H. B. 2812
(By Delegates S. Cook and D. Cook
)
(Originating in the House Committee on Finance)
[March 31, 1993]
A BILL making a supplementary appropriation of public money out
of the treasury from the balance of funds in Acct. No. 8280,
Public Service Commission, remaining unappropriated for the
fiscal year ending the thirtieth day of June, one thousand
nine hundred ninety-three, to the Public Service Commission,
Acct. No. 8280, supplementing and amending chapter twelve,
acts of the Legislature, regular session, one thousand nine
hundred ninety-two, known as the budget bill, by adding
thereto a new line item.
WHEREAS,
It appears that there now remains an unappropriated
balance in Acct. No. 8280 available for further
appropriation during the fiscal year ending the thirtieth
day of June, one thousand nine hundred ninety-three, a part
of the balance is hereby appropriated by the terms of this
supplementary appropriations bill.
Be it enacted by the Legislature of West Virginia:
That the total appropriation to Acct. No. 8280, Public
Service Commission, for the fiscal year ending the thirtieth dayof June, one thousand nine hundred ninety-three, as appropriated
by chapter twelve, acts of the Legislature, regular session, one
thousand nine hundred ninety-two, known as the budget bill, be
supplemented and amended by adding thereto a new line item to
thereafter read as follows:
TITLE II--APPROPRIATIONS.
Section 3. Appropriations from other funds.
Section 4. Appropriations of federal funds.
172--Public Service Commission
(WV Code Chapter 24)
Acct. No. 8280
TO BE PAID FROM SPECIAL REVENUE FUND
1 Personal Services................... $ -- $ 4,976,338
2 Annual increment.................... -- 42,523
3 Employee Benefits................... -- 1,553,241
3A 765 KV Transmission Line Study...... -- 50,000
4 Unclassified........................ -- 1,495,238
5 Total.............................. $ -- $ 8,117,340
The purpose of this supplemental appropriation bill is to
supplement and amend Acct. No. 8280, Public Service Commission,
from the balance of funds in Acct. No. 8280 remaining
unappropriated for the fiscal year ending the thirtieth day of
June, one thousand nine hundred ninety-three, by adding thereto
a new line item authorizing the expenditure of an additional
fifty thousand dollars.