‘Sec. 2. Appropriations and allocations. The following appropriations and allocations are made.
HEALTH AND HUMAN SERVICES, DEPARTMENT OF (FORMERLY DHS)
Medical Care - Payments to Providers 0147
Initiative: Deallocates funds due to a repeal of the service provider tax for services provided under rule Chapter 101: MaineCare Benefits Manual, Chapter II, Section 97 and Chapter III, Section 97, Appendix C, Private Non-Medical Institution Services.
OTHER SPECIAL REVENUE FUNDS | 2015-16 | 2016-17 |
All Other
|
$0 | ($8,083,333) |
OTHER SPECIAL REVENUE FUNDS TOTAL | $0 | ($8,083,333) |
Medical Care - Payments to Providers 0147
Initiative: Appropriates funds required to offset a repeal of the service provider tax for services provided under rule Chapter 101: MaineCare Benefits Manual, Chapter II, Section 97 and Chapter III, Section 97, Appendix C, Private Non-Medical Institution Services.
GENERAL FUND | 2015-16 | 2016-17 |
All Other
|
$0 | $8,083,333 |
GENERAL FUND TOTAL | $0 | $8,083,333 |
Medical Care - Payments to Providers 0147
Initiative: Deappropriates and deallocates funds due to a reduction in the reimbursement rate under rule Chapter 101: MaineCare Benefits Manual, Chapter II, Section 97 and Chapter III, Section 97, Appendix C, Private Non-Medical Institution Services.
GENERAL FUND | 2015-16 | 2016-17 |
All Other
|
$0 | ($1,038,638) |
GENERAL FUND TOTAL | $0 | ($1,038,638) |
FEDERAL EXPENDITURES FUND | 2015-16 | 2016-17 |
All Other
|
$0 | ($1,863,314) |
FEDERAL EXPENDITURES FUND TOTAL | $0 | ($1,863,314) |
PNMI Room and Board Z009
Initiative: Deappropriates funds due to a reduction in the reimbursement under rule Chapter 101: MaineCare Benefits Manual, Chapter II, Section 97 and Chapter III, Section 97, Appendix C, Private Non-Medical Institution Services.
GENERAL FUND | 2015-16 | 2016-17 |
All Other
|
$0 | ($358,668) |
GENERAL FUND TOTAL | $0 | ($358,668) |
HEALTH AND HUMAN SERVICES, DEPARTMENT OF (FORMERLY DHS) | ||
DEPARTMENT TOTALS | 2015-16 | 2016-17 |
GENERAL FUND
|
$0 | $6,686,027 |
FEDERAL EXPENDITURES FUND
|
$0 | ($1,863,314) |
OTHER SPECIAL REVENUE FUNDS
|
$0 | ($8,083,333) |
DEPARTMENT TOTAL - ALL FUNDS | $0 | ($3,260,620) |