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2011 Session

Budget Amendments - HB1500 (Conference Report)

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Front Page Revenue Adjustments (language only)

Item 0 #1c

Item 0 #1c

Revenues
Revenues

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

First YearSecond YearTotal
Unreserved Balance, June 30$491,244,000$0$491,244,000
Additions to Balance$91,519,218$253,627,972$345,147,190
Official Revenue Estimates$14,718,486,729$15,574,486,810$30,292,973,539
Transfers$422,603,371$468,575,442$891,178,813
Total General Fund Resources Available for Appropriations$15,723,853,318$16,296,690,224$32,020,543,542


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

First YearSecond YearTotal
Balance June 30, 2010$3,893,497,975$0$3,893,497,975
Official Revenue Estimates$23,153,915,156$23,360,941,056$46,514,857,212
Lottery Proceeds Fund$435,200,000$435,875,000$871,075,000
Bond Proceeds$542,862,011$1,334,191,207$1,877,053,218
Total Nongeneral Fund Resources Available for Appropriations$28,025,476,142$25,131,007,263$53,156,483,405

Total Projected Revenues$43,749,329,460$41,427,697,487$86,177,026,947



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