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2008 Session

Budget Amendments - SB30 (Committee Approved)

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SB 30 Front Page Revenues (language only)

Item 0 #4s

Item 0 #4s

Revenues
Revenues

Language
Page 1, strike lines 20 through 27 and insert:

First YearSecond YearTotal
Unreserved Balance,
June 30, 20087,113,176-7,113,176
Additions to Balance192,684,466(500,000)192,184,466
Official Revenue Estimates16,087,243,27617,187,215,87633,274,459,152
Lottery Proceeds Fund472,000,000472,000,000944,000,000
Transfers391,386,174378,064,871769,451,045
Total General Fund Resources Available for Appropriation17,150,427,09218,036,780,74735,187,207,839


Page 1, strike lines 29 through 35 and insert:

First YearSecond YearTotal
Balance, June 30, 20082,988,476,436-2,988,476,436
Official Revenue Estimates20,337,241,24720,448,553,12840,785,794,375
Bond Proceeds1,304,873,000240,000,0001,544,873,000
Total Nongeneral Fund Revenues
Available for Appropriation24,630,590,68320,688,553,12845,319,143,811
TOTAL PROJECTED REVENUES41,781,017,77538,725,333,87580,506,351,650



Explanation
(This amendment reflects changes to general and nongeneral fund revenues in amendments to SB 30, as introduced.)