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2019 Session

Budget Amendments - SB1100 (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 37 through 50 and insert:

                                                

"First Year

Second Year

Total

Unreserved Balance, June 30, 2018

$1,229,941,000

$0

$1,229,941,000

Additions to Balance

($750,406,961)

$336,198,952

($414,208,009)

Official Revenue Estimates

$21,029,167,750

$21,455,817,000

$42,484,984,750

Transfer

$624,570,037

$635,644,489

$1,260,214,526

Total General Fund Resources Available for Appropriation

$22,133,271,826

$22,427,660,441

$44,560,932,267

The appropriations made in this act from nongeneral fund revenues are based upon the following:

                                                                

First Year

Second Year

Total

Balance, June 30, 2018

$6,342,196,144

$0

$6,342,196,144

Official Revenue Estimates

$31,287,362,303

$34,936,683,277

$66,224,045,580

Lottery Proceeds Fund

$632,398,647

$628,830,501

$1,261,229,148

Internal Service Fund

$2,099,646,770

$2,070,414,416

$4,170,061,186

Bond Proceeds

$1,110,747,936

$636,419,436

$1,747,167,372

Total Nongeneral Fund Revenues Available for Appropriation

$41,472,351,800

$38,272,347,630

$79,744,699,430

TOTAL PROJECTED REVENUES

$63,605,623,626

$60,700,008,071

$124,305,631,697"

Page 2, strike lines 1 through 19.



Explanation

(This amendment modifies the front page tables in SB 1100, as introduced, to reflect changes to resources as adopted by the Senate Finance Committee.)