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2020 Session

Budget Amendments - HB30 (Conference Report)

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Front Page Revenue Adjustments (language only)

Item 0 #1c

Item 0 #1c

Revenues
Revenues

Language

Page 1, strike lines 22 through 29, and insert:

                                                

"First Year

Second Year

Total

Unreserved Beginning Balance

$691,764,245

$0

$691,764,245

Additions to Balance

$120,137,243

($500,000)

$119,637,243

Official Revenue Estimates

$22,687,832,509

$23,538,284,514

$46,226,117,023

Transfer

$655,758,189

$661,658,189

$1,321,916,378

Total General Fund Resources Available for Appropriation

$24,155,492,186

$24,203,942,703

$48,359,434,889"

Page 1, strike lines 31 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

$38,798,580,047

$39,604,200,895

$78,402,780,942

Lottery Proceeds Fund

$657,959,397

$666,104,670

$1,324,064,067

Internal Service Fund

$2,115,253,639

$2,231,861,108

$4,347,114,747

Bond Proceeds

$2,411,939,162

$195,123,500

$2,607,062,662

Total Nongeneral Fund Revenues Available for Appropriation

$51,579,964,843

$42,697,290,173

$94,277,255,016

TOTAL PROJECTED REVENUES

$75,735,457,029

$66,901,232,876

$142,636,689,905"



Explanation

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