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2006 Special Session I

Budget Amendments - HB5002 (Committee Approved)

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Revenue Page (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language
Page 1, strike lines 22 through 35 and insert:
"First Year Second Year Total
  Unreserved Balance,
June 30, 2006 $1,798,662,829 $0 $1,798,662,829
Additions to Balance $47,000 $47,000 $94,000
Official Revenue Estimates $15,454,258,054 $16,121,734,333 $31,992,387
Lottery Proceeds Fund $426,100,000 $426,100,000 $852,200,000
Transfers 367,855,281 $359,941,991 $727,797,272
Total General Fund Resources
   Available for Appropriation $18,046,923,164 $16,907,823,324 $34,954,746,488 ".

Page 1, strike lines 37 through 47 and insert:
"First Year Second Year Total
Balance, June 30, 2006 $2,538,258,284 $0 $2,538,258,284
Official Revenue Estimates $18,223,583,400 $18,750,833,477 $36,974,416,877
Bond Proceeds $870,852,170 $0 $870,852,170
Total Nongeneral Fund Revenues
Available for Appropriation $21,632,693,854 $18,750,833,477 $40,383,527,331
TOTAL PROJECTED REVENUES $39,679,617,018 $35,658,656,801 $75,338,273,819".


Explanation
(This amendment reflects general fund and nongeneral fund revenue adjustments included in amendments to House Bill 5002, as introduced.)