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2025 Session

Budget Amendments - HB1600 (Floor Approved)

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Front Page Adjustments (language only)

Item 0 #1h

Item 0 #1h

Revenues
Revenues

Language

Page 1, strike lines 36 through 48, and insert:

"First Year

Second Year

Total

Unreserved Balance

$12,757,442,466

$0

$12,757,442,466

Additions to Balance

($8,229,230,452)

($500,000)

($8,229,730,452)

Official Revenue Estimates

$30,692,736,462

$31,363,849,381

$62,056,585,843

Transfers

$1,359,219,476

$1,541,043,937

$2,900,263,413

Total General Fund Resources

Available for Appropriation

$36,580,167,952

$32,904,393,318

$69,484,561,270"


Page 2, strike lines 2 through 19, and insert:

"First Year

Second Year

Total

Balance, June 30, 2024

$12,329,216,528

$0

$12,329,216,528

Official Revenue Estimates

$55,907,896,328

$57,386,605,811

$113,294,502,139

Lottery Proceeds Fund

$943,824,250

$875,335,350

$1,819,159,600

Internal Service Fund

$2,548,392,953

$2,661,451,414

$5,209,844,367

Bond Proceeds

$866,029,060

$406,085,243

$1,272,114,303

Total Nongeneral Fund Revenues

Available for Appropriation

$72,595,359,119

$61,329,477,818

$133,924,836,937

TOTAL PROJECTED REVENUES

$109,175,527,060

$94,233,871,136

$203,409,398,207"



Explanation

(This amendment adjusts the front page revenue assumptions based on the Committees amendments.)