Menu
2020 Session

Budget Amendments - SB29 (Floor Approved)

View Budget Item
View Budget Item amendments

Front Page Amendment (language only)

Item 0 #1s

Item 0 #1s

Revenues
Revenues

Language

Page 1, strike lines 29 through 42, and insert:


                                                                                          


"First Year

Second Year

Total

Unreserved Balance,

$1,229,941,000

$0

$1,229,941,000

June 30 2018


$1,930,619,607

$3,160,560,607

Additions to Balance

($723,275,506)

$336,198,952

($387,076,554)



($1,308,727,789)

($2,032,003,295)

Official Revenue

$20,528,667,750

$21,556,728,000

$42,085,395,750

Estimates


$21,974,000,000

$42,502,667,750

Transfer

$639,095,037

$635,773,381

$1,274,868,418



$677,816,701

$1,316,911,738

Total General Fund

$21,674,428,281

$22,528,700,333

$44,203,128,614

Resources Available for Appropriation


$23,273,708,519

$44,948,136,800


    


Page 1, strike lines 44 through 47, and insert:

                                

"First Year

Second Year

Total

Balance June 30, 2018

$6,342,196,144

$0

$6,342,196,144

Official Revenue

$31,403,525,053

$35,070,229,412

$66,473,754,465

Estimates

$36,166,713,510

$67,570,238,563"

Page 2, strike lines 1 through 13, and insert:

"Lottery Proceeds Fund

$632,398,647

$628,830,501

$1,261,229,148

$613,449,864

$1,245,848,511

Internal Service Funds

$2,099,646,770

$2,071,214,416

$4,170,861,186

$2,070,676,464

$4,170,323,234

Bond Proceeds

$112,897,936

$1,243,269,436

$2,356,167,372

$1,319,073,172

$1,431,971,108

Total Nongeneral Fund Revenues



Available for


Appropriation

$41,590,664,550

$39,013,543,765

$80,604,208,315

$40,169,913,010

$81,760,577,560

TOTAL PROJECTED

$63,265,092,831

$61,542,244,098

$124,807,336,929

REVENUES

$63,443,621,529

$126,708,714,360



Explanation

(This amendment modifies the front page in SB 29 to reflect changes to resources as adopted by the Senate Finance and Appropriations Committee.)