OFFICE OF CULTURAL AFFAIRS: 740.6 740.6

To the arts division for the Art in Public Places Act.

(10) OFFICE OF CULTURAL AFFAIRS: 35.5 35.5

To the space center for the laser light show.

(11) OFFICE OF CULTURAL AFFAIRS: 46.5 46.5

To the historic preservation division to develop a historic property and historic district boundary database.

(12) OFFICE OF CULTURAL AFFAIRS: 87.1 87.1

To the historic preservation division to develop a statewide program to acquire scenic easements or historic sites and for historic preservation, rehabilitation and operation of historic transportation buildings, structures and facilities in New Mexico under a joint powers agreement with the state highway and transportation department.

(13) OFFICE OF CULTURAL AFFAIRS: 150.0 150.0

From the cultural properties restoration fund for the Branigan cultural center project.

(14) OFFICE OF CULTURAL AFFAIRS: 50.0 50.0 100.0

To operate the campground at Coronado state monument and for capital improvements at that campground.

(15) DEPARTMENT OF GAME AND FISH: 50.0 150.0 200.0

For Lake Roberts dam outlet valve repair.

TOTAL SUPPLEMENTAL AND DEFICIENCY

APPROPRIATIONS 735.0 10,326.3 150.0 11,211.3

Section 7. COMPENSATION APPROPRIATIONS.--

A. Thirty-three million nine hundred fifty-five thousand six hundred seventy-five dollars ($33,955,675) is appropriated from the general fund to the department of finance and administration for expenditure in fiscal year 2000 for the purpose of providing salary increases to certain public employees as follows:

(1) one million two hundred ninety-six thousand eight hundred dollars (1,296,800) to provide justices of the supreme court a ten percent salary increase to ninety-one thousand nine hundred fifty-two dollars ($91,952) and the chief justice of the supreme court, the chief judge of the court of appeals, judges of the court of appeals, district courts, metropolitan courts and magistrate courts, child support hearing officers, and special commissioners, a salary increase pursuant to the provision of Section 34-1-9 NMSA 1978. Salary increases shall be effective the first full pay period following July 1, 1999;

(2) four hundred fifty-six thousand nine hundred sixty-nine dollars ($456,969) to provide district attorney permanent employees with a salary increase as follows: employees whose annual salary on July 1, 1999 is less than twenty-five thousand two hundred seventy dollars ($25,270) shall receive base salary increase of one thousand two hundred fifty dollars ($1,250); employees whose annual salary on July 1, 1999 is at least twenty-five thousand two hundred seventy dollars($25,270) but less than forty-four thousand six hundred eighty-four dollars ($44,684) shall receive a base salary increase of one thousand dollars ($1,000); and employees whose annual salary on July 1, 1999 is more than forty-four thousand six hundred eighty-four dollars ($44,684) shall receive a base salary increase of seven hundred fifty dollars ($750). Salary increases shall be effective the first full pay period following January 1, 2000;

(3) six million two hundred thirty-three thousand seven hundred fifty-eight dollars ($6,233,758) to provide eligible classified employees in agencies governed by the Personnel Act and Public Employees Bargaining Act section 10-7D-18, NMSA 1978 impasse resolution section A8. The state of New Mexico and state labor coalition reached impasse on December 15, 1998, and this appropriation decision adopting all provisions of the negotiated collective bargaining agreement and including an expiration date of July 1, 20005 to resolve the impasse over the term of the master collective bargaining agreement hereby concludes the negotiations between the state of New Mexico and the state labor coalition with a salary increase as follows: employees whose annual salary on July 1, 1999 is less than twenty four thousand four hundred ninety-eight dollars ($24,498) shall receive base salary increase of one thousand two hundred fifty dollars ($1,250); employees whose annual salary on July 1, 1999 is at least twenty four thousand four hundred ninety-eight dollars ($24,498) but less than thirty-six thousand five hundred fifty-two dollars ($36,552) shall receive a base salary increase of one thousand dollars ($1,000); and employees whose annual salary on July 1, 1999 is more than thirty-six thousand five hundred fifty-two dollars ($36,552) shall receive a base salary increase of seven hundred fifty dollars ($750). Salary increases shall be effective the first full pay period following January 1, 2000;

(4) two hundred twenty-nine thousand nine hundred ninety-seven dollars ($229,997) to provide executive exempt employees, including attorney general employees, with a salary increase as follows: employees whose annual salary on July 1, 1999 is less than fifty thousand one hundred twenty-eight dollars ($50,128) shall receive base salary increase of one thousand two hundred fifty dollars ($1,250); employees whose annual salary on July 1, 1999 is at least fifty thousand one hundred twenty-eight dollars ($50,128) but less than sixty-nine thousand nine hundred five dollars ($69,905) shall receive a base salary increase of one thousand dollars ($1,000); and employees whose annual salary on July 1, 1999 is more than sixty-nine thousand nine hundred five dollars ($69,905) shall receive a base salary increase of seven hundred fifty dollars ($750). Salary increases shall be effective the first full pay period following January 1, 2000;

(5) two hundred fifty-three thousand four hundred dollars ($253,400) to provide exempt teachers in the children, youth and families department, department of health and corrections department, with a three and one-half percent salary increase, subject to satisfactory job performance and effective on the first full pay period after the employee's anniversary date; and

(6) ninety-two thousand fifty-one dollars ($92,051) to provide permanent legislative employees, including permanent employees of the legislative council service, legislative finance committee, legislative education study committee, legislative maintenance and the house and senate, with a with a salary increase as follows: employees whose annual salary on July 1, 1999 is less than twenty-four thousand dollars ($24,000) shall receive base salary increase of one thousand two hundred fifty dollars ($1,250); employees whose annual salary on July 1, 1999 is at least twenty-four thousand dollars ($24,000) but less than fifty-one thousand two hundred dollars ($51,200) shall receive a base salary increase of one thousand dollars ($1,000); and employees whose annual salary on July 1, 1999 is more than fifty-one thousand two hundred dollars ($51,200) shall receive a base salary increase of seven hundred fifty dollars ($750). Salary increases shall be effective the first full pay period following January 1, 2000;

(7) three hundred fourteen thousand one hundred dollars ($314,100) to provide eligible commissioned officers of the New Mexico state police division of the department of public safety a step increase ranging from approximately two and two-tenths percent to three percent in accordance with the career pay system for the state police; and

(8) twelve million eight hundred eighty thousand six hundred dollars ($12,880,600) to provide a five percent increase to staff employees and six percent increase to faculty of four-year higher education institutions; five million four hundred sixty-nine thousand one hundred dollars ($5,469,100) to provide a five percent increase to staff employees and six percent increase to faculty of two-year higher education institutions; and six million seven hundred twenty-eight thousand nine hundred dollars ($6,728,900) to provide a five percent increase to staff employees and six percent increase to faculty within other programs of higher education institutions to include the university of New Mexico health sciences center, the New Mexico military institute and the New Mexico school for the deaf.

B. The department of finance and administration shall distribute a sufficient amount to each agency to provide the appropriate increase for those employees whose salaries are received as a result of the general fund appropriations in the General Appropriation Act of 1999. Any unexpended or unencumbered balance remaining at the end of fiscal year 2000 shall revert to the general fund.

C. For those state employees whose salaries are referenced in or received as a result of nongeneral fund appropriations in the General Appropriation Act of 1999, the department of finance and administration shall transfer from the appropriate fund to the appropriate agency the amount required for the salary increases equivalent to those provided for in this section, and such amounts are appropriated for expenditure in fiscal year 2000. Any unexpended or unencumbered balance remaining at the end of fiscal year 2000 shall revert to the appropriate fund.

Section 8. APPROPRIATION CONTINGENCY FUND.--If balances in the appropriation contingency fund are not sufficient to pay for emergency declarations made by executive order pursuant to Section 6-7-2 NMSA 1978, the department of finance and administration may transfer from the general fund operating reserve the amount necessary to meet the expenses of the emergencies not to exceed ten million dollars ($10,000,000).

Section 9. TRANSFER AUTHORITY.--If revenues and transfers to the general fund, excluding transfers to the general fund operating reserve, appropriation contingency fund and public school state-support reserve, as of the end of fiscal year 1999, are not sufficient to meet appropriations, the governor, with state board of finance approval, may transfer at the end of that year the amount necessary to meet the

year's obligations from the unencumbered balance remaining in the general fund operating reserve in a total not to exceed eighty million dollars ($80,000,000).

Section 10. SEVERABILITY.--If any part or application of this act is held invalid, the remainder or its application to other situations or persons shall not be affected.

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