| Authority: |
RCW 74.46.581 |
| Admin Agency: |
Dept of Social and Health Services - 3000 |
| Cash Type: |
2 - Treasury Trust Fund |
| SAAM Budget Type: |
Budgeted (Nonappropriated/Allotted) (B) |
| Earnings from Investments are: |
Credited to the general fund under RCW 43.79A.040(4)(a). |
| Description: |
For technical assistance for nursing facilities, specialized training for nursing facilities or an increase to the quality enhancement. |
| Sources of Revenue: |
Beginning 7/1/15 receipts from the reconciliation & settlement process in RCW 74.46.022(6). Beginning 7/1/16 all receipts from the system of financial penalties for facilities out of compliance with minimum staffing standards per 74.42.360. |
| Clientele: |
nursing home residents |
| Effective Date: |
07/01/2015 |
| Account Code: |
20P |
| Account Title: |
Nursing Facility Quality Enhancement Account |
| Fund Type: |
BA - Special Revenue Funds |
| Rollup Fund: |
BE - Human Services Fund |
| Closing GL Code: |
9323 - Committed for Human Services |