D.C. Code § 47-392.02
Section 133(b) and (c) of Pub. L. 107-96 provided:
"(b) Effective date.-The amendment made by subsection (a) shall take effect October 1, 2001.
Section 794 of D.C. Law 18-370 provided: "Sec. 794. This subtitle shall apply as of January 3, 2011."
"(c) Conforming amendments.-Section 159(c) of the District of Columbia Appropriations Act, 2001 (Public Law 106-522; 114 Stat. 2482) is amended to read as follows:
"(c) Effective Date. -
"(1) In general.-Except as provided in paragraph (2), this section and the amendments made by this section shall take effect on October 1, 2000.
"(2) Repeal of positive fund balance requirement.-The amendment made by subsection (b)(2) shall take effect October 1, 1999.
"(3) Transfer of funds.-All funds identified by the District government pursuant to section 148 of Public Law 106-113, as reflected in the certified annual financial report for fiscal year 2000, shall be deposited during fiscal year 2002 into the Emergency and Contingency Reserve Funds established pursuant to section 159 of Public Law 106-522, during fiscal year 2002."
Prior to the addition of (i) by Pub. L. 105-33, (e) was the last subsection of this section. Public Law 105-33 made no disposition with respect to (f), (g), and (h), so those subsections have been set out as "Omitted."
Application of § 11603(b) of Pub. L. 105-33: Section 11603(c) of title XI of Pub. L. 105-33, 111 Stat. 779, the National Capital Revitalization and Self-Government Improvement Act of 1997, provided that the amendment made by § 11603(b) shall apply with respect to fiscal years beginning with fiscal year 1998.
Section 2002 of D.C. Law 13-38 provided:
"(a) Pursuant to section 155 of the District of Columbia Appropriations Act, 1999, approved October 21, 1998 (Pub. L. No. 105-277; 112 Stat. 2681 171), the District shall have a reserve in the amount of $150 million ( ~Reserve').
"(b) The criteria for spending from this Reserve are to ensure budget balance in case of a shortfall in revenue, or to provide flexibility to fund such expenditures as nonrecurring initiatives that support sustainable and measurable increases in revenues through enhanced service delivery, that reduce costs, that are unforeseen demands on District spending, or that constitute an investment in fostering the District's economic well-being. The District shall spend the funds from the Reserve in such a way that an appropriate balance is available in the 1st, 2nd, and 3rd quarters to ensure balance between revenues and expenditures at year end. Under no circumstances should the budgeted Reserve serve to provide resources to agencies to allow them to overspend their budget.
"(c) In accordance with the criteria set forth in subsection (b) of this section, funds from the Reserve shall be applied in the following order:
"(1) To ensure budget balance in case of a shortfall in revenue;
"(2) To expenditures that are identified in subsection (d) of this section;
"(3) To expenditures that reduce the District's long-term debt; and
"(4) To other expenditures that meet the criteria set forth in subsection (b) of this section.
"(d) The following expenditures shall be funded from the reserve in Fiscal Year 2000:
"(1) $60,000 to the Council, to hire an independent consultant to negotiate a contract between the District and the Health and Hospitals Public Benefit Corporation for services for uninsured residents;
"(2) $1,000,000 to the Office of the Mayor, to fund one-time program enhancements;
"(3) $4,100,000 to the Office of the City Administrator, including $1 million in one-time program enhancements and $3.1 million for non-personal services expenditures, to support planning for managed competition, including activity-based costing;
"(4) $3,700,000 to the Department of Employment Services, to fund youth-related programs;
"(5) $5,833,000 to the Department of Consumer and Regulatory Affairs, to fund one-time neighborhood stabilization programs;
"(6) $850,000 to the Department of Corrections, to fund one-time funding for a physical plant;
"(7) $18,000,000 to District of Columbia Public Schools, to fund selected special education placements and the LaShawn Receivership;
"(8) $3,000,000 to the University of the District of Columbia, to fund one-time technology enhancements;
"(9) $1,227,000 to the Public Library, to fund one-time non-personal service increases;
"(10) $1,246,000 to the Department of Human Services, to fund one-time expenditures;
"(11) $996,000 to the Department of Health, to fund one-time expenditures;
"(12) $15,000,000 to the Children and Youth Initiative, to fund one-time program enhancements;
"(13) $5,257,000 to the LaShawn Receiver, including $3,100,000 to fund one-time youth programs, and $2,157,000 to bring it to full funding;
"(14) $1,000,000 to the Mental Health Receiver, to fund one-time expenditures;
"(15) $11,540,000 to the Department of Public Works, to fund one-time program enhancements;
"(16) $1,542,000 to the Department of Motor Vehicles, to fund one-time motor vehicle information system enhancements; and
"(17) $16,050,000 to the Tobacco Settlement Trust Fund, reflecting a transfer to create the Trust Fund."
Section 3a of D.C. Law 17-360, as added by section 7031 of D.C. Law 18-111, provided:
"Sec. 3a. Applicability.
"Section 2(d) of D.C. Law 17-360 shall take effect subject to the inclusion of its fiscal effect in an approved budget and financial plan.".
Applicability of D.C. Law 20-61: Section 11001 of D.C. Law 20-61 provided that, except as otherwise provided, the act shall apply as of October 1, 2013.
Applicability
Section 16 of D.C. Law 23-68 provided that the changes made to this section by D.C. Law 23-68 shall apply as of October 1, 2019.
Section 16 of D.C. Law 23-68 provided that the changes made to this section by D.C. Law 23-68 shall apply as of October 1, 2019.