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2011 Session

Budget Amendments - HB1500 (Committee Approved)

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Front Page Revenue Adjustments (language only)

Item 0 #3h

Item 0 #3h

Revenues
Revenues

Language
Page 1, strike lines 39 through 50, and insert:

"First Year
Second Year
Total
Unreserved Balance, June 30, 2010$491,244,000$0$491,244,000
Additions to Balance$86,832,137$224,062,153$310,894,290
Official Revenue Estimates$14,652,586,729$15,554,564,746$30,207,151,475
Transfers$427,603,371$467,997,627$895,600,998
Total General Fund
Resources Available for
Appropriations$15,658,266,237$16,246,624,526$31,904,890,763"


Page 2, strike line 1.
Page 2, strike lines 3 through 18, and insert:

"First Year
Second Year
Total
Balance June 30, 2010$3,893,497,975$0$3,893,497,975
Official Revenue Estimates$23,157,616,156$23,352,675,124$46,510,291,280
Lottery Proceeds Fund$435,200,000$435,875,000$871,075,000
Bond Proceeds$507,662,011$1,347,847,857$1,855,509,868
Total Nongeneral Fund Revenues
Available for Appropriations$27,993,976,142$25,136,397,981$53,130,374,123
Total Projected Revenues$43,652,242,379$41,383,022,507$85,035,264,886"



Explanation
(This amendment reflects general fund and nongeneral fund revenue adjustments included in the House Amendments to House Bill 1500).