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2022 Session

Budget Amendments - HB29 (Committee Approved)

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Front Page Adjustments (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language

Page 1, strike lines 29 through 41 and insert:                                                        

"First Year  

Second Year  

Total    

Unreserved Balance, June 30, 2020

2,874,058,799

3,832,170,867

6,706,229,666

Additions to Balance

   (1,278,580,333)

(2,373,494,370)

(3,652,074,703)

Official Revenue Estimates

   22,320,832,509

26,972,000,000

49,292,832,509

Revenue Stabilization Fund

                      -  

                      -  

                        -  

Transfers

       695,527,155

761,716,844

1,457,243,999

Total General Fund Resources Available for Appropriation

   24,611,838,130

   29,192,393,341

53,804,231,471".

Page 1 strike lines 42 through 47 and insert:

"First Year    

Second Year  

Total    

Balance June 30, 2020

     6,915,611,972

                      -  

6,915,611,972

Official Revenue Estimates

   39,150,326,908

   53,792,360,703

92,942,687,611

Lottery Proceeds Fund

       708,231,123

       843,361,811

1,551,592,934

Internal Service Fund

     2,127,455,883

     2,293,917,698

      4,421,373,581

Bond Proceeds

     2,729,883,162

       244,775,137

2,974,658,299

Total Nongeneral Fund Revenues Available for Appropriations

   51,631,509,048

   57,174,415,349

108,805,924,397

TOTAL PROJECTED REVENUES

   76,243,347,178

   86,366,808,690

162,610,155,868".

Page 2, strike lines 1 through 10.



Explanation

(This amendment reflects all resources changed in the amendment package to House Bill 29.)