Senate Bill No. 785
(By Senators Craigo, Anderson, Bailey, Chafin, Helmick,
Jackson, Love, Macnaughtan, Plymale, Prezioso, Sharpe,
Walker, Boley, Dugan, McKenzie, Minear and Sprouse)
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[Originating in the Committee on Finance;
reported March 12, 1998.]
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A BILL supplementing, amending, reducing and transferring between
items of the existing appropriations to the public service
commission, account no. fund 8623, fiscal year 1998,
organization 0926, as originally appropriated by chapter
five, acts of the Legislature, first regular session, one
thousand nine hundred ninety-seven, known as the budget
bill.
Be it enacted by the Legislature of West Virginia:
That the items of the total appropriation to the public
service commission-motor carrier division, account no. fund 8623,
fiscal year 1998, organization 0926, be amended and reduced in
the line item as follows:
TITLE II--APPROPRIATIONS.
Sec. 3. Appropriations from other funds.
MISCELLANEOUS BOARDS AND COMMISSIONS
194--Public Service Commission
(WV Code Chapter 24A)
Account No.
Fund 8623 FY 1998 Org 0926
Act- Other
ivity Funds
4Unclassified099$ 357,000
And, that the items of the total appropriations to the
public service commission, account no. fund 8623, fiscal year
1998, organization 0926, be amended and increased in the line
items as follows:
TITLE II--APPROPRIATIONS.
Sec. 3. Appropriations from other funds.
MISCELLANEOUS BOARDS AND COMMISSIONS
194--Public Service Commission
(WV Code Chapter 24A)
Account No.
Fund 8623 FY 1998 Org 0926
Act- Other
ivity Funds
1Personal Services001$ 300,000
3Employee Services 01057,000
The purpose of this supplementary appropriation bill is to
supplement, amend, reduce and transfer between existing items in the aforesaid account for the designated spending unit. The item
for unclassified is reduced by three hundred fifty-seven thousand
dollars. The item for personal services is increased by three
hundred thousand dollars. The item for employee benefits is
increased by fifty-seven thousand dollars. The amounts as
itemized for expenditure in the fiscal year ending the thirtieth
day of June, one thousand nine hundred ninety-eight, shall be
available for expenditure immediately upon the effective date of
this bill.