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2013 Session

Budget Amendments - HB1500 (Committee Approved)

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Front Page Adjustments (language only)

Item 0 #4h

Item 0 #4h

Revenues
Revenues

Language
Page 1, strike lines 38 through 52.
Page 2, strike line 1, and insert:

"First Year
Second Year
Total
Unrestricted Balance, June 30, 2012$976,011,000$0$976,011,000
Additions to Balance-$191,416,276$3,352,818-$188,063,458
Official Revenue Estimates$16,416,624,248$17,055,958,606$33,472,582,854
Transfers$410,420,024$425,337,018$835,757,042
Total General Fund
Resources Available for Appropriation$17,611,638,996$17,484,648,442$35,096,287,438".


Page 2, strike lines 3 through 19 and insert:

"First Year
Second Year
Total
Balance June 30, 2012$4,307,352,991$0$4,307,352,991
Official Revenue Estimates$24,632,765,340$24,657,083,660$49,289,849,000
Lottery Proceeds Fund$487,300,237$462,000,000$949,300,237
Bond Proceeds$1,087,439,948$1,183,425,092$2,270,865,040
Total Nongeneral Fund Revenues
Available for Appropriation$30,514,858,516$26,302,508,752$56,817,367,268
Total Projected Revenues$48,126,497,512$43,787,157,194$91,913,654,706".



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