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2024 Session

Budget Amendments - HB30 (Committee Approved)

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Adjust Front Page for Committee Actions (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language

Page 1, strike lines 25 through 32, and insert:                                                    

                                                

"First Year

Second Year

Total

Unreserved Balance

$2,353,758,575

$0

$2,353,758,575

Additions to Balance

($500,000)

($500,000)

($1,000,000)

Official Revenue Estimates

$28,709,085,541

$30,665,485,341

$59,374,570,882

Transfers

$1,744,031,805

$1,073,196,754

$2,817,228,559

Total General Fund Resources

Available for Appropriation

$32,806,375,921

$31,738,182,095

$64,544,558,016"

Page 1, strike lines 34 through 44, and insert:

                                                                

"First Year

Second Year

Total

Balance, June 30, 2024

$12,189,205,926

$0

$12,189,205,926

Official Revenue Estimates

$50,436,329,175

$52,841,576,347

$103,277,905,522

Lottery Proceeds Fund

$852,926,201

$852,926,201

$1,705,852,402

Internal Service Fund

$2,547,892,953

$2,613,216,074

$5,161,109,027

Bond Proceeds

$433,641,467

$312,907,180

$746,548,647

Total Nongeneral Fund Revenues

Available for Appropriation

$66,459,995,720

$56,620,625,802

$123,080,621,524

TOTAL PROJECTED REVENUES

$99,266,371,643

$88,358,807,897

$187,625,179,540"




Explanation

(This amendment updates the resource assumptions on the front page for House Bill 30 to reflect the committee actions.)