Skip to content
PoliticalRepoPoliticalRepo

Person

Official portrait of Rep. Dwyer, Bernard J. [D-NJ-6]

Rep. Dwyer, Bernard J. [D-NJ-6]

United States · Official source

Records

3,703 records where Rep. Dwyer, Bernard J. [D-NJ-6] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 2018 (100th)referred

Elderly Victims of Crime Act of 1987

United States · United States Congress · 8 April 1987

Elderly Victims of Crime Act of 1987 - Amends the Victims of Crime Act of 1984 to require States (in order to receive grants from the Crime Victims Fund) to certify that priority will be given to eligible programs which provide assistance to elderly crime victims.

Bill· HRH.R. 2019 (100th)referred

Elder Abuse Information Act of 1987

United States · United States Congress · 8 April 1987

Elder Abuse Information Act of 1987 - Directs the Attorney General to: (1) acquire statistical data about the incidence of elder abuse for 1988 and 1989 and publish annual summaries of such data; and (2) modify the uniform crime reporting program of the Federal Bureau of Investigation to include data, for types of offenses that may involve elder abuse, on the age of the victim and the victim's relationship to the offender.

Resolution· HRESH.Res. 141 (100th)passed

A resolution calling for the immediate release of all the children detained under the state of emergency regulations in South Africa.

United States · United States Congress · 8 April 1987

Declares that the House of Representatives: (1) calls for the immediate release of all the children detained under state of emergency regulations in South Africa; and (2) pending the release of the children, calls on South Africa to permit parental access to the children, make public their names and their location, provide them with adequate food, clothing, and protection, and permit an international organization to verify the above and make sure that such children are not abused or tortured.

Bill· HRH.R. 1961 (100th)reported

Pension Portability Act of 1988

United States · United States Congress · 7 April 1987

Pension Portability Act of 1987 - Title I: Rules Generally Applicable to Simplified Employee Pensions - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to define a "simplified employee pension plan" as a pension plan consisting of one or more individual retirement accounts or annuities that meet certain requirements of the Internal Revenue Code. Directs the Secretary of Labor to prescribe an alternative method of compliance with requirements for simplified employee pension plans. Establishes participation and vesting requirements for such plans. Requires each simplified employee pension plan and portable pension plan to provide that: (1) the distribution of the accrued benefit with respect to each participant will be only in a permitted retirement income form; (2) no distribution may be made without the consent of the participant or beneficiary; and (3) the benefit will be distributed in accordance with a timely application in accordance with the terms of the plan. Describes a standard retirement income form for simplified employee pension plans as: (1) a qualified joint and survivor annuity; (2) any other joint life annuity, including a cash refund annuity; (3) a single life annuity, including a refund annuity; or (4) any series of substantially equal periodic payments described under the Internal Revenue Code. Allows participants to elect a form of distribution other than distribution over life expectancy, if such spousal consent requirements are met. Requires the administrator of a simplified employee pension plan, prior to making a distribution, to provide to the individual who is to receive the distribution a written explanation of: (1) the provisions under which the distribution may be subject to tax or penalty under the Internal Revenue Code; and (2) the terms and conditions of the applicable permitted retirement income form, the participant's rights with respect to electing other forms of distribution, and spousal rights. Declares that for simplified employee pension plans a beneficiary means a spouse of the participant or any other person designated by the participant or by the terms of the plan. Specifies conditions under which spousal consent requirements are to be met. Amends the Internal Revenue Code to make conforming amendments. Exempts simplified employee pension plans from specified funding provisions of ERISA. Authorizes employees to elect alternative salary reduction arrangements under such plans where the employer may make elective contributions to the pension on behalf of the employee or directly to the employee in cash for any year. Specifies the maximum salary reduction amount. Establishes rules governing employer contributions, including participation requirements, the method of determining employer contributions and compensation amounts, and tax reporting requirements. Allows employees to establish simplified employee pension plans with respect to separate lines of business. Title II: Portable Pensions - Amends the Internal Revenue Code and ERISA to define a portable pension plan as an arrangement of one or more individual retirement accounts or annuities which: (1) meets the requirements of a simplified employee pension; and (2) provides for the transfer of plan investment accumulations to other tax-qualified plans. Makes provisions relating to favorable tax treatment inapplicable to cash distributions from rollovers from portable pension plans. Preserves the five-year income averaging treatment for lump sum distributions from portable pension plans which are separately accounted for under such plans. Provides that amounts exceeding the maximum rollover allowable shall not be taxable if such amounts are transferred to a portable pension plan in a direct trustee-to-trustee transfer. Establishes special rules for portable pension plans under ERISA. Relieves the administrators of such plans of liability for reliance in good faith on information provided by an employer, participant, or beneficiary which constitutes a misrepresentation or mistake of fact. Sets forth the responsibilities of the plan sponsor, administrator, and employer. Requires a portable pension plan to: (1) meet employee self-directed account regulations; (2) designate a fiduciary; and (3) provide at least one investment option in U.S. securities. Directs the Secretary and the Secretary of the Treasury to prescribe by regulation one or more prototype portable pension plans. Amends ERISA and the Internal Revenue Code to provide for the direct transfer to a portable pension plan from any other pension plan of the entire nonforfeitable benefit of a participant under such other pension plan.

Bill· HRH.R. 1962 (100th)open

Pension Portability Act of 1987

United States · United States Congress · 7 April 1987

Pension Portability Act of 1987 - Title I: Rules Generally Applicable to Simplified Employee Pensions - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to define a "simplified employee pension plan" as a pension plan consisting of one or more individual retirement accounts or annuities that meet certain requirements of the Internal Revenue Code. Directs the Secretary of Labor to prescribe an alternative method of compliance with requirements for simplified employee pension plans. Establishes participation and vesting requirements for such plans. Requires each simplified employee pension plan and portable pension plan to provide that: (1) the distribution of the accrued benefit with respect to each participant will be only in a permitted retirement income form; (2) no distribution may be made without the consent of the participant or beneficiary; and (3) the benefit will be distributed in accordance with a timely application in accordance with the terms of the plan. Describes a standard retirement income form for simplified employee pension plans as: (1) a qualified joint and survivor annuity; (2) any other joint life annuity, including a cash refund annuity; (3) a single life annuity, including a refund annuity; or (4) any series of substantially equal periodic payments described under the Internal Revenue Code. Allows participants to elect a form of distribution other than distribution over life expectancy, if such spousal consent requirements are met. Requires the administrator of a simplified employee pension plan, prior to making a distribution, to provide to the individual who is to receive the distribution a written explanation of: (1) the provisions under which the distribution may be subject to tax or penalty under the Internal Revenue Code; and (2) the terms and conditions of the applicable permitted retirement income form, the participant's rights with respect to electing other forms of distribution, and spousal rights. Declares that for simplified employee pension plans a beneficiary means a spouse of the participant or any other person designated by the participant or by the terms of the plan. Specifies conditions under which spousal consent requirements are met. Exempts simplified employee pension plans from specified funding provisions of ERISA. Title II: Portable Pensions - Amends ERISA to define a portable pension plan as an arrangement of one or more individual retirement accounts or annuities which: (1) meets the requirements of a simplified employee pension; and (2) provides for the transfer of plan investment accumulations to other tax-qualified plans. Establishes special rules for portable pension plans under ERISA. Relieves the administrators of such plans of liability for reliance in good faith on information provided by an employer, participant, or beneficiary which constitutes a misrepresentation or mistake of fact. Sets forth the responsibilities of the plan sponsor, administrator, and employer. Requires a portable pension plan to: (1) meet employee self-directed account regulations; (2) designate a fiduciary; and (3) provide at least one investment option in U.S. securities. Directs the Secretary and the Secretary of the Treasury to prescribe by regulation one or more prototype portable pension plans. Amends ERISA to provide for the direct transfer to a portable pension plan from any other pension plan of the entire nonforfeitable benefit of a participant under such other pension plan.

Bill· HRH.R. 1953 (100th)referred

A bill to deny certain trade benefits to Romania unless that country recognizes and protects the fundamental human rights and freedoms of all citizens of that country, particularly Hungarian-speaking and other ethnic minorities, and for other purposes.

United States · United States Congress · 6 April 1987

Suspends nondiscriminatory treatment (most-favored-nation treatment) for products of Romania entered into the United States during the one-year period beginning on the date of enactment of this Act. Allows the President to restore nondiscriminatory treatment to products of Romania prior to the end of such period if the President submits a report to the Congress, before the 181st day of the suspension year, containing: (1) the annual objectives of the United States toward achieving the gradual reduction of Romanian human rights violations during the remainder of the suspension year and the reduction and termination of such violations during the five succeeding years; and (2) recommendations regarding actions to be taken by the United States within such five-year period to achieve such objectives. Allows the President to extend nondiscriminatory treatment to the products of Romania during each of the five succeeding years if the President submits a report to the Congress before the beginning of each year stating that the Romanian Government is achieving the applicable human rights violation reduction objectives. Provides for the termination of such nondiscriminatory treatment for any part of such years by enactment of a joint resolution disapproving of the extension of such nondiscriminatory treatment.

Resolution· HRESH.Res. 138 (100th)referred

A resolution to express the sense of the House of Representatives that the Nuclear Regulatory Commission should preserve the role of State and local government in radiological emergency planning in the nuclear licensing process.

United States · United States Congress · 6 April 1987

Expresses the sense of the House of Representatives that for each nuclear power plant that does not currently possess a full-power operating license, the Nuclear Regulatory Commission should apply its regulations so that such a license may be issued only if all of the Commission's emergency planning requirements are met. Includes in such requirements: (1) submission of off-site emergency plans to the Commission by State and local governments; and (2) a finding by the Federal Emergency Management Agency, and a determination by the Commission, that such plans and emergency preparedness are deemed adequate to protect the public safety in the event of a serious reactor accident.

Bill· HRH.R. 1917 (100th)open

Social Security Transitional Benefit Computation Act of 1987

United States · United States Congress · 2 April 1987

Social Security Transitional Benefit Computation Act of 1987 - Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to alter the formula for computing the primary insurance amount of individuals who attain age 65 in or after 1982 and would otherwise be subject to the benefit computation rules of the Social Security Amendments of 1977. Extends the application of such transitional benefit computation rules to those who become eligible for benefits before 1989. (Currently those who become eligible after 1983 are subject to the benefit computation rules of the Social Security Amendments of 1977.)

Bill· HRH.R. 1905 (100th)open

University Research Facilities Revitalization Act of 1987

United States · United States Congress · 1 April 1987

University Research Facilities Revitalization Act of 1987 - Directs the National Science Foundation (NSF) to establish and carry out a new university research laboratory modernization program, making awards to institutions of higher education for the repair, renovation, or replacement of such institutions' laboratories and research facilities. Grants awards in response to specific proposals on the basis of the quality of the research and how such research relates to the future research mission of the NSF and the institution. Authorizes appropriations for FY 1988 through 1997.

Bill· HRH.R. 1876 (100th)open

A bill to amend the Coastal Zone Management Act of 1972 regarding Federal activities that are subject to the Federal consistency provisions of the Act, and for other purposes.

United States · United States Congress · 31 March 1987

Amends the Coastal Zone Management Act of 1972 to prescribe the extent to which Federal agency activities directly affecting the coastal zones must be consistent with approved State management programs. Describes what is encompassed by "directly affecting activities." Allows Federal activities to be inconsistent with State coastal zone management programs only if to be consistent would violate Federal law or if substantial unforeseen obstacles are encountered.

Bill· HRH.R. 1883 (100th)referred

Long-Term Care Patients' Rights Act of 1987

United States · United States Congress · 31 March 1987

Long-Term Care Patients' Rights Act of 1987 - Amends title XIX (Medicaid) of the Social Security Act to require States to establish written standards and procedures protecting and enforcing the rights of residents of long-term care facilities. Lists residents' rights encompassing: (1) medical care and treatment rights, including the right to be fully informed of one's condition and treatment, if such knowledge is not medically detrimental, and participate in planning such treatment; (2) the right to privacy during treatment and visits; (3) the right of confidentiality regarding one's personal records and mail; (4) freedom of association, including both the right to organize and to refuse to participate in group activities; (5) medical experimentation rights, requiring residents to give informed, voluntary, and written consent before involvement in such experimentation; (6) freedom from physical and mental abuse, including the right to refuse to work for the facility and the right to retain personal possessions; and (7) the right to manage, and remain informed of, one's personal financial affairs. Prohibits long-term care facilities from denying admission to, transferring, or discharging residents on the basis of the residents' source of payment for services, or medical history or condition (if the facility can adequately care for such condition). Prohibits resident transfers or discharge for nonmedical reasons without the resident's consent and reasonable notice, unless the resident is a threat to others or does not pay charges. Directs each long-term care facility, at specified times, to provide each resident with an oral, written, and understandable explanation of: (1) the resident's rights and responsibilities; (2) facility rules and regulations; and (3) services available in the facility. Requires public notice of such information as well as information concerning State procedures for enforcing residents' rights. Requires States to annually submit a written plan to the Secretary of Health and Human Services concerning State procedures for protecting and enforcing residents' rights. Specifies the State and community organizations responsible for developing the State plans. Requires State plans to provide for: (1) a procedure for the expeditious review and resolution of residents' complaints by each long-term care facility and by the State, when complaints are not satisfactorily resolved by the facility; (2) a process by which residents and facilities may appeal adverse complaint decisions; (3) a State ombudsman with the responsibility to receive, file, and investigate residents' complaints; (4) programs by which facilities educate their staff regarding residents' rights, facility rules and regulations, and complaint review procedures; and (5) a statewide uniform reporting and recording system of all rights violation complaints and their disposition, as well as a system for reporting cases of resident abuse or neglect so that designated State officials can redress such abuse. Provides that the rights and recourses set forth in this Act are nonexclusive. Requires States to prohibit Medicaid providers from discriminating against, or giving preference to, individuals merely because they receive Medicaid assistance. Creates a private right of action whereby Medicaid applicants and recipients may enforce, in Federal district courts, Federal laws and regulations protecting their welfare and rights.

Bill· HJRESH.J.Res. 217 (100th)referred

A joint resolution proposing an amendment to the Constitution of the United States to provide for the appointment of electors of President and Vice President by the Virgin Islands of the United States, American Samoa, Guam, and the Commonwealth of the Northern Mariana Islands.

United States · United States Congress · 31 March 1987

Constitutional Amendment - Provides for the appointment by the Virgin Islands of the United States, American Samoa, Guam, and the Commonwealth of the Northern Mariana Islands of electors of the President and Vice President equal to the whole number of Senators and Representatives in Congress to which such territories would be entitled if they together were a single State, but in no event more electors than the least populous State appoints.

Bill· HRH.R. 1842 (100th)open

Petroleum Marketing Practices Act Amendments of 1987

United States · United States Congress · 26 March 1987

Petroleum Marketing Practices Act Amendments of 1987 - Amends the Petroleum Marketing Practices Act to provide that, with respect to the sale, consignment, or distribution of motor fuel, the term "franchise" includes any contract between specified parties which is economically necessary to the operation of the leased marketing premises. Provides that the termination or non-renewal of a franchise relationship, upon expiration of an underlying lease for a marketing premises, is reasonable in the event that the franchisor: (1) has an option to renew or purchase an underlying lease or premises and, at least 90 days before such option expires, provides the franchisee with the name, address, and phone number of the owner or lessor; and (2) agrees not to terminate the franchise relationship solely because of the lease and option expiration during any term during which the franchisee is able to retain possession of the premises as a result of entering into an agreement with the owner or lessor.

Bill· HRH.R. 1834 (100th)open

Fair Labor Standards Amendments of 1988

United States · United States Congress · 26 March 1987

Minimum Wage Restoration Act of 1987 - Amends the Fair Labor Standards Act of 1938 to provide for specified annual increases in the minimum wage. Provides, after such increases reach a certain level, for annual indexing of the minimum wage to 50 percent of the average hourly rate in the private sector.

Law· HRH.R. 1807 (100th)enacted

Business Opportunity Development Reform Act of 1988

United States · United States Congress · 25 March 1987

Amends the Small Business Act to limit participation in the Small Business Administration's (SBA) small business and capital ownership development program. (Participation shall be conditioned upon the business concern meeting specified criteria of competitiveness.) Provides additional assistance (including special contracts and training grants) for business concerns deemed to be in the "developmental stage" of program participation. Allows the SBA to purchase developmental investments in business concerns deemed to be in the "transitional stage" of program participation. (Business concerns in the "transitional stage" may also receive the assistance provided business concerns in the "developmental stage.") Establishes within the Treasury a revolving fund to be used by the SBA to purchase such developmental investments. Authorizes appropriations for the fund. Allows the Administrator of the SBA to approve joint venture agreements between program participants and other businesses if such a venture will enhance the participant's progress toward competitive viability and strengthen the free enterprise system. Allows the SBA to award Government procurement contracts under the small business set-aside program based upon a competition between eligible program participants. Provides mainstreaming assistance for business concerns which have graduated from the program. Establishes time limitations for program participation. Sets forth procedures for determining the "fair market price" with respect to the awarding of a Government procurement contract under such Act. Entitles a small business selected by the SBA to perform or negotiate such a contract to receive a written statement detailing the method used to estimate the current fair market price and to protest the use of such method to the Administrator. States that gross receipts and employment attributable to the small business set-aside program shall not be included in determining the size of the business concern for any program or activity conducted under such Act or the Small Business Investment Act of 1958. Sets forth criteria for SBA designation of a small business concern to negotiate a contract requirement under such Act. Prohibits any SBA employee from owning stock, during his or her term of employment and for a period of five years after such employment, in a firm that was certified to receive contracts pursuant to such Act during such person's term of employment. Sets forth other restrictions on the activities of SBA employees. Increases from $50,000 to $300,000 the fine for misrepresenting the status of any concern or person as a "small business concern" or "minority concern." Allows the Committee on Small Business of either House of the Congress to direct the SBA Inspector General to investigate specified SBA programs and activities. Directs the SBA to: (1) conduct meetings with program participants to ascertain the extent of regulations needed to implement this Act; and (2) publish such implementing rules and regulations in the Federal Register. Prohibits any SBA employee from performing any of the principal functions of a Business Opportunity Specialist, a loan officer, or a Business Development Specialist as those functions relate to this Act unless such employee receives specialized training. Describes such training.

Bill· HRH.R. 1801 (100th)open

Criminal and Juvenile Justice Partnership Act of 1988

United States · United States Congress · 25 March 1987

Juvenile Justice and Delinquency Prevention Amendments of 1987 - Amends the Juvenile Justice and Delinquency Prevention Act of 1974, the Runaway and Homeless Youth Act, and the Missing Children's Assistance Act to extend the authorization of appropriations to FY 1989 through 1992.

Bill· HRH.R. 1778 (100th)referred

Imported Raw Agricultural Commodity Safety Act of 1987

United States · United States Congress · 25 March 1987

Imported Raw Agricultural Commodity Safety Act of 1987 - Directs the Secretary of Health and Human Services to prepare a fiscal year plan for the distribution of Food and Drug Administration (FDA) resources for sampling imported raw agricultural commodities to ensure: (1) compliance with pesticide residue laws; and (2) sharing of violations data among FDA districts. Directs the Secretary to prepare a fiscal year summary of sampling activities which shall specify: (1) commodity types and volume; (2) country of export; (3) numbers of samples taken; and (4) violations, including commodity and pesticide, and the name of the importer. Directs the Secretary, when a violation has been found, to monitor such commodity during the successive growing season. Directs the Secretary to: (1) submit an enforcement report to the appropriate congressional committees; and (2) include within such report a description of any pesticide residue detection research.

Bill· HRH.R. 1734 (100th)open

Federal Employees Health Benefits Reform Act of 1987

United States · United States Congress · 19 March 1987

Federal Employees Health Benefits Reform Act of 1987 - Increases the amount of the Government's contribution for an employee enrolled in an employee health benefits plan from 60 to 75 percent of the average subscription charge for such plan. Increases the maximum Government contribution for an enrollee from 75 to 100 percent of such subscription charge. Requires payment of a Government differential equal to five percent of the average subscription charge, in addition to the Government's contribution, for any enrollee who is over 65 years of age and not entitled to Medicare benefits. Excludes such differential in determining the amount to be paid by the enrollee. Permits the following persons to elect to continue coverage under a Federal employees' health benefits plan for a specified period: (1) an employee who is involuntarily separated from the civil service due to a reduction in force; (2) an individual who elects to receive the lump-sum credit for civil service retirement benefits; and (3) an individual 22 years of age or older whose enrollment was based on such individual's being an unmarried child who was incapable of self-support because of a mental or physical disability which existed and did not terminate before the individual attained the age of 22. Requires such persons who elect to continue coverage to pay into the Employees Health Benefits Fund an amount equal to the sum of employee and agency contributions paid for the same level of benefits. Allows such a person to: (1) change to a lower level of benefits; (2) change coverage within 60 days after a change in family status; and (3) transfer enrollment to another plan under conditions prescribed by the Office of Personnel Management (OPM). Provides a temporary extension of coverage to allow persons who elected not to continue coverage or whose continued coverage is terminated to convert to a nongroup contract providing health benefits. Allows annuitants whose annuity is less than the amount required to be withheld for enrollment in a health benefits plan to pay the amount of any deficiency required for enrollment. Requires contracts for employee organization plans to require carriers to: (1) enter into an agreement approved by OPM with an underwriting subcontractor licensed to issue group health insurance in all States and the District of Columbia; and (2) meet minimum financial standards prescribed by OPM. Requires the service benefit plan and the indemnity benefit plan to provide, in addition to all currently authorized benefits: (1) nervous and mental disorder benefits; (2) alcoholism and substance abuse treatment and rehabilitation benefits; and (3) comprehensive dental benefits. Prohibits the OPM from entering into a contract for any service benefit, indemnity benefit, or employee organization plan which does not provide for 50 outpatient visits and 60 inpatient days of nervous and mental disorder benefits and two 28-day alcoholism treatment and rehabilitation benefits. Requires any limits on nervous and mental disorder benefits to be exceeded on a case by case basis only to the extent that a peer review mechanism determines such treatment to be necessary. Requires 80 percent of such excessive benefit claims to be paid from the balance of one percent of all contributions to the Employees Health Benefits Fund remaining after the expenses of administering provisions governing Federal employees health benefit plans are paid. Prohibits the OPM from entering into a contract with a carrier for any health benefits plan which does not provide 95 percent of the benefits that such plan or the most similar plan provided during the preceding year, unless the carrier and the OPM mutually agree to waive such requirement. Prohibits the OPM from entering into a contract for a health benefits plan which excludes anyone because of nonactive employee status.

Bill· HRH.R. 1716 (100th)referred

Government Contractor Whistleblower Protection Act of 1987

United States · United States Congress · 19 March 1987

Government Contractor Whistleblower Protection Act of 1987 - Prohibits a Federal contractor from taking reprisal actions against its officers or employees for disclosing information to a Federal agency regarding performance of a contract with such agency which indicates: (1) a violation of law; or (2) mismanagement, gross waste of funds, abuse of authority, or a danger to public health or safety. Sets forth civil penalties and remedies for violations of this Act.

Bill· HRH.R. 1692 (100th)open

Employee Educational Assistance Act of 1987

United States · United States Congress · 18 March 1987

Employee Educational Assistance Act of 1987 - Amends the Internal Revenue Code to make permanent the income tax exclusion for employee educational assistance programs. (Present law terminates such exclusion as of December 31, 1987.) Requires, for every taxable year beginning after 1988, an annual cost of living adjustment of the maximum excludable amount. Waives the maximum excludable amount for any educational assistance furnished by certain educational institutions to graduate students engaged in teaching or research activities for such organization.

Bill· HRH.R. 1700 (100th)referred

Homecare Quality Assurance Act of 1987

United States · United States Congress · 18 March 1987

Homecare Quality Assurance Act of 1987 - Adds a new title XXI to the Social Security Act entitled "Homecare Quality Assurance." Defines "homecare services" to include home help services (i.e., homemaker, personal care, and sitter services) and Medicare (title XVIII of the Act) home health services. Requires the Secretary of Health and Human Services to promulgate a homecare consumer's bill of rights which includes rights: (1) facilitating consumer participation in the planning and delivery of services; (2) requiring consumer notification regarding services, charges for services, and the termination or reduction of services; (3) protecting consumer dignity, privacy, and property; and (4) ensuring service from properly trained and competent individuals. Requires homecare contractors to: (1) satisfy Medicare home care agency requirements, unless they provide only home help services; (2) provide consumers with copies of the homecare bill of rights; (3) implement grievance review procedures and provide copies of such procedures to consumers; (4) provide consumers with schedules of the services to be provided; (5) have methods for identifying and reviewing a homecare consumer's needs and coordinating the provision of services with other homecare contractors; (6) ensure that each homecare provider whom they employ or have under contract receives training; and (7) evaluate annually and supervise each homecare provider whom they employ or have under contract. Requires the Secretary to encourage States to place at least as stringent conditions on State homecare service programs not covered by title XXI as those placed on covered services. Conditions coverage of durable medical equipment services on providers: (1) issuing written instructions to and training the homecare consumer and staff in the operation of such equipment; and (2) formulating an emergency plan for providing services to the consumer. Directs the Secretary to establish procedures for: (1) conducting an equal number of announced and unannounced surveys of a homecare contractor's compliance with title XXI participation conditions, with more frequent surveys required for contractors with poor compliance records; and (2) validating surveys of contractors performed by accrediting organizations and States. Exempts certain homecare contractors from the Secretary's survey procedures provided they are subject to State quality assurance or licensing programs and certified by accrediting organizations whose standards and survey procedures are at least as stringent as those established under title XXI. Directs the Secretary to promulgate regulations, within one year of this Act's enactment, pursuant to which peer review organizations (PROs) shall monitor the provision of home health services, devoting at least 75 percent of their efforts to quality assurance. Requires the inclusion of: (1) both documentary review and personal interviews of homecare consumers and providers in the PRO review process; and (2) representatives of homecare providers and consumers in PRO membership. Requires each State to appoint a home help monitoring agent to monitor the provision of home help services. Requires each State to establish a Consumer Advisory Board, within one year of this Act's enactment, to oversee the quality assurance review activities of PROs and the home help monitoring agent. Directs the Board to report to the Secretary and the State's chief executive on October 1 of each year regarding such quality assurance review activities. Requires the Secretary to encourage PROs and home help monitoring agents to develop coordinated mechanisms and outcome-orientated criteria for monitoring the quality of homecare, requiring that such monitoring include direct contact with homecare consumers. Requires that PROs and home help monitoring agents: (1) establish and operate statewide toll-free hotlines for receiving homecare questions and complaints, unless the State establishes such a hotline; and (2) assist consumers in resolving homecare quality problems. Directs Consumer Advisory Boards, PROs, and home help monitoring agents to cooperate with State and local officials in educating consumers regarding quality assurance programs and the assistance available for consumers with quality assurance problems. Directs the Secretary to encourage States to develop ombudsman programs for nonelderly homecare consumers. Requires the Secretary to establish and the States to develop procedures for imposing sanctions against contractors and providers failing to comply with this Act. Requires the Secretary to report to the Congress on January 1 of each year regarding the availability, adequacy, and use of sanctions. Requires the Secretary to develop incentives to contractor compliance with title XXI participation conditions, including an annual directory of homecare contractors having a consistent record of compliance with such conditions. Directs the Secretary to: (1) encourage States to develop homecare provider licensing and certification policies; and (2) issue a biennial report on State implementation of such policies. Establishes a Homecare Quality Assurance Council with which the Secretary must consult in implementing and administering title XXI of the Social Security Act. Directs the Secretary to award grants for homecare contractor and provider training programs and furnish States, contractors, and providers with training materials. Directs the Secretary to establish guidelines, fund, and issue a report regarding: (1) studies on homecare quality assurance measures; and (2) demonstration projects which include projects exploring the feasibility and desirability of developing certification requirements for individuals who provide homecare services, and projects considering alternatives to the use of PROs in monitoring homecare contractors. Requires the Secretary to report to the Congress on January 1 of each year and States to report to the Secretary on October 1 of each year regarding the nature and performance during the preceding fiscal year of the homecare quality assurance system. Authorizes appropriations for: (1) the home health monitoring activities of PROs and home help monitoring agents; (2) home health training program grants; and (3) the studies and demonstration projects established pursuant to this Act. Amends the Older Americans Act of 1965 to extend the long-term care ombudsman program to homecare services. Requires each State to establish a toll-free telephone hotline to facilitate the communication of complaints regarding long-term and homecare services. Authorizes appropriations for the hotline and homecare ombudsman program. Directs the Secretary to conduct demonstration projects to determine the most effective methods for an ombudsman to: (1) administer and perform homecare activities; and (2) coordinate such activities with other ombudsman activities. Requires the Secretary to report to the Congress regarding such projects by 1990. Directs the Secretary to conduct a study, within three years of this Act's enactment, into the feasibility of extending the ombudsman program to physician and hospital services received by older individuals. Sets forth administrative and reporting requirements.

Bill· HRH.R. 1708 (100th)referred

Information Dissemination and Research Accountability Act

United States · United States Congress · 18 March 1987

Information Dissemination and Research Accountability Act - Establishes in the National Library of Medicine a National Center for Research Accountability to assist in eliminating duplication of effort in Federal research proposals involving live animals. Directs the President to appoint as members of the Center 20 experts in the biomedical information sciences who are currently employed by a Federal agency in a capacity which qualifies them to make determinations as to whether research proposals involving live animals are duplicative of other research efforts. Sets forth provisions for a Director of the Center. Prohibits Federal agencies from carrying out or funding any research proposal involving live animals unless the proposal is submitted to the Center following agency approval. Prohibits Federal funding of any such proposal which the Center determines would duplicate other research completed or in process. Authorizes the Center to contract with private entities to assist in the conduct of comprehensive full-text literature searches. Directs the President to establish rules to preclude any conflict of interest in the awarding of such contracts. Authorizes the President to appoint uncompensated advisors to the Members of the Center. Directs the Center to report annually to the President and the Congress. Provides for modernization of biomedical information storage and dissemination by the National Library of Medicine. Directs the Library to: (1) acquire, in full-text form, all biomedical information owned or available for use by Federal agencies (except information already in the Library or classified for national security reasons); (2) transcribe and store in full-text all such information acquired by the Library after January 1, 1960; (3) translate into English all foreign-language biomedical information owned or used by the Library; (4) make available through modern technologies, at cost, to medical libraries all full-text biomedical information in its collection; (5) support, by grants and contracts, the creation of new information for teaching and demonstrations, including audiovisual aids and computer graphics technologies; (6) make available, at cost, such new information to research and teaching institutions; and (7) increase the number of persons trained in modern methods of biomedical information storage and dissemination technologies by making available stipends, awards, and grants to persons engaged in such training. Provides that the cost to those requesting such biomedical or such teaching and demonstration information shall include the Federal expenses incurred in acquiring and making it available. Authorizes the Library to award contracts to the private-sector data recording industry to improve: (1) the development of technologies for storage and dissemination of full-text biomedical information; and (2) dissemination of such information to medical libraries for research use. Authorizes the Secretary of Health and Human Services to appoint uncompensated advisors to the Library for purposes of this Act. Requires the Library to report annually to the Congress on its progress. Authorizes appropriations for FY 1986 and thereafter.

Bill· HRH.R. 1694 (100th)referred

A bill to amend title 10, United States Code, to restrict the purchase of foreign-made administrative motor vehicles by the Department of Defense.

United States · United States Congress · 18 March 1987

Amends Federal armed forces provisions to prohibit the Secretary of a military department from contracting for the purchase of administrative motor vehicles that are manufactured in a country other than the United States or Canada unless: (1) the contract or agreement is for an amount less than $50,000; or (2) the purchase of such motor vehicles is specifically authorized by law.

Bill· HJRESH.J.Res. 192 (100th)referred

WIC Food For Life Resolution

United States · United States Congress · 18 March 1987

WIC Food for Life Resolution - Expresses the sense of the Congress that: (1) the Special Supplemental Food Program for Women, Infants, and Children (WIC) should receive increasing appropriations until all eligible persons are being served; and (2) an outreach program should be conducted to identify persons eligible for WIC assistance.

Resolution· HCONRESH.Con.Res. 83 (100th)open

A concurrent resolution calling upon the President to express to the Soviet Union the strong moral opposition of the United States to the forced labor policies of the Soviet Union by every means possible, including refusing to permit the importation into the United States of any products made in whole or in part by such labor.

United States · United States Congress · 18 March 1987

Expresses the sense of the Congress that the President should express to the Soviet Union the U.S. opposition to the Soviet Union's slave labor policies by all possible means, including refusing to permit imports of products made by such labor. Requests the President to end the delay in enforcing the restriction against importing goods produced by forced labor.

Bill· HRH.R. 1663 (100th)open

Small Business Prompt Payment Act Amendments of 1987

United States · United States Congress · 17 March 1987

Small Business Prompt Payment Act Amendments of 1987 - Revises Federal law to deem the head of a Federal agency to have received an invoice on the later of: (1) the date on which the designated office or employee of an agency actually receives it; or (2) the fifth day after the date on which a property is actually delivered, or final performance of a service is actually completed, unless the contract specifies otherwise. Makes Federal prompt payment provisions applicable to the United States Postal Service. Makes the Postmaster General responsible for issuing procurement regulations, solicitation provisions, and contract clauses. Reduces the 15-day grace period for payment of interest penalties to eight days for solicitations (other than meat products and agricultural commodities) issued before October 1, 1990. Eliminates such grace period for procurement solicitations issued on or after October 1, 1990. Requires an agency to pay a double interest penalty if: (1) the agency owes the interest penalty; (2) the interest penalty is not paid to the business concern on or after the date the penalty is due; (3) the agency does not pay the penalty within ten days after such payment is made; and (4) a written demand is made within 40 days after such payment is made. Requires regulations on interest penalties, in the case of construction contracts, to provide for the payment of interest on: (1) progress payments due for more than seven days, or a longer period if the prevailing practice in private construction contracts is to provide such longer period; and (2) amounts retained during the performance of a contract, if such amounts are not paid by the required payment date. Requires regulations on interest penalties to provide for periodic payments in the case of supply or service contracts upon: (1) the submission of an invoice for supplies delivered or services performed; and (2) acceptance of supplies or services by an authorized employee or certification of performance by such an employee. Requires Government construction contractors to include a payment provision in their agreements with their subcontractors which provides for payment in accordance with prevailing industry standards. Requires the contractor to pay a late payment interest penalty to the subcontractor at the rate applicable between the prime contractor and the Government. Specifies the calculation of time for interest penalties on discount payments. Revises agency reporting requirements on interest penalty payments to include: (1) a description of agency payment practices; and (2) an analysis by the Office of Small and Disadvantaged Business Utilization for each of the various Federal agencies on the impact of such payments on small and disadvantaged businesses. Requires the Chief Counsel for Advocacy of the Small Business Administration to report to the congressional committees on Small Business on current Government compliance with the payment of interest penalties and the impact on small business. Requires the Chief Counsel to monitor the compliance of all agencies and of the Director of the Office of Management and Budget with interest penalty payments. Requires the modification of the Federal acquisition regulation to implement Federal prompt payment provisions.