§ 70.146.030. Water quality account -- Progress report
(1) The water quality account is hereby created in the state treasury. Moneys in the account may be used only in a manner consistent with this chapter. Moneys deposited in the account shall be administered by the department of ecology and shall be subject to legislative appropriation. Moneys placed in the account shall include tax receipts as provided in RCW 82.24.027, 82.24.026(2)(d), and 82.32.390, principal and interest from the repayment of any loans granted pursuant to this chapter, and any other moneys appropriated to the account by the legislature.
(2) The department may use or permit the use of any moneys in the account to make grants or loans to public bodies, including grants to public bodies as cost-sharing moneys in any case where federal, local, or other funds are made available on a cost-sharing basis, for water pollution control facilities and activities, or for purposes of assisting a public body to obtain an ownership interest in water pollution control facilities and/or to defray a part of the payments made by a public body to a service provider under a service agreement entered into pursuant to RCW 70.150.060, within the purposes of this chapter and for related administrative expenses. For the period July 1, 2007, to June 30, 2009, moneys in the account may be used to process applications received by the department that seek to make changes to or transfer existing water rights and for other water resources and water quality activities, for water conveyance projects, shoreline technical assistance.[,] Puget Sound education and outreach[,] and for grants and technical assistance to public bodies for watershed planning under chapter 90.82 RCW. No more than three percent of the moneys deposited in the account may be used by the department to pay for the administration of the grant and loan program authorized by this chapter.
(3) Beginning with the biennium ending June 30, 1997, the department shall present a biennial progress report on the use of moneys from the account to the chairs of the senate committee on ways and means and the house of representatives committee on appropriations. The first report is due June 30, 1996, and the report for each succeeding biennium is due December 31st of the odd-numbered year. The report shall consist of a list of each recipient, project description, and amount of the grant, loan, or both.
[2007 c 522 § 955. Prior: 2005 c 518 § 940; 2005 c 514 § 1108; 2004 c 277 § 909; 2003 1st sp.s. c 25 § 934; 2002 c 371 § 921; 2001 2nd sp.s. c 7 § 922; 1996 c 37 § 2; 1995 2nd sp.s. c 18 § 921; 1991 sp.s. c 13 § 61; prior: 1987 c 505 § 64; 1987 c 436 § 6; 1986 c 3 § 3.]
Notes:
Severability -- Effective date -- 2007 c 522: See notes following RCW 15.64.050.
Severability -- Effective date--2005 c 518: See notes following RCW 28A.500.030.
Effective date -- 2005 c 514: See note following RCW 83.100.230.
Part headings not law -- Severability--2005 c 514: See notes following RCW 82.12.808.
Severability -- Effective dates -- 2004 c 277: See notes following RCW 89.08.550.
Severability -- Effective date -- 2003 1st sp.s. c 25: See notes following RCW 19.28.351.
Severability -- Effective date -- 2002 c 371: See notes following RCW 9.46.100.
Severability -- Effective date -- 2001 2nd sp.s. c 7: See notes following RCW 43.320.110.
Severability -- Effective date -- 1995 2nd sp.s. c 18: See notes following RCW 19.118.110.
Effective dates -- Severability -- 1991 sp.s. c 13: See notes following RCW 18.08.240.
Effective dates -- 1986 c 3: See note following RCW 82.24.027.
Sections: Previous 70.146.010 70.146.020 70.146.030 70.146.040 70.146.050 70.146.060 70.146.070 70.146.075 70.146.080 70.146.090 70.146.100 70.146.110 70.146.120 70.146.900 Next
Last modified: April 7, 2009