ENROLLED ORIGINAL
AN ACT
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IN THE COUNCIL OF THE DISTRICT OF COLUMBIA
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To amend, on an emergency basis, section 47–362 of the District of Columbia Official Code to
require that the Mayor submit all reprogramming requests related to the DC Circulator to
the Council for prior approval; and to amend the Department of Transportation
Establishment Act of 2002 to require that money from the sale, lease, or transfer of DC
Circulator assets be deposited in the DC Circulator Fund and expended to support DC
Circulator workers, and to require that the District Department of Transportation
coordinate with the Washington Metropolitan Area Transit Authority to determine the
feasibility of assuming control of the DC Circulator, providing alternative or additional
bus service, or hiring former DC Circulator workers at their current pay and seniority
status.
BE IT ENACTED BY THE COUNCIL OF THE DISTRICT OF COLUMBIA, That this
act may be cited as the “DC Circulator Transition Emergency Amendment Act of 2024”.
Sec. 2. Section 47–362 of the District of Columbia Official Code is amended by adding a
new subsection (j) to read as follows:
“(j) Notwithstanding § 47-361(14), § 47-363(a) shall apply to any reprogramming
request, regardless of dollar value, related to the DC Circulator, as described in Title III of the
Department of Transportation Establishment Act of 2002, effective March 5, 2007 (D.C. Law 16-
225; D.C. Official Code § 50–921.31 et seq.).”.
Sec. 3. Title III of the Department of Transportation Establishment Act of 2002, effective
March 6, 2007 (D.C. Law 16-225; D.C. Official Code § 50–921.31 et seq.), is amended as
follows:
(a) Section 11c (D.C. Official Code § 50-921.33) is amended to read as follows:
“Sec. 11c. DC Circulator Fund establishment.
“(a) There is established as a special fund the DC Circulator Fund (“Fund”), which shall
be administered by the District Department of Transportation (“DDOT”) in accordance with
subsections (c), (d), and (e) of this section.
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ENROLLED ORIGINAL
“(b) All special purpose funds collected from the following sources shall be deposited
into the Fund:
“(1) All revenue collected pursuant to section 11b by the District, WMATA, or
their agents;
“(2) Parking meter revenue from the National Park Service for meters on the
Mall;
“(3) All monetary gifts intended to be used to assist in the funding of the DC
Circulator; and
“(4) All money derived from the sale, lease, or transfer of any property, real or
personal, related to the DC Circulator, including any vehicles or equipment.
“(c)(1) Except as provided in paragraphs (2) and (3) of this subsection, money in the
Fund shall be used for the following purposes:
“(A) For DDOT to pay for goods, services, property; or
“(B) Any other authorized purpose.
“(2) Money in the Fund deposited pursuant to subsection (b)(4) of this section
shall be used to support any workers, contractors, or employees of the DC Circulator or of
Department staff associated with the DC Circulator, including the payment of wages, bonuses,
severance pay, or workforce development, and administrative costs borne by DDOT in providing
this support; except, that expenditures for administrative costs may not exceed 10% of the
deposits under this paragraph.
“(3) During any period of time in which a contract with WMATA is in effect,
money from the payment of fares, the purchase of tickets, and the sale of advertising space by
third parties may be, with the written consent of the Chief Financial Officer for the District of
Columbia and pursuant to the terms of the contract, deposited in a WMATA interest bearing
account for the benefit of the District of Columbia and used by WMATA to offset its costs of
contract performance, but only to the extent that Congress has appropriated funds to the District
to perform or procure those services; provided, that for a period of 8 months following March 2,
2010, no DC Circulator route shall replace more than 20% of the revenue miles or revenue hours
of any WMATA route.
“(d) Subject to authorization in an approved budget and financial plan, any funds
appropriated in the Fund shall be continually available without regard to fiscal year limitation.
“(e) The money deposited into the Fund but not expended in a fiscal year shall not revert
to the unassigned fund balance of the General Fund of the District of Columbia at the end of a
fiscal year, or at any other time.”.
(b) Section 11f (D.C. Official Code § 50–921.36) is amended to read as follows:
“Sec. 11f. Coordination with WMATA regarding DC Circulator termination.
“The District Department of Transportation shall coordinate with WMATA to determine
the feasibility of WMATA:
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ENROLLED ORIGINAL
“(1) Assuming control and management of the DC Circulator, maintaining the DC
Circulator workforce, and continuing DC Circulator service;
“(2) Providing alternative Metrobus routes or additional Metrobus service for
riders impacted by planned termination of the DC Circulator; and
“(3) Hiring former DC Circulator workers while preserving their rate of pay and
seniority.”.
Sec. 4. Fiscal impact statement.
The Council adopts the fiscal impact statement of the Budget Director as the fiscal impact
statement required by section 4a of the General Legislative Procedures Act of 1975, approved
October 16, 2006 (120 Stat. 2038; D.C. Official Code § l-301.47a).
Sec. 5. Effective date.
This act shall take effect following approval by the Mayor (or in the event of veto by the
Mayor, action by the Council to override the veto), and shall remain in effect for no longer than
90 days, as provided for emergency acts of the Council of the District of Columbia in section
412(a) of the District of Columbia Home Rule Act, approved December 24, 1973 (87 Stat. 788;
D.C. Official Code § 1-204.12(a)).
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Chairman
Council of the District of Columbia
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Mayor
District of Columbia
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