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Official portrait of Sen. Riegle, Donald W., Jr. [D-MI]

Sen. Riegle, Donald W., Jr. [D-MI]

United States · Official source

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4,376 records where Sen. Riegle, Donald W., Jr. [D-MI] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· SS. 322 (100th)referred

A bill to authorize the Alpha Phi Alpha Fraternity to establish a memorial to Martin Luther King, Jr. in the District of Columbia.

United States · United States Congress · 16 January 1987

Authorizes the Alpha Phi Alpha fraternity to establish a memorial to Martin Luther King, Jr., on Federal land in the District of Columbia. Directs the Secretary of the Interior to: (1) select a site for the memorial; (2) determine that funds needed for completion are available before allowing construction to begin; and (3) maintain the memorial after construction is completed. Prohibits the United States from paying any expense of establishing the memorial. Limits the authority to build the memorial to five years unless construction begins during that period.

Bill· SS. 320 (100th)open

School Dropout Demonstration Assistance Act of 1987

United States · United States Congress · 16 January 1987

School Dropout Demonstration Assistance Act of 1987 - Authorizes appropriations for FY 1988 through 1990 for grants to local educational agencies (LEAs) for demonstration programs of dropout prevention, reentry, and information. Allots specified percentages of such funds to various categories of LEAs. Limits the Federal share of project cost to no more than 90 percent in the first fiscal year, 80 percent in the second, and 70 percent in the third. Sets forth grant application requirements, including plans for dropout information collection and reporting systems. Sets forth authorized activities for which such grants may be used. Requires that: (1) at least 30 percent of grant funds be used for dropout prevention activities; (2) at least 30 percent of grant funds be used for dropout reentry persuasion and assistance activities; and (3) not more than 15 percent of any grant be used for administrative costs. Requires that grants be used to supplement other funds. Requires grant recipients to cooperate with the coordination and dissemination efforts of the National Diffusion Network and State educational agencies. Directs the Secretary of Education to report annually to the appropriate committees of the Congress on the activities under this Act. Sets forth provisions for auditing and withholding payments. Directs the Secretary to use a specified amount to conduct a one-year study of the nature and extent of the dropout problem.

Bill· SS. 303 (100th)open

Jacob K. Javits Gifted and Talented Children and Youth Education Act of 1987

United States · United States Congress · 12 January 1987

Jacob K. Javits Gifted and Talented Children and Youth Education Act of 1987 - Directs the Secretary of Education to make grants and contracts for programs or projects designed to meet the educational needs of gifted and talented children and youth, including the training of teachers or their supervisors. Sets forth authorized uses of such funds. Directs the Secretary to establish a National Center for Research and Development in the Education of Gifted and Talented Children and Youth through grants to or contracts with one or more institutions of higher education or State educational agencies, or a combination or consortium of such institutions and agencies. Sets forth program priorities, including the identification and inclusion of gifted and talented children and youth who may not be identified through traditional assessment methods. Sets forth provisions for participation of private school children and teachers. Directs the Secretary to appoint an advisory committee to advise on the administration of this Act. Directs the Secretary to establish or designate an administrative unit within the Department of Education to administer the programs authorized by this Act, coordinate all programs for gifted and talented children and youth administered by the Department, and serve as a focal point of national leadership and information on the educational needs of gifted and talented children and youth and the availability of educational services and programs designed to meet those needs. Authorizes appropriations for FY 1987 through 1991 to carry out this Act.

Bill· SS. 288 (100th)referred

Depository Institution Examination Improvement Act of 1987

United States · United States Congress · 12 January 1987

Depository Institution Examination Improvement Act of 1987 - Redesignates the Financial Institutions Examination Council as the Depository Institutions Examination Council. Directs the Council to prepare guidelines for the Federal depository institutions regulatory agencies to ensure adequate compensation for living and travel expenses for any Federal examiner who is temporarily assigned outside of a regular region of employment. Provides that the estimated expenditures and receipts of the Office of the Comptroller of the Currency, the Federal Deposit Insurance Corporation (FDIC), the Federal Home Loan Bank Board (FHLBB), the Federal Savings and Loan Insurance Corporation (FSLIC), and the National Credit Union Administration (NCUA) included in the annual Federal budget submitted to the Congress by the President shall be submitted to the President before October 16 of each year and included in the President's budget without change. Exempts such entities from fiscal, budget, appropriation, and fund apportionment requirements. Amends the Balanced Budget and Emergency Deficit Control Act of 1985 (Gramm-Rudman-Hollings Act) to exempt funds of such entities from reduction under any sequestration order. Provides that the number of employees of a Federal depository institutions regulatory agency shall not be subject to any limitation imposed by any executive branch officer outside such agency. Subjects the FHLBB, the Federal Home Loan Banks, the FSLIC, and the NCUA to audits by the Comptroller General. Establishes the FSLIC as a mixed-ownership Government corporation (currently listed as a wholly-owned Government corporation). Repeals specified authority of the Secretary of the Treasury to approve bank examination assessments by, and to appoint staff of, the Comptroller of the Currency. Directs the Council to: (1) develop a proposal for consolidating all Federal examiner training programs in one school to be established and conducted by the Council; and (2) report to specified congressional committees on its findings, legislative recommendations, and the savings to the regulatory agencies that would result from such consolidation. Requires the Council to: (1) study the feasibility of establishing a graduate degree program in financial management analysis for officers and employees of the regulatory agencies and the State depository institutions supervisory agencies (State agencies); and (2) report to specified congressional committees on its findings, legislative recommendations, the cost of establishing and conducting the program, and on the approval or disapproval by each regulatory agency of the Council's proposal for such program. Requires the Council to establish minimum requirements for examinations of depository institutions by State agencies in order for such an examination to be acceptable for purposes of Federal law. Prohibits such requirements from exceeding the minimum standards in effect for Federal examiners. Directs the Council: (1) at least annually, to request each State agency which examines institutions subject to Federal examination to allow the Council to review its examination methods; (2) to notify a State agency if its examination methods do not satisfy such minimum requirements and allow the agency not more than three years to cure any deficiency; and (3) to notify each Federal regulatory agency if a State agency refuses to allow a review of its examination methods or fails to remedy any deficiency in its methods. Prohibits any Federal regulatory agency or any regional bank, branch, or other office of such Federal agency from relying on any report of examination by a State agency for which such a notice has been received to fulfill an examination requirement under Federal law. Permits the Council to limit the scope of a notice to: (1) a separate branch or department of a State agency which has authority to conduct examinations; or (2) a State agency's capacity to examine a particular type of depository institution. Requires the FDIC, FHLBB, FSLIC, and the NCUA Board to accept any report of examination made by a State agency which meets the minimum requirements as determined by the Council, or to notify the State agency of the reason for such entity's refusal to accept such agency report. Requires a demonstration project to be conducted under which the Federal Reserve Board and the FDIC, if they elect to participate, and the Office of the Comptroller of the Currency, the NCUA, the FHLBB, and the FSLIC shall establish and implement a system to provide employees compensation, including benefits, comparable to that received by their counterparts in the private sector. Requires each agency's compensation system to provide that: (1) covered positions will be classified by pay bands created by modifying the classes or grades currently applicable to such positions; (2) employees shall be evaluated using peer comparison and ranking; (3) each employee's basic pay rate shall be reviewed annually and shall be adjusted to prevent any increase in the deficiency between such rate and the pay for a comparable private sector position, if the employee's performance is rated at the fully successful level or higher; and (4) performance-recognition bonuses, recruitment and retention allowances, and differentials to compensate for regional differences in costs of living shall be awarded where appropriate. Directs each agency to provide for the preparation of reports on: (1) any deficiency in the overall average level of compensation provided for agency positions as compared to the overall average level of compensation generally provided for comparable positions in the private sector; and (2) the percentage by which basic pay for all agency positions must be increased each year to eliminate any increase in such deficiency. Requires each agency head to institute such increase and permits each agency to further increase pay rates to eliminate the entire deficiency. Prohibits any reduction in an employee's basic pay rate by reason of the establishment of such demonstration project. Requires the Office of Personnel Management to: (1) provide that the demonstration project shall be evaluated annually by a contractor; and (2) report the contractor's findings to specified congressional committees. Requires the Comptroller General, within four years after the date on which the project commences, to submit to such committees a final report on such project, including any recommendations for appropriate legislative or other action.

Bill· SS. 182 (100th)open

Uniform Poll Closing Act of 1988

United States · United States Congress · 6 January 1987

Establishes 9:00 p.m., eastern standard time, as the poll closing time for presidential elections. Allows polling places to close if all eligible voters have voted. Amends the Uniform Time Act of 1966 to extend daylight saving time in the Pacific time zone in the year of a presidential election to the first Sunday after the date of such election.

Bill· SS. 221 (100th)referred

Farm Family Emergency Protection Act of 1986

United States · United States Congress · 6 January 1987

Farm Family Emergency Protection Act of 1986 - Establishes within the Department of Agriculture the Office of Emergency Aid for Farm Families to: (1) evaluate and approve State plans for emergency services to eligible farm families; (2) make payments for such programs; (3) coordinate such services with existing assistance; and (4) maintain records and report annually to the Congress. Bases a State's payment allotment on the number of farms in the State compared to the number of farms in all States needing such assistance. Authorizes the use of such assistance for: (1) medical assistance; (2) social services; (3) employment assistance; and (4) nutrition assistance. Terminates such assistance authority five years after enactment of this Act. Limits the payment period to three years. Authorizes appropriations.

Bill· SS. 257 (100th)referred

State Minimum Return Act of 1985

United States · United States Congress · 6 January 1987

State Minimum Return Act of 1985 - Declares any State eligible for a positive reallocation of Federal expenditures in the categories of procurement contracts and need-based programs if such State has a Federal expenditure to Federal tax ratio which is less than 90 percent. Declares any State which has a ratio of between 90 and 100 percent eligible for a positive reallocation in the category of procurement contracts. Requires the Director of the Office of Management and Budget to determine a State's eligibility and to take into account subsidies for water and power programs through Government corporations. Declares all Federal expenditures subject to reallocation except expenditures for: (1) subsidized water and power programs; (2) compensation and allowances of Federal officers and employees; (3) maintenance of Federal buildings and installations; (4) offsetting receipts; and (5) programs for which the Government assumes the total cost and in which direct payment is made to recipients other than governmental units. Sets forth reallocation mechanisms under which each Federal agency shall ensure that each State receives an amount of Federal spending that is at least 90 percent of the amount of such State's tax payment by FY 1992. Amends the Consolidated Federal Funds Report Act of 1982 to extend the reporting requirements of the Director of the Office of Management and Budget from 180 days after the end of FY 1985 to 180 days after the end of FY 1992. Directs the Secretary of the Treasury to conduct and report to the Congress on a study on the impact of Federal spending, tax policy, and fiscal policy on State economies and the economic growth rate of States and regions.

Bill· SS. 248 (100th)referred

A bill to amend title 10, United States Code, to permit members of the Armed Forces to wear, under certain circumstances, items of apparel not part of the official uniform.

United States · United States Congress · 6 January 1987

Amends the Federal law concerning military uniforms to authorize the wearing of an item of religious apparel as part of the military uniform if: (1) the item is part of the religious faith of the member; and (2) it is neat and conservative. Authorizes the Secretary of the military department concerned to prohibit the wearing of an item of religious apparel if it is found to significantly interfere with the performance of duty.

Bill· SS. 222 (100th)open

State Dependent Care Grants Amendments Act of 1987

United States · United States Congress · 6 January 1987

State Dependent Care Grants Amendments Act of 1987 - Amends the State Dependent Care Development Grants Act to require that amounts paid to States for use in the operation of child care services be designed to enable children whose families lack adequate financial resources to participate in before or after school child care programs. Requires State Governors to include specified information in their grant reports. Extends from September 30, 1987, to September 30, 1991, the time until which necessary revisions of grant program descriptions must be submitted.

Bill· SS. 169 (100th)open

A bill to provide Federal grants to States for programs to identify and aid individuals who have been exposed to the drug diethylstilbestrol (DES).

United States · United States Congress · 6 January 1987

Directs the Secretary of Health and Human Services to establish a program of grants to: (1) identify women who received diethylstilbestrol (DES) while pregnant and their children; (2) establish a voluntary registry of such women and children; (3) provide them with periodic cancer screening; and (4) provide health care personnel and the public with information respecting the health hazards of such drug. Authorizes appropriations.

Bill· SS. 282 (100th)referred

First-Time Homebuyer Opportunity Act of 1987

United States · United States Congress · 6 January 1987

First-Time Homebuyer Opportunity Act of 1987 - Amends the Internal Revenue Code to permit an individual who has had no present ownership interest in a principal residence during the three-year period immediately preceding the purchase in question to use tax-free distributions from an individual retirement account or annuity to purchase a home if: (1) the purchase is made within 90 days of the distribution; and (2) amounts equal to the distribution amount have been paid into the affected account at least 12 months prior to the purchase. Limits to an aggregate maximum of $10,000 the amount of distributions that may be used in this way.

Bill· SS. 232 (100th)referred

Haym Salomon Memorial Act of 1987

United States · United States Congress · 6 January 1987

Haym Salomon Memorial Act of 1987 - Authorizes the American Jewish Patriots and Friends of Haym Salomon to place in the Capitol Building or on the Capitol Grounds a statue of Haym Salomon, a revolutionary war patriot of Polish and Jewish background. Authorizes such organization to also erect a monument to Haym Salmon on Federal land in the District of Columbia. Subjects the selected site, design, and plans for the memorial to the approval of the National Commission of Fine Arts and the National Capital Planning Commission.

Bill· SS. 186 (100th)referred

United States Trade Information Act

United States · United States Congress · 6 January 1987

United States Trade Information Act - Establishes the Council on Trade Information which shall: (1) formulate and implement a comprehensive economic and trade information policy to assure the timely collection of accurate data on trade and economic trends; (2) design a U.S. Trade Data Bank and direct the Secretary of Commerce to establish a U.S. Trade Data Bank; (3) develop and enforce guidelines for the collection of data within Federal agencies; (4) publish periodic reports on the competitive position of U.S. industries and other reports as necessary; (5) formulate policies to encourage international organizations and foreign countries to adopt systems to report foreign trade statistics; and (6) present legislative recommendations to the Congress relating to U.S. trade information. Requires Federal agencies to furnish information to the Council upon request. Requires the Council to consult regularly with private sector representatives and Federal, State, and local government officials. Requires the Secretary of Commerce to establish and manage the U.S. Trade Data Bank. Sets forth information to be included in the data bank. Requires the Chairman of the Council to report to the Congress once every two years on, among other things, the quality of available trade data and actions taken pursuant to this Act. Authorizes appropriations.

Bill· SS. 178 (100th)referred

Social Security Disability Beneficiary Rehabilitation Act of 1987

United States · United States Congress · 6 January 1987

Social Security Disability Beneficiary Rehabilitation Act of 1987 - Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to establish disability categories which must be used by a State agency or by the Secretary of Health and Human Services, as appropriate, to describe the condition of an individual at the time a determination is made as to whether such individual is under a disability for purposes of receiving disability benefits under title II. Requires that notice to an individual of a disability determination by the Secretary include, in addition to current law requirements: (1) an explanation of why a particular disability category is determined to best describe such individual's condition; and (2) in the case of an individual for whom vocational rehabilitation services or comprehensive services for independent living would be beneficial, a statement indicating such individual's eligibility for such services, an explanation of the disability review provisions as they apply to such individual, and information on how to apply for such services. Provides for hearings and review regarding disability categorizations. Requires that disability cases be reviewed for purposes of determining continuing eligibility for disability benefits at least once every three years where an individual was initially determined to be under a disability that is not permanent and at least once every seven years where an individual was initially determined to be under a permanent disability. Provides that in a case where an individual is under a disability and is receiving vocational rehabilitation services or comprehensive services for independent living, the case shall be reviewed for purposes of continuing eligibility whenever a State agency or the Secretary as appropriate determines that such a review is warranted. Requires a State agency or the Secretary, as appropriate, to refer any individual determined to fall within a disability category under which such individual will benefit from vocational rehabilitation services or comprehensive services for independent living to the appropriate State agency or unit administering such services pursuant to the Rehabilitation Act of 1973. Allows individuals referred to and dissatisfied with a provider of vocational rehabilitation services to request the State agency or the Secretary for a different provider. Specifies the type of rehabilitation services for which individuals determined to be disabled are eligible, depending upon the disability category into which they fall. Sets forth reporting requirements which apply to facilities which provide either vocational rehabilitation services or comprehensive services for independent living. Provides for the reimbursement of the appropriate State unit for the costs of furnishing comprehensive services for independent living pursuant to the Rehabilitation Act of 1973 from the Federal Disability Insurance Trust Fund and from the Federal Old-Age and Survivors Insurance Trust Fund. Requires facilities providing vocational rehabilitation services or comprehensive services for independent living to have an individualized written plan of vocational rehabilitation for each eligible individual. Directs the Secretary to prescribe standards for such services. Revises the length of the period of trial work for individuals who are under a disability but who will benefit from vocational rehabilitation services and may be able to engage in gainful activity in the future. Doubles the earnings level used to establish an individual's ability to engage in substantial gainful activity for earnings from transitional work, supported work, and services performed in a sheltered workshop. Amends title XVI (Supplemental Security Income) of the Social Security Act to establish disability categories which must be used by a State agency or the Secretary, as appropriate, to describe the condition of an individual at the time a determination is made as to whether such individual is blind or disabled. Requires that notice to an individual of a disability determination include, in addition to current law requirements: (1) an explanation of why a particular category is determined to best describe such individual's condition; and (2) in the case of an individual for whom vocational rehabilitation services or comprehensive services for independent living would be beneficial, a statement indicating such individual's eligibility for such services and information on how to apply for such services. Provides for hearings and review regarding disability categorizations. Requires a State agency or the Secretary, as appropriate, to refer any individual determined to fall within a disability category under which such individual will benefit from vocational rehabilitation services or comprehensive services for independent living to the appropriate State agency or unit administering such services pursuant to the Rehabilitation Act of 1973. Allows individuals referred to and dissatisfied with a provider of such services to request the State agency or the Secretary for a different provider. Specifies the type of rehabilitation services for which individuals determined to be disabled are eligible, depending upon the disability category into which they fall. Sets forth reporting requirements which apply to facilities which provide either vocational rehabilitation services or comprehensive services for independent living. Provides for the reimbursement of the appropriate State agencies or units for the costs of furnishing comprehensive services for independent living pursuant to the Rehabilitation Act of 1973. Requires providers of such services to have an individualized written plan of vocational rehabilitation for each eligible individual. Doubles the earnings level used to establish an individual's ability to engage in substantial gainful activity for earnings from transitional work, supported work, and services performed in a sheltered workshop.

Bill· SS. 174 (100th)referred

A bill to amend title II of the Social Security Act to provide that the combined earnings of a husband and wife during the period of their marriage shall be divided equally and shared between them for benefit purposes if they become divorced and either of them so elects.

United States · United States Congress · 6 January 1987

Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to provide that the combined earnings of a married couple which are attributable to the period of their marriage shall be shared equally between them for purposes of determining the eligibility for, and amount of, OASDI benefits to which each spouse is or may become separately entitled, if: (1) they were married for at least three years; (2) they were divorced; and (3) either of them elects, within 12 months following the divorce, to have such combined earnings so divided and shared.

Bill· SS. 170 (100th)referred

A bill to amend title II of the Social Security Act to repeal the separate definition of disability presently applicable to widows and widowers, and to provide in turn that the months of a widow's or widower's entitlement to SSI benefits on the basis of disability may be used in establishing his or her entitlement to medicare benefits on that basis.

United States · United States Congress · 6 January 1987

Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to repeal the separate definition of disability applicable to widows and widowers. Permits the months of a widow's or widower's entitlement to Supplemental Security Income benefits (title XVI of the Social Security Act) on the basis of a disability to be counted towards the 24 months needed to become entitled to hospital insurance benefits under Medicare (title XVIII of the Social Security Act) on that basis.

Bill· SS. 183 (100th)referred

Public Housing Child Care Act

United States · United States Congress · 6 January 1987

Public Housing Child Care Act - Directs the Secretary of Housing and Urban Development to: (1) make grants to public housing agencies to contract for lower-income resident child care services; and (2) design such a program to determine the extent to which it facilitates resident employability. Requires a report to the Congress within three years. Authorizes FY 1987 through 1989 appropriations.

Bill· SS. 181 (100th)referred

Public Safety Officers' Death Benefits Amendments of 1986

United States · United States Congress · 6 January 1987

Public Safety Officers' Death Benefits Amendments of 1986 - Amends the Omnibus Crime Control and Safe Streets Act of 1968 to increase from $50,000 to $100,000 the benefits paid to survivors of public safety officers (law enforcement officers and fire fighters) who died as a result of injury sustained in the line of duty. Eliminates the requirement that a parent (or parents) be a dependent (or dependents) of such officer in order to be an alternate beneficiary. Directs the Bureau of Justice Assistance to adjust public safety officer death benefits to reflect the annual percentage change in the Consumer Price Index. Makes the date of death the determining date regarding the death benefit amount payable to beneficiaries. Establishes the Public Safety Officers' Death Benefits Trust Fund in the Treasury. Requires each convicted felon to pay $500 into the court registry for deposit into such Fund.

Bill· SS. 175 (100th)referred

A bill to amend title II of the Social Security Act to provide that an individual's "years of coverage" for purposes of computing the special minimum benefit may include up to 10 additional years (not otherwise includible for that purpose) in which such individual had a child age 6 or under in his or her care.

United States · United States Congress · 6 January 1987

Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to provide that an individual's "years of coverage" for purposes of computing such individual's primary insurance amount under title II shall include those years (up to a specified maximum) during which such individual had a child aged six or under in his or her care for more than six months.

Bill· SS. 177 (100th)referred

Health Care for the Uninsured Act of 1987

United States · United States Congress · 6 January 1987

Health Care for the Uninsured Act of 1987 - Permits States to establish health care pools to: (1) provide health care services to all uninsured individuals; and (2) share among all hospitals in the State the costs of uncompensated care. Requires the implementation of the health care pool at the Federal level where a State does not establish such a program or receive a waiver from the Secretary of Health and Human Services. Allows the Secretary to grant a waiver if an independently formulated State plan would provide the same results. Lists the benefits such State health care pools are required to provide, including: (1) inpatient hospital services; (2) emergency outpatient services; (3) physician services; (4) prenatal, delivery, and post partum services; (5) laboratory and x-ray services; (6) nurse midwife services; (7) home health care services; and (8) inpatient drugs. Requires each uninsured individual who wishes to secure health care through the pool to pay a premium for such coverage based on the individual's family income. Allows a State to require deductibles and coinsurance amounts imposed for users of the services. Provides that the solvency of the State health care pools may be ensured through: (1) premiums collected from individuals; (2) revenues from a tax imposed on the operating net revenue of hospitals within the State; and (3) funds provided by the State or locality. Provides that a hospital may be exempt from such taxes if it: (1) provides uncompensated care at a rate equal to or greater than 200 percent of the State average; or (2) provides care to individuals eligible for Medicaid (title XIX of the Social Security Act) at a rate equal to or greater than 200 percent of the State average. Requires the Secretary to establish a health care pool for any State which fails to do so. Requires the Secretary of the Treasury to establish special accounts in the Treasury for such States to utilize in carrying out the health care pool established by the Secretary of Health and Human Services. Amends the Internal Revenue Code to impose a hospital services tax on hospitals which are not subject to a State established health care pool.

Bill· SS. 180 (100th)referred

Department of International Trade and Industry Act of 1987

United States · United States Congress · 6 January 1987

Department of International Trade and Industry Act of 1987 - Title I: Findings; Definitions - Sets forth congressional findings and definitions related to this Act. Title II: Department of International Trade and Industry - Establishes the Department of International Trade and Industry which shall be administered by a Secretary of International Trade and Industry. Requires the Secretary to be the U.S. Trade Representative. Sets forth the functions of the Secretary. Requires the Secretary to be: (1) Chairman of the Board of Directors of the Overseas Private Investment Corporation; (2) Chairman pro tempore of the Economic Security Council established pursuant to this Act; and (3) Deputy Chairman of the National Advisory Council on International Monetary and Financial Policies. Directs the Secretary to consult with the Secretary of Agriculture on all matters which potentially involve international trade in agricultural products. Requires that the Secretary shall be chairman and the Secretary of Agriculture shall be Vice Chairman of any negotiation that includes discussion of international trade in agricultural products. Authorizes the Secretary, except where expressly prohibited by law, to assign the responsibility for conducting an international trade negotiation to the head of another Federal agency if the subject matter of the negotiation is related to the functions of that agency. Establishes in the Department a Deputy Secretary of International Trade and Industry who, among other things, shall be Vice Chairman of the Board of Directors of the Export-Import Bank of the United States. Establishes within the Department three Under Secretaries of International Trade and Industry. Establishes within the Department eight Assistant Secretaries. Establishes within the Department a General Counsel and an Inspector General. Lists other officers within the Department. Establishes within the Department an Administrator for Productivity and Technology who shall administer the Administration for Productivity and Technology. Establishes within the Executive Office of the President an Economic Security Council which shall advise the President on the integration of national and international policies relating to trade and other issues relating to the competitiveness of American industry. Sets forth other functions of the Economic Security Council. Repeals a provision of the Trade Expansion Act of 1962 which provided for the establishment of an interagency organization to assist the President in his responsibilities concerning import relief from import competition. Terminates the Trade Policy Committee. Requires the Economic Security Council to be headed by the Economic Security Adviser who shall report to the President. Requires the President, if the provisions of a regulation, executive order, or executive agreement may have a significant impact on the international economic competitiveness of significant domestic product and service industries, to submit a statement to specified congressional committees describing the likely impact of such provisions. Requires such statement to be submitted at least 60 days before the regulation, order, or agreement will take effect. Authorizes the President to waive the impact statement if, in order to serve the national interest or deal with an emergency situation, the regulation, order, or agreement must take effect immediately. Requires that the report of a bill or resolution which contains provisions that would have a significant impact on the international economic competitiveness of significant domestic product and service industries shall contain a statement describing the likely impact of such provisions. Establishes within the Department the Office of Competitive Analysis, which shall provide information and analysis for the Secretary, the Department, and the Congress with respect to trade policy, trade negotiating strategy, and other policies affecting the competitiveness of domestic industries. Requires the Office of Competitive Analysis to report annually to the Congress on economic and technological developments affecting the competitive position of U.S. industry. Directs the Secretary to convene an industry sector competitiveness council for specified industry sectors to assess actual or potential dislocation, challenge, or opportunity for the industry involved and to formulate recommendations for business, government, and labor. Establishes within the Department: (1) the Administration for Productivity and Technology (composed of the Patent and Trademark Office, the Office of Telecommunications and Information, and the National Technical Information Service); and (2) the Office of Small Business Trade Assistance, which shall provide small businesses with information concerning import relief and assistance in preparing petitions and applications for import relief. Title III: Transfers to the Department of International Trade and Industry - Transfers to the Secretary all functions of: (1) the U.S. Trade Representative; (2) the Office of the U.S. Trade Representative; or (3) any officer or employee of the Office of the U.S. Trade Representative. Transfers to the Secretary, except as prescribed in title IV of this Act, all functions of: (1) the Secretary of Commerce; (2) the Office of the Secretary of Commerce; (3) the Department of Commerce; or (4) any officer or employee of specified offices within the Department of Commerce, including the U.S. Travel and Tourism Administration. Title IV: Transfers from the Department of Commerce - Subtitle A: Bureau of the Census - Establishes the Bureau of the Census as an independent agency. Directs the President to report to the Congress, within 90 days of the effective date of this Act, on the coordination of statistical functions between the Bureau and the Department involved in carrying out certain statistical functions. Subtitle B: Economic Development Administration - Transfers the Economic Development Administration of the Department of Commerce to the Department of Agriculture. Subtitle C: Minority Business Development Agency - Transfers the Minority Business Development Agency of the Department of Commerce to the Small Business Administration. Subtitle D: National Bureau of Standards - Transfers the National Bureau of Standards of the Department of Commerce to the National Science Foundation. Subtitle E: National Oceanic and Atmospheric Administration - Establishes the National Oceanic and Atmospheric Administration as an independent agency. Title V: Administrative Provisions - Sets forth provisions dealing with: (1) personnel issues; (2) the power of the Secretary to delegate functions; (3) the succession of officers within the Department; (4) the authority of the Secretary to reorganize the Department; (5) the authority of the Secretary to issue rules and regulations; (6) the establishment of a working capital fund for the Department: (7) the transfer of funds; and (8) other administrative matters. Authorizes appropriations. Title VI: Transitional, Savings, and Conforming Provisions - Provides for transfers of other functions of the Secretary of Commerce which are not dealt with in earlier titles. Sets forth transitional, savings, and conforming provisions relating to changes made by this Act. Abolishes the Department of Commerce. Title VII: Effective Date and Interim Appointments - Sets forth the effective dates for provisions of this Act. Provides for interim appointments of certain officers.

Bill· SS. 173 (100th)referred

A bill to amend title II of the Social Security Act to provide that upon the death of one member of a married couple the surviving spouse or surviving divorced spouse shall automatically inherit the deceased spouse's earnings credits to the extent that such credits were earned during the period of their marriage.

United States · United States Congress · 6 January 1987

Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to require that, upon the death of an individual who was married at least three years prior to the date of death or was divorced after at least three years of marriage, the surviving spouse or surviving divorced spouse shall inherit all of the wages and self-employment income credited to such individual during marriage. Terminates such requirement on December 31, 2010. Requires the appropriate congressional committees to study the probable impact on beneficiaries of such termination. Directs the Secretary of Health and Human Services to submit to certain congressional committees a draft of necessary changes to the law to reflect the substantive changes made by this Act.

Bill· SS. 171 (100th)referred

A bill to amend title II of the Social Security Act to extend the benefits of the delayed retirement credit to surviving spouses and surviving divorced spouses who work and whose widow's or widower's insurance benefits are higher than their old-age insurance benefits.

United States · United States Congress · 6 January 1987

Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to extend the increase which applies to old-age insurance benefits on account of delayed retirement to widow's and widower's insurance benefits in the case of surviving spouses and surviving divorced spouses who work and whose widow's or widower's insurance benefits are higher than their old-age insurance benefits.

Bill· SS. 176 (100th)referred

A bill to amend title XVIII of the Social Security Act to waive the late enrollment penalty under Medicare part B for any disabled individual who was covered under his own or his spouse's private employment-related health insurance.

United States · United States Congress · 6 January 1987

Amends title XVIII (Medicare) of the Social Security Act to waive the late enrollment penalty under part B (Supplementary Medical Insurance) for a disabled individual who failed to enroll because of work related health insurance coverage, or coverage under his or her spouse's work related health insurance.

Bill· SS. 172 (100th)referred

A bill to amend title II of the Social Security Act to extend the benefits of the delayed retirement credit to surviving spouses and surviving divorced spouses who work and whose widow's or widower's insurance benefits are higher than their old-age insurance benefits.

United States · United States Congress · 6 January 1987

Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to extend the increase which applies to old-age insurance benefits on account of delayed retirement to widow's and widower's insurance benefits in the case of surviving spouses and surviving divorced spouses who work and whose widow's or widower's insurance benefits are higher than their old-age insurance benefits.

Law· SS. 11 (100th)enacted

A bill to amend title 38, United States Code, to establish certain procedures for the adjudication of claims for benefits under laws administered by the Veterans' Administration; to apply the provisions of section 553 of title 5, United States Code, to rule-making procedures of the Veterans' Administration; to provide for judicial review of certain final decisions of the Board of veterans' Appeals; to provide for the payment of reasonable fees to attorneys for rendering legal representation to individuals claiming benefits under laws administered by the Veterans' Administration, and for other purposes.

United States · United States Congress · 6 January 1987

Veterans' Administration Adjudication Procedure and Judicial Review Act - Title I: Adjudication Procedures - Codifies, for Veterans Administration (VA) adjudication purposes, the burden of proof and reasonable doubt standards currently provided for by VA regulation. States that a claimant has the burden of submitting sufficient evidence to justify a claim, and that if an approximate balance of positive and negative evidence exists regarding the merits of a claim, the VA is to resolve such doubt in favor of the claimant. States that VA subpoenas may be served either by personal delivery or by registered or certified mail. Requires the chairman of the Board of Veterans' Appeals to submit an annual report to the appropriate congressional committees concerning the Board's current handling of cases and projections for the subsequent fiscal year. Requires the Board to: (1) provide notice to a claimant and an opportunity for a hearing before a decision may be based on "additional official information" received after a Board decision has previously been made; and (2) make its decision exclusively on evidence and material of record in the proceeding. Removes the requirement that new material sufficient to allow the Board to reopen a previously disallowed claim be in the form of official reports. Provides that the Board's discretionary authority to reopen a claim will to reopen a claim will not be diminished by a juficial decision following an appeal as provided for by this Act. Requires the Board to mail to the claimant notice of its decision and the reasons for such decision. Provides that, upon the request of a claimant, the Board shall provide an independent advisory medical opinion when there exists substantial medical disagreement with respect to a material issue in a veteran's appeal. Sets forth new procedural rules for adjudication hearings regarding: (1) oaths, affirmations, and witness examination; (2) admissibility of evidence; (3) procedural rights of claimants; (4) disqualification of a hearing officer; (5) the record of the proceedings and the claimant's right to examine and obtain a copy of such record; and (6) the exclusiveness of veterans' adjudication procedures and rights prescribed by the Administrator. Requires the Administrator to provide at each stage of the appeal proceedings written notice to a claimant of the claimant's procedural rights. Authorizes the Administrator to conduct a study of two alternative claims resolution methods: one a new intermediate-level adjudication process; the other an enhanced schedule of formal Appeals Board hearings. Directs the Administrator to report to the Congress on such studies. Title II: Veterans Administration Rule Making - Includes the VA's rulemaking procedures under the relevant provisions of the Administrative Procedure Act. Title III: Judicial Review - Provides for judicial review of VA decisions in the Federal court system. States with regard to jurisdiction: (1) the definition of final decision; (2) that judicial review of a final decision in a claim for benefits may be obtained in a civil action brought within 180 days of the Board's mailing of notice of its decision, and that such action shall be brought in Federal district court; (3) that the VA shall file the various materials constituting the record in a case together with its answer to the claimant's complaint; (4) that the court may render a decision on the pleadings; and (5) that the judicial review procedures established under this Act shall not apply to insurance and home loans. States, with regard to the reviewing court's scope of review, that such court: (1) shall decide questions of law and interpret constitutional, statutory, and regulatory provisions, but that questions of fact (unless unsupported by substantial evidence) will not be subject to a trial de novo; and (2) in reviewing a final decision of the VA which is adverse to a party solely because such party failed to comply with VA procedures, may only review questions concerning such procedures. Sets out provisions regarding remand, survival of actions, and appellate review. Title IV: Attorneys' Fees - Authorizes the Administrator to allow attorneys' fees above the present $10 maximum if the appealing party's claim is allowed by the VA after an initial denial. States that such fee shall be the lesser of: (1) the fee agreed upon by the party and attorney; (2) $500, unless the Administrator approves a greater amount; or (3) if the party and attorney have entered into a contingent-fee agreement, not more than 25 percent of the total of any past-due benefits awarded on the basis of such party's claim. Provides for the approval of attorneys' fees in successful veterans' claims brought before a court as provided for under this Act. States that such fees shall be determined by such court, and in contingent-fee agreements such fees shall not exceed 25 percent of the total of any past-due benefits awarded on the basis of such claim. Authorizes attorneys' fees of up to $750 in certain unsuccessful veterans' claims. Prohibits the VA from authorizing payment to a claimant's attorney based on past-due benefits unless such benefits are owed as of the date of the VA's or a court's award. States that such provisions regarding attorneys' fees shall only apply to claims for benefits under the laws administered by the VA and shall not apply in cases in which the VA is the plaintiff or in which other attorneys' fees statutes are otherwise controlling. Title V: Effective Dates - Sets forth the effective dates for this Act.

Bill· SS. 10 (100th)open

Emergency Medical Services and Trauma Care Improvement Act of 1988

United States · United States Congress · 6 January 1987

Emergency Medical Services and Trauma Care Improvement Act of 1987 - Directs the Secretary of Health and Human Services to provide for the establishment and operation of a National Clearinghouse on Emergency Medical Services. Authorizes appropriations for FY 1988 through 1990. Amends the Public Health Service Act to revise the application procedure for Preventive Health and Health Services Block Grants to provide the State officer responsible for the administration of the State highway safety program an opportunity to participate in the development of any plan relating to emergency medical services. Allows the State official responsible for the provision of emergency medical services the opportunity to participate in the development of the State highway safety program. Amends the Public Health Service Act and the Consolidated Farm and Rural Development Act to allow certain grant allotments to be used for the purchase of communications equipment. Amends the Housing and Community Development Act of 1974 to allow grants to be used for the establishment of a uniform emergency telephone number system if certain determinations are made by the Secretary. Requires the Federal Communications Commission to: (1) study the availability of radio frequency channels for emergency medical services communications; (2) establish a plan to ensure that the needs of emergency medical services communications are provided for in the allocations of frequencies; and (3) submit a report to the Congress containing such study and plan. Requires each State, beginning in FY 1989, to submit annual comprehensive emergency medical services and trauma care plans to the Secretary. Establishes a Trauma Care Block Grant program. Sets forth the requirements for the distribution and use of allotments. Sets forth application requirements. Authorizes appropriations for FY 1988 through 1990. Directs the Secretary to study: (1) the financial impact of payments to trauma centers under the Medicare and Medicaid programs; and (2) the long-term economic effects of trauma.

Bill· SS. 79 (100th)open

High Risk Occupational Disease Notification and Prevention Act of 1987

United States · United States Congress · 6 January 1987

High Risk Occupational Disease Notification and Prevention Act of 1987 - Establishes a Risk Assessment Board, within the Department of Health and Human Services, to: (1) review current medical and scientific reports on the incidence of disease associated with exposure to occupational health hazards; (2) identify and designate those populations at risk of such disease that should receive notification; and (3) develop a form and method of notification that will be used by the Secretary of Health and Human Services (the Secretary). Sets forth factors which the Board must consider in identifying and designating such populations at risk. Sets forth procedures for notice of proposed determinations. Directs the Board to notify or coordinate notification of at least 100,000 employees per year, and to make every reasonable effort to do so for at least 300,000 employees per year. Directs the Secretary to make every reasonable effort to ensure that each individual within a population at risk of disease is notified of the risk. Sets forth contents of such notification, including counseling information. Provides for telephone "hot lines" and other dissemination of information. Provides for judicial review of Board determinations. Authorizes the Secretary to certify a private employer or a State or local government to conduct notification. Requires, in the case of employees not currently exposed, that notification be transmitted to each employee in the designated population at risk of disease who was exposed to the occupational health hazard within 30 years prior to the date of notification. Requires individual notification, but where this is not reasonably possible, requires the notifying entity to make use of public service announcements and other appropriate means of notification. Requires, in the case of employees currently exposed, both individual notification and prominent warnings posted at the worksite. Requires specified data to be included in the notification where employers are subject to a hazard communication standard. Requires the Secretary to establish and certify ten occupational and environmental health centers to: (1) provide education, training, and technical assistance to personal physicians and social service professionals who serve employees notified that they are at risk under this Act; and (2) provide diagnosis, treatment, medical monitoring, and family services for such employees. Directs the Board to conduct or provide for research, training, and education aimed at improving the means of identifying employees exposed to occupational health hazards and providing medical assistance to such employees. Authorizes the Board to engage the services of experts and consultants. Requires schools of medicine, in order to receive Federal financial assistance, to offer a course of study on occupational diseases. Requires, for any employee notified, that the recommended testing, evaluation, and medical monitoring be made available by the current employer: (1) at no cost to the employee if any part of such exposure occurred in the course of the employee's employment by that employer; and (2) at cost if no part of such exposure occurred during that time. Prohibits discrimination by any employer or any other person against any employee on the basis that the employee is or has been a member of a population that the Secretary has determined to be at risk. Requires that the employee retain the same earnings, seniority, and benefits as in the former job if it is medically determined that the employee should be transferred to a less hazardous or non-exposed job. Sets forth enforcement authority under this Act including injunctive relief, reinstatement and other relief, and civil penalties. Directs the Secretary of Labor to report to the Congress annually regarding implementation and enforcement of the hazard communication standard. Directs the Secretary to report to the Congress annually regarding implementation and enforcement of notification under this Act. Requires each Federal agency that conducts epidemiological studies on occupational disease to establish procedures for notifying the subjects of such studies of findings demonstrating that they are part of a population at risk of disease. Authorizes appropriations for FY 1988 and 1989, setting aside a specified amount for research.

Bill· SS. 39 (100th)open

Employee Educational Assistance Act of 1987

United States · United States Congress · 6 January 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.)

Bill· SS. 2 (100th)open

Senatorial Election Campaign Act of 1987

United States · United States Congress · 6 January 1987

Senatorial Election Campaign Act of 1987 - Amends the Federal Election Campaign Act of 1971 to provide for spending limits and public financing for Senate general elections. Sets forth eligibility requirements for such public financing, including: (1) that a candidate raise contributions of a specified amount; (2) that a percentage of such contributions be made by the candidate's constituents; (3) that at least one other candidate has qualified for the same general election; and (4) that the candidate and the candidate's committees agree to abide by provisions of this Act. Limits personal expenditures to $20,000 and overall spending to $600,000 plus 25 cents multiplied by the voting age population of the State involved. Establishes formulae for determining entitlements of candidates of a major party and for those not of a major party. Entitles candidates to certain broadcast media rates. Provides for additional payments and suspension of spending limits in cases of non-participating candidates and their committees exceeding spending limitations. Requires the Federal Election Commission to certify the eligibility of candidates to the Secretary of the Treasury in order for such candidates to receive payments. Requires the Secretary to maintain in the Presidential Election Campaign Fund the Senate Election Campaign Fund for the deposit of funds for payments to eligible candidates. Directs the Commission, after each election, to audit the campaign expenses of publicly financed candidates. Requires such candidates to repay any excess amounts received. Subjects Commission actions under this Act to judicial review by the United States Court of Appeals for the District of Columbia Circuit. Directs the Commission to report to the Senate after each election on actions taken under this Act. Authorizes appropriations to the Commission as necessary. Amends the Internal Revenue Code to increase the amount an individual may designate to the Presidential Election Campaign Fund from $1 to $2 (and in the case of joint returns, from $2 to $4). Establishes reporting requirements for Senate candidates relating to spending limitations, candidacy eligibility, and independent expenditures. Decreases, from $5,000 to $3,000, the amount a multicandidate political committee may contribute to an individual candidate or to any other political committee. Limits the overall contributions that a multicandidate political committee can make to candidates in general elections to the House of Representatives and the Senate. Limits contributions to a national political party by all contributing multicandidate political committees to $2,000,000 in any two-year election cycle. Provides for the accountability of contributions made by intermediaries or conduits to political action committees. Describes circumstances where an expenditure shall not constitute an independent expenditure for purposes of this Act. Requires, when independent expenditures are made for television broadcast communications, that a statement appear continuously during such broadcast showing the name of the person or committee making such expenditure. Requires any other type of general public communication to include such statement. Prohibits political committees of foreign nationals from making campaign contributions. Prohibits the use of campaign contributions to repay loans by a candidate to himself for herself or to his or her authorized committees.

Bill· SS. 27 (100th)open

American Conservation Corps Act of 1987

United States · United States Congress · 6 January 1987

American Conservation Corps Act of 1987 - Establishes the American Conservation Corps. Directs the Secretaries of the Interior and of Agriculture (Secretaries) to promulgate regulations to implement such Corps. Sets forth the scope of projects the Corps may carry out, including conservation of wildlife habitat, energy conservation, urban revitalization, and road maintenance. Limits projects to public or Indian lands unless public benefit can be documented. Specifies that State agencies or Indian tribes may apply for participation in the program. Requires the appropriate State Job Training Coordinating Council to comment on each proposed project. Requires applications to describe program goals, specify the number of enrollees necessary, and the kinds of facilities and equipment necessary. Authorizes the Secretaries of the Interior, Labor, and Agriculture to jointly develop regulations for joint projects, including funding under this Act and funding under the Job Training Partnership Act. Authorizes agreements with the Secretary of Defense to assist the military with projects under this Act. Limits enrollment in the Corps to unemployed U.S. citizens or nationals between the ages of 16 and 25, with special emphasis on the economically, socially, physically, or educationally disadvantaged. Sets forth special rules for programs limited to the summer months. Requires program directors to establish and enforce standards of conduct. Requires program agencies to provide necessary facilities and services. Authorizes the Secretary of the Interior and of Agriculture to provide such services and facilities, including surplus food and equipment. Requires enrollees to pay a reasonable portion of the cost of room and board. States that enrollees are not Federal employees except for workers' compensation purposes. Permits the use of volunteers for carrying out this Act if a program agency already has the authority to use volunteer services, including the Tennessee Valley Authority. Sets forth rates of pay and stipends. Directs the Secretaries and the Chiefs of the program agencies to coordinate activities under this Act with related activities. Requires the Secretaries to provide guidance in securing academic credit or skills certification for program enrollees. Directs the Secretary of the Interior to evaluate the conduct of the program. Directs such Secretary to study and report to the Congress on Civilian Conservation Corps sites to select a site to commemorate such Corps. Provides limited funds for academic study by enrollees during nonworking hours. Requires program agencies to provide job guidance and placement. Directs the Secretaries to report annually to the Congress on this Act's activities. Requires the Secretary of Labor to make labor market information available to such Secretaries and the program agencies. Entitles Federal employees and other employees displaced by enrollees under this Act to appeal or protest as specified. Authorizes and earmarks appropriations. Sets forth criteria for grant distribution to program agencies.

Bill· SS. 12 (100th)open

New GI Bill Continuation Act

United States · United States Congress · 6 January 1987

New GI Bill Continuation Act - Extends indefinitely (currently ends on June 30, 1988) the required date of entry into the armed forces for eligibility for basic educational assistance entitlement for veterans (both of active and Selected Reserve duty) of the All-Volunteer Force.

Bill· SS. 58 (100th)open

Research and Development Incentive Act of 1987

United States · United States Congress · 6 January 1987

Research and Development Incentive Act of 1987 - Amends the Internal Revenue Code to make permanent the income tax credit for increasing research activities. (Present law terminates such credit as of December 31, 1988.) Increases the amount of such credit from 20 to 25 percent of the increase in expenses of such research activities.

Law· SS. 83 (100th)enacted

National Appliance Energy Conservation Act of 1987

United States · United States Congress · 6 January 1987

National Appliance Energy Conservation Act of 1987 - Amends the Energy Policy and Conservation Act to add to the list of products covered under the Act: (1) freezers which can be operated by alternating current electricity (with specified exceptions); (2) central air conditioning heat pumps; (3) direct heating equipment; and (4) pool heaters. Deletes from specific coverage: (1) humidifiers; and (2) dehumidifiers. Excludes from such coverage consumer products designed solely for use in recreational vehicles and other mobile equipment. Authorizes the Secretary of Energy to amend Federal energy efficiency test procedures for appliances under specified guidelines. Prohibits manufacturers from making any representations regarding the energy efficiency of appliances covered by this Act unless such appliances have been tested in accordance with the Federal test procedures, and the manufacturer's representations fairly disclose the results of such testing. Sets forth specific Federal energy conservation standards for products covered by this Act and manufactured after certain dates. Establishes deadlines by which the Secretary must issue rules regarding such standards. Details the criteria to be applied if such standards are revised. Revises the information requirements with which manufacturers must comply to provide that the Secretary shall exercise authority in a manner designed to minimize unnecessary burdens on manufacturers of covered products. Revises the rules under which State regulations are superseded by the Federal regulations for testing and labeling requirements and energy conservation standards. Permits the waiver of Federal preemption if the Secretary finds that such waiver is needed to meet compelling and unusual local energy conditions. Prescribes procedural guidelines for such a waiver. Details conditions under which State and local building code requirements regarding energy conservation standards are not superseded by the standards promulgated under this Act. Permits the commencement of a citizen's suit against the Secretary for failure to comply with a nondiscretionary duty to issue rules according to prescribed schedules. Directs the courts to expedite the disposition of such suits. Vests jurisdiction in the Federal district courts over actions brought by any adversely affected person to determine whether a State or local government is complying with the requirements of this Act. Declares that the required submission by the Secretary of an annual report regarding Federal energy efficiency standards does not constitute a defense or justification for a failure by the Secretary to comply with the nondiscretionary duty provided for in this Act.

Bill· SS. 1 (100th)open

Water Quality Act of 1987

United States · United States Congress · 6 January 1987

Water Quality Act of 1987 - Title I: Amendments to Title I - Amends the Federal Water Pollution Control Act (the Clean Water Act) to authorize appropriations for FY 1983 through 1990 for: (1) specified research, investigation, and training programs in water pollution control; (2) State and interstate pollution control programs; (3) undergraduate programs in water quality control; (4) grants for developing waste treatment management plans for areas with substantial water quality control problems; (5) water pollution control programs in agricultural areas; (6) agreements among Government agencies providing for maximum use of existing programs for water quality control; (7) grants to States for lake pollution control; and (8) carrying out the Clean Water Act generally. Directs the Administrator of the Environmental Protection Agency to award an annual grant to support a National Clearinghouse on small flows (of sewage) and innovative or alternative technologies information. Directs the Administrator of the Environmental Protection Agency (EPA) to continue the Chesapeake Bay Program and establish such an Office within EPA to: (1) collect and disseminate research and other information on the environmental quality of the Bay; (2) coordinate Federal research efforts; (3) conduct research on sediment deposition in the Bay; and (4) conduct research on how environmental changes effect the living resources of the Bay, with particular emphasis on the impact of pollutant loading. Directs the Administrator to make a grant to a State affected by the interstate management plan developed under the Bay Program to implement management mechanisms in the plan if the State has approved and is committed to implementing all or substantially all aspects of the plan. Requires a State or combination of the States, in order to qualify for such grants, to submit a plan of proposed abatement actions to reduce Bay pollution and meet applicable water quality standards and of estimated costs for the approval of the Administrator. Limits such grants to 50 percent of the plan implementation costs. Limits administrative costs. Requires States to submit progress reports biennially to the Administrator for transmittal to the Congress. Authorizes appropriations for FY 1987 through 1990. Establishes the already existing Great Lakes National Program Office within EPA. Requires such Office to be located in a Great Lakes State. Requires such Office to carry out the responsibilities of the United States under the Great Lakes Water Quality Agreement of 1978, monitor the water quality of the Great Lakes, and serve as a liaison with the International Joint Commission Canadian members. Directs the Office to develop a five-year plan for reducing the amount of nutrients introduced into the Lakes and a five-year study and demonstration project program for the control and removal of toxic pollutants. Directs the Administrator to report annually to the Congress on Great Lakes water quality. Establishes, within the National Oceanic and Atmospheric Administration, the Great Lakes Research Office to develop, coordinate, and report on research on issues related to the Great Lakes resources. Require such Office to be located in a Great Lakes State. Requires the Program and Research Offices to prepare annually a joint research plan. Requires interagency cooperation and reporting with respect to such program. Authorizes appropriations for FY 1987 through 1991, earmarking funds for specified purposes. Directs the Administrator to research the harmful effects on the health and welfare of persons caused by pollutants in water, especially the bioaccumulation of these pollutants in aquatic species and any reduction in the value of aquatic industries. Title II: Construction Grants Amendments - Sets a time limit on resolving treatment works construction contract disputes. Limits the 75 percent Federal share of treatment works construction costs to grants made by a State before FY 1991. Makes the Wyoming Valley Sanitary Authority project eligible for grants of 75 percent of construction costs. Authorizes the Administrator to make a grant to fund all the costs of modifying or replacing bio disc equipment (rotating biological contractors) in any publicly owned treatment works if deficiencies are not attributable to negligence. Deems the activated bio-filter feature of the project for treatment works of Little Falls, Minnesota, an innovative wastewater process and technique entitled to an 85 percent grant. Permits the use of Farmers Home Administration funds for the nonfederal share of construction costs for publicly owned treatment works under this Act. Directs the Administrator to make preconstruction agreements with grant applicants for treatment work construction assistance to specify which costs are eligible for Federal payments. Sets forth contract terms and conditions concerning design approval and payments including interest payments. Qualifies for purposes of treatment works grants a system of user charges imposing lower charges for low-income residential users. Requires the Administrator to reallot to States treatment works construction grants for FY 1987 through 1990. Extends through FY 1990 the authorization of appropriations for minimum allotments to States and specified U.S. territories and possessions. Increases the allotment for specified U.S. territories and possessions. Extends through FY 1994 the reservation of certain amounts from State allotments for State administrative expenses. Extends through FY 1990 the use of funds to control pollutants from storm sewers. Increases the mandatory set-aside for rural States and other States to up to seven and one-half percent. Extends through FY 1990 specified provisions relating to minimum expenditures for increasing the Federal share of grants for construction of treatment works utilizing innovative processes and techniques. Requires a State to allocate at least 40 percent of its water quality management planning grant to regional and interstate public comprehensive organizations if it would significantly assist in encouraging such organizations' participation in developing wastewater treatment programs. Increases the amount of additional funds which the Administrator shall have available for addressing water quality problems of marine bays and estuaries subject to lower levels of water quality due to the impact of discharges from combined storm water and sanitary sewer overflows. Authorizes appropriations for FY 1986 through 1990 for the construction grant program. Adds a new title VI: Grants for Water Pollution Control Revolving Funds to the Clean Water Act. Authorizes appropriations for FY 1989 through 1994 for capitalization grants to States which establish Water Pollution Control Revolving Funds which would gradually take over the Federal program. Requires a participating State to: (1) enter into agreements with the Administrator; (2) establish the required Fund; (3) deposit in its Fund from State monies an amount equal to 20 percent of the capitalization grant; (4) make loan commitments for publicly owned waste treatment plants within one year which commit all of the Fund; (5) submit required annual and intended use reports; and (6) comply with generally accepted procedures and standards. Sets forth permitted uses of the Fund. Authorizes the Administrator to reallot a noncomplying State's capitalization grant. Sets forth required accounting procedures. Directs the Administrator to review annually each State plan and report for using the Fund. Authorizes a State to use Federal grant funds to set up a Water Pollution Control Revolving Fund upon request. Directs the Administrator to report to the Congress by February 10, 1990, on the operation of the State Funds. Directs the Administrator to make grants for treatment works improvement programs for: (1) Avalon, California; (2) Walker and Smithfield Townships, Pennsylvania; (3) Taylor Mill, Kentucky; and (4) Watsonville, California. Directs the Administrator to make a grant to the State of California for the construction of a collection system for specified areas of Nevada County. Directs the Administrator to make grants to the Wanaque Valley Regional Sewage Authority, New Jersey, for the construction of treatment works of a specified capacity. Limits the Federal share to 75 percent of construction costs. Directs the Administrator to make grants to Lena, Illinois, for the construction of a replacement moving bed filter press for the treatment works. Limits the Federal share to 75 percent of construction costs. Requires Pennsylvania to give Federal funding priority to the Wyoming Valley Sanitary Authority secondary treatment project and to a project for wastewater treatment for Altoona, Pennsylvania. Authorizes the Chicago tunnel and reservoir project to receive grants without regard to allocation limitation if the Administrator determines that such project is cost-effective without redesign or reconstruction and the Governor of Illinois demonstrates the water quality benefits accruing from such project. Permits the towns of Hampton and Nashua, New Hampshire, to continue using an ad valorem tax user charge system for collecting the costs of operation and maintenance of sewage treatment works in satisfaction of specified requirements for grants for treatment works. Requires the Administrator to review such system for compliance with other requirements. Title III: Standards and Enforcements - Extends the compliance date for specified priority toxic pollutants, all other toxic pollutants, and the application of best practicable technology for all other pollutants to no later than three years after effluent limitations are established or by March 31, 1989, whichever is earlier. Directs the Administrator of EPA to promulgate final regulations by the end of 1986 establishing effluent limitations for direct dischargers and limitations requiring pretreatment for all the priority toxic pollutants which are discharged from certain categories of point sources in accordance with a specified schedule. Permits the Administrator to modify the effluent limitations for nonconventional pollutants such as ammonia, chlorine, color, iron, and total phenols. Permits the Administrator to add or delete from the list of pollutants for which such modification is permitted as indicated by current evidence or the lack of it. Requires that such modifications not interfere, alone or in combination, with the prescribed water quality standard. Requires as new conditions for the modification of treatment requirements with respect to the discharges of pollutants from a publicly owned treatment works that an applicant for such modification demonstrate that: (1) in the case of a treatment works serving a population of 50,000 or more, there is in effect a specified pretreatment program for toxic pollutants introduced into such works for which there is no pretreatment requirement in effect; and (2) the effluent which is discharged from such works is receiving primary treatment and meets the criteria for water established by the Administrator. Prohibits the discharge of a pollutant into saline estuarine waters that do not support fish and wildlife or whose quality is below applicable standards. Prohibits dumping in the New York Bight Apex. Extends the filing deadline for treatment works modification. Extends the innovative technology compliance deadlines for direct dischargers. Permits variances from an otherwise applicable effluent limitation or pretreatment standard if an applicant can demonstrate during the rulemaking (or did not have an opportunity to demonstrate) that factors relating the facilities, equipment, and processes of such person are fundamentally different from the factors considered in the rulemaking. Requires the Administrator to assess and collect fees for variance applications. Requires the Administrator to report biannually to the appropriate congressional committees on the status of variance applications. Permits the modifications of ph levels and the amount of iron and manganese in discharges from remined areas of coal remining operations if such operations provide potential for water quality improvement and use the best available technology (BAT). Requires States within two years to identify bodies of water within or adjacent to them which will not meet State water quality standards because of toxic pollutants after the implementation of BAT. Requires each State to develop an individual control for each such body to achieve the applicable standard within three years. Requires that Administrator, within nine months of this Act's enactment, to develop guidelines for such identification and for measuring water quality criteria for toxic pollutants on other than pollutant-by-pollutant criteria, using biomonitoring and assessment techniques. Directs the States to establish numerical criteria, based on EPA's national water quality criteria, for toxic pollutants which could otherwise interfere with designated water uses. Permits such criteria to include the use of biological monitoring or assessment methods. Permits the Administrator, with State concurrence, to modify effluent limitations: (1) if a non-toxic polluter demonstrates that complete compliance does not satisfy a reasonable cost-benefit analysis; or (2) for five years if a toxic polluter demonstrates that a modified maximum limitation within the polluter's economic means will result in reasonable progress to post-BAT water quality standards. Directs the Administrator, within one year of this Act's enactment and then biennially, to publish guidelines for effluent limitations for toxic pollutants for industrial categories currently without such guidelines and to establish a schedule for the review, revision, and promulgation of other effluent guidelines. Directs the Administrator to study and report to the Congress on water quality improvements achieved through the application of BAT economically achievable. Authorizes a two-year extension for a treatment works to comply with a categorical pretreatment standard if it uses an innovative treatment system which has potential for industry-wide application and the treatment works can still comply with the terms of its permit. Establishes criminal penalties for the knowing disclosure of confidential information gained by authorized personnel in the course of inspection of treatment facilities. Permits a State to adopt more stringent standards for marine sanitation devices on a houseboat than those required under Federal law. Increases criminal and civil penalties. Adds administrative civil penalties for specified violations. Establishes criminal penalties for the knowing endangerment of a person through violations of specified provisions. Requires the Secretary of the Army and the Administrator to each report to the Congress by December 1, 1988, on the enforcement mechanisms available and on improving enforcement. Directs each State to report biennially to the Administrator on the water quality of the publicly owned lakes. Requires the Administrator to then report such information to the appropriate congressional committees, including an evaluation of methods and procedures used. Authorizes the Administrator to conduct lake water quality demonstration programs at: (1) Lake Houston, Texas; (2) Beaver Lake, Arkansas; (3) Greenwood Lake and Belcher Creek, New Jersey; (4) Deal Lake, New Jersey, (5) Alcyon Lake, New Jersey; (6) Gorton's Pond, Rhode Island; (7) Lake Washington, Rhode Island; (8) Lake Bomoseen, Vermont; (9) Sauk Lake, Minnesota; and (10) Lake Worth, Texas. Directs the Administrator to publish within one year of enactment and update biennially a lake restoration guidance manual. Directs the Governor of each State to submit to the Administrator for approval a report: (1) identifying navigable waters not meeting applicable water quality standards because of pollution from nonpoint sources (e.g., rainfall runoff as opposed to identifiable pipes); (2) identifying categories of significantly polluting nonpoint sources; (3) identifying State and local programs for controlling such pollution and improving the water quality of the navigable waters; and (4) describing administrative measures to be taken. Requires each Governor to develop Administrator-approved nonpoint source pollution management programs identifying: (1) the best management practices to institute; (2) an implementation schedule; (3) any additional State authorities necessary for the program including an implementation schedule for acquiring such authorities; (4) available financial assistances; and (5) the effect of existing Federal programs on such program. Provides for resubmission of rejected programs which are subsequently modified. Directs the Administrator to develop a program for any State which fails to do so and report on such actions to the Congress. Authorizes the Administrator to provide technical assistance to a local agency to develop a four-year plan if a State fails to submit a satisfactory plan and the local agency is of sufficient geographical size. Treats such local agency as a State agency for implementation assistance purposes after such plan has been approved. Directs the Administrator to convene a management conference of the affected States when any State is unable to meet its applicable water quality standards because of pollution from nonpoint sources in another State. Requires the offending State to modify its management program to reflect an agreement reached in such conference. Directs the Administrator to provide grants to States to assist in the implementation of approved four-year plans. Limits the Federal share to a maximum of 60 percent of costs. Sets forth other terms and conditions for such grants, including reporting and administrative requirements. Limits each grant per State to a maximum of 15 percent of total authorizations. Authorizes the Administrator to give priority in making grants to States with management programs with particularly difficult nonpoint pollution problems, innovative technologies, or which address essential groundwater quality protection problems. Authorizes appropriations for FY 1988 through 1991. Directs the Administrator to transmit to the Office of Management and Budget and the appropriate Federal departments and agencies a list of those assistance programs and development projects identified by States for which individual assistance applications and projects will be reviewed. Requires each Federal department and agency to modify existing regulations to allow States to conduct such review and accommodate the concerns of the State regarding the consistency of such applications or projects with the State program. Directs the Administrator to collect and make available information pertaining to management practices and implementation methods. Directs the Administrator to report annually, and finally by January 1, 1990, to the Congress on the State management programs and the grants. Earmarks funds for such programs. Authorizes the Governor of any State to nominate to the Administrator an estuary within the State's jurisdiction which is of national significance and to request a management conference to develop a comprehensive management plan. Directs the Administrator to convene such conference if the need for it is sufficiently documented. Gives priority to: (1) Long Island Sound, New York and Connecticut; (2) Narragansett Bay, Rhode Island; (3) Buzzards Bay, Massachusetts; (4) Puget Sound; Washington; (5) New York-New Jersey Harbor, New York and New Jersey; (6) Delaware Bay, Delaware and New Jersey; (7) Albemarle Sound, North Carolina; (8) Sarasota Bay, Florida; (9) San Francisco Bay, California; and (10) Galveston Bay, Texas. Prohibits convening such a conference before a final adjudication has been made in any pending State boundary dispute involving such estuary. Requires a management conference to assess the relevant ecological data and develop a comprehensive conservation and management plan which recommends priority corrective actions and compliance schedules and coordinates intergovernmental efforts. Requires each conference to include the Administrator and affected governmental and private interests. Limits the terms of a conference to five years. Requires Administrator approval of any plan. Permits the use of construction grant or State revolving fund monies for implementation approval of any plan. Authorizes the Administrator to provide up to 75 percent of research and study costs through State grants. Requires such State to report to the Administrator biennially. Earmarks funds for the Administrator of the National Oceanic and Atmospheric Administration to coordinate and implement an assessment, research, and water quality sampling program for pollutants and ecosystems to determine when an estuarine management conference should be called. Requires the Administrators to report to the Congress biennially on estuarine health and research. Authorizes appropriations for FY 1987 through 1991. Prohibits the location or placing of a landfill, surface impoundment, waste pile, injection well, or land treatment facility, or the placement of solid waste in any of these if they are located over the Unconsolidated Quarternary Aquifer, or the recharge zone of such aquifer in the Rockaway River Basin, New Jersey. Title IV: Permits and Licenses - Exempts from permit requirements and effluent limitations certain stormwater runoff discharges from mining operations or oil or gas exploration, production, processing, or treatment operations. Requires exempted run-offs to be a product of precipitation flows or systems designed to collect or convey such water. Requires that such run-offs be uncontaminated (as determined by the Administrator). Prohibits the Administrator from requiring additional pretreatment by a discharger of conventional pollutants when its publicly owned treatment works is not meeting NPDES permit requirements because of inadequate design or operation. Authorizes a partial NPDES permit program covering a portion of the discharges into the navigable waters in such State if it covers administration of a major category of such discharges or a major component of the State's NPDES permit program. Provides that a State may return, or the Administrator may withdraw approval of, delegated NPDES permit program responsibilities. Sets forth anti-backsliding requirements relating to renewal or reissuance of NPDES permits. Permits limited exceptions. Requires the Administrator to report to the Congress within two years on the extent to which States have modified water quality standards or NPDES permits should be modifiable to permit less stringent effluent limitations. States that prior to FY 1993 no permit shall be required for discharges composed entirely of stormwater other than: (1) those associated with industrial activity or municipal separate storm sewers; or (2) those which are determined to be in violation of a water quality standard or contribute significantly to water pollution. Requires the Administrator to report to the Congress on the nature of most stormwater discharges and which classes of such discharges should have permits. Revises the sewage sludge disposal timetable. Directs the Administrator to identify in two stages those toxic pollutants which may be present in sewage sludge in concentrations which may adversely affect public health or the environment. Directs the Administrator to publish regulations specifying acceptable management practices and establishing numerical limitations for each such pollutant and requiring compliance within 12 months after publication. Authorizes the Administrator to promulgate a design, equipment, management practice, or operational standard for certain pollutants if a numerical limitation is not feasible and the same protection can be achieved. Requires NPDES permits to include requirements for the use and disposal of sludge, and provides for implementing such regulations. Authorizes the Administrator to issue a permit to implement such regulations to a facility not subject to NPDES. Authorizes the Administrator to initiate studies and projects to promote the safe and beneficial use of sewage sludge. Authorizes appropriations. Stays the decision of Natural Resources Defense Council, Inc. v. U.S. Environmental Protection Agency concerning revised pretreatment requirements for certain publicly owned treatment works. Prohibits the authorization of removal credits until final regulations are issued. Permits the merger of permit requirements for log transfer facilities subject to both EPA's and the Army's jurisdiction so long as certain requirements are satisfied. Title V: Miscellaneous Provisions - Permits the Administrator to enter into noncompetitive procurement contracts with State audit organizations for audits of recipients of Federal assistance under this Act. Includes the Commonwealth of the Northern Mariana Islands within the definition of "State." Excludes agricultural stormwater discharges from the definition of "point source" pollution. Requires that the Attorney General and the Administrator receive notice of any citizen suits or proposed consent judgments. Revises venue provisions to permit an applicant for judicial review of certain Administrator actions to bring suit in the U.S. Court of Appeals for the Federal district in which such applicant has its principal place of business or where such applicant transacts the business which is directly affected by the action in question. Increases the appeal period. Provides a random selection procedure to determine the forum when reviews of a particular EPA action have been filed in more than one court. Empowers the court to award attorney's fees to a prevailing or substantially prevailing party. Directs the Administrator to assess the sewage treatment needs of Indian tribes, reporting to the Congress within one year. Authorizes the Administrator to reserve one-half of one percent of specified funds for Indian needs after FY 1986. Authorizes the Administrator to treat Indian tribes specially or as States as required to meet such tribes' sewage treatment needs. Defines "point source" to include a landfill leachate collection system. Amends the Marine Protection Research and Sanctuaries Act of 1972 to prohibit the issuance of any new permit to non-eligible authorities now presently permitted to use the New York Bight Apex to dump or transport municipal sludge. Prohibits anyone but an eligible authority from dumping or transporting municipal sludge within the 106-mile Ocean Waste Dump Site. Authorizes the Administrator to issue a research permit to the Orange County, California, Sanitation Districts for the discharge of preconditioned municipal sewage sludge into the ocean to analyze the effects of disposing of such sludge by way of pipelines. Limits such permit to five years. Limits the amount of sludge which may be discharged. Requires such districts to report to the Congress on the results of such program. Authorizes the Administrator to make grants to the State of California, for construction of a project consisting of publicly owned treatment works in San Diego to provide primary or advanced treatment of municipal sewage and industrial waste for the city of Tijuana, Mexico, and for San Diego. Requires the Administrator to make additional grants for defensive treatment works in case of breakdown. Authorizes the Administrator to permit ocean discharge of certain specially-treated pollutants. Imposes a cap on raw sewage discharges from the drainage areas of the North River Plant, Manhattan, New York, and the Red Hook Plant, Brooklyn, New York, into navigable waters (the Hudson-Raritan Estuary) if New York City fails to meet the deadlines for achieving advanced preliminary treatment contained in the consent decree of December 30, 1982 (August 1, 1986, for the North River plant; August 1, 1987, for the Red Hook Plant). Permits the Administrator to raise such cap for seasonal variation or natural disasters, or other circumstances beyond the control of the city of New York. States that violations of this Act shall be considered violations of the Clean Water Act, as well as of the consent decree. Expresses the sense of the Congress that the Administrator should not agree to any further modification of the advanced preliminary treatment schedule in the consent decree. Directs the Administrator to implement monitoring activities for both plans and commence enforcement actions in the event of unexcused violations. Directs the Administrator to pay, in the same proportion as the Federal share of other project costs, all expenses for the relocation of facilities for the distribution of natural gas with respect to the entire waste water treatment works known as Oakwood Beach and Red Hook projects, New York. Authorizes appropriations. Directs the Administrator to make grants of up to 75 percent of costs to the Massachusetts Water Resource Authority for the construction of necessary secondary waste water treatment works to improve the water quality of Boston Harbor and adjacent waters. Authorizes the Administrator to make a grant up to 85 percent of costs to the San Diego Water Reclamation Agency, California, to demonstrate innovations in wastewater reclamation. Authorizes appropriations. Authorizes the Administrator to make a grant of 75 percent of construction costs to the city of Des Moines, Iowa, for construction of the Central Sewage Treatment Plant. Authorizes appropriations. Directs the Administrator to study the feasibility and desirability of eliminating the regulation of de minimus discharges of pollutants into navigable waters. Directs the Administrator to report on such study to specified congressional committees within one year after enactment of this Act. Directs the Administrator to study the effectiveness of specified innovative and alternative wastewater treatment processes and techniques which have been used in treatment works constructed under the Clean Water Act. Directs the Administrator to report within one year on such study to specified congressional committees. Directs the Administrator to study the testing procedures for analysis of pollutants established under specified provisions of such Act. Directs the Administrator to report on such study to specified congressional committees within one year after the enactment of this Act. Directs the Administrator to study the pretreatment of toxic pollutants and report to the appropriate congressional committees within four years after enactment of this Act. Directs the Administrator to study methods for controlling point and nonpoint sources of pollution in specified groundwater systems and aquifers, including: (1) the Upper Santa Cruz Basin and the Avra-Altar Basin of Pima, Pinal, and Santa Cruz Counties, Arizona; (2) the Spokane-Rathdrum Valley Aquifer, Washington and Idaho; (3) the Nassau and Suffolk Counties Aquifer, New York; (4) the Whidbey Island Aquifer, Washington; (5) the Unconsolidated Quarternary Aquifer, Rockaway River area, New Jersey; and (6) groundwater in Litchfield, Hartford, Fairfield, Tolland, and New Haven Counties, Connecticut; and (7) the Sparta Aquifer, Arkansas. Directs the Administrator to report to the Congress within two years on the final status of such studies and plans. Authorizes appropriations. Authorizes the Secretary of the Army to undertake a study on consumptive uses of Great Lakes water, focussing on control measures which would reduce the quantity of water consumed without adversely affecting the projected growth of the region. Requires that such study include an analysis of both existing and new technology, including assessments of water quality assessment methodologies, the economic and environmental affects of manufacturing uses, and regulation of such uses. Authorizes appropriations. Directs the Administrator to study the problem of the corrosive effects of sulfides in collection and treatment systems, the extent to which the uniform imposition of categorical pretreatment standards will exacerbate this problem, and the range of available options to deal with the effects. Requires that such study be conducted in consultation with the Los Angeles City and County sanitation agencies which have observed examples of corrosion probably caused by sulfides. Directs the Administrator to report on such study to specified congressional committees within one year after enactment of this Act. Authorizes appropriations. Directs the Administrator to study and report to the Congress within one year on the problems of rainfall induced infiltration into wastewater treatment sewer systems. Directs the Administrator to report to the Congress on the effects of dams on water quality and the performance of State revolving loan funds. Directs the Administrator to conduct and report to the Congress on a comprehensive study of pollution in Lake Pend Oreille, Montana and Idaho, and the Clark Fork River, Idaho, Montana, and Washington.

Bill· SS. 143 (100th)open

Compassionate Pain Relief Act

United States · United States Congress · 6 January 1987

Compassionate Pain Relief Act - Directs the Secretary of Health and Human Services to establish a 60-month program under which parenteral diacetylmorphine shall be made available through hospital and other prescribed pharmacies for the relief of pain from terminal cancer (as defined by this Act). Directs the Secretary to provide for the manufacture of such drug. Permits physicians registered under the Controlled Substances Act to prescribe such drug. States that for purposes of such program the Federal Food, Drug, and Cosmetic Act and titles II and III of the Comprehensive Drug Abuse Prevention and Control Act of 1970 shall not apply with respect to: (1) the importing of opium; and (2) the manufacture, distribution, and dispensing of parenteral diacetylmorphine. Requires: (1) the Secretary to make program reports to specified congressional committees; and (2) the Comptroller General of the United States to make a program report to such committees 56 months after the program is established. Requires the Secretary to report to specified congressional committees concerning: (1) the extent of research activities in the management of pain which have received funds through the National Institutes of Health; (2) the ways in which the Federal Government supports the training of health personnel in pain management; and (3) recommendations for expanding and improving the training of health personnel in pain management. Permits the Secretary at any time six months after implementation of the program to modify or terminate the program.

Bill· SS. 4 (100th)open

Child-Care Assistance Act of 1987

United States · United States Congress · 6 January 1987

Child-Care Assistance Act of 1987 - States that nothing in this Act shall be construed to authorize interference with parental authority. Requires States to submit a plan to the Secretary of Health and Human Services in order to participate in a child-care assistance program authorized under this Act. Requires such State plan to include provisions on: (1) the designation of a responsible State agency; (2) distribution of funds, with priority to be given to child-care providers with priority for services on the basis of family need; (3) the establishment of fee schedules for services based on family need and size; (4) information and referral services; (5) child-care personnel training; (6) licensing of child-care providers; (7) parental involvement in the planning and evaluating of child-care programs; (8) maximum allowable administrative costs; (9) the establishment of a State Advisory Panel on child-care matters; and (10) hearings on adverse decisions of the State agency or any funded program. Directs the Secretary to approve any plan complying with the requirements of this Act. States that the Secretary must first provide notice and a hearing before disapproving any State plan. Directs the Secretary to designate, within the Department of Health and Human Services, an administrative unit and an individual in charge of such unit to carry out the provisions of this Act and to coordinate other child-care activities within such Department. Provides for the establishment, within the Office of the Secretary, of a National Advisory Panel on Child Care Needs and Services. Directs the Secretary, with the assistance of the National Advisory Panel, to develop standards for programs under this Act. Authorizes the Secretary to make grants and to enter into contracts for demonstration child-care projects. Directs participating States to submit a report to the Secretary outlining the current status of child-care licensing within the State. Directs the Secretary to develop a Model State Licensing or Regulating of Child Care Providers Act as a guide. Authorizes the Secretary to provide training and technical assistance to the States. Limits allotments of funds appropriated under this Act to not more than one percent for Guam, American Samoa, the Virgin Islands, the Northern Mariana Islands, and the Trust Territory of the Pacific Islands. Establishes an allotment priority system for the States in which 50 percent is based on the number of children living in homes in which: (1) both parents are employed or seeking employment; or (2) the child resides with only one parent and that parent is employed or seeking employment. Bases the allotment of the other 50 percent on the number of children residing in households having incomes equal to or less than one-half the median income of the United States for families of the same size. Authorizes the Secretary, after reasonable notice and opportunity for hearing, to withhold payments to any State where there has been a substantial failure to comply with requirements of such State's plan or other applicable provisions under this Act. Directs the Secretary to: (1) review and evaluate programs carried out under this Act; and (2) submit a report on national child-care needs to the President and the Congress not later than four years after enactment of this Act. Authorizes appropriations for FY 1988 through 1992. Conditions the authorization of appropriations under this Act on appropriations to carry out the Head Start program which reach a specified minimum level.

Bill· SS. 74 (100th)referred

A bill to amend the Internal Revenue Code of 1986 to allow a charitable contribution deduction for certain amounts paid to or for the benefit of an institution of higher education.

United States · United States Congress · 6 January 1987

Amends the Internal Revenue Code to allow a charitable contribution income tax deduction for amounts paid to or for the benefit of an institution of higher education in cases where the taxpayer receives the right to seating or the right to purchase seating for athletic events at such institution.

Bill· SS. 77 (100th)referred

A bill to amend the Act of August 18, 1941, with respect to the preparation of cost and benefit feasibility assessments regarding certain emergency flood control projects.

United States · United States Congress · 6 January 1987

Requires the Chief of Engineers, in preparing cost and benefit feasibility assessments for emergency flood control projects, to consider the benefits to be gained by such a project for the protection of residential, commercial, and agricultural establishments. Prohibits such costs from being in excess of the Federal costs related to the project.

Bill· SS. 34 (100th)referred

Social Security Administrative Reorganization Act

United States · United States Congress · 6 January 1987

Social Security Administrative Reorganization Act - Amends title VII (Administration) of the Social Security Act to establish as an independent executive agency a Social Security Agency. Provides that the Agency shall be headed by a Social Security Board which shall: (1) govern the Old Age, Survivors and Disability Insurance program under title II, the Supplemental Security Income program under title XVI, and the Medicare program under title XVIII of the Social Security Act; (2) appoint a Commissioner of Social Security to act as the chief operating officer of the Agency responsible for administering such programs; (3) make annual budgetary recommendations relating to the Agency to the Congress; (4) make recommendations to the Congress and the President with respect to the administration of such programs; (5) provide the Congress and the President with all information relating to such programs; and (6) conduct policy analysis and research relating to such programs. Requires that the Office of the Board include an Office of the Actuary, an Office of Policy and Legislation, an Office of General Counsel, and an Ombudsman. Sets forth the Board's authority with respect to the appointment of employees and the organization of the Agency. Establishes an Office of the Inspector General within the Agency. Requires coordination between the Board, the Secretary of Health and Human Services, and the Secretary of the Treasury in the administration of titles II, XVI, and XVIII of the Social Security Act. Establishes in the Agency an Office of the Commissioner, to be headed by a Commissioner of Social Security. Requires the Commissioner to: (1) constitute the chief operating officer responsible for administering programs under titles II, XVI, and XVIII of the Social Security Act; (2) establish and maintain an efficient operational structure for the Agency; (3) devise and implement long-term plans for agency programs; (4) make annual budgetary recommendations to the Congress; (5) advise the Board and the Congress on Agency programs; (6) serve as Secretary of the Board of Trustees of the Federal Old-Age and Survivors Insurance Trust Fund, the Federal Disability Insurance Trust Fund, the Federal Hospital Insurance Trust Fund, and the Federal Supplementary Medical Insurance Trust Fund; and (7) make annual reports to the Board and the Congress. Provides for the transfer to the Agency of all functions carried out by the Secretary of Health and Human Services with respect to the programs and activities to be carried out by the Agency under this Act. Abolishes the position of Commissioner of Social Security in the Department of Health and Human Services. Requires that appropriations requests by the Agency for staffing and personnel be based upon comprehensive workforce plans. Sets forth rules for the apportionment of administrative appropriations for the Agency. Provides that the Agency's authority for automated data processing procurement and facilities construction shall be provided in the form of contract authority covering the total acquisition costs. Makes amounts needed for the liquidation of contract authority so provided available from the Federal Old-Age and Survivors Insurance Trust Fund, the Federal Disability Trust Fund, the Federal Hospital Insurance Trust Fund, and the Federal Supplementary Medical Insurance Trust Fund to the extent that such amounts are not needed to meet current obligations for benefit payments. Specifies the authorities which are to be delegated to the Commissioner from the Administrator of the General Services Administration. Requires the Secretary to make recommendations respecting: (1) the most effective methods of providing economic security; and (2) the administrative policy for the social security programs being administered. Requires the Board, the Comptroller General of the United States, and the Secretary to each submit to the Congress within five years after enactment of this Act a report assessing the organizational changes made by this Act. Requires each to submit to the Congress recommendations for further technical and conforming amendments as necessary within one year after enactment of this Act.

Bill· SS. 33 (100th)referred

Social Security Trust Funds Management Act of 1987

United States · United States Congress · 6 January 1987

Social Security Trust Funds Management Act of 1987 - Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to require that amounts in the Federal Old-Age and Survivors Insurance Trust Fund and the Federal Disability Insurance Trust Fund (OASDI trust funds) be invested by the Managing Trustee of such trust funds as soon as such investments can be made without exceeding the public debt limit or jeopardizing OASDI benefit payments. Directs the Managing Trustee, upon the expiration of a debt limit impact period, to issue and pay to the OASDI trust funds those obligations the trust funds would have held and the interest they would have earned but for the debt limit. Requires that the tax receipts earmarked for the OASDI program be immediately transferred (currently, monthly transfers are made) from the general fund of the Treasury to the OASDI trust funds. Requires members of the OASDI trust funds' Board of Trustees to faithfully execute their duties, but does not impose a fiduciary duty. Directs the Board of Trustees of the OASDI trust funds to meet at least twice a year. (Currently, they must meet at least once a year.) Sets forth provisions requiring reports by the Board of Trustees and the Managing Trustee to the Congress regarding the operation and status of the OASDI trust funds. Prohibits the sale and redemption of OASDI trust fund assets or the expenditure of OASDI trust fund amounts for purposes other than making payments under title II or provisions of law directly related to OASDI programs.