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2014 Session

Budget Amendments - HB29 (Floor Approved)

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Front Page Adjustments HB 29 (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language
Page 1, strike lines 28 through 40, and insert:

"First Year   Second Year   Total    
Unreserved Balance, June 30, 2012$1,350,263,527 $0 $1,350,263,527
Additions to Balance          ($179,378,723)($75,830,123)($255,208,846)
Official Revenue Estimates        $16,420,995,305$16,846,656,277 $33,267,651,582
Transfers            $423,932,936$526,410,176 $950,343,112
Total General Fund Resources
Available for Appropriation

$18,015,813,045

$17,297,236,330

$35,313,049,375".


Page 1, strike lines 42 through 50.
Page 2, strike lines 1 through 9 and insert:

"First Year    Second Year   Total    
Balance June 30, 2012$4,307,352,991                       $0   $4,307,352,991
Official Revenue Estimates       $24,634,182,779$24,747,833,478 $49,382,016,257
Lottery Proceeds Fund            $487,300,000        $532,700,000 $1,020,000,000
Bond Proceeds         $1,112,939,948      $1,497,773,482 $2,610,713,430
Total Nongeneral Fund Revenue
Available for Appropriations

$30,541,775,718

$26,778,306,960

$57,320,082,678
TOTAL PROJECTED REVENUES       $48,557,588,763    $44,075,543,290 $92,633,132,053."



Explanation
(This amendment reflects the general fund and nongeneral fund revenue adjustments included in the House Appropriations Committee amendments recommended to House Bill 29).