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2007 Session

Budget Amendments - SB750 (Committee Approved)

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Front Page Revenue Adjustments (language only)

Item 0 #3s

Item 0 #3s

Revenues
Revenues

Language
Page 1, strike lines 47 through 53 and insert:

First Year Second Year Total
Unreserved Balance,
June 30, 2006 $1,812,483,000 - $1,812,483,000
Additions to Balance ($149,757,779) $47,000($149,710,779)
Official Revenue Estimates $15,796,840,199 $16,430,583,683 $32,226,739,087
Lottery Proceeds Fund $406,331,308 $405,400,000$811,731,308
Transfers $388,037,447 $483,162,276$871,199,723
Total General Fund Resources Available for Appropriation $18,253,249,380 $17,319,192,959 $35,572,442,339

First Year Second Year Total
Balance, June 30, 2006 $4,750,383,961 - $4,750,383,961
Official Revenue Estimates $18,239,973,955 $18,937,451,845 $37,177,425,800
Bond Proceeds $895,232,000 $293,614,000 $1,188,846,000
Total Nongeneral Fund Revenues
Available for Appropriation $23,885,589,916 $19,231,065,845 $43,116,655,761
TOTAL PROJECTED REVENUES $42,138,839,296 $36,550,258,804 $78,689,098,100
Page 2, strike lines 1 through 21.


Explanation
( This amendment reflects general fund and nongeneral fund revenue adjustments included in amendments to Senate Bill 750, as introduced.)