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2016 Session

Budget Amendments - SB30 (Floor Approved)

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Adjustments to Resources (language only)

Item 0 #1s

Item 0 #1s

Revenues
Revenues

Language

Page 1, strike lines 19 through 27 and insert:

"First Year

Second Year

Total

Unreserved Balance, June 30, 2016

$457,131,461

$0

$457,131,461

Additions to Balance

$666,780,000

($500,000)

$666,280,000

Official Revenue Estimates

$18,898,611,274

$19,628,501,954

$38,527,113,228

Transfers

$577,085,259

$596,085,259

$1,173,170,518

Total General Fund Resources Available for

Appropriation

$20,599,607,994

$20,224,087,213

$40,823,695,207

Page 1, strike lines 29 through 39 and insert:

"First Year

Second Year

Total

Balance, June 30, 2016

$4,728,561,193

-

$4,728,561,193

Official Revenue Estimates

$27,029,819,947

$27,406,714,957

$54,436,5834,904

Lottery Proceeds Fund

$541,231,250

$541,231,250

$1,082,462,500

Internal Service Fund

$2,026,622,884

$2,124,095,360

$4,150,718,244

Bond Proceeds

$2,436,696,000

$40,000,000

$2,476,696,000

Total Nongeneral Fund Revenues Available for

Appropriation

$36,762,931,274

$30,112,041,567

$66,874,972,841

TOTAL PROJECTED

REVENUES

$57,362,539,268

$50,336,128,780

$107,698,668,048"



Explanation

(This amendment reflects the general and nongeneral fund revenue adjustments contained in the Senate Finance Committee amendments to Senate Bill 30, as introduced.)