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2026 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, June 30, 2022

$2,316,398,593

$0

$2,316,398,593

Additions to Balance

$8,902,250

($446,876)

$8,455,374

Official Revenue Estimates

$33,689,669,766

$34,928,968,543

$68,618,638,309

Transfers

$1,032,353,203

$899,163,405

$1,931,516,608

Total General Fund Resources Available for Appropriation

$37,047,323,812

$35,827,685,072

$72,875,008,884".

Page 1, strikes lines 34 through 44 and insert:

                                                                

"First Year

Second Year

Total

Balance, June 30, 2024

$13,494,379,594

$0

$13,494,379,594

Official Revenue Estimates

$58,344,414,890

$59,549,085,309

$117,893,500,199

Lottery Proceeds Fund

$877,725,168

$877,725,168

$1,755,450,336

Internal Service Fund

$2,703,466,322

$2,707,118,410

$5,410,584,732

Bond Proceeds

$1,002,416,618

$220,000,000

$1,222,416,618

Total Nongeneral Fund Revenues Available for Appropriation

$76,422,402,592

$63,353,928,887

$139,776,331,479

TOTAL PROJECTED REVENUES

$113,469,726,404

$99,181,613,959

$212,651,340,363".



Explanation

(This amendment adjusts the front page resource assumptions to reflect committee actions.)