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2022 Session

Budget Amendments - SB29 (Floor Approved)

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Front Page Amendment (language only) (language only)

Item 0 #1s

Item 0 #1s

Revenues
Revenues

Language

Page 1, strike lines 29-47.

Page 2, strike lines 1-10 and insert:

                                                                                                                                                                                                                                        

"First Year

Second Year

Total

Unreserved Beginning Balance

$2,874,058,799

$0

$3,832,170,867

$2,874,058,799

$6,706,229,666

Additions to Balance

($1,278,580,333)

$29,850,000

($2,606,657,808)

($1,248,730,333)

($3,885,238,141)

Official Revenue Estimates

$22,320,832,509

$22,899,142,814

$27,156,300,000

$45,219,975,323

$49,477,132,509

Transfer

$695,527,155

$682,417,349

$758,925,948

$1,377,944,504

$1,454,453,103

Total General Fund Resources Available for Appropriation

$24,611,838,130

$23,611,410,163

$29,140,739,007

$48,223,248,293

$53,752,577,137

First Year

Second Year

Total

Balance, June 30, 2020

$6,915,611,972

$0

$6,915,611,972

Official Revenue Estimates

$39,150,326,908

$40,085,094,957

$52,461,733,745

$79,235,421,865

$91,612,060,653

Lottery Proceeds Fund

$708,231,123

$690,903,334

$843,361,811

$1,399,134,457

$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 Appropriation  

$51,631,509,048

$43,314,691,126

$55,843,788,391

$94,946,200,174

$107,475,297,439

Total Projected Revenue

$76,243,347,178

$66,296,101,289

$84,984,527,398

$143,169,448,467

$161,227,874,576



Explanation

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