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  1. in the town of Chelmsford to operate a program that mentors and teaches financial literacy to low-income women............................................. For the administration of the alcoholic beverages control commission in its efforts to regulate and control the conduct and condition of traffic in alcoholic beverages; provided, that the commission shall maintain at least 1 chief investigator and other investigators for the purpose of regulating and controlling the traffic of alcoholic beverages; provided further, that the commission shall work and cooperate with the Bureau of Alcohol, Tobacco, Firearms and Explosives in the United States Department of Justice and other relevant federal agencies to assist in its efforts to regulate and control the traffic of alcoholic beverages; and provided further, that the commission shall seek out matching federal dollars and apply for federal grants that may be available to assist in the enforcement of laws pertaining to the traffic of alcoholic beverages

  2. ,438,091 0610-0051.. For payment of the public safety employee killed in the line of duty benefit authorized by section 100A of chapter 32 of the General Laws; provided, that the state treasurer’s office shall provide immediate written notification to the secretary of administration and finance and the house and senate committees on ways and means upon the expenditure of the funds appropriated in this item; and provided further, that at the written request of the office of the state treasurer, the comptroller shall transfer uncommitted and unobligated funds from item 1599-3384 to this item................... For the operation of the state lottery commission and arts lottery; provided, that no funds shall be expended from this item for costs associated with the promotion or advertising of lottery games; provided further, that positions funded from this item shall not be subject to chapters 30 and 31 of the General Laws; and provided further, that 25 per cent of the amount appropriated in this item shall be transferred quarterly from the State Lottery and Gaming Fund to the General Fund................................... For the costs associated with monitor games; provided, that 25 per cent of the amount appropriated in this item shall be transferred quarterly from the State Lottery and Gaming Fund to the General Fund....................................................... For the promotional activities associated with the state lottery program; provided, that the lottery commission shall issue a report not later than June 30, 2018 to the house and senate committees on ways and means; provided further, that the report shall detail additional revenues generated as related to promotional activities funded from this item; and provided further, that 25 per cent of the amount appropriated in this item shall be transferred quarterly from the State Lottery and Gaming Fund to the General Fund.. For the commonwealth’s fiscal year 2018 contributions to the health and welfare fund established under the collective bargaining agreement between the state lottery commission and the Service Employees International Union, Local 888, AFL-CIO; provided, that the contributions shall be paid to the fund on such basis as the collective bargaining agreement provides; and provided further, that 25 per cent of the amount appropriated in this item shall be transferred quarterly from the State Lottery and Gaming Fund to the General Fund............................................. For the services and operations of the Massachusetts cultural council, including grants to or contracts with public and nonpublic entities; provided, that the council may expend the amounts appropriated in this item for the council as provided in sections 52 to 58, inclusive, of chapter 10 of the General Laws; provided further, that 25 per cent of the amount appropriated in this item shall be transferred quarterly from the State Lottery and Gaming Fund to the General Fund; provided further, that a person employed under this item shall be considered an employee within the meaning of section 1 of chapter 150E of the General Laws and shall be placed in the appropriate bargaining unit; and provided further, that not less than ,000 shall be expended for the Springfield central cultural district.............................................. For the state treasurer who may retain and expend not more than ,000,000 in fiscal year 2018 from premiums paid on the sales of revenue anticipation notes and expend those premium payments to pay the principal and interest on account of the revenue anticipation notes................................................. For the payment of interest, discount and principal on certain indebtedness incurred under chapter 233 of the acts of 2008 for financing the accelerated bridge program............. For the operation of the bureau of the state house; provided, that the superintendent, director of operations and other employees of the bureau shall work in conjunction with the business manager of the house of representatives and the chief financial officer of the senate on the maintenance, repair, purchases and payments for materials and services................................. For the disabled persons protection commission; provided, that the commission shall facilitate compliance by the department of mental health and the department of developmental services with uniform investigative standards; provided further, that the commission shall report to the house and senate committees on ways and means, not later than the last day of each quarter, on the number of claims of abuse by caretakers made by employees or contracted service employees of the department of developmental services, the department of mental health and the Massachusetts rehabilitation commission; provided further, that the report shall include: (i) the number of substantiated claims; (ii) the number of unsubstantiated claims; and (iii) the number of false claims reported as a result of intentional and malicious action; and provided further, that all persons who call the commission’s 24-hour hotline shall be provided with the opportunity to elect that the call not be recorded..... For the civil service commission; provided, that the General Fund shall be reimbursed for the appropriation in this item through a fee charged on a per claim basis; provided further, that the commission shall develop and implement regulations to provide for reimbursement to the General Fund; and provided further, that the commission may assess a fee upon the appointing authority when inappropriate action has occurred......................................................... For the operation of the group insurance commission; provided, that the commission shall provide the caseload forecasting office with enrollment data and any other information pertinent to caseload forecasting on a monthly basis; provided further, that the information shall be provided in a manner that meets all applicable federal and state privacy and security requirements; provided further, that the commission shall report quarterly to the house and senate committees on ways and means, with the first report due not later than September 29, 2017, that shall include, but not be limited to: (i) any proposed plan changes accompanied by a detailed rationale for said changes; (ii) a full delineation of any estimated deficiencies or reversions in the current fiscal year, detailed by line item; and (iii) a projection of any funding changes for the following fiscal year, detailed by item; and provided further, that the commission shall provide all materials presented at any public meetings hosted by the commission to the house and senate committees on ways and means not later than 15 days after the public meeting....................................................... For the commonwealth’s share of the group insurance premium and plan costs incurred in fiscal year 2018; provided, that notwithstanding any general or special law to the contrary, funds in this item shall not be available during the accounts payable period of fiscal year 2018 and any unexpended balance in this item shall revert to the General Fund on June 30, 2018; provided further, that the secretary of administration and finance shall charge the department of unemployment assistance and other departments, authorities, agencies and divisions which have federal or other funds allocated to them for this purpose, for that portion of insurance premium and plan costs as the secretary determines shall be borne by such funds and shall notify the comptroller of the amounts to be transferred, after similar determination, from the several state or other funds, and amounts received in payment of all such charges or transfers shall be credited to the General Fund; provided further, that funds may be expended from this item for the commonwealth’s share of group insurance premium and plan costs provided to employees and retirees in prior fiscal years; provided further, that the group insurance commission shall obtain reimbursement for premium and administrative expenses from other agencies and authorities not funded by state appropriation; provided further, that the secretary of administration and finance may charge all agencies for the commonwealth’s share of the health insurance costs incurred on behalf of any employees of those agencies who are on leave of absence for a period of more than 1 year; provided further, that the amounts received in payment for the charges shall be credited to the General Fund; provided further, that notwithstanding section 26 of chapter 29 of the General Laws, the commission may negotiate, purchase and execute contracts before July 1 of each year for policies of group insurance under chapter 32A of the General Laws; provided further, that the rules for determining the commonwealth’s share of the group insurance premiums for retired and active state employees shall be the same as the standards in effect on July 1, 2012; provided further, that the commission shall notify the house and senate committees on ways and means at least 90 days before any changes in coverage, benefits or the schedule of copayments and deductibles for plans offered by the group insurance commission; provided further, that the commission may pay premium and plan costs for municipal employees and retirees who are enrolled in the commission’s health plans under the commission’s regulations; and provided further, that the commission shall report to the house and senate committees on ways and means not later than March 1, 2018 on: (i) the average full cost premium equivalent per enrollee; (ii) the average actual cost per enrollee for enrollees from participating municipalities; (iii) the contribution ratios for each participating municipality for fiscal year 2017; (iv) the premium reimbursement paid by each municipality per active enrollee by plan; (v) the average employee premium contribution by plan for each municipality; (vi) estimates for the total premium per active enrollee by plan for each municipality; (vii) the average employee out-of-pocket expenditure and premium contribution by salary level for employees at different salary levels; (viii) a comparison of the total premium estimate with the sum total of municipality reimbursement and average employee premium contribution; and (ix) the cost of the commonwealth’s projected share of premiums for the next fiscal year................................................... For the costs incurred by the group insurance commission associated with providing municipal health insurance coverage under section 19 of chapter 32B of the General Laws; provided, that the commission may expend not more than
  3. ,196,745 from revenue received from administrative fees associated with providing municipal health insurance coverage under said section 19 of said chapter 32B; and provided further, that for the purpose of accommodating timing discrepancies between the receipt of retained revenues and related expenditures, the commission may incur expenses and the comptroller may certify for payment amounts not to exceed the lower of this authorization or the most recent revenue estimate as reported in the state accounting system................................ For elderly governmental retired employee premium payments 7,271 1108-5400.. For services to veterans, including the maintenance and operation of outreach centers; provided, that the centers shall provide counseling to incarcerated veterans and to Vietnam era veterans who may have been exposed to agent orange and the families of such veterans; provided further, that centers shall provide services to veterans who were discharged after September 11, 2001 and the families of those veterans; provided further, that the department shall make a payment equal to the amount appropriated for each outreach center funded by this item in fiscal year 2017; provided further, that each outreach center receiving funds under this item shall report to the chairs of the house and senate committees on ways and means not later than March 15, 2018, on: (i) the number of veterans served annually; (ii) the costs and types of programs, including evidence-based programs, offered to veterans; and (iii) a 5-year spending plan or outline that shall include a discussion of the implementation or further development of evidence-based programs and program evaluation; provided further, that not less than 0,000 shall be expended for Nathan Hale Outreach Centers; provided further, that not less than 0,000 shall be expended to Soldier On for the purpose of providing services to homeless veterans in Berkshire, Franklin, Hampden, and Hampshire County; provided further, that not less than 0,000 shall be expended for the Springfield chapter of the National Association for Black Veterans, Inc. For the operation of the board of registration of hazardous waste site cleanup professionals, notwithstanding section 19A of chapter 21A of the General Laws.................................. For the office of the commissioner of fish and game; provided, that the commissioner’s office shall assess and receive payments from the division of marine fisheries, the division of fisheries and wildlife, the office of fishing and boating access, the division of ecological restoration, the riverways program and all other programs under the control of the department of fish and game; provided further, that those assessments shall be used to cover appropriate administrative costs of the department including, but not limited to, payroll, personnel, legal and budgetary costs; provided further, that the amount and contribution from each division or program shall be determined by the commissioner; provided further, that not less than 0,000 shall be expended for the Herring run to Whitman's pond in the town of Weymouth; provided further, that not less than ,000 shall be expended for the management and cleanup of invasive pond vegetation at floating bridge pond in the city of Lynn; and provided further, that not less than ,000,000 shall be expended for a boat ramp and boarding pier project in a town in Suffolk county
  4. ,029,079 2300-0101.. For the purchase of land containing wildlife habitats and for the costs of the division of fisheries and wildlife directly related to the administration of the wildlands stamp program pursuant to sections 2A and 2C of chapter 131 of the General Laws.. ,306,079 Marine Recreational Fisheries Development Fund 100% 2511-0100.. For the operation of the department of conservation and recreation; provided, that notwithstanding section 3B of chapter 7 of the General Laws, the department shall establish or renegotiate fees, licenses, permits, rents and leases and adjust or develop other revenue sources to fund the maintenance, operation and administration of the department; provided, that no funds shall be expended from this item for personnel overtime costs; provided further, that the department shall enter into an interagency service agreement with Mass Development for the purpose of supporting the management and operations at the New Bedford and Fall River state piers; provided further, that not less than ,000 shall be expended for the improvement and management of lakes and ponds in Central Plymouth County Water District; provided further, that not less than 0,000 shall be expended for aquatic invasive species control; provided further, that not less than ,000 shall be expended for an open spaces and parks study in the town of Dedham; provided further, that not less than ,000 shall be allocated for management of Wampatuck pond in the town of Hanson; and provided further, that not less than ,000 shall be expended for improvements at Mc Kenzie field in the city of Holyoke........................................ For the watershed management program to operate and maintain reservoirs, watershed lands and related infrastructure of the department of conservation and recreation and the office of water resources in the department; provided, that the amount of the payment shall be charged to the General Fund and shall not be included in the amount of the annual determination of fiscal year charges to the Massachusetts Water Resources Authority assessed to the authority under the General Laws; provided further, that the department shall continue to make payments pursuant to chapter 616 of the acts of 1957, as amended by section 89 of chapter 801 of the acts of 1963; provided further, that the department shall continue to make payments pursuant to chapter 307 of the acts of 1987 for the use of certain land; and provided further, that not less than ,000 shall be expended for weed control in lake Singletary in the towns of Millbury and Sutton............................................... For a program to provide stormwater management for all properties and roadways under the care, custody and control of the department of conservation and recreation; provided, that not less than ,000 shall be expended for storm water testing in the town of Belmont......................................................... For the existing maintenance, operational and infrastructure needs of the metropolitan beaches in section 70 of chapter 3 of the General Laws; provided, that not less than ,000 shall be expended for the cleanup of Pilayella algae on Kings beach and Long beach in the city of Lynn; provided further, that not less than 0,000 shall be expended for the metropolitan beaches in Lynn, Nahant, Revere, Winthrop, East Boston, South Boston, Dorchester, Quincy and Hull to be fully maintained and seasonally staffed as recommended by the metropolitan beaches commission in coordination with the department of conservation and recreation; provided further, that not less than ,000 shall be expended for Save the Harbor/Save the Bay’s staff time, consultants and direct expenses to support the ongoing work of the metropolitan beaches commission; and provided further, that not less than 0,000 shall be expended for matching grants to public and nonpublic entities to support free public events and programs on the metropolitan beaches as part of Save the Harbor/Save the Bay’s Better Beaches Grants Program as recommended by the metropolitan beaches commission..................................... For the operation of the beaches, pools and spray pools under the control of the department of conservation and recreation; provided, that the seasonal hires of the department’s parks, beaches, pools and spray pools shall be paid from this item; provided further, that all beaches, pools and spray pools shall remain open and staffed from Memorial Day through Labor Day; provided further, that the beaches, pools and spray pools shall be fully maintained; provided further, that seasonal employees who are hired before the second Sunday preceding Memorial Day, whose employment continues beyond the Saturday following Labor Day and who received health insurance benefits in fiscal year 2017, shall continue to receive such benefits in fiscal year 2018 during the period of that employee’s seasonal employment; provided further, that notwithstanding section 1 of chapter 31 of the General Laws, seasonal positions funded by this item shall be positions requiring the services of an incumbent, on either a full-time or less than full-time basis, beginning not earlier than April 1 and ending not later than November 30 or beginning not earlier than September 1 and ending not later than April 30; and provided further, that notwithstanding said section 1 of said chapter 31, seasonal positions funded by this item shall not be filled by an incumbent for more than 8 months within a 12-month period; provided further, that not less than ,000 shall be expended for staffing and operations necessary at Halibut Point state park in the town of Rockport; and provided further, that not less than ,000 shall be expended for staffing and operations necessary at Berry pond in the Harold Parker state forest....... For the office of dam safety; provided, that the office shall, in collaboration with the department of environmental protection and the department of fish and game, establish and maintain a comprehensive inventory of all dams and develop a coordinated permitting and regulatory approach to dam removal for stream restoration and public safety; provided further, that not less than ,000 shall be expended for dam inspections and repairs at Breed and Walden ponds in the city of Lynn; and provided further, that 0,000 shall be expended to the town of Norfolk for the design and repair of the City Mills dam................................................ For the operation of the division of state parks and recreation; provided, that funds appropriated in this item shall be used: (i) to operate all of the division’s parks, parkways, boulevards, roadways, bridges and related appurtenances under the care, custody and control of the division, flood control activities of the division, reservations, campgrounds, beaches and pools; (ii) to oversee skating rinks; and (iii) to protect and manage the division’s lands and natural resources, including the forest and parks conservation services and the bureau of forestry development; provided further, that the same properties shall be open in fiscal year 2018 as were open in fiscal year 2017; provided further, that no funds from this item shall be made available for payment to true seasonal employees; provided further, that the crossing guards located at department of conservation and recreation intersections shall continue to perform the duties where state police previously performed such duties; provided further, that the division may issue grants to public and nonpublic entities from this item; provided further, that the rinks under the control of the department shall remain open and staffed for the full rink season; provided further, that not less than ,000 shall be expended for the maintenance of Red Rock park in the city of Lynn; provided further, that not less than ,000 shall be expended for an air quality study at the Concord playing fields between route 126 and Crosby's corner in the town of Concord; provided further, that not less than 0,000 shall be expended for improvements to Ghiloni park and Stevens playground in the town of Marlborough; provided further, that not less than ,000 shall be expended for improvements to the Head Town landing in the town of Westport; provided further, that not less than ,000 shall be expended for weed removal and water quality measurement for Johnson's pond in the town of Groveland; provided further, that not less than ,000 shall be expended for the development of a community garden at the Medway community farm in the town of Medway; provided further, that not less than ,000 shall be expended for the restoration of the iron ore fence on the corner of route 123 and route 140; provided further, that not less than ,000 shall be expended for a study on the department’s wooded land adjacent to the department’s Kennedy playground and garden in Mattapan; provided further, that not less than ,000 shall be expended for renovations to the Greenville pond dam in the town of Leicester; provided further, that not less than ,000 shall be expended for construction purposes for the Friends of Coppens Square; provided further, that not less than ,000 shall be expended for fencing and repairs to City Square park in Charlestown; provided further, that not less than 0,000 shall be expended for a new veterans park in the city of Lowell; provided further, that not less than ,000 shall be expended for the Franklin, Medway, and Bellingham Army Corps of Engineers flood plain and wildlife habitat; provided further, that not less than 0,000 shall be expended for the Blue Hill Observatory science center; provided further, that not less than ,000 shall be expended for the removal of hazardous substances in the town of Ashland; provided further, that not less than 5,000 shall be expended for tree re-planting in the city of Worcester; provided further, that not less than ,000 shall be expended for the Tom Lopes community sculpture project; provided further, that not less than ,000 shall be expended for the Bradford rail trail in the city of Haverhill; provided further, that not less than ,000 shall be expended for the treatment and preservation of Indian lake in the city of Worcester; provided further, that not less than ,000 shall be expended for the restoration of the Artesani park outdoor theatre; provided further, that not less than ,000 shall be expended for the Let’s Row Boston program; provided further, that not less than ,000 shall be expended for Mac Donald memorial park in the city of Medford; provided further, that not less than ,000 shall be expended to improve Magazine beach in the city of Cambridge; provided further, that not less than ,000 be expended to the city of Beverly for repairs to the carriage house in Lynch park; provided further, that ,000 shall be expended for the development, improvement and landscaping of the Veterans Road playground in the town of Dedham; provided further, that not less than ,000 shall be granted to the parks commission of the city of Brockton to renovate Mc Kinley playground; provided further, that not less than 0,000 shall be expended for an asset management modernization program and implementation pilot within the department with the goal of adequate stewardship and budgeting; provided further, that this funding shall consist of additional staffing, consulting and training; provided further, that the department shall report to the house and senate committees on ways and means not later than February 1, 2018 on the progress of such program and pilot; provided further, that said report shall include, but not be limited to: (a) the status of hiring for the additional staffing required; (b) contracts with outside consulting; and (c) the progress of planned and delivered training; provided further, that not less than 0,000 shall be expended for invasive species control on the Mystic river; provided further, that not less than ,000 shall be expended to Hardwick Pond Preservation Association, Inc. For administrative and program expenses associated with community support services for persons with acquired brain injury who were residing in long-term care facilities under the mediated solution to the final settlement agreement in the case of Hutchinson ex rel. For employment assistance services; provided, that vocational evaluation and employment services for severely disabled adults may be provided............................................ For community-based services, which shall include, but not be limited to, protective services, adult support services, assistive technology services and the annualization of funding for turning 22 program clients who began receiving services in fiscal year 2017 under item 4120-4010 of chapter 133 of the acts of 2016; provided, that not less than ,556,590 shall be expended for assistive technology services .............................................. For the housing registry for the disabled................. For the turning 22 program of the commission............. For homemaking services................................ For the Soldiers’ Home in Massachusetts, which may expend not more than 0,000 in revenues for facility maintenance and patient care, including personnel costs; provided, that 60 per cent of all revenues generated under section 2 of chapter 90 of the General Laws through the purchase of license plates with the designation VETERAN by eligible veterans of the commonwealth, after compensating the registry of motor vehicles for the costs associated with the license plates, shall be deposited into the retained revenue account of the Soldiers’ Home; provided further, that the Soldiers’ Home may accept gifts, grants, donations and bequests; provided further, that for the purpose of accommodating timing discrepancies between the receipt of retained revenues and related expenditures, the Soldiers’ Home may incur expenses and the comptroller may certify for payment amounts not to exceed the lower of this authorization or the most recent revenue estimate as reported in the state accounting system; and provided further, that if the registrar of motor vehicles projects that total revenues from the purchase of license plates with the designation VETERAN will exceed the amounts appropriated in this item and item 4190-1100, the registrar shall notify the secretary of administration and finance and the house and senate committees on ways and means........................................... For the maintenance and operation of the Soldiers’ Home in Holyoke; provided, that no fee, assessment or other charge shall be imposed upon or required of any person for any outpatient treatment, admission or hospitalization which exceeds the amount of fees charged in fiscal year 2017................................... For the Soldiers’ Home in Holyoke, which may expend for its operation not more than ,000 from the licensing of the property for placement of aerial antennas......................................... For the Soldiers’ Home in Holyoke, which may expend for the outpatient pharmacy program not more than 0,000 from copayments which it may charge to users of the program; provided, that no copayment shall be imposed or required of any person which exceeds the level of copayments charged in fiscal year 2017...... For the Soldiers’ Home in Holyoke, which may expend not more than ,000 from fees collected from veterans in its care to provide television and telephone services to residents; provided, that fees from the use of telephones and televisions shall only be expended for payments to vendors for the services; and provided further, that for the purpose of accommodating timing discrepancies between the receipt of retained revenues and related expenditures, the Soldiers’ Home may incur expenses and the comptroller may certify for payment amounts not to exceed the lower of this authorization or the most recent revenue estimate as reported in the state accounting system ,000 4190-0300..