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2018 Session

Budget Amendments - SB30 (Committee Approved)

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Adjustments to Front Page 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, 2018

$207,945,453

$0

$207,945,453

Additions to Balance

$22,032,299

($500,000)

$21,532,299

Official Revenue Estimates

$20,102,965,623

$20,918,335,991

$41,021,301,614

Transfer

$622,131,451

$635,398,976

$1,257,530,427

Total General Fund Resources Available for Appropriation

$20,955,074,826

$21,546,759,967

$42,501,834,793"

Page 1, strike lines 32 through 42 and insert:                                                                                                                          

"First Year

Second Year

Total

Balance, June 30, 2018

$5,314,589,535

$0

$5,314,589,535

Official Revenue Estimates

$29,752,056,618

$29,572,093,131

$59,324,149,749

Lottery Proceeds Fund

$592,533,188

$598,393,182

$1,190,926,370

Internal Service Funds

$2,098,949,919

$2,207,847,183

$4,306,797,102

Bond Proceeds

$856,031,605

$125,000,000

$981,031,605

Total Nongeneral Fund Revenues Available for Appropriation

$38,614,140,865

$32,503,333,496

$71,117,494,361

TOTAL PROJECTED REVENUES

$59,569,235,691

$54,050,093,463

$113,619,329,154"



Explanation

(This amendment modifies the front page in SB 30, as introduced, to reflect changes to resources as adopted by the Senate Finance Committee.)