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2008 Session

Budget Amendments - HB30 (Committee Approved)

Restore Cash Flow

Item C-177.10 #1h

Item C-177.10 #1h

First Year - FY2009 Second Year - FY2010
Central Appropriations
Central Capital Outlay FY2009 $0 FY2010 $177,900,000 GF

Language
Page 479, after line 50, insert:
The Director, Department of Planning and Budget, shall restore amounts estimated at $177,900,000 to the following capital projects listed in the table below by agency, fund code, and project code.
Agency Code Project Code Fund Code
204 16784 0100
204 17278 0100
207 16528 0100
208 16758 0100
208 17291 0100
209 17155 0100
211 17304 0100
212 17305 0100
214 17323 0100
215 16803 0100
215 16594 0100
216 16806 / 16807 0100
217 16814 0100
238 16495 0100
242 16828 / 17414 0100
247 16607 0100
247 16832 0100
247 17365 0100
247 16745 0100
247 17486 0100
247 16523 0100
260 16611 0100
260 16843 0100
260 16836 0100
260 16851 0100
260 16849 0100
260 17375 0100
260 17380 0100
260 17167 0100
777 16723 0100
799 16991 0100
799 17267 0100".

                             
"C-177.10 Restore Capital Project Cash Flows
 
$177,900,000
 
Fund Sources: General
 
$177,900,000"
 



Explanation
(This amendment restores funds reverted from capital projects in House Bill 29. The reversion was based on each project's cash flow requirements which indicated that these amounts were not required until fiscal year 2010.)