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2014 Session

Budget Amendments - HB30 (Committee Approved)

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Front Page Adjustments HB 30 (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language
Page 1, strike lines 22 through 30, and insert:

"First YearSecond YearTotal
Unreserved Balance, June 30, 2014$536,534,680 $0 $536,534,680
Additions to Balance$101,088,411 $800,000 $101,888,411
Official Revenue Estimates$17,663,008,741 $18,368,296,157 $36,031,304,898
Transfers$543,492,602 $541,435,082 $1,084,927,684
Total General Fund Resources
Available for Appropriation

$18,844,124,434

$18,910,531,239

$37,754,655,673".


Page 1, strike lines 32 through 43, and insert:

"First YearSecond YearTotal
Balance, June 30, 2014$4,708,335,881 $0 $4,708,335,881
Official Revenue Estimates$25,639,900,832 $26,335,239,604 $51,975,140,436
Lottery Proceeds Fund$510,000,000 $510,000,000 $1,020,000,000
Internal Service Fund$1,595,861,216 $1,612,651,825
Bond Proceeds$591,612,550 $63,856,548 $655,469,098
Total Nongeneral Fund Revenues
Available for Appropriation

$33,045,710,479

$28,521,747,977

$61,567,458,456
TOTAL PROJECTED REVENUES$51,889,834,913 $47,432,279,216 $99,322,114,129".



Explanation
(This amendment reflects the general fund and nongeneral fund revenue adjustments included in the House Appropriations Committee amendments recommended to House Bill 30).