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2016 Session

Budget Amendments - SB29 (Committee Approved)

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Resource Adjustments to SB 29 (language only)

Item 0 #1s

Item 0 #1s

Revenues
Revenues

Language

Page 1 strike lines 25 through 37 and insert:

                                                                

"First Year

Second Year

Total

Unreserved Balance, June 30, 2014

$835,153,067

$0

$835,153,067

Additions to Balance

($219,394,360)

($424,617,598)

($644,011,958)

Official Revenue Estimates

$17,186,022,255

$18,309,047,069

$35,495,069,324

Revenue Stabilization Fund

$470,000,000

$235,000,000

$705,000,000

Transfers

$644,994,561

$570,080,613

$1,215,075,174

Total General Fund Revenues Available for

Appropriation

$18,916,775,523

$18,689,510,084

$37,606,285,607"

Page 1, strike lines 39 through 46.

Page 2, strike lines 1 through 6 and insert:

                                                                                

"First Year

Second Year

Total

Balance June 30, 2014

$4,945,503,350

-

$4,945,503,350

Official Revenue Estimates

$25,734,466,497

$26,466,618,074

$52,201,084,571

Lottery Proceeds Fund

$557,555,450

$559,251,467

$1,116,806,917

Internal Service Fund

$1,771,892,976

$1,908,509,481

$3,680,402,457

Bond Proceeds

$792,874,586

$248,608,000

$1,041,482,586

Total Nongeneral Fund Revenues Available for Appropriation

$52,719,068,382

$47,872,497,106

$62,985,279,881

TOTAL PROJECTED

REVENUES

$52,719,068,382

$47,872,497,106

$100,591,565,488"



Explanation

(This amendment reflects the resource adjustments included in the Senate Finance Committee Amendments to Senate Bill 29, as introduced.)