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2020 Session

Budget Amendments - HB30 (Committee Approved)

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Front Page Revenue Adjustments (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language

Page 1, strike lines 23 through 29 and insert:

"First Year

Second Year

Total

Unreserved Balance, June 30, 2020

653,499,938

0

653,499,938

Additions to Balance

120,137,243

(500,000)

119,637,243

Official Revenue Estimates

22,689,235,946

23,562,435,451

46,251,671,397

Transfers

655,908,189

666,308,189

1,322,216,378

Total General Fund Resources

Available for Appropriation

24,118,781,316

24,228,243,640

48,347,024,956".

Page 1, strike lines 32 through 41 and insert:

"First Year

Second Year

Total

Balance, June 30, 2020

7,596,232,598

0

7,596,232,598

Official Revenue Estimates

38,740,490,840

39,458,697,364

78,199,188,204

Lottery Proceeds Fund

657,959,397

666,104,670

1,324,064,067

Internal Service Fund

2,114,880,885

2,231,295,240

4,346,176,125

Bond Proceeds

2,449,288,958

192,223,500

2,641,512,458

Total Nongeneral Fund Revenues

Available for Appropriation

51,558,852,678

42,548,320,774

94,107,173,452

TOTAL PROJECTED REVENUES

75,677,633,994

66,776,564,414

142,454,198,408".



Explanation

(This amendment reflects the net total of general and nongeneral fund revenue, transfer and balance adjustments encompassed in the Committee amendment package to House Bill 30.)