FUND FOR A HEALTHY MAINE (FHM) STATUS |
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Final Amounts through the Close of
Fiscal Year 2010-11 1 |
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FY 10 |
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FY 11 |
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FHM RESOURCES: |
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Revenue |
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December 2008 Base Revenue Estimate |
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$63,760,785 |
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$64,478,815 |
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May 2009 Revenue Forecast |
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($4,106,734) |
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($7,384,811) |
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December 2009 Revenue Forecast |
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$521,642
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$222,282 |
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Initiative to Streamline State Government (LD
1668, PL 2009, c. 462) |
($776,923) |
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($882,971) |
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March 2010 Revenue Forecast |
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($6,807) |
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($9,779) |
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December 2010 Revenue Revision |
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$0 |
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($3,629,443) |
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May 2011 Revenue Revision |
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$0 |
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$1,592,106
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Revenue Variances (Actual minus Budgeted Revenue) |
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($1,831,821) |
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$508 |
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Subtotal -
Revenue |
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$57,560,142 |
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$54,386,707 |
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Other
Resources and Adjustments |
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Adjustments to Prior Year Balances |
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$694,686 |
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$536,315 |
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Lapsed Balances from Unexpended Funds |
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$2,661,971 |
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$2,322,774 |
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Subtotal - Other
Resources and Adjustments |
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$3,356,657
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$2,859,090
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Total FHM
Resources |
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$60,916,798
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$57,245,796
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FHM
ALLOCATIONS AND OTHER USES: 2 |
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Transfers |
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2010-2011 Supplemental Budget (LD 1671, PL 2009. c.571) |
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$3,925,515 |
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$1,455,770
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Subtotal -
Transfers |
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$3,925,515
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$1,455,770
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Allocations |
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2010-2011 Biennial Budget - Baseline Budget |
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$69,006,136 |
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$69,014,916 |
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2010-2011 Biennial Budget Adjustments to Baseline |
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($6,267,094) |
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($8,235,646) |
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Initiative to Streamline State Government (LD
1668, PL 2009, c. 462) |
$0 |
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$110,092 |
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2010-2011 Supplemental Budget (LD 1671, PL 2009. c. 571) |
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$1,676,780
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($3,026,416) |
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EFY11 Supplemental Budget (LD 100, PL 2011, c. 1) |
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$0 |
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$1,380,582 |
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Subtotal -
Allocations |
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$64,415,822
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$59,243,528
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Total
Allocations and Other Uses |
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$68,341,337
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$60,699,298
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Net Change
(Resources minus Allocations and Other Uses) |
($7,424,539) |
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($3,453,502) |
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BEGINNING BALANCE |
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$11,845,686
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$4,421,147
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NET CHANGE (FROM ABOVE) |
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($7,424,539) |
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($3,453,502) |
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ENDING BALANCE 3 |
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$4,421,147 |
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$967,645 |
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Major
Changes Proposed in Governor's 2010-2011 Supplemental Budget: |
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FY 10 |
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FY 11 |
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> |
Transfers Fund
for a Healthy Maine balance to General Fund unappropriated surplus in FY 10
and FY 11. |
$3,925,515 |
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$1,455,770
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> |
Provides funding
to the Fire Marshall for inspections of facilities licensed by the Department
of Health and Human Services. |
$1,140,780 |
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$0 |
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> |
Provides funding
to offset the deallocation made in PL 2009, c. 213, Part UUUU. |
$536,000 |
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$0 |
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> |
Transfers 4
Community Care Worker positions and one Social Services Program Specialist II
position from the FHM - Service Center program to the Division of Licensing
and Regulatory Services program. |
$0 |
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($412,346) |
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> |
Reduces funding to reflect
a fund wide reduction to the Fund for a Healthy Maine in Fiscal Year 2010-11 |
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$0 |
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($1,380,582) |
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> |
Adjusts funding available
as the result of the extension of the enhanced Federal Medical
Assistance
Percentage for an additional 2 quarters. |
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$0 |
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($1,278,488) |
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> |
Allocates funds for FHM -
Bureau of Health Oral Health Program to partially restore cut in Biennial
Budget, PL 2009, c. 213. |
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$0 |
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$45,000 |
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NOTES: |
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1 |
Reflects all
budgeted revenue, transfers and allocations through the close of the 1st
Regular Session of the 125th Legislature, including revenue variances and
accounting adjustments at the close of FY 11. |
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2 |
For
the purposes of this summary, transfers out are treated as an expenditure/use
and are positive amounts, while transfers in are negative amounts. |
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3 |
PL 2011 c. 1,
Part G allowed the State Controller to transfer up to $3,500,000 in FY 11
from Other Special Revenue Funds to the Fund for a Healthy Maine to help meet
obligations of the Fund for a Healthy Maine for FY 11. As a result of program balances and closing
adjustments for FY 11 this transfer was not needed. |
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