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2026 Session

Budget Amendments - SB30 (Committee Approved)

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Front Page Adjustments (language only)

Item 0 #1s

Item 0 #1s

Revenues
Revenues

Language

Page 1, strike lines 3 through 8 and insert:

"A BILL for all appropriations of the Budget submitted by the Governor of Virginia in accordance with the provisions of § 2.2-1509, Code of Virginia, and to provide a portion of the revenues for the two years ending respectively on the thirtieth day of June, 2027, and the thirtieth day of June, 2028; a BILL to amend and reenact §§ 30-309, 30-310, 33.2-3401, 58.1-322.03, 58.1-339.8, 58.1-602, 58.1-603.1, as it is currently effective and as it shall become effective, 58.1-604.01, as it is currently effective and as it shall become effective, 58.1-605, 58.1-605.1, 58.1-606.1, 58.1-609.3, 58.1-638, and 58.1-1743 of the Code of Virginia; and a Bill to amend the Code of Virginia by adding in Title 2.2 a chapter numbered 55.7, consisting of a section numbered 2.2-5518".

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

First Year

Second Year

Total

Unreserved Beginning Balance

$2,816,398,593

$0

$2,816,398,593

Additions to Balance

($500,000)

($500,000)

($1,000,000)

Official Revenue Estimates

$33,851,118,516

$35,452,176,043

$69,303,294,559

Transfer

$999,092,390

$983,473,601

$1,982,565,991

Total General Fund Resources Available for

Appropriation  

$37,666,109,499

$36,435,149,644

$74,101,259,143"

Page 1, strike 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

$58,436,040,778

$59,320,597,446

$117,756,638,224

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

$974,376,296

$220,000,000

$1,194,376,296

Total Nongeneral Fund Revenues Available for

Appropriation

$76,485,988,158

$63,125,441,024

$139,611,429,182

TOTAL PROJECTED

REVENUES

$114,152,097,657

$99,560,590,668

$213,712,688,325"


Page 2, strike lines 30 through 40, and insert:"                                                                                                

General Fund

Nongeneral Fund

Total

OPERATING EXPENSES

$72,745,467,949

$129,930,635,221

$202,676,103,170

LEGISLATIVE

DEPARTMENT

$277,423,743

$11,528,828

$282,744,354

JUDICIAL DEPARTMENT

$1,460,230,779

$89,365,446

$1,549,596,225

EXECUTIVE DEPARTMENT

$70,750,716,701

$122,959,643,394

$193,710,360,095

INDEPENDENT AGENCIES

$257,096,726

$6,870,097,553

$7,127,194,279

STATE GRANTS TO

NONSTATE AGENCIES

$0

$0

$0

CAPITAL OUTLAY

EXPENSES


$1,338,212,359

$1,911,400,194

$3,249,612,553

  TOTAL

$74,083,680,308

$131,842,035,415

$205,925,715,723"



Explanation

(This amendment modifies the front page to reflect changes to resources and spending as adopted by the Senate Finance and Appropriations Committee, including expiration of the data center equipment sales and use tax exemption.)