South Carolina General Assembly
107th Session, 1987-1988

Continuation of Appropriations Act

SECTION 31
EDUCATIONAL TELEVISION COMMISSION
                           Total Funds   General Funds 
 I. INTERNAL ADMINISTRATION:                         
  PERSONAL SERVICE:                                  
   PRESIDENT & GENERAL MGR.     75,015         75,015
                                (1.00)         (1.00)
SECTION 31
EDUCATIONAL TELEVISION COMMISSION
                           Total Funds   General Funds 
   CLASSIFIED POSITIONS      1,242,426        996,740
                               (57.05)        (47.05)
   UNCLASSIFIED POSITIONS       68,905         68,905
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          10,556            556
   PER DIEM                      4,000          1,334
   SPECIAL CONTRACT EMPLOYEE    66,000               
  TOTAL PERSONAL SERVICES    1,466,902      1,142,550
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        899,600        507,933
   SUPPLIES AND MATERIALS      370,000        194,461
   FIXED CHGS. & CONTRIB.    1,277,480        517,623
   TRAVEL                       50,000         20,000
   EQUIPMENT                   225,414        134,414
   SALES TAX PAID               65,000         23,000
   LIGHT/POWER/HEAT             63,500         51,081
   TRANSPORTATION               61,500         58,975
  TOTAL OTHER OPERATING
  EXPENSES                   3,012,494      1,507,487
  SPECIAL ITEMS                                      
 TOTAL INTERNAL
  ADMINISTRATION             4,479,396      2,650,037
                             =========== ============
 II. ED. ASSESSMENT &                                
  PROGRAM DEVELOP.                                   
  PERSONAL SERVICE                                   
   CLASSIFIED POSITIONS        742,744        658,291
                               (25.47)        (22.00)
  NEW POSITIONS ADDED BY THE                         
  BUDGET AND CONTROL BOARD                           
  AND THE JOINT LEGISLATIVE                          
  COMMITTEE ON PERSONAL
  SERVICE                       
  FINANCING AND BUDGETING                            
   ASSOCIATE PRODUCER                                
                                 (.13)               
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS             478            478
  TOTAL PERSONAL SERVICE       743,222        658,769
SECTION 31
EDUCATIONAL TELEVISION COMMISSION
                           Total Funds   General Funds 
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES      2,263,875         28,000
   SUPPLIES AND MATERIALS        5,000          1,000
   TRAVEL                       60,000          5,500
  TOTAL OTHER OPERATING
   EXPENSES                  2,328,875         34,500
 TOTAL ED. ASSESS. &
  PROG. DEVEL.               3,072,097        693,269
                             =========== ============
 III. TV, RADIO & OTHER                              
  PRODUCTION                                         
  PERSONAL SERVICES                                  
   CLASSIFIED POSITIONS      4,143,167      3,665,782
                              (182.25)       (160.25)
  NEW POSITIONS:                                     
   STUDIO TECH. II              16,000         16,000
                                (1.00)         (1.00)
   COMPUTER TECH.               18,000         18,000
                                (1.00)         (1.00)
   MAINTENANCE TECH.            43,000         43,000
                                (2.00)         (2.00)
   PRODUCTION DIRECTOR          21,201         21,201
                                (1.00)         (1.00)
   CAMERA OPS.                  44,685         44,685
                                (3.00)         (3.00)
   PROD. ASST. II               14,895         14,895
                                (1.00)         (1.00)
   VT EDITORS                   56,547         56,547
                                (3.00)         (3.00)
   RECORD ROOM TECH.            44,685         44,685
                                (3.00)         (3.00)
   FIELD AV TECH.               18,849         18,849
                                (1.00)         (1.00)
   STUDIO AV TECH.              37,698         37,698
                                (2.00)         (2.00)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS           7,768          1,768
  TOTAL PERSONAL SERVICE     4,466,495      3,983,110
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        357,000        142,588
   SUPPLIES AND MATERIALS      613,500        298,217
SECTION 31
EDUCATIONAL TELEVISION COMMISSION
                           Total Funds   General Funds 
   FIXED CHGS. & CONTRIB.       14,000          6,310
   TRAVEL                      160,000         53,525
   EQUIPMENT                 1,018,000        319,442
   LIGHT/POWER/HEAT            185,000        144,239
  TOTAL OTHER OPERATING
   EXPENSES                  2,347,500        964,321
 TOTAL TV, RADIO & OTHER                             
  PRODUCTION                 6,813,995      4,947,431
                             =========== ============
 IV. TRANSMISSION &
  RECEPTION PERSONAL                                 
  SERVICE CLASSIFIED                                 
    POSITIONS                2,017,796      1,925,437
                               (98.65)        (92.15)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS           4,768          1,768
  TOTAL PERSONAL SERVICE     2,022,564      1,927,205
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES      2,421,964      2,402,564
   SUPPLIES AND MATERIALS      283,502        183,813
   TRAVEL                       55,488         45,488
   EQUIPMENT                   428,775        428,775
   LIGHT/POWER/HEAT            650,000        554,436
  TOTAL OTHER OPERATING
   EXPENSES                  3,839,729      3,615,076
  DEBT SERVICES                                      
   PRINCIPAL - IPP NOTE        590,863        590,863
   INTEREST - IPP NOTE         885,748        885,748
  TOTAL DEBT SERVICES        1,476,611      1,476,611
 TOTAL TRANSMISSION &
  RECEPTION                  7,338,904      7,018,892
                             =========== ============
 V. EMPLOYEE BENEFITS                                
   BASE PAY INCREASE            26,996               
  TOTAL PERSONAL SERVICE        26,996               
 TOTAL BASE PAY INCREASE        26,996               
                             =========== ============
  C. STATE EMPLOYER
    CONTRIBUTIONS                     
    EMPLOYER CONTRIBUTIONS   1,717,355      1,526,435
SECTION 31
EDUCATIONAL TELEVISION COMMISSION
                           Total Funds   General Funds 
   TOTAL FRINGE BENEFITS     1,717,355      1,526,435
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS             1,717,355      1,526,435
                             =========== ============
 TOTAL EMPLOYEE BENEFITS     1,744,351      1,526,435
                             =========== ============
 TOTAL EDUCATIONAL
  TELEVISION COMMISSION     23,448,743     16,836,064
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS              (383.55)       (341.45)
                             =========== ============
  31.1. The Educational Television Commission shall be permitted to
carry forward any funds derived from grant awards or designated
contributions and any state funds necessary to match such funds,
provided that these funds be expended for the programs which they
were originally designated.
  31.2. The Educational Television Commission shall annually report
the cost of providing production services to governmental agencies
by including a summary of these projects in the Commission's annual
report to the Legislature. The information reported in this summary
shall include the direct and indirect costs including in kind costs
incurred by the Commission by category of the production services
provided to governmental agencies.
  31.3. Of the funds appropriated to ETV for transmission and
reception equipment, $150,000 must be used exclusively to purchase
school reception equipment.
SECTION 32
WIL LOU GRAY OPPORTUNITY SCHOOL
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
  PERSONAL SERVICE:                                  
   SUPERINTENDENT               45,583         45,583
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS        227,159        200,992
                               (10.00)         (9.82)
  OTHER PERSONAL SERVICE:                            
   PER DIEM                      3,000          2,000
  TOTAL PERSONAL SERVICE       275,742        248,575
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         15,448         12,829
   SUPPLIES AND MATERIALS       18,400         15,000
   FIXED CHGS. & CONTRIB.        7,667          3,167
   TRAVEL                        7,500          4,500
   EQUIPMENT                    13,000          4,000
  TOTAL OTHER OPERATING
   EXPENSES                     62,015         39,496
 TOTAL ADMINISTRATION          337,757        288,071
                             =========== ============
 II. EDUCATIONAL PROGRAM                             
  A. ACADEMIC PROGRAM                                
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       111,175         96,927
                                (3.00)         (2.63)
    UNCLASSIFIED POSITIONS     497,538        337,265
                               (14.71)        (10.63)
   TOTAL PERSONAL SERVICE      608,713        434,192
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         7,600          6,500
    SUPPLIES AND MATERIALS      44,172         37,155
    FIXED CHGS. & CONTRIB.       3,100               
    TRAVEL                       3,500          3,500
    EQUIPMENT                   23,500         23,500
   TOTAL OTHER OPERATING
    EXPENSES                    81,872         70,655
  TOTAL ACADEMIC PROGRAM       690,585        504,847
                             =========== ============
  II. EDUCATIONAL PROGRAM:                           
  B. VOCATIONAL EDUCATION:                           
   PERSONAL SERVICE:                                 
    UNCLASSIFIED POSITIONS     167,430        102,699
SECTION 32
WIL LOU GRAY OPPORTUNITY SCHOOL
                           Total Funds   General Funds 
                                (6.62)         (4.04)
   TOTAL PERSONAL SERVICE      167,430        102,699
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        64,535         64,535
    SUPPLIES AND MATERIALS      18,612         15,550
    TRAVEL                       3,500          3,500
    EQUIPMENT                   23,008         18,495
   TOTAL OPERATING EXPENSES    109,655        102,080
  TOTAL VOCATIONAL EDUCATION   277,085        204,779
                             =========== ============
  II. EDUCATIONAL PROGRAM:                           
  C. LIBRARY:                                        
   PERSONAL SERVICE:                                 
    UNCLASSIFIED POSITIONS      32,155         27,566
                                 (.87)          (.71)
   TOTAL PERSONAL SERVICE       32,155         27,566
   OTHER OPERATING EXPENSES:                         
    SUPPLIES AND MATERIALS       7,500          3,000
    EQUIPMENT                    1,000          1,000
   TOTAL OTHER OPERATING
    EXPENSES                     8,500          4,000
  TOTAL LIBRARY                 40,655         31,566
                             =========== ============
 TOTAL EDUCATIONAL PROGRAM   1,008,325        741,192
                             =========== ============
 III. STUDENT SERVICES:                              
  PERSONAL SERVICES                                  
   CLASSIFIED POSITIONS        497,932        479,910
                               (31.27)        (30.56)
  TOTAL PERSONAL SERVICE       497,932        479,910
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES          8,655          8,000
   SUPPLIES AND MATERIALS       27,100         24,500
   FIXED CHGS. & CONTRIB.          200            200
   TRAVEL                        4,200          4,000
   EQUIPMENT                    31,500         31,500
   SCHOLARSHIP-NON-STATE EMP    12,000               
  TOTAL OPERATING EXPENSES      83,655         68,200
 TOTAL STUDENT SERVICES        581,587        548,110
                             =========== ============
SECTION 32
WIL LOU GRAY OPPORTUNITY SCHOOL
                           Total Funds   General Funds 
 IV. SUPPORT SERVICES:                               
  PERSONAL SERVICE:                                  
   CLASSIFIED POSITIONS        292,404        292,404
                               (21.13)        (21.13)
   TEMPORARY POSITIONS          25,000         25,000
  TOTAL PERSONAL SERVICE       317,404        317,404
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        125,074         74,634
   SUPPLIES AND MATERIALS      192,914         77,042
   FIXED CHGS. & CONTRIB.       33,090         28,090
   TRAVEL                        2,000          2,000
   LIGHT/POWER/HEAT            172,408        167,000
   TRANSPORTATION                6,000          6,000
  TOTAL OPERATING EXPENSES     531,486        354,766
 TOTAL SUPPORT SERVICES        848,890        672,170
                             =========== ============
 V. EMPLOYEE BENEFITS                                
  B. BASE PAY INCREASE                               
   PERSONAL SERVICE                                  
    BASE PAY INCREASE            8,389               
   TOTAL PERSONAL SERVICE        8,389               
  TOTAL BASE PAY INCREASE        8,389               
                             =========== ============
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS     392,678        337,580
   TOTAL FRINGE BENEFITS       392,678        337,580
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS               392,678        337,580
                             =========== ============
 TOTAL EMPLOYEE BENEFITS       401,067        337,580
                             =========== ============
 TOTAL WIL LOU GRAY                                  
  OPPORTUNITY SCH.           3,177,626      2,587,123
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS               (88.60)        (80.52)
                             =========== ============
  32.1. The Opportunity School will incorporate into its program
services for students, ages 15 and 
SECTION 32
WIL LOU GRAY OPPORTUNITY SCHOOL
over, who are deemed truant; and will cooperate with the Department
of Youth Services, the Family Courts, and School districts to
encourage the removal of truant students to the Opportunity School
when such students can be served appropriately by the Opportunity
School's program.
  32.2. The Wil Lou Gray Opportunity School may upgrade counselor
positions to an unclassified scale in order to recruit and retain
counselors certified by the State Department of Education.
SECTION 33
VOCATIONAL REHABILITATION
                           Total Funds   General Funds 
 I. ADMINSTRATION:                                   
  PERSONAL SERVICE:                                  
   COMMISSIONER/S               71,434         71,434
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS      1,702,142      1,036,604
                               (67.00)        (40.08)
   UNCLASSIFIED POSITIONS      141,984         71,763
                                (5.00)         (1.20)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          10,000               
   PER DIEM                      4,000          2,080
  TOTAL PERSONAL SERVICES    1,929,560      1,181,881
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        310,000         49,600
   SUPPLIES AND MATERIALS      130,000         20,800
   FIXED CHGS. & CONTRIB.       75,000         12,000
   TRAVEL                       36,000          5,760
   EQUIPMENT                   185,000         29,600
   LIGHT/POWER/HEAT             65,000         10,400
   TRANSPORTATION                5,000            800
  TOTAL OTHER OPERATING
   EXPENSES                    806,000        128,960
 TOTAL ADMINSTRATION         2,735,560      1,310,841
                             =========== ============
SECTION 33
VOCATIONAL REHABILITATION
                           Total Funds   General Funds 
 II. VOCATIONAL REHAB.
  PROGRAMS                                           
  A. BASIC SERVICE PROGRAM                           
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS    15,443,912      8,743,759
                              (754.00)       (415.12)
    UNCLASSIFIED POSITIONS     135,000               
                                (9.70)               
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS        315,000               
   TOTAL PERSONAL SERVICE   15,893,912      8,743,759
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES     2,220,000        271,200
    SUPPLIES AND MATERIALS     825,000        124,000
    FIXED CHGS. & CONTRIB.     550,000         88,000
    TRAVEL                     365,000         58,400
    EQUIPMENT                1,300,000        208,000
    LIGHT/POWER/HEAT           510,000         81,600
    TRANSPORTATION             125,000         20,000
   TOTAL OPERATING EXPENSES  5,895,000        851,200
   CASE SERVICES                                     
    CASE SERVICES            8,419,947      1,218,100
                                                     
   TOTAL CASE SERVICES       8,419,947      1,218,100
  TOTAL BASIC SERVICE
   PROGRAM                  30,208,859     10,813,059
                             =========== ============
  B. SPECIAL PROJECTS                                
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       369,300         59,183
                               (16.00)         (3.00)
   NEW POSITIONS:                                    
   B & C BOARD AND JOINT                             
   LEGISLATIVE COMMITTEE ON                          
   PERSONAL SERVICE                                  
   FINANCING AND                                     
   BUDGETING                                         
    REHAB. ASST. II             72,216               
                                (6.00)               
    REHAB. ASSOC.               84,492               
                                (6.00)               
SECTION 33
VOCATIONAL REHABILITATION
                           Total Funds   General Funds 
    UNCLASSIFIED POSITIONS      38,172               
                                (1.00)               
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         23,700         11,700
   TOTAL PERSONAL SERVICE      587,880         70,883
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       182,583          5,000
    SUPPLIES AND MATERIALS      96,199         10,000
    FIXED CHGS. & CONTRIB.       4,420          1,000
    TRAVEL                      89,916          3,000
    EQUIPMENT                   14,000         10,000
    LIGHT/POWER/HEAT            25,500         25,500
    TRANSPORTATION              13,500         13,500
   TOTAL OTHER OPERATING
   EXPENSES                    426,118         68,000
   CASE SERVICES                                     
    CASE SERVICES              270,184         40,684
   TOTAL CASE SERVICES         270,184         40,684
  TOTAL SPECIAL PROJECTS     1,284,182        179,567
                             =========== ============
  C. WORKSHOP PRODUCTION                             
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       170,000               
    SUPPLIES AND MATERIALS     194,000               
    FIXED CHGS. & CONTRIB.     110,000               
    EQUIPMENT                  220,000               
    PURCHASE FOR RESALE      2,800,000               
    SALES TAX PAID               2,000               
    TRANSPORTATION              50,000               
    STIPEND                  4,454,000               
   TOTAL OTHER OPERATING
   EXPENSES                  8,000,000               
  TOTAL WORKSHOP
  PRODUCTION                 8,000,000               
                             =========== ============
 TOTAL VOCATIONAL REHAB.
  PROGRAM                   39,493,041     10,992,626
                             =========== ============
SECTION 33
VOCATIONAL REHABILITATION
                           Total Funds   General Funds 
 III. DISABILITY                                     
  DETERMINATION DIV.                                 
  PERSONAL SERVICE                                   
   CLASSIFIED POSITIONS      6,013,438               
                              (269.00)               
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS         110,000               
  TOTAL PERSONAL SERVICE     6,123,438               
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        750,000               
   SUPPLIES AND MATERIALS      330,000               
   FIXED CHGS. & CONTRIB.      580,000               
   TRAVEL                       75,000               
   EQUIPMENT                   200,000               
  TOTAL OTHER OPERATING
  EXPENSES                   1,935,000               
  CASE SERVICES                                      
   CASE SERVICES             5,088,217               
  TOTAL CASE SERVICES        5,088,217               
 TOTAL DISABILITY                                    
  DETERMINATION DIV.        13,146,655               
                             =========== ============
 IV. OTHER AUXILIARY
  PROGRAMS                                           
  A. JTPA                                            
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS        42,260               
                                (2.00)               
   OTHER PERSONAL SERVICE                            
   TOTAL PERSONAL SERVICE       42,260               
   OTHER OPERATING EXPENSE                           
    TRAVEL                         500               
   TOTAL OTHER OPERATING
   EXPENSE                         500               
  TOTAL JTPA                    42,760               
                             =========== ============
  B. WORK ACTIVITY CENTERS                           
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       441,391               
                               (26.00)               
SECTION 33
VOCATIONAL REHABILITATION
                           Total Funds   General Funds 
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         40,000               
   TOTAL PERSONAL SERVICE      481,391               
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        70,700               
    SUPPLIES AND MATERIALS      17,800               
    FIXED CHGS. & CONTRIB.      86,200               
    TRAVEL                       3,000               
    EQUIPMENT                    1,500               
    LIGHT/POWER/HEAT            45,000               
    TRANSPORTATION               9,000               
   TOTAL OTHER OPERATING
   EXPENSES                    233,200               
  TOTAL WORK ACTIVITY
  CENTERS                      714,591               
                             =========== ============
 TOTAL OTHER AUXILIARY
 PROGRAMS                      757,351               
                             =========== ============
 V. EMPLOYEE BENEFITS                                
   BASE PAY INCREASE           437,191               
  TOTAL PERSONAL SERVICE       437,191               
 TOTAL BASE PAY INCREASE       437,191               
                             =========== ============
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS   5,343,007      2,055,636
   TOTAL FRINGE BENEFITS     5,343,007      2,055,636
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS             5,343,007      2,055,636
                             =========== ============
 TOTAL EMPLOYEE BENEFITS     5,780,198      2,055,636
                             =========== ============
 TOTAL VOCATIONAL
  REHABILITATION            61,912,805     14,359,103
                             =========== ============
  TOTAL AUTHORIZED
  FTE POSITIONS              (1162.70)       (460.40)
                             =========== ============
SECTION 33
VOCATIONAL REHABILITATION
  33.1. All revenues derived from production contracts earned by
the handicapped trainees of the Evaluation and Training Facilities
(Workshops) may be retained by the State Agency of Vocational
Rehabilitation and used in the facilities for Client Wages and any
other production costs; and further, any excess funds derived from
these production contracts be used for other operating expenses
and/or permanent improvements of these facilities.
  33.2. To maximize utilization of federal funding and prevent the
loss of such funding to other states in the Basic Service Program,
the State Agency of Vocational Rehabilitation be allowed to budget
reallotment and other funds received in excess of original
projections in following State fiscal years.
  33.3. The General Assembly hereby directs the Department of
Vocational Rehabilitation to complete a reconciliation of the cost
to operate the Basic Support program related to the combination of
State and Federal funds available following the close of each
Federal fiscal year. Such reconciliation shall begin with the
Federal fiscal year ending September 30, 1989. Federal funds
participation for that period shall be applied at the maximum
allowable percentage and the level of those funds on hand which
have resulted from the overparticipation of State funds shall be
remitted to the General Fund within 120 days following the close of
the Federal fiscal year. This reconciliation and subsequent
remission to the General Fund shall be reviewed by the State
Auditor to ensure that appropriate Federal/State percentages are
applied. It is the intent of the General Assembly that
Federal/State percentages budgeted and appropriated shall in no way
be construed as authorization for the Department to retain the
Federal funds involved.
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
                           Total Funds   General Funds 
 I. ADMINISTRATION AND
  PHYSICAL SUPP.:                                    
  PERSONAL SERVICE:                                  
   PRESIDENT                    55,978         55,978
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS      1,315,557      1,219,571
                               (77.15)        (69.47)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS         195,000        195,000
   PER DIEM                      2,000          2,000
  TOTAL PERSONAL SERVICES    1,568,535      1,472,549
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        240,988        195,000
   SUPPLIES AND MATERIALS      382,777        369,627
   FIXED CHGS. & CONTRIB.       78,000         78,000
   TRAVEL                       37,572         35,000
   EQUIPMENT                   115,085         94,860
   LIB BOOKS, MAPS & FILMS       5,000          5,000
   LIGHT/POWER/HEAT            387,000        387,000
   TRANSPORTATION               50,000         50,000
   SCHOLARSHIP-NON-STATE EMP     1,000               
  TOTAL OTHER OPERATING
  EXPENSES                   1,297,422      1,214,487
  SPECIAL ITEM:                                      
  S.C. ASSOCIATION OF DEAF                           
    MISCELLANEOUS OPERATIONS   122,000        122,000
   TOTAL SPECIAL ITEM          122,000        122,000
   PUBLIC ASSISTANCE
    PAYMENTS CASE SERVICES         500               
   TOTAL PUBLIC ASSIST.
   PAYMENTS                        500               
 TOTAL ADMINISTRATION &                         
  PHYS. SUPPORT              2,988,457      2,809,036
                             =========== ============
 II. EDUCATIONAL SUPPORT                             
   SERVICE PERSONAL SERVICE:                         
   CLASSIFIED POSITIONS      1,470,151      1,383,526
                               (94.15)        (86.48)
   UNCLASSIFIED POSITIONS      859,203        602,202
                               (27.76)        (20.84)
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
                           Total Funds   General Funds 
  NEW POSITIONS:                                     
   TEACHER                      67,000         67,000
                                (3.00)         (3.00)
   TEACHERS AIDE                24,200         24,200
                                (2.00)         (2.00)
   DORM COUNSELOR                9,800          9,800
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          72,230         72,230
   O.T. & SHIFT DIFFER.         28,100         28,100
   STUDENT EARNINGS             10,000               
  TOTAL PERSONAL SERVICES    2,540,684      2,187,058
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         91,405         64,000
   SUPPLIES AND MATERIALS       91,792         49,225
   FIXED CHGS. & CONTRIB.        2,437          2,137
   TRAVEL                        7,572          5,000
   EQUIPMENT                    13,235         10,000
  TOTAL OTHER OPERATING
   EXPENSES                    206,441        130,362
  PUBLIC ASSISTANCE PAYMENTS                         
   CASE SERVICES                52,000         52,000
  TOTAL PUBLIC ASSISTANCE
   PAY                          52,000         52,000
 TOTAL EDUCATIONAL SUPPORT                           
  SERVICES                   2,799,125      2,369,420
                             =========== ============
 III. MULTIHANDICAPPED                               
  PERSONAL SERVICE:                                  
   CLASSIFIED POSITIONS        876,716        874,570
                               (49.27)        (49.23)
  NEW POSITIONS                                      
  ADDED BY THE BUDGET AND                            
  CONTROL BOARD AND THE                              
  JOINT LEGISLATIVE COMM                             
  ON PERSONAL SERVICE                                
  FINANCING AND BUDGETING                            
   TEACHERS                                          
                                (9.11)               
   UNCLASSIFIED POSITIONS      646,879        484,532
                               (26.74)        (21.20)
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
                           Total Funds   General Funds 
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          12,550         12,550
   O.T. & SHIFT DIFFER.         20,000         20,000
  TOTAL PERSONAL SERVICES    1,556,145      1,391,652
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         20,700         18,400
   SUPPLIES AND MATERIALS       35,300         21,500
   FIXED CHGS. & CONTRIB.          400            400
   TRAVEL                        4,472          1,900
  TOTAL OTHER OPERATING 
   EXPENSES                     60,872         42,200
  SPECIAL ITEM                                       
  PUBLIC ASSISTANCE PAYMENTS                         
                                                     
 TOTAL MULTI-HANDICAPPED     1,617,017      1,433,852
                             =========== ============
 IV. DEAF SCHOOL                                     
  PERSONAL SERVICE:                                  
   CLASSIFIED POSITIONS        407,136        248,272
                               (12.09)        (11.17)
  NEW POSITIONS ADDED BY THE                         
  BUDGET AND CONTROL BOARD                           
  AND THE JOINT LEGISLATIVE                          
  COMMITTEE ON PERSONAL                              
  SERVICES, FINANCING                                
  AND BUDGETING                                      
   TEACHERS                                          
                                (4.17)               
   UNCLASSIFIED POSITIONS      816,646        632,700
                               (32.83)        (27.03)
  NEW POSITIONS:                                     
   PROGRAM COORDINATOR          28,855         28,855
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS          46,140         12,000
  TOTAL PERSONAL SERVICE     1,298,777        921,827
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         75,223          8,380
   SUPPLIES AND MATERIALS       47,117         16,500
   FIXED CHGS. & CONTRIB.          400            400
   TRAVEL                        9,532          3,900
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
                           Total Funds   General Funds 
   EQUIPMENT                     5,078               
   SCHOLARSHIP-NON-STATE EMP     2,300          2,300
  TOTAL OTHER OPERATING
   EXPENSES                    139,650         31,480
  SPECIAL ITEM:                                      
   DEAF SCHOOL PRE-SCHOOL      256,079        256,079
  TOTAL DEAF PRE-SCHOOL        256,079        256,079
 TOTAL DEAF SCHOOL           1,694,506      1,209,386
                             =========== ============
 V. BLIND SCHOOL                                     
  PERSONAL SERVICE:                                  
   CLASSIFIED POSITIONS        116,617        114,435
                                (6.08)         (6.02)
   UNCLASSIFIED POSITIONS      565,126        418,011
                               (17.56)        (12.95)
  OTHER PERSONAL SERVICE                             
   TEMPORARY POSITIONS           6,400          6,400
  TOTAL PERSONAL SERVICE       688,143        538,846
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES          4,265            765
   SUPPLIES AND MATERIALS       16,950          3,000
   FIXED CHGS. & CONTRIB.          135            135
   TRAVEL                        4,072          1,500
   SCHOLARSHIP-NON-STATE EMP       700            700
  TOTAL OTHER OPERATING
   EXPENSES                     26,122          6,100
  DISTRIBUTION TO SUB-
  DIVISIONS AID OTHER                                
  STATE AGENCIES                 4,760          4,760
  TOTAL DISTRIBUTION TO                              
   SUB-DIVISIONS                 4,760          4,760
 TOTAL BLIND SCHOOL            719,025        549,706
                             =========== ============
 VI. EMPLOYEE BENEFITS                               
  B. BASE PAY INCREASE                               
    BASE PAY INCREASE           33,912               
   TOTAL PERSONAL SERVICE       33,912               
  TOTAL BASE PAY INCREASE       33,912               
                             =========== ============
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
                           Total Funds   General Funds 
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS   1,602,440      1,359,748
   TOTAL FRINGE BENEFITS     1,602,440      1,359,748
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS             1,602,440      1,359,748
                             =========== ============
 TOTAL EMPLOYEE BENEFITS     1,636,352      1,359,748
                             =========== ============
 VII. NON-RECURRING
  APPROPRIATONS                                      
 TOTAL SC SCHOOL FOR
   DEAF & BLIND             11,454,482      9,731,148
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS              (364.91)       (312.39)
                             =========== ============
  34.1. The amount appropriated in this Section for "Blind
Placement Bureau" is conditional upon the receipt of federal
matching funds in the amount of $15,000.
  34.2. The School for the Deaf and Blind is authorized to contract
for the services of a physician and to provide office space for the
physician to be used to treat both students of the school and
private patients; the School shall charge the physician a fair
market rental value for the office space.
  34.3. The School for the Deaf and Blind is authorized to charge
to the parents of students at the school a student activity fee,
differentiated according to the income of the family. The required
student activity fee shall not exceed $40.00.
  34.4. The School for the Deaf and Blind is authorized to charge
local school districts a fee equal to the required district share
through the Education Finance Act of the weighted student cost of
each new student entering the multi-handicapped school. This charge
shall be levied only for new students accepted into the
multi-handicapped school 
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
after June 1, 1982, with the recommendation of the local school
district.
  34.5. The School for the Deaf and Blind shall receive through the
Education Finance Act the average State share of the required
weighted student cost for each student newly admitted into the
multi-handicapped school with the recommendation of the local
school district. The estimated State share shall come directly from
the State Board of Education at the beginning of the fiscal year to
be adjusted at the end of the fiscal year. This shall include any
students admitted into the Re-education program for emotionally
handicapped students.
  34.6. Deaf, blind, multi-handicapped and other handicapped
students identified by the Board of Commissioners as target groups
for admission to the South Carolina School for the Deaf and Blind
may be admitted by the School either through direct application by
parents or on referral from the local school district. The Board of
Commissioners shall define the appropriate admissions criteria
including mental capacity, degree of disability, functioning level,
age, and other factors deemed necessary by the Board. All placement
hearings for admission to the South Carolina School for the Deaf
and the Blind shall be organized by the School. The South Carolina
School for the Deaf and the Blind shall obtain information from the
local school district concerning the needs of the student and shall
prepare an Individualized Education Plan for each student admitted.
All parents applying for admission of their children must sign a
statement certifying that they feel the South Carolina School for
the Deaf and the Blind is the most appropriate placement which
constitutes the least restrictive environment for the individual
student, based upon needs identified in the placement meeting and
the Individualized Education Plan. The decision concerning
placement and least restrictive environment shall be reviewed
annually at the IEP Conference.
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
  34.7. The School for the Deaf and the Blind is authorized to
charge appropriate tuition, room and board, and other fees to
students accepted into the Adult Vocational Program after July 1,
1986. Such fees will be determined by the school Board of
Commissioners.
  34.8. The School for the Deaf and Blind is authorized to charge
a fee for the services of a mobility instructor to provide service
on a contractual basis to various school districts in the state.
  34.9. The School for the Deaf and the Blind is authorized to
charge appropriate fees for housing of hearing impaired adults who
receive vocational education services by the Vocational
Rehabilitation Facility located on the SCSDB campus. Fees will be
determined by the SCSDB Board of Commissioners, and such revenue
shall be retained by the School to offset the additional operating
costs of housing, meals and supervision.
  34.10. Any funds appropriated to the School for the Deaf and
Blind for "Track Field" which are not expended at the end
of 1987-88 may be carried forward into 1988-89 to be spent for the
same purpose as originally appropriated.
  34.11. All revenues generated from cafeteria operations may be
retained and expended by the institution for the purpose of
covering actual expenses in cafeteria operations.
  34.12. The school buses of the South Carolina School for the Deaf
and Blind are authorized to travel at speeds up to 55 miles per
hour, not to exceed posted limit. No funds appropriated herein for
equipment shall be used for the purchase of governors for school
buses of the South Carolina School for the Deaf and Blind.
  34.13. The sum of $40,000 must be allocated within the funds
appropriated herein for funding the presently existing three
positions of coordination of community education.
  34.14. It is the intent of the General Assembly to direct the
School for the Deaf and the Blind to 
SECTION 34
SCHOOL FOR THE DEAF AND THE BLIND
develop its budget in a program format and to allow the School to
realign its Fiscal Year 1988-89 appropriations into the revised
program format during the first quarter of the fiscal year.
SECTION 35
DEPARTMENT OF ARCHIVES AND HISTORY
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
   DIRECTOR                     53,960         53,960
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS        219,814        219,814
                               (11.00)        (11.00)
   UNCLASSIFIED POSITIONS       48,768         48,768
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS           1,000          1,000
   PER DIEM                      1,000          1,000
  TOTAL PERSONAL SERVICES      324,542        324,542
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         74,794         65,682
   SUPPLIES AND MATERIALS       45,900         14,565
   FIXED CHGS. & CONTRIB.      287,500        287,500
   TRAVEL                       22,300         22,300
   EQUIPMENT                    16,151         10,151
   TRANSPORTATION                2,500          2,500
  TOTAL OTHER OPERATING
   EXPENSES                    449,145        402,698
  SPECIAL ITEM:                                      
   BICENTENNIAL COMMISSION      15,000         15,000
  TOTAL SPECIAL ITEM            15,000         15,000
  DISTRIBUTION TO
  SUBDIVISION                                        
 TOTAL ADMINISTRATION          788,687        742,240
                             =========== ============
 II. RECORDS MANAGEMENT:                             
   CLASSIFIED POSITIONS        798,309        721,198
                               (44.00)        (40.00)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS           4,000               
  TOTAL PERSONAL SERVICE       802,309        721,198
SECTION 35
DEPARTMENT OF ARCHIVES AND HISTORY
                           Total Funds   General Funds 
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         67,680         26,680
   SUPPLIES AND MATERIALS      110,010         27,000
   FIXED CHGS. & CONTRIB.      179,050        178,900
   TRAVEL                       12,800         10,000
   EQUIPMENT                    15,391          8,500
   LIB BOOKS, MAPS & FILMS         971            821
  TOTAL OTHER OPERATING
   EXPENSES                    385,902        251,901
 TOTAL RECORDS MANAGEMENT    1,188,211        973,099
                             =========== ============
 III. ARCHIVES AND
   PUBLICATIONS:                                     
   CLASSIFIED POSITIONS        767,358        767,358
                               (36.50)        (36.50)
                                                     
  TOTAL PERSONAL SERVICE       767,358        767,358
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         37,800               
   SUPPLIES AND MATERIALS       15,700          6,900
   TRAVEL                        9,500          7,500
   EQUIPMENT                       100            100
   LIB BOOKS, MAPS & FILMS       9,350          9,350
  TOTAL OTHER OPERATING
   EXPENSES                     72,450         23,850
 TOTAL ARCHIVES AND
   PUBLICATIONS                839,808        791,208
                             =========== ============
 IV. HISTORICAL PROGRAMS                             
   CLASSIFIED POSITIONS        503,806        503,806
                               (24.00)        (24.00)
  NEW POSITIONS:                                     
   ASSISTANT EDITOR                                  
                                                     
  OTHER PERSONAL SERVICE:                            
   PER DIEM                        700            700
  TOTAL PERSONAL SERVICE       504,506        504,506
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         17,082         17,082
   SUPPLIES AND MATERIALS        3,230          3,230
   FIXED CHGS. & CONTRIB.        3,170          3,170
SECTION 35
DEPARTMENT OF ARCHIVES AND HISTORY
                           Total Funds   General Funds 
   CONTRIBUTIONS                   100            100
   TRAVEL                       14,798         14,798
   EQUIPMENT                     1,485          1,485
   LIB BOOKS, MAPS & FILMS         790            790
   PURCHASE FOR RESALE           4,500               
  TOTAL OTHER OPERATING
   EXPENSES                     45,155         40,655
  SPECIAL ITEM:                                      
   STATE HISTORIC GRANT FUND   343,440               
  TOTAL SPECIAL ITEM           343,440               
  DISTRIBUTIONS TO
   SUBDIVISIONS                                      
   ALLOC MUN-RESTRICTED         60,000               
   ALLOC CNTY-RESTRICTED        20,000               
   ALLOC OTHER STATE
    AGENCIES                    28,000               
   ALLOC-PRIVATE SECTOR         50,000               
   ALLOC PLANNING DIST           1,000               
  TOTAL DISTRIBUTION TO                              
   SUBDIVISIONS                159,000               
 TOTAL HISTORICAL PROGRAMS   1,052,101        545,161
                             =========== ============
 V. COMPUTER SERVICES                                
   CLASSIFIED POSITIONS        112,881        112,881
                                (6.00)         (6.00)
                                                     
  TOTAL PERSONAL SERVICE       112,881        112,881
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         17,229         17,229
   SUPPLIES AND MATERIALS        2,500          2,500
   TRAVEL                        2,000          2,000
   EQUIPMENT                    72,739         72,739
  TOTAL OTHER OPERATING
   EXPENSES                     94,468         94,468
 TOTAL COMPUTER SERVICES       207,349        207,349
                             =========== ============
 IV. EMPLOYEE BENEFITS                               
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS     501,569        481,285
SECTION 35
DEPARTMENT OF ARCHIVES AND HISTORY
                           Total Funds   General Funds 
   TOTAL FRINGE BENEFITS       501,569        481,285
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS               501,569        481,285
                             =========== ============
 TOTAL EMPLOYEE BENEFITS       501,569        481,285
                             =========== ============
 V. NON-RECURRING APPROP.                            
  SPECIAL ITEM:                                      
   U.S. BICENT. COMM-
   CHARLESTON                   25,000         25,000
  TOTAL SPECIAL ITEM            25,000         25,000
 TOTAL NON-RECURRING APPROP.    25,000         25,000
                             =========== ============
 TOTAL ARCHIVES AND HISTORY  4,602,725      3,765,342
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS              (123.50)       (119.50)
                             =========== ============
  35.1. The Commission is authorized to supply one free copy of
each new publication to the libraries of all institutions of higher
learning in the State, and to each member of the Commission and its
Directors; to the State Library; to each Public Library which is
approved for a cash allotment by the South Carolina State Library.
  35.2. The proceeds of sales of publications, reproductions of
documents, repair of documents, and the proceeds of sales of
National Register of Historic Places certificates and plaques by
the Archives Department shall be deposited in a special account in
the State Treasury, and may be used by this department to cover the
cost of additional publication, reproduction expenses, repair
expenses, and National Register of Historic Places certificates and
plaques.
  35.3. The funds earned from the United States Department of
Interior by the South Carolina Department of Archives and History
for administering the National Historic Preservation 
SECTION 35
DEPARTMENT OF ARCHIVES AND HISTORY
Program in this State, with the exception of the appropriate amount
of indirect cost reimbursement to the General Fund, must be
deposited in a special account in the State Treasury, to be used by
this department for a Historic Preservation Grants program that
will assist historic properties throughout South Carolina.
  35.4. The amount appropriated in this section for Celebration of
the Bicentennial of the United States Constitution at Charleston
must be remitted to the Charleston Commission on the Bicentennial
of the United States Constitution to be used along with other
public and private funds for a bicentennial celebration to be
conducted by the commission.
SECTION 36
CONFEDERATE RELIC ROOM
                           Total Funds   General Funds 
I. ADMINISTRATION:                                   
   DIRECTOR                     30,656         30,656
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS         75,208         75,208
                                (4.00)         (4.00)
  TOTAL PERSONAL SERVICE       105,864        105,864
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES          5,410          5,410
   SUPPLIES AND MATERIALS        3,000          3,000
   FIXED CHGS. & CONTRIB.       34,917         34,917
   TRAVEL                        4,540          4,540
   EQUIPMENT                     7,550          7,550
   EXHIBITS AND COLLECTIONS      9,444          9,444
  TOTAL OTHER OPERATING
   EXPENSES                     64,861         64,861
 TOTAL ADMINISTRATION          170,725        170,725
                             =========== ============
 II. EMPLOYEE BENEFITS                               
  C. STATE EMPLOYER
   CONTRIBUTIONS                                     
   FRINGE BENEFITS                                   
    EMPLOYER CONTRIBUTIONS      24,722         24,722
   TOTAL FRINGE BENEFITS        24,722         24,722
SECTION 36
CONFEDERATE RELIC ROOM
                           Total Funds   General Funds 
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS                24,722         24,722
                             =========== ============
 TOTAL EMPLOYEE BENEFITS        24,722         24,722
                             =========== ============
 TOTAL CONFEDERATE RELIC ROOM  195,447        195,447
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS                (5.00)         (5.00)
                             =========== ============
  36.1. No artifacts in the collection and exhibits of the
Confederate Relic Room shall be permanently removed or disposed of
except by a Concurrent Resolution of the General Assembly.
  36.2. Notwithstanding Act 313 of 1919 and Section 59-117-60, Code
of Laws of 1976, the War Memorial Building erected at the corner of
Sumter and Pendleton Streets in the City of Columbia shall continue
to be used by the Confederate Relic Room and further utilization of
the building shall be arranged between the University of South
Carolina and the Director of the Confederate Relic Room.
SECTION 37
S.C. STATE LIBRARY
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
   STATE LIBRARIAN              48,910         48,910
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS        151,336        135,875
                                (8.00)         (7.00)
   UNCLASSIFIED POSITIONS       83,279         83,279
                                (2.00)         (2.00)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          15,575               
   PER DIEM                      1,470          1,470
  TOTAL PERSONAL SERVICES      300,570        269,534
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         51,926          7,129
SECTION 37
S.C. STATE LIBRARY
                           Total Funds   General Funds 
   SUPPLIES AND MATERIALS       17,691          5,691
   FIXED CHGS. & CONTRIB.      286,308        278,308
   TRAVEL                        6,000          1,500
  TOTAL OTHER OPERATING
   EXPENSES                    361,925        292,628
 TOTAL ADMINISTRATION          662,495        562,162
                             =========== ============
 II. TECHNICAL SERVICES:                             
   CLASSIFIED POSITIONS        112,097        112,097
                                (6.00)         (6.00)
  TOTAL PERSONAL SERVICE       112,097        112,097
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         41,686         21,686
   SUPPLIES AND MATERIALS        5,020             20
  TOTAL OTHER OPERATING
   EXPENSES                     46,706         21,706
  SPECIAL ITEM:                                      
   LIB BOOKS, MAPS & FILMS     209,000        134,000
  TOTAL SPECIAL ITEM           209,000        134,000
 TOTAL TECHNICAL SERVICES      367,803        267,803
                             =========== ============
 III. FIELD SERVICES:                                
   CLASSIFIED POSITIONS        199,351        185,675
                                (7.00)         (6.00)
  TOTAL PERSONAL SERVICE       199,351        185,675
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         29,385          1,400
   SUPPLIES AND MATERIALS       11,500               
   TRAVEL                        5,100          1,600
   EQUIPMENT                    10,000               
   TRANSPORTATION                2,538          2,538
  TOTAL OTHER OPERATING
   EXPENSES                     58,523          5,538
  SPECIAL ITEMS:                                     
   LIBRARY BOOKS, MAPS, AND
    FILM                        54,000               
   SCHOLARSHIP-NON-STATE EMP     8,000               
  TOTAL SPECIAL ITEMS           62,000               
SECTION 37
S.C. STATE LIBRARY
                           Total Funds   General Funds 
  DISTRIBUTION TO
   SUBDIVISIONS:                                     
   ALLOC CNTY LIBRARIES      1,166,001               
   AID CNTY-LIBRARIES        3,124,024      3,124,024
  TOTAL DISTRIBUTION TO                              
   SUBDIVISIONS              4,290,025      3,124,024
 TOTAL FIELD SERVICES        4,609,899      3,315,237
                             =========== ============
 IV. READER SERVICES:                                
   CLASSIFIED POSITIONS        306,185        269,279
                               (14.00)        (12.00)
  TOTAL PERSONAL SERVICE       306,185        269,279
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        252,700        108,200
   SUPPLIES AND MATERIALS       65,000         25,000
   TRAVEL                        4,500            500
   EQUIPMENT                    25,475          5,475
  TOTAL OTHER OPERATING
   EXPENSES                    347,675        139,175
 TOTAL READER SERVICES         653,860        408,454
                             =========== ============
 V. BLIND AND HANDICAPPED:                           
   CLASSIFIED POSITIONS        190,612        151,013
                               (11.00)         (8.00)
  NEW POSITION:                                      
   VOLUNTEER SERVICE
    COORDINATOR                 20,856         20,856
                                (1.00)         (1.00)
  TOTAL PERSONAL SERVICE       211,468        171,869
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         40,814          8,801
   SUPPLIES AND MATERIALS        8,700            700
   FIXED CHGS. & CONTRIB.      369,166        369,166
   TRAVEL                        1,100            100
   EQUIPMENT                     5,000               
   TRANSPORTATION                  400            400
  TOTAL OTHER OPERATING
   EXPENSES                    425,180        379,167
  SPECIAL ITEMS:                                     
 TOTAL BLIND AND HANDICAPPED   636,648        551,036
                             =========== ============
SECTION 37
S.C. STATE LIBRARY
                           Total Funds   General Funds 
 VI. INSTITUTIONAL SERVICES:                         
   CLASSIFIED POSITIONS         23,911               
                                (1.00)               
  TOTAL PERSONAL SERVICE        23,911               
  OTHER OPERATING EXPENSE:                           
   CONTRACTUAL SERVICES          3,000               
  TOTAL OTHER OPERATING
   EXPENSE                       3,000               
  DISTRIBUTION TO
   SUBDIVISIONS:                                     
   ALLOC OTHER STATE AGENCIES   42,000               
  TOTAL DISTRIBUTION TO                              
   SUBDIVISIONS                 42,000               
 TOTAL INSTITUTIONAL SERVICES   68,911               
                             =========== ============
 VII. EMPLOYEE BENEFITS                              
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS     221,889        191,415
   TOTAL FRINGE BENEFITS       221,889        191,415
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS               221,889        191,415
                             =========== ============
 TOTAL EMPLOYEE BENEFITS       221,889        191,415
                             =========== ============
 VIII. NON-RECURRING APPROP:                         
  A. SUPPLEMENTAL NON-REC:                           
 TOTAL SC STATE LIBRARY      7,221,505      5,296,107
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS               (51.00)        (43.00)
                             =========== ============
  37.1. The amount appropriated in this section for "Aid to
County Libraries" shall be allotted to each county on a per
capita basis according to the official United States Census for
1980, as aid to the County Library. No county shall be allocated
less than $10,000 under this provision.
  37.2. The State Library shall charge fees for actual costs of
"on-line reference services" and 
SECTION 37
S.C. STATE LIBRARY
retain the fees to offset the costs of the services. These fees may
be waived for county libraries.
SECTION 38
S.C. ARTS COMMISSION
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
   DIRECTOR                     48,172         48,172
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS        413,651        328,951
                               (18.81)        (14.81)
  APPROVED BY THE JOINT                              
  LEGISLATIVE COMMITTEE ON                           
  PERSONAL SERVICE,                                  
  FINANCING AND BUDGETING,                           
  AND THE BUDGET AND                                 
  CONTROL BOARD                                      
   PROGRAM INFO COORDINATOR                          
                                 (.25)               
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          42,534          6,589
   PER DIEM                      8,800          8,800
  TOTAL PERSONAL SERVICES      513,157        392,512
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         67,405         22,948
   SUPPLIES AND MATERIALS       22,690         11,525
   FIXED CHGS. & CONTRIB.      268,195        257,443
   TRAVEL                       31,516         15,754
   EQUIPMENT                    27,854         23,854
  TOTAL OTHER OPERATING
   EXPENSES                    417,660        331,524
  DEBT SERVICE:                                      
 TOTAL ADMINISTRATION          930,817        724,036
                             =========== ============
 II. STATEWIDE ARTS SERVICE:                         
   CLASSIFIED POSITIONS        479,513        388,281
                               (21.50)        (17.02)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS          16,500         13,200
  TOTAL PERSONAL SERVICE       496,013        401,481
SECTION 38
S.C. ARTS COMMISSION
                           Total Funds   General Funds 
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        395,694        223,813
   SUPPLIES AND MATERIALS       26,750         25,710
   FIXED CHGS. & CONTRIB.        8,161          5,161
   TRAVEL                       40,910         40,910
   EQUIPMENT                    39,147            825
   LIB BOOKS, MAPS & FILMS       8,350          2,350
   EXHIBITS AND COLLECTIONS      5,500          5,500
   SCHOLARSHIP-NON-STATE EMP    25,000         25,000
  TOTAL OTHER OPERATING
   EXPENSES                    549,512        329,269
  SPECIAL ITEMS:                                     
   ARTIST DEVELOPMENT           50,000         50,000
   SPOLETO FESTIVAL            193,200        193,200
   PENN COMMUNITY CENTER        48,300         48,300
  TOTAL SPECIAL ITEMS          291,500        291,500
  DISTRIBUTION TO
   SUBDIVISIONS:                                     
   ALLOC CNTY-RESTRICTED        23,500               
   ALLOC SCHOOL DIST            34,000               
   ALLOC OTHER STATE AGENCIES   15,000               
   ALLOC-PRIVATE SECTOR        284,100               
  TOTAL ALLOCATIONS            356,600               
  STATE AID:                                         
   AID MUN-RESTRICTED           35,050         35,050
   AID CNTY-RESTRICTED          25,000         25,000
   AID CNTY-LIBRARIES              500            500
   AID SCHOOL DISTRICTS        223,384        223,384
   AID OTHER STATE AGENCIES     33,450         33,450
   AID TO PRIVATE SECTOR       906,975        906,975
  TOTAL STATE AID            1,224,359      1,224,359
 TOTAL STATEWIDE ARTS
  SERVICES                   2,917,984      2,246,609
                             =========== ============
 III. EMPLOYEE BENEFITS                              
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS     183,044        148,057
   TOTAL FRINGE BENEFITS       183,044        148,057
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS               183,044        148,057
                             =========== ============
SECTION 38
S.C. ARTS COMMISSION
                           Total Funds   General Funds 
 TOTAL EMPLOYEE BENEFITS       183,044        148,057
                             =========== ============
 TOTAL SCAC                  4,031,845      3,118,702
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS               (41.56)        (32.83)
                             =========== ============
  38.1. Where practicable, all professional artists employed by the
Arts Commission in the fields of music, theater, dance, literature,
musical arts, craft, media arts and environmental arts shall be
hired on a contractual basis as independent contractors. Where such
a contractual arrangement is not feasible employees in these fields
may be unclassified, however, the approval of their salaries shall
be in accord with the provisions of Section 129.8 of this Act.
  38.2. Any income derived from Arts Commission sponsored arts
events or by gift, contributions, or bequest now in possession of
the Arts Commission including any federal or other funds balance
remaining at the end of Fiscal Year 1988, shall be retained by the
Commission and placed in a special revolving account for the
Commission to use solely for the purpose of supporting the programs
provided herein. Any such funds shall be subject to the review
procedures as set forth in Act 651 of 1978.
SECTION 39
STATE MUSEUM COMMISSION
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
  PERSONAL SERVICES:                                 
   DIRECTOR                     46,123         46,123
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS        191,529        191,529
                               (10.00)        (10.00)
SECTION 39
STATE MUSEUM COMMISSION
                           Total Funds   General Funds 
  NEW POSITIONS:                                     
   PURCHASING COORDINATOR       15,101         15,101
                                (1.00)         (1.00)
   EDITORIAL ASSISTANT          15,788         15,788
                                (1.00)         (1.00)
   COMPUTER ASSISTANT           19,110         19,110
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          10,300         10,300
   PER DIEM                      2,940          2,940
  TOTAL PERSONAL SERVICES      300,891        300,891
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         80,342         80,342
   SUPPLIES AND MATERIALS       16,515         16,515
   FIXED CHGS. & CONTRIB.    2,746,966      2,746,966
   TRAVEL                        6,523          6,523
   EQUIPMENT                     6,000          6,000
   LIB BOOKS, MAPS & FILMS       3,500          3,500
  TOTAL OTHER OPERATING
   EXPENSES                  2,859,846      2,859,846
 TOTAL ADMINISTRATION        3,160,737      3,160,737
                             =========== ============
 II. OPERATIONS                                      
  PERSONAL SERVICES:                                 
   CLASSIFIED POSITIONS        128,367        128,367
                               (11.00)        (11.00)
  NEW POSITIONS:                                     
   POSTAL SUPPLY CLERK          10,850         10,850
                                (1.00)         (1.00)
   GALLERY GUARDS               78,988         78,988
                                (7.00)         (7.00)
   CUSTODIAL WORKERS            32,980         32,980
                                (4.00)         (4.00)
   ASSISTANT STORE MANAGER      13,728         13,728
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS         142,008         98,208
  TOTAL PERSONAL SERVICE       406,921        363,121
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         23,898         23,898
   SUPPLIES AND MATERIALS       21,100         21,100
SECTION 39
STATE MUSEUM COMMISSION
                           Total Funds   General Funds 
   FIXED CHGS. & CONTRIB.       10,120         10,120
   TRAVEL                          911            911
   EQUIPMENT                    10,000         10,000
   LIB BOOKS, MAPS & FILMS       3,453          3,453
   PURCHASE FOR RESALE         200,000               
  TOTAL OTHER OPERATING
   EXPENSES                    269,482         69,482
 TOTAL OPERATIONS              676,403        432,603
                             =========== ============
 III. COLLECTION                                     
  PERSONAL SERVICES                                  
   CLASSIFIED POSITIONS        223,898        223,898
                               (10.00)        (10.00)
  TOTAL PERSONAL SERVICES      223,898        223,898
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         90,888         85,888
   SUPPLIES AND MATERIALS       24,241         24,241
   FIXED CHGS. & CONTRIB.       17,500         17,500
   TRAVEL                       13,968         13,968
   EQUIPMENT                     6,000          6,000
   LIB BOOKS, MAPS & FILMS       1,000          1,000
   EXHIBITS AND COLLECTIONS     60,000         50,000
   LIGHT/POWER/HEAT              2,900          2,900
  TOTAL OTHER OPERATING
   EXPENSES                    216,497        201,497
 TOTAL COLLECTION              440,395        425,395
                             =========== ============
 IV. EXHIBITION                                      
  PERSONAL SERVICES                                  
   CLASSIFIED POSITIONS        356,347        230,449
                               (16.00)        (12.00)
  NEW POSITIONS:                                     
   GRAPHIC DESIGNER             16,594         16,594
                                (1.00)         (1.00)
   SENIOR DESIGNER              20,191         20,191
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS           7,093          7,093
  TOTAL PERSONAL SERVICE       400,225        274,327
SECTION 39
STATE MUSEUM COMMISSION
                           Total Funds   General Funds 
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        380,722         59,722
   SUPPLIES AND MATERIALS      117,480         40,439
   FIXED CHGS. & CONTRIB.       16,680          3,760
   TRAVEL                        8,781          3,456
   EQUIPMENT                    16,000         11,000
   LIB BOOKS, MAPS & FILMS       3,175          2,675
   TRANSPORTATION                1,400          1,400
  TOTAL OTHER OPERATING
   EXPENSES                    544,238        122,452
 TOTAL EXHIBITION              944,463        396,779
                             =========== ============
 V. EDUCATION                                        
  PERSONAL SERVICES                                  
   CLASSIFIED POSITIONS        102,320        102,320
                                (3.00)         (3.00)
  NEW POSITIONS:                                     
   EDUCATION STUDY SPECIALIST   22,164         22,164
                                (1.00)         (1.00)
   EDUCATION PROGRAM
    SPECIALIST                  22,164         22,164
                                (1.00)         (1.00)
  OTHER PERSONAL SERVICE:                            
   TEMPORARY POSITIONS          33,670         33,670
  TOTAL PERSONAL SERVICE       180,318        180,318
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES         32,838         30,230
   SUPPLIES AND MATERIALS       19,502         19,502
   FIXED CHGS. & CONTRIB.        2,068          2,068
   TRAVEL                        7,886          7,886
   EQUIPMENT                     2,500          2,500
   LIB BOOKS, MAPS & FILMS       3,000          3,000
  TOTAL OTHER OPERATING
   EXPENSES                     67,794         65,186
 TOTAL EDUCATION               248,112        245,504
                             =========== ============
 VI. STATEWIDE SERVICES                              
  PERSONAL SERVICES                                  
   CLASSIFIED POSITIONS         40,236         40,236
                                (2.00)         (2.00)
  TOTAL PERSONAL SERVICES       40,236         40,236
SECTION 39
STATE MUSEUM COMMISSION
                           Total Funds   General Funds 
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES          7,973          7,973
   SUPPLIES AND MATERIALS        8,498          8,498
   FIXED CHGS. & CONTRIB.          240            240
   TRAVEL                        2,602          2,602
   LIB BOOKS, MAPS & FILMS         500            500
  TOTAL OTHER OPERATING
   EXPENSES                     19,813         19,813
 TOTAL STATEWIDE SERVICES       60,049         60,049
                             =========== ============
 VII. EMPLOYEE BENEFITS                              
  B. BASE PAY INCREASE                               
    BASE PAY INCREASE            3,776               
   TOTAL PERSONAL SERVICE        3,776               
  TOTAL BASE PAY INCREASE        3,776               
                             =========== ============
  C. STATE EMPLOYER
    CONTRIBUTIONS                                    
    EMPLOYER CONTRIBUTIONS     308,861        278,755
   TOTAL FRINGE BENEFITS       308,861        278,755
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS               308,861        278,755
                             =========== ============
 TOTAL EMPLOYEE BENEFITS       312,637        278,755
                             =========== ============
 VIII. NON-RECURRING                                 
  OTHER OPERATING EXPENSES:                          
 TOTAL STATE MUSEUM
  COMMISSION                 5,842,796      4,999,822
                             =========== ============
  TOTAL AUTHORIZED
   FTE POSITIONS               (73.00)        (69.00)
                             =========== ============
  39.1. The Commission may give natural history materials in its
possession to educational institutions, such materials being less
than museum quality or duplicative of materials owned by the Museum
Commission.
  39.2. Upon prior approval of the Budget and Control Board, the
Commission may remove objects 
SECTION 39
STATE MUSEUM COMMISSION
from its museum collections by gift to another public or nonprofit
institution, by trade with another public or nonprofit institution,
by sale at public auction; or as a last resort, by intentional
destruction on the condition that the objects so removed meet with
one or more of the following criteria: (1) they fall outside the
scope of the S. C. Museum Commission's collections as defined in
the Master Plan dated January, 1980, (2) they are unsuitable for
exhibition or research, (3) they are inferior duplicates of other
objects in the collection, or (4) they are forgeries or were
acquired on the basis of false information; funds from the sale of
such objects will be placed in a special revolving account for the
Commission to use solely for the purpose of purchasing objects for
the collections of the State Museum. Each county delegation and all
organizations which belong to the South Carolina Federation of
Museums must be notified and provided a list of the objects
requested for removal.
  39.3. The Museum Commission shall establish and administer a
museum store in the State Museum. This store may produce, acquire,
and sell merchandise relating to historical, scientific, and
cultural sources. All profits received from the sale of such
merchandise shall be retained by the Museum Commission in a
restricted fund and shall be used for store operations,
publications, acquisitions, educational programs, and exhibit
production provided that the expenditures for such expenses are
approved by the General Assembly in the annual appropriations act.
  39.4. The Museum Commission may charge a fee for Traveling
Exhibits and seminars and that the Commission may retain such funds
and use them to offset the cost of maintaining, promoting, and
improving the Statewide Services Program.
  39.5. For 1988-89 the Museum Commission may retain and expend
funds received from the Museum for the care of Museum exhibits
which have been donated to the State Museum. When said property is 
SECTION 39
STATE MUSEUM COMMISSION
no longer in use by the Museum Commission, the remaining funds may
be used to support the children's program of the Museum Commission.
  39.6. For 1988-89 any income received from State Museum sponsored
tours and seminars shall be retained by the Commission and used to
offset the cost of providing such events and that any surplus may
be used to further develop such programs.
  39.7. Funds authorized in Part III of Act 540 of 1986 for the
Charles H. Townes Center may be carried forward and no funds shall
be expended until such time as the S. C. State Museum provides
documentation to the Comptroller General that there is a match of
non-state funds in the form of cash, pledges, goods or services
equal to the appropriated amount.
  39.8. The Museum Commission may retain revenue received from the
sale of admission and from program and rental fees and may expend
such revenue for general operating expenses during the following
fiscal year provided that the expenditures for such expenses are
approved by the General Assembly in the annual appropriations act.
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
   EXECUTIVE DIRECTOR           74,333         74,333
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS      2,498,188      1,180,201
                              (100.00)        (49.20)
  NEW POSITIONS:                                     
   PROCURE. OFF.                 9,060               
                                (1.00)          (.50)
   INVENTORY OFFICER             8,377               
                                (1.00)          (.50)
   ADMIN. SPECIALIST             7,447               
                                (1.00)          (.50)
  OTHER PERSONAL SERVICE:                            
   PER DIEM                     12,000          6,000
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
  TOTAL PERSONAL SERVICE     2,609,405      1,260,534
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        989,648        494,824
   SUPPLIES AND MATERIALS      163,694         81,847
   FIXED CHGS. & CONTRIB.    1,094,530        535,474
   TRAVEL                      108,270         54,135
   EQUIPMENT                    76,072         38,036
   TRANSPORTATION                1,000            500
  TOTAL OTHER OPERATING
   EXPENSES                  2,433,214      1,204,816
 TOTAL ADMINISTRATION        5,042,619      2,465,350
                             =========== ============
 II. HUMAN SERVICES:                                 
  A. HUMAN SERVICES
    MANAGEMENT:                                      
    CLASSIFIED POSITIONS       789,867        197,473
                               (28.00)         (7.00)
   TOTAL PERSONAL SERVICE      789,867        197,473
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         3,187            823
    SUPPLIES AND MATERIALS       3,771            978
    FIXED CHGS. & CONTRIB.          18              5
    TRAVEL                      37,973          9,493
    EQUIPMENT                   20,000          5,000
    TRANSPORTATION                  16              4
   TOTAL OTHER OPERATING
    EXPENSES                    64,965         16,303
  TOTAL HUMAN SERVICES
   MANAGEMENT                  854,832        213,776
                             =========== ============
  B. CONTRACT SERVICES:                              
   OTHER OPERATING EXPENSE:                          
    CONTRACTUAL SERVICES     2,387,672      2,387,672
   TOTAL OTHER OPERATING
    EXPENSE                  2,387,672      2,387,672
   PUBLIC ASSISTANCE
    PAYMENTS:                                        
    CASE SERVICES               88,048         22,012
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                    88,048         22,012
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
   DISTRIBUTIONS TO
    SUBDIVISIONS:                                    
    ALLOC CNTY-RESTRICTED    1,131,496               
    ALLOC SCHOOL DIST        1,687,150               
    ALLOC OTHER STATE
     AGENCIES               37,354,843               
    ALLOC OTHER ENTITIES     7,096,981               
   TOTAL DISTRIBUTIONS TO                            
    SUBDIVISIONS            47,270,470               
  TOTAL CONTRACT SERVICES   49,746,190      2,409,684
                             =========== ============
  C. ALCOHOL & DRUG ABUSE                            
   DISTRIBUTIONS TO
    SUBDIVISIONS:                                    
    ALLOC OTHER STATE
     AGENCIES                9,328,000               
   TOTAL DISTRIBUTIONS TO                            
    SUBDIVISIONS             9,328,000               
  TOTAL ALCOHOL & DRUG ABUSE 9,328,000               
                             =========== ============
 TOTAL HUMAN SERVICES       59,929,022      2,623,460
                             =========== ============
 III. HEALTH SERVICES:                               
  A. MEDICAL MANAGEMENT:                             
  1. MEDICAL
    MANAGEMENT-SHHSFC:                               
    CLASSIFIED POSITIONS     3,399,150      1,191,460
                              (157.00)        (60.59)
   NEW POSITIONS ADDED BY                            
   BUDGET AND CONTROL BOARD                          
   AND JOINT LEGISLATIVE                             
   COMMITTEE ON PERSONAL                             
   SERVICES,FINANCES,AND                             
   BUDGETING                                         
                                                     
    RECOUPMENT SPECIALIST                            
                                (1.00)               
    SENIOR ACCOUNTANT                                
                                (3.00)               
    PER DIEM                    49,100         28,550
   TOTAL PERSONAL SERVICE    3,448,250      1,220,010
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       233,310        111,378
    SUPPLIES AND MATERIALS     127,789         62,493
    FIXED CHGS. & CONTRIB.       1,480            740
    TRAVEL                      95,507         35,586
    EQUIPMENT                   54,904         24,726
   TOTAL OTHER OPERATING
    EXPENSES                   512,990        234,923
   SPECIAL ITEMS                                     
    MEDICAL SUPPORT
    CONTRACTS                2,125,076        630,882
    HEALTH CONTRACTS COL.      533,300        266,650
    EPSDT CONTRACTS          2,140,695        832,570
   TOTAL SPECIAL ITEMS       4,799,071      1,730,102
  TOTAL MEDICAL
   MANAGEMENT-SHHSFC         8,760,311      3,185,035
                             =========== ============
  2. MEDICAL MANAGEMENT-DSS                          
   DISTRIBUTIONS TO
    SUBDIVISIONS:                                    
    ALLOC OTHER STATE
     AGENCIES               12,400,000               
   TOTAL DISTRIBUTIONS TO                            
    SUBDIVISIONS            12,400,000               
  TOTAL MEDICAL
   MANAGEMENT-DSS           12,400,000               
                             =========== ============
  3. MMIS-HHSFC                                      
   SPECIAL ITEMS:                                    
    CONTRACTUAL SERVICES     3,861,143        976,536
   TOTAL SPECIAL ITEMS       3,861,143        976,536
   DISTRIBUTION TO SUB
    DIVISIONS                                        
  TOTAL MMIS-HHSFC           3,861,143        976,536
                             =========== ============
  4. HOME HEALTH AIDE-DSS                            
   DISTRIB. TO SUBDIVISIONS:
    ALLOC OTHER STATE
     AGENCIES                  209,964               
   TOTAL DISTRIBUTION TO                             
    SUBDIVISIONS               209,964               
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
  TOTAL HOME HEALTH AIDE-DSS   209,964               
                             =========== ============
  5. MEDICAID VEHICLE
   REPLACEMENT FUNDS                                 
  TOTAL MEDICAL MANAGEMENT  25,231,418      4,161,571
                            ============ ============
  B. ASSISTANCE
    PAYMENTS-SHHSFC                                  
    HOSPITAL INPATIENT     114,013,161     23,509,752
    HOSPITAL OUTPATIENT     16,393,708      4,396,792
    SWING BEDS                 830,540        222,750
    NURSING HOME PROVIDER  103,528,048     27,766,223
    NURSING HOME-EXT CARE A. 1,036,856        278,085
    PHYSICIAN SERVICES      44,110,265     11,830,373
    DENTAL SERVICES          6,717,928      1,801,748
    DRUGS                   37,508,223     10,059,705
    DRUGS-DISPENSING FEE     7,470,746      2,003,654
    SUPPLY & DME             5,032,902      1,349,825
    HOME HEALTH              5,288,817      1,418,461
    AFDC SCREENING           2,757,429        739,542
    OPTOMETRIST                989,185        265,299
    PODIATRIST                 143,183         38,402
    TRANSPORTATION-AMBULANCE 8,379,469      2,247,373
    FAMILY PLANNING          3,102,378        310,238
    SMI-REGULAR             17,532,013      4,702,086
    SMI-MAO                  2,431,149      2,431,149
   TOTAL ASSISTANCE
    PAYMENTS               377,266,000     95,371,457
  TOTAL ASSISTANCE                                   
   PAYMENTS-SHHSFC         377,266,000     95,371,457
                             =========== ============
  C. ASST. PAYMENTS-OTHER                            
   AGENCIES                                          
   PUBLIC ASSISTANCE PAYMENTS                        
    DEPARTMENT OF MENTAL
     HEALTH                 34,302,042               
    DEPARTMENT OF MENTAL                             
     RETARDATION            81,563,673               
    NURSING HOME - BABCOCK   3,226,567        865,365
    DEPARTMENT OF DHEC-OTHER   656,872               
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
    MUSC - TRANSPLANT        1,118,568               
    USC-WOODROW ICF            550,664        147,688
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS               121,418,386      1,013,053
  TOTAL PUB. ASST. PAYMENTS-
   OTHER AGENCIES          121,418,386      1,013,053
                             =========== ============
  D. ASSISTANCE PAYMENTS                             
    AGED AND DISABLED        2,237,137               
  E. COMMUNITY LONG TERM
   CARE:                                             
  I. CLTC MANAGEMENT                                 
    CLASSIFIED POSITIONS       673,498        336,755
                               (24.00)         (9.80)
   TOTAL PERSONAL SERVICE      673,498        336,755
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        86,506         43,003
    SUPPLIES AND MATERIALS      23,396         11,573
    TRAVEL                      44,068         15,424
    EQUIPMENT                   30,144         15,072
   TOTAL OTHER OPERATING
    EXPENSES                   184,114         85,072
   SPECIAL ITEMS                                     
   MEDICAL CONTRACTS CLTC:                           
    MEDICAL SUPPORT CONTR.   3,872,017      1,275,045
   TOTAL SPECIAL ITEMS       3,872,017      1,275,045
  TOTAL CLTC MANAGEMENT      6,966,766      1,696,872
                             =========== ============
  2. CLTC-HOME & COMMUNITY                           
   SERVICES:
    PUBLIC ASSISTANCE
    PAYMENTS:                        
    CASE SERVICES           22,128,193      5,934,781
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                22,128,193      5,934,781
  TOTAL CLTC-HOME &
   COMMUNITY SERVICES       22,128,193      5,934,781
                            ============ ============
 TOTAL COMMUNITY LONG
  TERM CARE                 29,094,959      7,631,653
                            ============ ============
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
  F. MEDICALLY INDIGENT
    PROGRAM:                                         
  1. MEDICALLY INDIGENT                              
   MANAGEMENT                                        
    CLASSIFIED POSITIONS       308,796        229,420
                               (12.00)        (12.00)
   TOTAL PERSONAL SERVICE      308,796        229,420
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         3,600          2,000
    SUPPLIES AND MATERIALS      22,380         20,380
    FIXED CHGS. & CONTRIB.       7,344               
    TRAVEL                      28,546          7,090
    EQUIPMENT                   13,420         13,420
   TOTAL OTHER OPERATING
    EXPENSES                    75,290         42,890
   SPECIAL ITEMS (MEDICAL                            
    CONTRACTS MIAF)                                  
    MEDICAL SUPPORT CONTRACTS  163,000        163,000
   TOTAL SPECIAL ITEMS         163,000        163,000
  TOTAL MEDICAL                                      
   INDIGENT-MANAGEMENT         547,086        435,310
                             =========== ============
  2. MEDICAL INDIGENT
   ASSISTANCE PAYMENTS                               
   ASSISTANCE PAYMENTS                               
    CASE SERVICES           14,863,854               
   TOTAL ASSISTANCE
    PAYMENTS                14,863,854               
  TOTAL MEDICAL INDIGENT                             
   ASSISTANCE PAYMENTS      14,863,854               
                            ============ ============
 TOTAL MEDICALLY
  INDIGENT PROGRAM          15,410,940        435,310
                            ============ ============
 TOTAL HEALTH SERVICES     568,421,703    108,613,044
                           ============= ============
 IV. EMPLOYEE BENEFITS                               
  C. STATE EMPLOYER
    CONTRIBUTIONS
    EMPLOYER CONTRIBUTIONS   1,657,770        550,942
   TOTAL FRINGE BENEFITS     1,657,770        550,942
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
                           Total Funds   General Funds 
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS             1,657,770        550,942
                             =========== ============
 TOTAL EMPLOYEE BENEFITS     1,657,770        550,942
                             =========== ============
 TOTAL STATE HLTH & HUMAN
  SVCS FIN COMMISSION      635,051,114    114,252,796
                           ============= ============
  TOTAL AUTHORIZED
   FTE POSITIONS              (329.00)       (141.09)
                           ============= ============
  40.1. The State Health and Human Services Finance Commission
shall recoup all refunds and identified program overpayments and
all such overpayments shall be recouped in accordance with
established collection policy. Further, the Health and Human
Services Finance Commission is authorized to maintain a restricted
fund, on deposit with the State Treasurer, to be used to pay for
Medicaid and Social Services Block Grant Federal liabilities. The
restricted fund will derive from prior year program refunds. The
restricted fund shall not exceed one-half of one percent of the
Medicaid and Social Services Block Grant total appropriation
authorization for the current year. Amounts in excess of one-half
of one percent will be remitted to the General Fund. Provided,
further that the Health and Human Services Finance Commission, with
the approval of the Budget and Control Board, may authorize
collection to be terminated and permit "write-off" of any
debt or claim due the Commission, pursuant to existing guidelines.
The Commission shall not exercise this authority with respect to a
debt or claim if there is any indication of violation of penal
laws.
  40.2. The Commission, in calculating a reimbursement rate for
long term care facility providers, shall obtain for each contract
period an inflation factor, developed by the Budget and Control
Board, Research and Statistical Services 
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
Division. Data obtained from Medicaid cost reporting records
applicable to long term care providers will be supplied to the
Budget and Control Board, Research and Statistical Services
Division. A composite index, developed by the Budget and Control
Board, Research and Statistical Services Division will be used to
reflect the respective costs of the components of the Medicaid
program expenditures in computing the maximum inflation factor to
be used in long term care contractual arrangements involving
reimbursement of providers. The Research and Statistical Services
Division of the Budget and Control Board shall update the composite
index so as to have the index available for each contract renewal.
  The Commission may apply the inflation factor in calculating the
reimbursement rate for the new contract period from zero percent
(0%) up to the inflation factor developed by the Research and
Statistical Services Division.
  40.3. Medicaid reimbursements related to allowable travel costs
shall be limited to reimbursement rates established by the Budget
and Control Board for State Employees. The reimbursement shall not
be based on a depreciation schedule.
  40.4. The State Health and Human Services Finance Commission
shall remit to the General Fund an amount representing fifty
percent (allowable Federal Financial Participation) of the cost of
the Medical Assistance Audit Program included in Program II as
established in the State Auditor's Office of the Budget and Control
Board Section 16L. Such amount shall also include appropriated
salary adjustments and employer contributions allocable to the
Medical Assistance Audit Program. Such remittance to the General
Fund shall be made monthly and based on invoices as provided by the
State Auditor's Office of the Budget and Control Board.
  40.5. Subject to the approval by the Attorney General, the State
Health and Human Services 
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
Finance Commission may contract for legal services from private
counsel on an as needed basis at an hourly rate. The approval by
the Attorney General must be in writing and include the reasons why
there is a need for the Commission to contract for the services and
the manner in which the counsel must be chosen by the Commission.
  40.6. Pursuant to subsection (B) of Section 44-6-150, as amended,
S.C. Code of Laws, the total amount of the South Carolina Medically
Indigent Assistance Fund is $15 million for Fiscal Year 1988-89.
  40.7. On the first day of each quarter of FY 88-89, each county
shall remit one-fourth of its total assessment to the State
Treasurer for deposit into the Medicaid Program and the South
Carolina Medically Indigent Assistance Fund in accordance with
Section 44-6-150, as amended, S.C. Code of Laws. Further that on
the first day of each quarter of FY 88-89, each general hospital
shall remit one-quarter of its total assessment to the State
Treasurer for deposit into the South Carolina Medically Indigent
Assistance Fund in accordance with Section 44-6-150, as amended,
S.C. Code of Laws.
  40.8. It is the intent of the General Assembly that the State
Health and Human Services Finance Commission move from the direct
operation of child development and day care services as provided by
the Department of Social Services to the provision of such services
on a contractual basis so as to realize greater efficiencies in the
child care program. However, this statement of intent shall not be
construed as directing the elimination of direct day care services
in counties which do not have suitable contract providers. In
determining greater efficiencies consideration must be given to the
loss of employment and the resulting cost to the State in
unemployment compensation. The State Health and Human Services
Finance Commission shall assess the feasibility on utilizing
services in 
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
Direct Operation Programs if doing so would reduce the unit cost or
total cost of the program.
  40.9. The State Health and Human Services Finance Commission
shall be the administering agency for the Alcohol and Drug
Abuse/Mental Health Block Grant and shall contract with the South
Carolina Department of Mental Health and the South Carolina
Commission on Alcohol and Drug Abuse for the provision of services
funded through this Block Grant.
  40.10. The income limitation for the Medicaid Program shall
continue to be three hundred percent of the SSI single payment
maximum.
  40.11. The Health and Human Services Finance Commission shall
implement a Drug Utilization Review (DUR) Program and funding for
the DUR Program will come from the Drug line item in the Medicaid
Budget.
  40.12. Every applicant or recipient, only to the extent of the
amount of the medical assistance paid by the Medically Indigent
Assistance Fund, shall be deemed to have assigned his rights to
recover such amounts so paid by the Fund from any third party or
private insurer to the State Health and Human Services Finance
Commission. The State Health and Human Services Finance Commission
shall be automatically subrogated, only to the extent of the amount
of medical assistance paid by the Fund, to the rights an applicant
or recipient may have to recover such amounts so paid by the Fund
from any third party or private insurer. The applicant or recipient
shall cooperate fully with the State Health and Human Services
Finance Commission in its efforts to enforce its assignment and
subrogation rights. Every applicant or recipient is considered to
have authorized all persons, including insurance companies and
providers of medical care, to release to the Commission all
information needed to enforce the assignment and subrogation rights
of the Commission. The Commission is authorized to enforce these
rights pursuant to Section 4 of Act 516 of 1986.
SECTION 40
STATE HEALTH & HUMAN SERVICES FINANCE COMMSN
  40.13. The State Health and Human Services Finance Commission is
authorized to provide Medicaid coverage to pregnant women and
infants whose family income is under the federal poverty level and
who meet other eligibility requirements established by state and
federal laws, regulations, and Title XIX State Plan. A pregnant
woman is eligible throughout the term of her pregnancy. Infants are
eligible up to age one.
  40.14. The Health and Human Services Finance Commission is
allowed to fund the net costs of contracting for any Special Third
Party Liability collection efforts from the monies collected in
that effort.
  40.15. The State Health & Human Services Finance Commission
is directed to study and develop a plan that will lead to the
alleviation of the 1981 moratorium on cost of capital for nursing
care facilities. The Commission may, in its discretion, use the
services of the Property Management Division of the Division of
General Services. Such plan shall be developed on or before January
1, 1989. Resources for such plan shall come from existing funds.
  40.16. The HHSFC shall conduct a study of the prospective pricing
system used to reimburse hospitals & physicians participating
in the Medicaid program. The objective of the study will be to
determine the adequacy of payment rates, the extent to which
hospital physicians are reimbursed their costs incurred in treating
different types of patients, and whether payment amounts are
adequately weighted to allow for the costs of medical education and
primary, secondary, and tertiary care considerations.
  The Commission shall report its findings to the General Assembly
no later than January 15, 1989.
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
 I. ADMINISTRATION:                                  
  A. GENERAL ADMINISTRATION:                         
   PERSONAL SERVICE:                                 
    COMMISSIONER/S              87,327         87,327
                                (1.00)         (1.00)
    CLASSIFIED POSITIONS     4,275,931      4,076,337
                              (197.60)       (187.10)
    UNCLASSIFIED POSITIONS     230,954        185,691
                                (3.60)         (3.00)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS         42,437         13,437
    PER DIEM                    10,442          8,803
   TOTAL PERSONAL SERVICES   4,647,091      4,371,595
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       931,188        376,447
    SUPPLIES AND MATERIALS     684,607        280,248
    FIXED CHGS. & CONTRIB.   4,047,793      3,365,257
    TRAVEL                     124,897         40,680
    EQUIPMENT                  278,539               
    LIB BOOKS, MAPS & FILMS      4,650               
    LIGHT/POWER/HEAT             5,500          1,000
    TRANSPORTATION             116,985         12,000
    EMPLOYEE SUGGESTION AWARD    1,000               
   TOTAL OTHER OPERATING
    EXPENSES                 6,195,159      4,075,632
  TOTAL GENERAL
   ADMINISTRATION           10,842,250      8,447,227
                             =========== ============
  B. VITAL RECORDS                                   
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       872,092        373,815
                               (51.00)        (19.14)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          6,000               
   TOTAL PERSONAL SERVICE      878,092        373,815
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       323,063             13
    SUPPLIES AND MATERIALS      87,400            919
    FIXED CHGS. & CONTRIB.      30,620               
    TRAVEL                      19,453               
    EQUIPMENT                  204,542               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    LIGHT/POWER/HEAT             3,000               
    TRANSPORTATION               5,500               
   TOTAL OTHER OPERATING
    EXPENSES                   673,578            932
  TOTAL VITAL RECORDS        1,551,670        374,747
                             =========== ============
  C. DATA SYSTEMS                                    
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     1,704,206      1,031,163
                               (79.00)        (46.69)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          8,000               
   TOTAL PERSONAL SERVICE    1,712,206      1,031,163
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       432,832        187,369
    SUPPLIES AND MATERIALS     143,206               
    FIXED CHGS. & CONTRIB.     236,787          7,018
    TRAVEL                      18,334               
    EQUIPMENT                  640,948               
    LIGHT/POWER/HEAT             1,250            500
    TRANSPORTATION               4,500            250
   TOTAL OTHER OPERATING
    EXPENSES                 1,477,857        195,137
  TOTAL DATA SYSTEMS         3,190,063      1,226,300
                             =========== ============
  D. STATE PARK MAINTENANCE                          
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       201,563        201,563
                                (9.00)         (9.00)
   TOTAL PERSONAL SERVICE      201,563        201,563
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        71,469         11,000
    SUPPLIES AND MATERIALS      16,331         11,249
    FIXED CHGS. & CONTRIB.      13,840         13,840
    LIGHT/POWER/HEAT           542,199         83,750
    TRANSPORTATION              12,800          3,800
   TOTAL OTHER OPERATING
    EXPENSES                   656,639        123,639
  TOTAL STATE PARK
   MAINTENANCE                 858,202        325,202
                             =========== ============
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
 TOTAL ADMINISTRATION       16,442,185     10,373,476
                             =========== ============
 II. HEALTH PROTECTION                               
  A. MANAGEMENT                                      
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       141,605         59,356
                                (4.00)         (3.00)
    UNCLASSIFIED POSITIONS      81,842         81,842
                                (1.00)         (1.00)
   TOTAL PERSONAL SERVICE      223,447        141,198
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       144,524         10,277
    SUPPLIES AND MATERIALS       1,910          1,910
    FIXED CHGS. & CONTRIB.       3,206          3,206
    TRAVEL                       6,348          6,348
    EQUIPMENT                      500            500
   TOTAL OTHER OPERATING
    EXPENSES                   156,488         22,241
  TOTAL MANAGEMENT             379,935        163,439
                             =========== ============
  B. HOME HEALTH SERVICES                            
  1. MANAGEMENT                                      
    CLASSIFIED POSITIONS        73,797         52,807
                                (2.41)         (1.84)
   TOTAL PERSONAL SERVICE       73,797         52,807
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         9,200               
    SUPPLIES AND MATERIALS       3,767               
    TRAVEL                       1,500               
    EQUIPMENT                    5,100               
    TRANSPORTATION               1,000               
   TOTAL OTHER OPERATING
    EXPENSES                    20,567               
  TOTAL MANAGEMENT              94,364         52,807
                             =========== ============
  2. HOME HEALTH SERVICES                            
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS    12,061,831        419,578
                              (540.58)        (18.22)
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS        711,893               
   TOTAL PERSONAL SERVICE   12,773,724        419,578
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES     1,053,739        239,465
    SUPPLIES AND MATERIALS     382,893         87,100
    FIXED CHGS. & CONTRIB.     345,835          5,135
    TRAVEL                   1,357,972        279,275
    EQUIPMENT                  308,864          1,500
    LIGHT/POWER/HEAT            71,252          3,000
    TRANSPORTATION               6,690            537
   TOTAL OTHER OPERATING
    EXPENSES                 3,527,245        616,012
   PUBLIC ASSISTANCE
    PAYMENTS CASE SERVICES   2,643,178        262,335
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                 2,643,178        262,335
  TOTAL HOME HEALTH
   SERVICES                 18,944,147      1,297,925
                              ========== ============
  3. COMMUNITY LONG TERM
   CARE-SP ITEM                                      
   SPECIAL ITEMS                                     
  4. COMMUNITY LONG TERM                             
   CARE-GENERAL                                      
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     3,369,972               
                              (180.66)               
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS      2,080,427               
   TOTAL PERSONAL SERVICE    5,450,399               
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       361,093               
    SUPPLIES AND MATERIALS     168,652               
    FIXED CHGS. & CONTRIB.     232,870               
    TRAVEL                     818,571               
    EQUIPMENT                   24,865               
    LIGHT/POWER/HEAT            34,526               
    TRANSPORTATION               3,000               
   TOTAL OTHER OPERATING
    EXPENSES                 1,643,577               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
  TOTAL COMMUNITY LONG TERM                          
   CARE-GEN                  7,093,976               
                             =========== ============
  5. R W JOHNSON IN-HOME
   SUPPORT SVCS                                      
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       146,175               
                                (6.20)               
   TOTAL PERSONAL SERVICE      146,175               
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       152,737               
    SUPPLIES AND MATERIALS       4,600               
    FIXED CHGS. & CONTRIB.      10,000               
    TRAVEL                       9,330               
    LIGHT/POWER/HEAT             2,000               
   TOTAL OTHER OPERATING
    EXPENSES                   178,667               
  TOTAL R W JOHNSON IN-HOME
   SUPP SVCS                   324,842               
                             =========== ============
 TOTAL HOME HLTH SVCS &
  LONG TERM CARE            26,457,329      1,350,732
                             =========== ============
  C. PREVENTIVE HEALTH
  SERVICES
  1. MANAGEMENT                                      
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       206,683        131,650
                                (5.00)         (4.00)
   OTHER PERSONAL SERVICE:                           
   TOTAL PERSONAL SERVICE      206,683        131,650
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         7,900          5,700
    SUPPLIES AND MATERIALS       1,400               
    FIXED CHGS. & CONTRIB.         920               
    TRAVEL                       3,791            986
    EQUIPMENT                    1,440               
   TOTAL OTHER OPERATING
    EXPENSES                    15,451          6,686
  TOTAL MANAGEMENT             222,134        138,336
                             =========== ============
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
  2. HEALTH HAZARD EVALUATION                        
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       174,257        169,436
                                (5.00)         (4.83)
   TOTAL PERSONAL SERVICE      174,257        169,436
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         8,700               
    SUPPLIES AND MATERIALS       4,800               
    FIXED CHGS. & CONTRIB.         500               
    TRAVEL                       5,000               
    EQUIPMENT                    8,500               
   TOTAL OTHER OPERATING
    EXPENSES                    27,500               
  TOTAL HEALTH HAZARD
   EVALUATION                  201,757        169,436
                             =========== ============
  3. CHRONIC DISEASE CONTROL                         
  A. CHRONIC DISEASE PREV. &                         
   DETECTION                                         
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     1,282,070        645,132
                               (64.44)        (30.15)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS        128,159               
   TOTAL PERSONAL SERVICE    1,410,229        645,132
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       380,480         22,560
    SUPPLIES AND MATERIALS      58,782         19,315
    FIXED CHGS. & CONTRIB.       3,300               
    TRAVEL                      76,250         18,350
    EQUIPMENT                   54,500               
    LIB BOOKS, MAPS & FILMS      3,500               
    LIGHT/POWER/HEAT             3,000               
    TRANSPORTATION               1,900               
   TOTAL OTHER OPERATING
    EXPENSES                   581,712         60,225
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES               20,115         10,115
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                    20,115         10,115
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
  TOTAL CHRONIC DIS PREV &                           
   DETECTION                 2,012,056        715,472
                             =========== ============
  B. CHRONIC DISEASE                                 
   TREATMENT-CANCER                                  
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       263,961        263,961
                               (14.85)        (14.85)
   TOTAL PERSONAL SERVICE      263,961        263,961
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         3,000          3,000
    SUPPLIES AND MATERIALS       5,000          5,000
    FIXED CHGS. & CONTRIB.         200            200
    TRAVEL                       2,688          2,688
    EQUIPMENT                    3,959          3,959
   TOTAL OTHER OPERATING
    EXPENSES                    14,847         14,847
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES            1,386,890      1,351,890
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                 1,386,890      1,351,890
  TOTAL CHRONIC DIS                                  
   TREATMENT-CANCER          1,665,698      1,630,698
                             =========== ============
 TOTAL CHRONIC DISEASE
  CONTROL                    3,677,754      2,346,170
                             =========== ============
  4. COMMUNICABLE DISEASE
   CONTROL                                           
  A. VENEREAL DISEASE CONTROL                        
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     2,788,729      1,860,852
                              (167.90)        (91.74)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         31,984               
   TOTAL PERSONAL SERVICE    2,820,713      1,860,852
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES     1,020,689        804,795
    SUPPLIES AND MATERIALS     357,824        171,645
    FIXED CHGS. & CONTRIB.       1,450            950
    TRAVEL                     273,621        162,424
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    EQUIPMENT                   97,200         75,700
    LIB BOOKS, MAPS & FILMS      1,000               
                                                     
   TOTAL OTHER OPERATING
    EXPENSES                 1,751,784      1,215,514
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES               78,482         58,482
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                    78,482         58,482
  TOTAL VENEREAL DISEASE
   CONTROL                   4,650,979      3,134,848
                             =========== ============
  B. DISEASE SURV &
   INVESTIGATION                                     
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       398,836        125,814
                               (21.31)         (3.28)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          3,000               
   TOTAL PERSONAL SERVICE      401,836        125,814
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        50,646          2,400
    SUPPLIES AND MATERIALS   1,657,646      1,173,815
    FIXED CHGS. & CONTRIB.         900            900
    TRAVEL                      42,183          4,436
    EQUIPMENT                    5,000               
   TOTAL OTHER OPERATING
    EXPENSES                 1,756,375      1,181,551
  TOTAL DISEASE SURV &                               
   INVESTIGATION             2,158,211      1,307,365
                             =========== ============
  C. TUBERCULOSIS CONTROL                            
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     1,016,226        882,282
                               (45.73)        (39.26)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         25,468         13,048
   TOTAL PERSONAL SERVICE    1,041,694        895,330
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       455,056        399,556
    SUPPLIES AND MATERIALS      10,400          5,500
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    FIXED CHGS. & CONTRIB.         100            100
    TRAVEL                      20,760               
    EQUIPMENT                   17,258         14,758
   TOTAL OTHER OPERATING
    EXPENSES                   503,574        419,914
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES              882,861        870,861
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                   882,861        870,861
  TOTAL TUBERCULOSIS CONTROL 2,428,129      2,186,105
                             =========== ============
  D. PALMETTO AIDS LIFE
    SUPPORT SPECIAL ITEMS
    PALMETTO AIDS LIFE
     SUPPORT                    25,000         25,000
   TOTAL SPECIAL ITEMS          25,000         25,000
  TOTAL PALMETTO AIDS LIFE                           
   SUPPORT                      25,000         25,000
                             =========== ============
 TOTAL COMMUNICABLE DISEASE                          
  CONTROL                    9,262,319      6,653,318
                             =========== ============
 TOTAL PREVENTIVE HEALTH
  SERVICES                  13,363,964      9,307,260
                             =========== ============
  D. MATERNAL AND CHILD CARE                         
  1. MANAGEMENT                                      
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       179,469               
                                (6.91)               
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS          9,274               
    PER DIEM                     2,000               
   TOTAL PERSONAL SERVICES     190,743               
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       534,540               
    SUPPLIES AND MATERIALS      29,444               
    FIXED CHGS. & CONTRIB.      19,225               
    TRAVEL                      10,000               
    EQUIPMENT                   35,567               
    TRANSPORTATION               1,500               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL OTHER OPERATING
    EXPENSES                   630,276               
  TOTAL MANAGEMENT             821,019               
                             =========== ============
  2. FAMILY PLANNING                                 
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     4,363,292      2,272,508
                              (232.21)       (121.17)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS         72,144               
    PER DIEM                     4,650               
   TOTAL PERSONAL SERVICES   4,440,086      2,272,508
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       249,686               
    SUPPLIES AND MATERIALS     159,836         33,173
    FIXED CHGS. & CONTRIB.      23,137               
    TRAVEL                      93,044               
    EQUIPMENT                   31,381            900
    LIGHT/POWER/HEAT            38,229               
    TRANSPORTATION               3,500               
   TOTAL OTHER OPERATING
    EXPENSES                   598,813         34,073
   PUBLIC ASSISTANCE
    PAYMENTS                                         
    CASE SERVICES            1,425,668        418,361
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                 1,425,668        418,361
  TOTAL FAMILY PLANNING      6,464,567      2,724,942
                             =========== ============
  3. MATERNAL AND CHILD
   HEALTH PERSONAL SERVICE                           
    CLASSIFIED POSITIONS     6,183,186      1,077,912
                              (338.60)        (64.42)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS        209,738               
    PER DIEM                     1,272               
   TOTAL PERSONAL SERVICES   6,394,196      1,077,912
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       885,519        340,193
    SUPPLIES AND MATERIALS     392,255         19,782
    FIXED CHGS. & CONTRIB.      55,524               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    TRAVEL                     301,172         18,271
    EQUIPMENT                  190,353          7,704
    LIB BOOKS, MAPS & FILMS      3,048               
    LIGHT/POWER/HEAT            35,037          1,000
    TRANSPORTATION               4,432               
   TOTAL OTHER OPERATING
    EXPENSES                 1,867,340        386,950
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES            5,739,346      3,576,726
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                 5,739,346      3,576,726
  TOTAL MATERNAL AND
   CHILD HEALTH             14,000,882      5,041,588
                             =========== ============
  4. WOMEN, INFANTS &
    CHILDREN                                         
                                                     
    CLASSIFIED POSITIONS     4,457,360               
                              (273.41)               
    UNCLASSIFIED POSITIONS       5,094               
                                 (.36)               
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS        102,114               
   TOTAL PERSONAL SERVICE    4,564,568               
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       876,428               
    SUPPLIES AND MATERIALS     268,323               
    FIXED CHGS. & CONTRIB.      41,050               
    TRAVEL                     201,229               
    EQUIPMENT                   90,521               
    LIB BOOKS, MAPS & FILMS     27,735               
    EVIDENCE                     1,200               
    PETTY CASH FUND                200               
    LIGHT/POWER/HEAT            41,569               
    TRANSPORTATION              10,773               
   TOTAL OTHER OPERATING
    EXPENSES                 1,559,028               
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES           30,503,214               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                30,503,214               
  TOTAL WOMEN, INFANTS &
   CHILDREN                 36,626,810               
                            ============ ============
  5. CHILDREN'S
   REHABILITATIVE SERVICES                           
  A. CHILDREN'S REHAB                                
   SERVICES-GENERAL                                  
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     2,133,270        998,766
                              (111.94)        (51.64)
    UNCLASSIFIED POSITIONS      37,710         29,110
                                (1.62)         (1.32)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS         33,918          3,150
    PER DIEM                     1,300               
   TOTAL PERSONAL SERVICES   2,206,198      1,031,026
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       818,659         10,500
    SUPPLIES AND MATERIALS     134,645          5,500
    FIXED CHGS. & CONTRIB.      12,166               
    TRAVEL                      88,760          4,480
    EQUIPMENT                   37,803               
    LIB BOOKS, MAPS & FILMS      1,500               
    LIGHT/POWER/HEAT            11,072               
    TRANSPORTATION               3,950               
   TOTAL OTHER OPERATING
    EXPENSES                 1,108,555         20,480
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES            2,750,642      1,563,370
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                 2,750,642      1,563,370
                                                     
  TOTAL CHILDREN'S REHAB                             
   SERVICES-GEN              6,065,395      2,614,876
                             =========== ============
  B. BURNT GIN SUMMER
   CAMP - SPEC ITEM                                  
   SPECIAL ITEM                                      
    BURNT GIN SUMMER CAMP      199,500        199,500
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL SPECIAL ITEMS         199,500        199,500
  TOTAL BURNT GIN SUMM CAMP -                        
   SPEC ITEM                   199,500        199,500
                             =========== ============
  C. BURNT GIN SUMMER CAMP -                         
   GENERAL                                           
   OTHER OPERATING EXPENSES:                         
    SUPPLIES AND MATERIALS      15,635               
    EQUIPMENT                    9,883               
   TOTAL OTHER OPERATING
    EXPENSES                    25,518               
  TOTAL BURNT GIN SUMMER
   CAMP - GENERAL               25,518               
                             =========== ============
  D. ADULT CYSTIC FIBROSIS                           
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES              100,000         50,000
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                   100,000         50,000
  TOTAL ADULT CYSTIC FIBROSIS  100,000         50,000
                             =========== ============
  E. HEMOPHILIA                                      
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES              108,920         80,920
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                   108,920         80,920
  TOTAL HEMOPHILIA             108,920         80,920
                             =========== ============
  F. SICKLE CELL                                     
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS        45,819         45,819
                                (2.68)         (2.68)
   TOTAL PERSONAL SERVICE       45,819         45,819
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        21,313         21,313
    TRAVEL                         986            986
   TOTAL OTHER OPERATING
    EXPENSES                    22,299         22,299
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES              442,061        436,155
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                   442,061        436,155
  TOTAL SICKLE CELL            510,179        504,273
                             =========== ============
 TOTAL CHILDREN'S
  REHABILITATIVE  SVCS       7,009,512      3,449,569
                             =========== ============
 TOTAL MATERNAL AND
  CHILD CARE                64,922,790     11,216,099
                            ============ ============
  E. PUBLIC HEALTH DISTRICTS                         
  1. DISTRICT SERVICES
   PERSONAL HEALTH                                   
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS     3,782,163      3,473,033
                              (128.10)       (115.99)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          3,889          1,500
   TOTAL PERSONAL SERVICE    3,786,052      3,474,533
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       144,013         57,180
    SUPPLIES AND MATERIALS      70,007         19,071
    FIXED CHGS. & CONTRIB.      28,215         10,406
    TRAVEL                     104,368         74,623
    EQUIPMENT                   23,291               
    LIB BOOKS, MAPS & FILMS        750               
    PETTY CASH FUND                250               
    LIGHT/POWER/HEAT            12,812               
    TRANSPORTATION               3,025            300
   TOTAL OTHER OPERATING
    EXPENSES                   386,731        161,580
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES               37,194               
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                    37,194               
  TOTAL DISTRICT SVCS
   PERSONAL HEALTH           4,209,977      3,636,113
                             =========== ============
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
  2. COMMUNITY HEALTH
   SERVICES PERSONAL SERVICE
   CLASSIFIED POSITIONS     15,429,864     15,170,622
                              (839.25)       (825.86)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS         84,065         54,065
    PER DIEM                     1,100               
   TOTAL PERSONAL SERVICES  15,515,029     15,224,687
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES     1,633,058        384,018
    SUPPLIES AND MATERIALS   1,071,098        270,261
    FIXED CHGS. & CONTRIB.     119,387         15,537
    TRAVEL                     665,174        632,505
    EQUIPMENT                  310,303         39,368
    PETTY CASH FUND             30,100             25
    LIGHT/POWER/HEAT           356,481          9,500
    TRANSPORTATION              31,232          3,200
   TOTAL OTHER OPERATING
    EXPENSES                 4,216,833      1,354,414
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES              143,135         45,135
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                   143,135         45,135
   DISTRIBUTION TO
    SUBDIVISIONS                                     
  TOTAL COMMUNITY HEALTH
   SERVICES                 19,874,997     16,624,236
                             =========== ============
  3. PRIMARY CARE                                    
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS       144,792         36,329
                                (6.00)         (1.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         87,935               
   TOTAL PERSONAL SERVICE      232,727         36,329
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        33,022               
    SUPPLIES AND MATERIALS       2,089               
    FIXED CHGS. & CONTRIB.       4,149               
    TRAVEL                      13,110               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    EQUIPMENT                    6,000               
   TOTAL OTHER OPERATING
    EXPENSES                    58,370               
  TOTAL PRIMARY CARE           291,097         36,329
                             =========== ============
  4. COUNTY HLTH DEPT
   RENOV-SPEC ITEM                                   
   SPECIAL ITEM                                      
  5. FAMILY HEALTH CENTERS                           
   SPECIAL ITEM                                      
    FAMILY HEALTH CENTERS      200,000        200,000
   TOTAL SPECIAL ITEM          200,000        200,000
  TOTAL FAMILY HEALTH
   CENTERS                     200,000        200,000
                             =========== ============
 TOTAL PUBLIC HEALTH
  DISTRICTS                 24,576,071     20,496,678
                             =========== ============
  F. DRUG CONTROL:                                   
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       643,317        336,590
                               (19.00)         (9.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          2,032               
   TOTAL PERSONAL SERVICE      645,349        336,590
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        37,000               
    SUPPLIES AND MATERIALS      14,865               
    FIXED CHGS. & CONTRIB.       6,800               
    TRAVEL                      20,192          1,792
    EQUIPMENT                   88,816               
    EVIDENCE                     2,000               
    TRANSPORTATION              35,577               
   TOTAL OTHER OPERATING
    EXPENSES                   205,250          1,792
  TOTAL DRUG CONTROL           850,599        338,382
                             =========== ============
  G. LABORATORIES:                                   
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     1,903,388      1,263,810
                               (95.89)        (58.30)
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         12,022               
   TOTAL PERSONAL SERVICE    1,915,410      1,263,810
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       433,674         31,507
    SUPPLIES AND MATERIALS   1,072,305        186,943
    FIXED CHGS. & CONTRIB.   1,039,356        945,098
    TRAVEL                      34,275          5,841
    EQUIPMENT                  110,050         16,603
    LIGHT/POWER/HEAT             2,250               
    TRANSPORTATION               3,950               
   TOTAL OTHER OPERATING
    EXPENSES                 2,695,860      1,185,992
  TOTAL LABORATORIES         4,611,270      2,449,802
                             =========== ============
  H. ENVIRONMENTAL
   SANITATION:                                       
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     3,026,939      2,125,324
                              (154.33)        (85.29)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         34,966         22,818
   TOTAL PERSONAL SERVICE    3,061,905      2,148,142
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       525,426        216,155
    SUPPLIES AND MATERIALS     371,097         17,665
    FIXED CHGS. & CONTRIB.      41,342         20,970
    TRAVEL                     264,878        102,063
    EQUIPMENT                  188,828            400
    LIGHT/POWER/HEAT             2,374          2,374
    TRANSPORTATION              28,000         15,000
   TOTAL OTHER OPERATING
    EXPENSES                 1,421,945        374,627
  TOTAL ENVIRONMENTAL
   SANITATION                4,483,850      2,522,769
                             =========== ============
 TOTAL HEALTH PROTECTION   139,645,808     47,845,161
                             =========== ============
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
 III. HLTH FACILITIES & SVCS                         
  REGULATIONS                                        
  A. MANAGEMENT:                                     
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS        71,349         71,349
                                (2.00)         (2.00)
    UNCLASSIFIED POSITIONS      64,221         64,221
                                (1.00)         (1.00)
   TOTAL PERSONAL SERVICE      135,570        135,570
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         3,700          3,700
    SUPPLIES AND MATERIALS         300            300
    TRAVEL                       1,000          1,000
   TOTAL OTHER OPERATING
    EXPENSES                     5,000          5,000
  TOTAL MANAGEMENT             140,570        140,570
                             =========== ============
  B. HLTH FACILITIES & SVCS                          
   DEVELOPMENT:                                      
  1. HLTH FACILITIES & SVCS                          
   DEV-GEN:                                          
   PERSONAL SERVICES:                                
    CLASSIFIED POSITIONS       419,546        419,546
                               (10.00)        (10.00)
   TOTAL PERSONAL SERVICE      419,546        419,546
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        25,000         25,000
    SUPPLIES AND MATERIALS       3,500          3,500
    FIXED CHGS. & CONTRIB.       8,500          8,500
    EQUIPMENT                    6,000               
   TOTAL OTHER OPERATING
    EXPENSES                    43,000         37,000
  TOTAL HLTH FACILITIES &
   SVCS DEV-GEN                462,546        456,546
                             =========== ============
  2. RURAL HEALTH:                                   
  A. MANAGEMENT:                                     
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS        86,061         86,061
                                (6.15)         (6.15)
   TOTAL PERSONAL SERVICE       86,061         86,061
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES           150            150
    SUPPLIES AND MATERIALS       1,350          1,350
    TRAVEL                       2,700          2,700
    TRANSPORTATION               1,000          1,000
   TOTAL OTHER OPERATING
    EXPENSES                     5,200          5,200
  TOTAL MANAGEMENT              91,261         91,261
                             =========== ============
  B. MEDICAL & DENTAL                                
   SCHOLARSHIPS:                                     
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        24,530          4,530
    SUPPLIES AND MATERIALS      16,411            200
    FIXED CHGS. & CONTRIB.         700            700
    TRAVEL                      21,423            500
   TOTAL OTHER OPERATING
    EXPENSES                    63,064          5,930
   SPECIAL ITEMS:                                    
    SCHOLARSHIP-NON-STATE EMP  203,000        112,000
   TOTAL SPECIAL ITEMS         203,000        112,000
  TOTAL MEDICAL & DENTAL                             
   SCHOLARSHIPS                266,064        117,930
                             =========== ============
  C. MIGRANT HEALTH:                                 
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS        14,449               
                                 (.69)               
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         18,927               
   TOTAL PERSONAL SERVICE       33,376               
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        28,889               
    SUPPLIES AND MATERIALS       8,346               
    FIXED CHGS. & CONTRIB.       1,000               
    TRAVEL                      13,801               
    EQUIPMENT                    2,838               
    TRANSPORTATION                 800               
   TOTAL OTHER OPERATING
    EXPENSES                    55,674               
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   PUBLIC ASSISTANCE
    PAYMENTS:
    CASE SERVICES               40,935               
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                    40,935               
  TOTAL MIGRANT HEALTH         129,985               
                             =========== ============
  D. RURAL HEALTH - GENERAL:                         
   OTHER OPERATING EXPENSE:                          
    CONTRACTUAL SERVICES        60,656               
   TOTAL OTHER OPERATING
    EXPENSE                     60,656               
   PUBLIC ASSISTANCE
    PAYMENTS:                                        
    CASE SERVICES              205,551        166,024
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                   205,551        166,024
  TOTAL RURAL HEALTH -
   GENERAL                     266,207        166,024
                             =========== ============
 TOTAL RURAL HEALTH            753,517        375,215
                             =========== ============
 TOTAL HLTH FACILITIES
  & SVCS DEVELMT             1,216,063        831,761
                             =========== ============
  C. HLTH FACILITIES CONSTR,
   LIC & CERT:                                       
  1. HLTH FAC CONSTR, LIC &
   CERT - GEN:                                       
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     1,983,165        535,704
                               (77.20)        (21.28)
    UNCLASSIFIED POSITIONS      29,163               
                                 (.40)               
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS         20,923               
    PER DIEM                       500            500
   TOTAL PERSONAL SERVICES   2,033,751        536,204
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       174,719         30,472
    SUPPLIES AND MATERIALS      30,856          3,009
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    FIXED CHGS. & CONTRIB.       5,000               
    TRAVEL                     279,935         32,531
    EQUIPMENT                   40,160               
   TOTAL OTHER OPERATING
    EXPENSES                   530,670         66,012
  TOTAL HLTH FAC CONST, LIC
   & CERT-GEN                2,564,421        602,216
                             =========== ============
  2. EMERGENCY MEDICAL
   SERVICES:                                         
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       410,614        354,021
                               (18.80)        (16.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         10,259               
   TOTAL PERSONAL SERVICE      420,873        354,021
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       445,798         54,924
    SUPPLIES AND MATERIALS      22,439          1,503
    FIXED CHGS. & CONTRIB.       3,103          1,369
    TRAVEL                      27,597          6,597
    EQUIPMENT                   22,949            814
    LIB BOOKS, MAPS & FILMS      1,525               
   TOTAL OTHER OPERATING
    EXPENSES                   523,411         65,207
   DISTRIBUTION TO
    SUBDIVISIONS:                                    
    AID CNTY-RESTRICTED        294,423        294,423
    AID EMS-REGIONAL COUNCILS  359,848        359,848
   TOTAL DISTRIBUTION TO                             
    SUBDIVISIONS               654,271        654,271
  TOTAL EMERGENCY MEDICAL
   SERVICE                   1,598,555      1,073,499
                             =========== ============
 TOTAL HLTH FAC CONST, LIC
  & CERT                     4,162,976      1,675,715
                             =========== ============
  D. HEARING AID BOARD:                              
   PERSONAL SERVICE:                                 
   OTHER PERSONAL SERVICE:                           
    PER DIEM                       500            500
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL PERSONAL SERVICE          500            500
   OTHER OPERATING EXPENSE:                         
    TRAVEL                         500            500
   TOTAL OTHER OPERATING
    EXPENSE                        500            500
  TOTAL HEARING AID BOARD        1,000          1,000
                             =========== ============
 TOTAL HLTH FACILITIES & SVCS                        
  REGS                       5,520,609      2,649,046
                             =========== ============
 IV. ENVIRONMENTAL QUALITY                           
  CONTROL:                                           
  A. MANAGEMENT:                                     
  1. MANAGEMENT - GENERAL:                           
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       363,245        235,665
                               (14.00)         (9.00)
    UNCLASSIFIED POSITIONS      68,587         68,587
                                (1.00)         (1.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         18,814          4,000
   TOTAL PERSONAL SERVICE      450,646        308,252
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       723,326        155,000
    SUPPLIES AND MATERIALS     107,874          6,695
    FIXED CHGS. & CONTRIB.     163,450         72,150
    TRAVEL                      60,316         14,316
    EQUIPMENT                  128,225         18,224
    LIGHT/POWER/HEAT            24,133          6,990
    TRANSPORTATION              35,000          1,000
   TOTAL OTHER OPERATING
    EXPENSES                 1,242,324        274,375
  TOTAL MANAGEMENT - GENERAL 1,692,970        582,627
                             =========== ============
  2. RURAL WATER & SEW
   GRTS - SP ITEM:                                   
   SPECIAL ITEMS:                                    
    RURAL WATER & SEWER GRANT  168,282        168,282
   TOTAL SPECIAL ITEMS         168,282        168,282
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
  TOTAL RURAL WAT & SEW
   GRTS - SP ITEM              168,282        168,282
                             =========== ============
 TOTAL MANAGEMENT            1,861,252        750,909
                             =========== ============
  B. AIR QUALITY CONTROL:                            
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       841,299        535,501
                               (26.00)        (17.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          5,000               
   TOTAL PERSONAL SERVICE      846,299        535,501
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        77,337          9,544
    SUPPLIES AND MATERIALS      47,674          5,000
    FIXED CHGS. & CONTRIB.         223               
    TRAVEL                      50,826         17,501
    EQUIPMENT                   72,050               
    LIGHT/POWER/HEAT             8,000          3,000
    TRANSPORTATION               7,903          3,074
   TOTAL OTHER OPERATING
    EXPENSES                   264,013         38,119
  TOTAL AIR QUALITY CONTROL  1,110,312        573,620
                             =========== ============
  C. WATER POLLUTION CONTROL:                        
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     2,331,193      1,249,653
                               (94.00)        (44.50)
   NEW POSITIONS:                                    
    ENV. ENG. III               66,322         66,322
                                (2.00)         (2.00)
    ADMIN. SPEC. B              16,367         16,367
                                (1.00)         (1.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         47,751         14,041
   TOTAL PERSONAL SERVICE    2,461,633      1,346,383
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       395,480         49,851
    SUPPLIES AND MATERIALS      42,566         12,755
    FIXED CHGS. & CONTRIB.       6,832          2,832
    TRAVEL                      70,763         23,626
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    EQUIPMENT                  149,143         13,500
    LIGHT/POWER/HEAT             1,244            944
    TRANSPORTATION              36,907         12,000
   TOTAL OTHER OPERATING
    EXPENSES                   702,935        115,508
  TOTAL WATER POLLUTION
   CONTROL                   3,164,568      1,461,891
                             =========== ============
  D. SOLID & HAZARDOUS WASTE                         
   MANAGEMENT:                                       
  1. SOLID & HAZD WASTE
   MGMT - GENERAL                                    
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     1,449,799        683,887
                               (66.00)        (26.00)
   NEW POSITIONS:                                    
    E.Q. MGR. III               54,510         54,510
                                (2.00)         (2.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         22,128               
   TOTAL PERSONAL SERVICE    1,526,437        738,397
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES     2,953,149        262,034
    SUPPLIES AND MATERIALS      57,897         21,459
    FIXED CHGS. & CONTRIB.      11,153            253
    TRAVEL                      75,114         32,140
    EQUIPMENT                  159,856         25,203
    LIGHT/POWER/HEAT            11,500          1,500
    TRANSPORTATION              25,118          3,000
   TOTAL OTHER OPERATING
    EXPENSES                 3,293,787        345,589
  TOTAL SOLID & HAZD WASTE
   MGMT - GEN                4,820,224      1,083,986
                             =========== ============
  2. OIL & HAZD WASTE EMERG                          
   RESPONSE:                                         
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       223,805        200,195
                                (9.00)         (8.00)
   TOTAL PERSONAL SERVICE      223,805        200,195
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        23,308         23,308
    SUPPLIES AND MATERIALS      17,317         17,317
    TRAVEL                      20,422         20,422
    EQUIPMENT                   53,000         53,000
    LIB BOOKS, MAPS & FILMS      1,000          1,000
    LIGHT/POWER/HEAT             3,500          3,500
    TRANSPORTATION               1,300          1,300
   TOTAL OTHER OPERATING
    EXPENSES                   119,847        119,847
  TOTAL OIL & HAZD WASTE
   EMERG RESPONSE              343,652        320,042
                             =========== ============
  3. HAZARDOUS WASTE
   CONTINGENCY FUND:                                 
   SPECIAL ITEMS:                                    
    HAZARDOUS WASTE
     CONTINGENCY FUND          250,000        250,000
   TOTAL SPECIAL ITEMS         250,000        250,000
  TOTAL HAZD WASTE
   CONTINGENCY FUND            250,000        250,000
                             =========== ============
  4. HAZARDOUS WASTE TASK
   FORCE:                                            
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       105,324        105,324
                                (5.00)         (5.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          5,078          5,078
   TOTAL PERSONAL SERVICE      110,402        110,402
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        37,000         37,000
    SUPPLIES AND MATERIALS       5,500          5,500
    TRAVEL                      13,126         13,126
    EQUIPMENT                   10,000         10,000
   TOTAL OTHER OPERATING
    EXPENSES                    65,626         65,626
  TOTAL HAZARDOUS WASTE TASK                         
   FORCE                       176,028        176,028
                             =========== ============
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
 TOTAL SOLID & HAZARDOUS
  WASTE MGMT                 5,589,904      1,830,056
                             =========== ============
  E. WATER SUPPLY:                                   
  1. WATER SUPPLY GENERAL:                           
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     1,281,767        550,046
                               (48.00)        (22.00)
    UNCLASSIFIED POSITIONS                           
                                                     
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         70,406          5,675
   TOTAL PERSONAL SERVICE    1,352,173        555,721
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       341,491         41,812
    SUPPLIES AND MATERIALS      32,906         14,333
    FIXED CHGS. & CONTRIB.       1,012          1,012
    TRAVEL                      71,482         17,501
    EQUIPMENT                  106,849               
    LIB BOOKS, MAPS & FILMS      2,500          2,500
    LIGHT/POWER/HEAT             2,000          2,000
    TRANSPORTATION               8,000          8,000
   TOTAL OTHER OPERATING
    EXPENSES                   566,240         87,158
  TOTAL WATER SUPPLY GENERAL 1,918,413        642,879
                             =========== ============
  2. S.C. RURAL WATER &
   SEWER GRANTS:                                     
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS        28,789         28,789
                                (1.00)         (1.00)
   TOTAL PERSONAL SERVICE       28,789         28,789
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES           200            200
    SUPPLIES AND MATERIALS       1,300          1,300
    TRAVEL                       2,500          2,500
   TOTAL OTHER OPERATING
    EXPENSES                     4,000          4,000
   DISTRIBUTION TO
    SUBDIVISIONS:                                    
    AID MUN-RESTRICTED          60,000         60,000
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL DISTRIBUTION TO                             
    SUBDIVISIONS                60,000         60,000
  TOTAL S.C. RURAL WATER &
   SEWER GRANTS                 92,789         92,789
                             =========== ============
  3. PUBLIC WATER SYSTEM                             
   PERSONAL SERVICE                                  
   NEW POSITIONS:                                    
    CHEMIST III                 28,341         28,341
                                (1.00)         (1.00)
    EQC MGR. II                 27,255         27,255
                                (1.00)         (1.00)
    CHEMIST I                  107,700        107,700
                                (5.00)         (5.00)
    DATA COORDINATOR I          18,427         18,427
                                (1.00)         (1.00)
    CLERICAL SPEC. B            12,937         12,937
                                (1.00)         (1.00)
    ENVIR. TECH. III           141,624        141,624
                                (8.00)         (8.00)
    ADMIN. SPEC. B              16,368         16,368
                                (1.00)         (1.00)
   TOTAL PERSONAL SERVICE      352,652        352,652
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        30,922         30,922
    SUPPLIES AND MATERIALS     103,309        103,309
    FIXED CHGS. & CONTRIB.       4,658          4,658
    TRAVEL                      36,000         36,000
    EQUIPMENT                  268,938        268,938
   TOTAL OTHER OPERATING
    EXPENSES                   443,827        443,827
  TOTAL PUBLIC WATER SYSTEM    796,479        796,479
                             =========== ============
 TOTAL WATER SUPPLY          2,807,681      1,532,147
                             =========== ============
  F. SHELLFISH - GENERAL:                            
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         2,854          2,854
    SUPPLIES AND MATERIALS       4,006          4,006
    FIXED CHGS. & CONTRIB.       1,267          1,267
    TRAVEL                       4,460          4,460
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    EVIDENCE                       100            100
    LIGHT/POWER/HEAT                50             50
    TRANSPORTATION               4,200          4,200
   TOTAL OTHER OPERATING
    EXPENSES                    16,937         16,937
  TOTAL SHELLFISH - GENERAL     16,937         16,937
                             =========== ============
 TOTAL SHELLFISH                16,937         16,937
                             =========== ============
  G. RECREATIONAL WATERS:                            
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       247,423        247,423
                                (8.00)         (8.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         41,366         41,366
                                                     
   TOTAL PERSONAL SERVICE      288,789        288,789
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         4,611          4,611
    SUPPLIES AND MATERIALS       3,600          3,600
    TRAVEL                      17,501         17,501
   TOTAL OTHER OPERATING
    EXPENSES                    25,712         25,712
  TOTAL RECREATIONAL WATERS    314,501        314,501
                             =========== ============
  H. DISTRICT SERVICES/EQC:                          
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     3,219,760      2,403,439
                              (140.00)       (101.00)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS         42,470         31,776
   TOTAL PERSONAL SERVICE    3,262,230      2,435,215
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES       235,468        160,468
    SUPPLIES AND MATERIALS      57,150         37,150
    FIXED CHGS. & CONTRIB.      31,400         31,400
    TRAVEL                      61,197         60,197
    EQUIPMENT                  176,290        175,000
    LIGHT/POWER/HEAT            26,400         26,400
    TRANSPORTATION              70,840         70,840
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
   TOTAL OTHER OPERATING
    EXPENSES                   658,745        561,455
  TOTAL DISTRICT
   SERVICES/EQC              3,920,975      2,996,670
                             =========== ============
  I. ANALYTICAL & BIOLOGICAL                         
   SERVICES:                                         
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS     1,386,912        935,399
                               (63.80)        (37.09)
   OTHER PERSONAL SERVICE:                           
    TEMPORARY POSITIONS          5,254          3,817
   TOTAL PERSONAL SERVICE    1,392,166        939,216
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         7,026          7,026
    SUPPLIES AND MATERIALS     322,459        322,034
    FIXED CHGS. & CONTRIB.      14,489         13,783
    TRAVEL                      23,255         22,680
    EQUIPMENT                  203,205        203,205
    LIB BOOKS, MAPS & FILMS        500            500
    LIGHT/POWER/HEAT                40             40
    TRANSPORTATION               3,740          3,740
   TOTAL OTHER OPERATING
    EXPENSES                   574,714        573,008
                                                     
  TOTAL ANALYTICAL &
   BIOLOGICAL SVCS           1,966,880      1,512,224
                             =========== ============
  J. SAVANNAH RIVER PLANT                            
   PROJECT:                                          
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       279,075        279,075
                               (13.00)        (13.00)
   OTHER PERSONAL SERVICE:                           
   TOTAL PERSONAL SERVICE      279,075        279,075
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        93,099         93,099
    SUPPLIES AND MATERIALS     174,542        174,542
    FIXED CHGS. & CONTRIB.      14,560         14,560
    TRAVEL                      22,275         22,275
    EQUIPMENT                   90,742         90,742
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    LIGHT/POWER/HEAT             2,450          2,450
    TRANSPORTATION               9,474          9,474
   TOTAL OTHER OPERATING
    EXPENSES                  407,142        407,142 
  TOTAL SAVANNAH RIVER PLANT                         
   PROJECT                     686,217        686,217
                             =========== ============
  K. RADIOLOIGICAL HEALTH:                           
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS       719,203        700,456
                               (29.00)        (28.00)
   NEW POSITIONS:                                    
    ADMIN. ASST. I              19,723         19,723
                                (1.00)         (1.00)
    ENV. ENG. ASSOC. I          25,693         25,693
                                (1.00)         (1.00)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS          4,194               
    PER DIEM                       420            420
   TOTAL PERSONAL SERVICES     769,233        746,292
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES        54,435         37,466
    SUPPLIES AND MATERIALS      43,000         31,000
    FIXED CHGS. & CONTRIB.       6,500          3,500
    TRAVEL                      28,376         20,376
    EQUIPMENT                  105,400         65,400
    LIGHT/POWER/HEAT             4,189          1,189
    TRANSPORTATION               9,349          5,000
   TOTAL OTHER OPERATING
    EXPENSES                   251,249        163,931
                                                     
  TOTAL RADIOLOGICAL HEALTH  1,020,482        910,223
                             =========== ============
  L. MONITOR COMPLIANCE NUC
   WASTE COMP:                                       
   PERSONAL SERVICE:                                 
    CLASSIFIED POSITIONS        75,510         75,510
                                (4.00)         (4.00)
   TOTAL PERSONAL SERVICE       75,510         75,510
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES         5,000          5,000
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
    SUPPLIES AND MATERIALS      10,000         10,000
    TRAVEL                      10,675         10,675
   TOTAL OTHER OPERATING
    EXPENSES                    25,675         25,675
  TOTAL MONITOR COMP NUC
   WAST COMP                   101,185        101,185
                             =========== ============
 TOTAL ENVIRONMENTAL QUALITY                         
  CONTROL                   22,560,894     12,686,580
                             =========== ============
 V. EMPLOYEE BENEFITS                                
   BASE PAY INCREASE         1,203,169               
  TOTAL PERSONAL SERVICE     1,203,169               
 TOTAL BASE PAY INCREASE     1,203,169               
                             =========== ============
  C. STATE EMPLOYER
    CONTRIBUTIONS
    EMPLOYER CONTRIBUTIONS  19,040,331      9,653,348
   TOTAL FRINGE BENEFITS    19,040,331      9,653,348
  TOTAL STATE EMPLOYER                               
   CONTRIBUTIONS            19,040,331      9,653,348
                            ============ ============
 TOTAL EMPLOYEE BENEFITS    20,243,500      9,653,348
                            ============ ============
 VI. NON-RECURRING                                   
  APPROPRIATIONS:                                    
  A. SUPPLEMENTAL
   NON-RECURRING:                                    
   OTHER OPERATING EXPENSES:                         
  B. OTHER NON-RECURRING:                            
   OTHER OPERATING EXPENSES:                         
    SOUTHEAST WASTE EXCHANGE    10,000         10,000
   TOTAL OTHER OPERATING
    EXPENSES                    10,000         10,000
                             =========== ============
  TOTAL OTHER NON-RECURRING     10,000         10,000
                             =========== ============
 TOTAL NON-RECURRING                                 
  APPROPRIATIONS                10,000         10,000
                             =========== ============
                                                     
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
                           Total Funds   General Funds 
 TOTAL S C DEPT HLTH & ENV                           
  CONTROL                  204,422,996     83,217,611
                           ============= ============
  TOTAL AUTHORIZED
   FTE POSITIONS             (4273.62)      (2220.79)
                           ============= ============
  41.1. The amount appropriated in this Section under Program 3 for
"Community Long-Term Care" shall
be used as State matching money for Title XIX to design, implement,
(and administer), a comprehensive
needs assessment process and to provide appropriate services for
the impaired and disabled individuals seeking institutional or
noninstitutional longterm care. The Long-Term Care Policy Council
shall provide overall policy direction.
  41.2. Out of the appropriation provided in this section for
"Public Health Districts, Community Health Services", the
sum of $25,000.00 shall be distributed to the county health
departments by the Commissioner, with the approval of the Board of
Department of Health and Environmental Control, for the following
purposes:
1.To insure the provision of a reasonably adequate public health
program in each county.
2.To provide funds to combat special health problems that  may
exist in certain counties.
3.To establish and maintain demonstration projects in improved
public health methods in one or more counties in the promotion of
better public health service throughout the State.
4.To encourage and promote local participation in financial support
of the county health departments.
5.To meet emergency situations which may arise in local  areas.
6.To fit funds available to amounts budgeted when small 
differences occur.
  The provisions of this proviso shall not supersede or suspend the
provisions of Section 13-7-30 of the 1976 Code.
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
  41.3. Counties may continue to fund special projects in
conjunction with the County Health Departments. Salaries for county
special project employees, including merit increases and fringe
benefits, shall be totally funded by the county(s) involved. County
special project employees shall not be under the state merit system
or state compensation plan and they shall receive their
compensation directly from the county(s).
  41.4. The Department of Health and Environmental Control shall be
authorized to continue treatment of those persons with Cystic
Fibrosis who have reached the age of 18 years and continue such
treatment for the life of the patient. The state funds appropriated
in this section for such treatment will be used solely for Cystic
Fibrosis patients of any age.
  41.5. Federal funds made available to the Department of Health
and Environmental Control for the allocation to the counties of the
State for operation of county health units be allotted on a basis
approved by the Board of the Department of Health and Environmental
Control and the amount of State funds appropriated herein for
"Public Health Districts, Community Health Services",
except for salary increases, shall be allocated on a basis such
that no county shall receive less than the amount received in
Fiscal Year 1987-88.
  41.6. Private donations or contributions for capital improvements
at Camp Burnt Gin shall be deposited in a restricted account and
carried forward until sufficient amounts are available for such
improvements. Any expenditures from the account must first be
approved by the Budget and Control Board and the Joint Bond Review
Committee.
  41.7. The Children's Rehabilitative Services shall be required to
utilize any available financial resources including insurance
benefits and/or governmental assistance programs, to which the
child may otherwise be entitled in providing and/or arranging for
medical care and related services to physically handicapped
children 
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
eligible for such services, as a prerequisite to the child
receiving such services.
  41.8. Notwithstanding any other provisions of this act, the funds
appropriated herein for "Cancer" and "Hemophilia
Assistance" shall not be transferred to other programs within
the agency and when instructed by the Budget and Control Board or
the General Assembly to reduce funds within the Department by a
certain percentage, the Department may not act unilaterally to
reduce the funds for any "Cancer" and "Hemophilia
Assistance" program provided for herein greater than such
stipulated percentage.
  41.9. Any unexpended balance on June 30, 1988, of the amount
appropriated in Acts 517 and 519 of 1980 for "Rural Water
& Sewer Grants" may be carried forward and expended on
those projects for which commitments have been made.
  41.10. The Department of Health and Environmental Control shall
utilize so much of the funds appropriated in this section as may be
necessary to continue the Speech and Hearing programs. Any
reductions in the Children's Rehabilitative Services shall be
prorated among the various subprograms.
  41.11. Notwithstanding any other provision of this act, the funds
appropriated for "Community Long-Term Care" shall not be
transferred to other programs within the agency and when instructed
by the Budget and Control Board or the General Assembly to reduce
funds within the Department by a certain percentage, the Department
may not act to reduce the funds for "Community Long-Term
Care" greater than such stipulated percentage.
  41.12. Any unexpended balance on June 30, 1988, of the amount
appropriated in this Section under Program II F, 2 for Community
Health Services shall be carried forward in FY 1988-89 to meet the
intent and purpose of Section 125 (Aid to Subdivisions). Payment
shall be made to each County Treasurer in one annual payment which
shall be made as soon after the close of the previous fiscal year
as 
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
practical, but no later than August 31, 1988. The portion of the
carry forward that is not derived from income tax adjustments shall
be credited to the General Fund, no later than August 31, 1988.
  41.13. The Department of Health and Environmental Control is
authorized to budget and expend monies resulting from insurance
refunds for prior year operations for case services in the
following programs: Children's Rehabilitative Services, Maternal
and Child Health, Family Planning, Hemophilia, Sickle Cell, Cancer
and Tuberculosis Control.
  41.14. No county shall supplement the salary of any DHEC employee
during Fiscal Year 1988-89 except for those DHEC employees which
received a salary supplement during Fiscal Year 1987-88.
  41.15. Funds appropriated herein for Emergency Medical Services,
shall be allocated to the Counties for the purpose of improving or
upgrading the system, and shall be allocated to the EMS-Regional
Councils for administration of training programs and technical
assistance to the local EMS units and the funds shall be allocated
by a ratio of 45 percent to the counties and 55 percent to the EMS
Regional Councils. The Department of Health and Environmental
Control shall develop guidelines and administer the system to make
allocations within each region based on demonstrated need and local
match. Funds appropriated to Emergency Medical Services shall not
be transferred to other programs within the Department's budget. In
addition, when instructed by the Budget and Control Board or the
General Assembly to reduce funds by a certain percentage, the
Department may not reduce the funds appropriated for EMS Regional
Councils or Aid to Counties greater than such stipulated
percentage.
  41.16. Of the amounts appropriated in Rural Health-Case Services,
$166,024 shall be used for rape crisis centers around the state.
  41.17. $16,000 appropriated in the Sickle Cell Program for Blood
Sample Analysis shall be used by 
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
the Department to analyze blood samples submitted by the four
existing regional programs - Region I, Barksdale Sickle Cell Anemia
Foundation in Spartanburg; Region II, Clark Sickle Cell Anemia
Foundation in Columbia; Region III, Committee on Better Racial
Assurance Hemoglobinopathy Program in Charleston; and the
Orangeburg Area Sickle Cell Anemia Foundation.
  41.18. Of the amounts appropriated for CASE SERVICES (Sickle
Cell) $60,000 must be divided equally among the existing community
based sickle cell programs located in Spartanburg and Columbia for
providing preventative programs of education, testing, and
counseling. $65,375 is for the community based program in
Charleston.
  41.19. No funds appropriated for ongoing or newly established
sickle cell programs and services may be diverted to other budget
categories within the DHEC budget.
  41.20. The sum of $300,000 appearing under the Maternal and Child
Health Section of this Act shall be appropriated to and
administered by the Department of Health and Environmental Control
for the purpose of providing appropriate genetic services to
medically needy and underserved persons. Such funds shall be used
by the Department to administer the program and to contract with
appropriate providers of genetic services. Such services will
include genetic screening, laboratory testing, counseling, and
other services as may be deemed beneficial by the Department, and
these funds shall be divided equally among the three Regional
Genetic Centers of South Carolina, composed of units from the
Medical University of South Carolina, the University of South
Carolina School of Medicine, and the Greenwood Genetic Center.
  41.21. The Department of Health and Environmental Control shall
assign a full-time health inspector to serve at commercial
hazardous waste treatment, storage, and disposal facilities located
in South Carolina for the purpose of assuring the protection 
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
of the health and safety of the public by monitoring the receipt
and handling of hazardous waste at these sites. The Department
shall implement a fee schedule to cover the costs of implementing
this inspection program to be collected from such inspected
facilities.
  41.22. The Department of Health & Environmental Control is
hereby authorized to collect, expend and carry forward revenues in
the following programs: Sale of Goods (confiscated goods, arm
patches, etc.), sale of meals at Camp Burnt Gin, sale of
publications, brochures, photo copies and certificate forms,
including but not limited to, pet rabies vaccination certificate
books, sale of listings and labels, sale of State Code and
Supplements, sale of films and slides, sale of maps, sale of items
to be recycled, including used motor oil and batteries, etc., and
collection of registration fees for non-DHEC employees.
  41.23. The $10,000 appropriation to the Southeast Waste Exchange
as contained in this section must be used as a contribution to this
Exchange which is a nonprofit organization based in Charlotte,
North Carolina, which serves both North and South Carolina.
  41.24. The Department of Health and Environmental Control shall
be exempted from the requirements of Section 40-43-370 of the 1976
Code of Laws, as amended, as it relates to the requirement that a
pharmacist employed by the Department may supervise no more than
two adjacent districts. The Department of Health and Environmental
Control shall not be exempt from any other provisions of Section
40-43-370.
  41.25.  Notwithstanding the provisions of Section 44-61-30(b) and
Section 44-61-80(a) and any regulations promulgated thereunder, a
registered nurse may assist an EMT in attending a patient during
transport from one health care facility to another health care
facility when the care of the patient is beyond the limit of
certification of the EMT.
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
  41.26. That the Department is hereby authorized to sell surplus
real property in Florence County and use the proceeds of such sale,
less the expenses required for the sale, to provide necessary
physical plant and facilities for the county and district Health
Department as well as other health services agencies located in
Florence County.
  41.27. The Department shall implement an annual fee schedule for
the inspection of public swimming pools not to exceed the cost of
operating the Recreational Water Program in Fiscal Year 1988-89.
All revenue collected in this program shall be deposited to the
General Fund.
Type of Facility       Fee Type           Fee ($)   
Wading, kiddie,    Construction Permit   $200 plus  
spraying, swimming,                      $0.20 per  
diving, treatment,                       square ft. 
therapeutic, spa,                        of surface 
hot tub pools                            area       
Sliding, floating, Construction Permit   $500 per   
rafting pools                            flume      
Wading, kiddie,    Operating Permit      $90 first  
spraying, swimming,                      pool plus  
diving, treatment,                       $50 each   
therapeutic, spa,                        add'l pool*
hot tub pools                                       
Sliding, floating  Operating Permit      $50 per    
rafting pools                            flume      
*  The $90 base fee for first pool must be applied to each property
unless such property is contiguous or separated only by a street,
alleyway, walk-way, highway or other public right of way.
  41.28. The Department of Health and Environmental Control is
hereby granted authority to charge annually for environmental
permits, licenses, or certificates required by the Department under
the Pollution Control Act, the Safe Drinking Water Act, the
Hazardous Waste Management Act, the Oil and Gas Act or Department
regulations.
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
  Type of Facility                    Permit Fee ($)
                                                    
WASTEWATER TREATMENT                                
--Major Facility                      $800          
(Flow greater than 2,000,000 gal/day)               
--Major Facility                       600          
(Flow 1,000,000 - 2,000,000 gal/day)                
--Minor Facility                       500          
(Flow 500,000 - 999,999 gal/day)                    
--Minor Facility                       400          
(Flow 100,000 - 499,999 gal/day)                    
--Minor Facility                       300          
(Flow 50,000 - 99,999 gal/day)                      
Multiple Discharge Permits            600 Plus      
                                      300/Discharge 
(Greater than 5 Discharge Points)     Over 5        
WATER SUPPLY OPERATING PERMIT                       
--Major Facility                       800          
(Serving more than 10,000 people)                   
--Major Facility                       600          
(Serving 5,000 - 10,000 people)                     
--Minor Facility                       150          
(Serving 1,000 - 4,999 people)                      
--Minor Facility                        50          
(Serving less than 1,000 people)                    
AIR QUALITY PERMITS                                 
--Major Facility                       800          
(Greater than 1,000 tons/year)                      
--Major Facility                       600          
(250 - 1,000 tons/year)                             
--Minor Facility                       400          
(100 - 249 tons/year)                               
--Minor Facility                       300          
(50 - 99 tons/year)                                 
--Minor Facility                       100          
(Less than 50 tons/year)                            
  Fees charged to Cotton Gins shall be prorated on the basis of
time of operation per fiscal year. Fees charged to Grain Storage
Elevators shall be prorated on the basis of time of operation per
fiscal year.
  Hazardous Waste Units                600
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
  Fees and Expenses collected by this process shall be deposited in
the General Fund.
  41.29. The Department of Health and Environmental Control may
charge and collect fees to cover the cost of operating the
certificate of need program. The fee for review of certificate of
need projects is $500 plus .25 percent of the total project cost,
not to exceed $7,500, except as provided below. The fee is payable
by the applicant upon submission of a complete application and all
the fees must be deposited to the credit of the general fund of the
state. For an applicant whose application fee would exceed $7,500
except for the cap, an additional fee of $7,500 is imposed if the
applicant is awarded a certificate of need, to be paid at the time
of the award.
  41.30. Provided that the Department of Health and Environmental
Control shall not be required to undertake any treatment, medical
management or health care follow-up for any person with sickle cell
disease identified through any neonatal testing program, beyond the
level of services supported by funds now or subsequently
appropriated for such services.
  41.31. Appropriations in this section in the amount of $2,303,991
are predicated on revenue collections from fees in the Certificate
of Need program, recreational water program, safe water drinking
program, and the environmental quality control program. The
Department is directed to cooperate with the Budget Division of the
Budget and Control Board to monitor revenue collections and, if
indicated, to reduce budget authorization by an amount
proportionate to any expected shortfall. All revenue collected
shall be deposited in the General Fund on a monthly basis, not
later than the fifteenth day of each month.
  41.32. The Department of Health and Environmental Control is
authorized to charge each public water system requesting the
Department's assistance an annual user fee for chemical monitoring
and reporting requirements as prescribed in the 1986 
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
Safe Drinking Water Act Amendments in accordance with the following
schedule. A public water system which conducts its own monitoring
is not subject to the annual user fee.
   Population Served         Annual User Fee        
     150,001 - 250,000           $4,000             
     100,001 - 150,000            3,500             
      50,001 - 100,000            3,250             
      25,001 -  50,000            3,000             
      10,001 -  25,000            2,750             
       3,301 -  10,000            2,500             
       1,001 -   3,300            1,500             
         501 -   1,000            1,000             
         101 -     500              500             
          51 -     100              300             
          25 -      50              200             
  41.33. Pursuant to Section 44-7-84(A) of the 1976 Code, the
maximum number of Medicaid patient days for which the Department of
Health and Environmental Control is authorized to issue Medicaid
nursing home permits is 2,971,811.
  41.34. Any unexpended balance, not to exceed $40,000, on June 30,
1988 of funds appropriated under Program II D.5.F. -Sickle Cellmay
be carried forward and expended for the purpose of purchasing High
Pressure Liquid Chromatography equipment for the Sickle Cell
program in FY 88-89.
  41.35. Funds from the Hazardous Waste Contingency Fund created
pursuant to Section 44-56-160 of the 1976 Code, other than
dedicated funds in Section 44-56-160(A), in an amount not exceeding
one hundred fifty thousand dollars must be used to conduct a
geohydrological investigation of the Lake Marion area in order to
determine the vulnerability of the area to ground water and surface
water contamination.
  41.36. The Department of Health and Environmental Control shall
assign full-time health inspectors to serve at commercial
incinerators which dispose of infectious waste for the purpose of
assuring the protection of the health and safety of the public by
monitoring the receipt, handling and disposal of 
SECTION 41
DEPT OF HEALTH & ENVIRONMENTAL CONTROL
infectious waste at these sites. The Department shall implement a
fee of up to $5.00 per ton of infectious waste to cover the costs
of implementing this inspection program, not to exceed $150,000, to
be collected quarterly from such inspected facilities to be
deposited in the General Fund.
SECTION 42
DEPARTMENT OF MENTAL HEALTH
                           Total Funds   General Funds 
 VIII. GENERAL ADMINISTRATION:                       
  PERSONAL SERVICE:                                  
   COMMISSIONER/S               88,863         88,863
                                (1.00)         (1.00)
   CLASSIFIED POSITIONS      4,881,115      4,762,370
                              (211.00)       (205.00)
   UNCLASSIFIED POSITIONS      307,030        307,030
                                (5.00)         (5.00)
  OTHER PERSONAL SERVICES:                           
   TEMPORARY POSITIONS          35,000         35,000
   PER DIEM                      8,500          8,500
   O.T. & SHIFT DIFFER.          5,002          5,000
   SPECIAL CONTRACT EMPLOYEE    30,000         30,000
  TOTAL PERSONAL SERVICES    5,355,510      5,236,763
  OTHER OPERATING EXPENSES:                          
   CONTRACTUAL SERVICES        518,025        488,000
   SUPPLIES AND MATERIALS      260,780        225,000
   FIXED CHGS. & CONTRIB.      172,285        172,285
   TRAVEL                       43,839         41,839
   EQUIPMENT                   100,000        100,000
   LIB BOOKS, MAPS & FILMS       2,500          2,500
   LIGHT/POWER/HEAT            112,000        112,000
  TOTAL OTHER OPERATING
   EXPENSES                  1,209,429      1,141,624
 TOTAL GENERAL
  ADMINISTRATION             6,564,939      6,378,387
                             =========== ============
SECTION 42
DEPARTMENT OF MENTAL HEALTH
                           Total Funds   General Funds 
 IX. GENERAL PATIENT CARE                            
  SERVICES                                           
  A. INSTITUTIONAL
   OPERATIONAL SUPPORT                               
   PERSONAL SERVICE                                  
    CLASSIFIED POSITIONS    13,735,140     11,664,215
                              (801.00)       (668.00)
    UNCLASSIFIED POSITIONS     683,247        683,247
                               (12.00)        (12.00)
   OTHER PERSONAL SERVICES:                          
    TEMPORARY POSITIONS         83,259         65,759
    O.T. & SHIFT DIFFER.        38,295         33,483
    PATIENT EARNINGS            91,200         91,200
    OFFICER OF DAY AND NIGHT    79,734         79,734
   TOTAL PERSONAL SERVICES  14,710,875     12,617,638
   OTHER OPERATING EXPENSES:                         
    CONTRACTUAL SERVICES     2,444,738      2,313,658
    SUPPLIES AND MATERIALS     946,450        747,657
    FIXED CHGS. & CONTRIB.   1,668,331        432,766
    TRAVEL                      74,743         49,734
    EQUIPMENT                  241,699        130,244
    LIB BOOKS, MAPS & FILMS     48,580         46,580
    PURCHASE FOR RESALE         81,440               
    LIGHT/POWER/HEAT         3,481,918      3,150,746
   TOTAL OTHER OPERATING
    EXPENSES                 8,987,899      6,871,385
   DEBT SERVICE:                                     
    PRINCIPAL                   30,000         30,000
    INTEREST                    25,000         25,000
   TOTAL DEBT SERVICE           55,000         55,000
   PUBLIC ASSISTANCE PAYMENTS                        
    CASE SERVICES                9,200          9,200
   TOTAL PUBLIC ASSISTANCE                           
    PAYMENTS                     9,200          9,200
  TOTAL INSTITUTIONAL
   OPERATIONAL SUPPORT      23,762,974     19,553,223
                            ============ ============
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