STATE OPERATIONS DEPARTMENT OF MENTAL HYGIENE OFFICE OF MENTAL RETARDATION AND DEVELOPMENTAL DISABILITIES--Cont. STATE OPERATIONS DEPARTMENT OF MENTAL HYGIENE OFFICE OF MENTAL RETARDATION AND DEVELOPMENTAL DISABILITIES--Cont. purserve crisis. Demonstration teams shall con- dollars ($600,000) of the following amount may be used to contract for the provision of respite services, clinical and behavior management services, transportation services and any other services necessary to implement crisis intervention teams specified above. Funding contained herein shall be used for no purpose other than the operation of crisis intervention teams and related contractual expenses For services and expenses related to maintenance for state operated community facilities. On or before October first, nineteen hundred eighty-five, the commissioner will submit to the director of the budget a report detailing the use of this maintenance undistributed account .900,000 500,000 STATE OPERATIONS DEPARTMENT OF MENTAL HYGIENE OFFICE OF MENTAL RETARDATION AND DEVELOPMENTAL DISABILITIES--Cont. STATE OPERATIONS DEPARTMENT OF MENTAL HYGIENE OFFICE OF MENTAL RETARDATION AND DEVELOPMENTAL DISABILITIES--Cont. STATE OPERATIONS DEPARTMENT OF MENTAL HYGIENE OFFICE OF MENTAL RETARDATION AND DEVELOPMENTAL DISABILITIES--Cont. an appropriation by law and authorized by a certificate of approval issued by the director of the budget with copies thereof filed with the comptroller and the chairmen of the senate finance committee and the assembly ways and means committee. The director of the budget shall not issue such a certificate unless he shall have determined that the amounts to be SO transferred are receivable on account or are otherwise readily available for payment. When making loans, the comptroller shall establish appropriate accounts and if the loan is not repaid by the end of the month, provide on or before the fifteenth day of the following month to the director of the budget, the chairmen of the senate finance committee and the assembly ways and means committee, an accurate accounting and reporting of the financial resources of each such fund at the end of such month. Within ten days of the receipt of such accounting and reporting, the director of the budget shall provide to the chairmen of the senate finance committee and the assembly ways and means committee an expected schedule of repayment by fund and by source for each outstanding loan. Repayment shall be made by the comptroller by transfer of the first cash receipts of this fund 1,640,000 |