ENGROSSED
COMMITTEE SUBSTITUTE
for
Senate Bill No. 273
(By Senators Burdette, Mr. President, and Boley,
By Request of the Executive)
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[Originating in the Committee on Finance;
reported March 26, 1993.]
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A BILL making a supplementary appropriation of public money out
of the treasury from the balance of all state road funds
remaining unappropriated for the fiscal year ending the
thirtieth day of June, one thousand nine hundred ninety-
three, to the West Virginia department of transportation,
division of highways, Account No. 6700, chapter twelve, acts
of the Legislature, regular session, one thousand nine
hundred ninety-two, known as the budget bill.
WHEREAS, The governor submitted to the Legislature the
executive budget document dated February 10, 1993, wherein are
set forth the revenues and expenditures of the state road fund,
including fiscal year 1992-1993; and
WHEREAS, It appears from such budget document that there now
remains unappropriated a balance in the state road fund available
for further appropriation during the fiscal year 1992-1993, apart of which balance is hereby appropriated by the terms of this
supplementary appropriation bill; therefore,
Be it enacted by the Legislature of West Virginia:
That the total appropriation from the state road fund to the
West Virginia department of transportation, division of highways,
Account No. 6700, for the fiscal year ending the thirtieth day of
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, amended and thereafter read as follows:
TITLE II--APPROPRIATIONS.
Sec. 3. Appropriations from other funds.
Sec. 4. Appropriations of federal funds.
DEPARTMENT OF TRANSPORTATION
162--Division of Highways
(WV Code Chapters 17 and 17C)
Acct. No. 6700
TO BE PAID FROM STATE ROAD FUND
FederalOther
FundsFunds
FiscalFiscal
YearYear
1992-931992-93
1Maintenance, Expressway,
2Trunkline and Feeder$ --$ 67,980,000
3Maintenance, State
4Local Services -- 96,511,000
5Maintenance, Contract
6Paving and
7Secondary Road
8Maintenance -- 32,402,000
9Bridge Repair and
10Replacement -- 28,000,000
11Industrial Access Roads -- 2,750,000
12Inventory Revolving -- 1,250,000
13Equipment Revolving -- 6,575,000
14General Operations -- 29,750,000
15Debt Service -- 56,498,000
16Interstate Construction -- 60,000,000
17Other Federal Aid
18Programs -- 205,000,000
19Appalachian Programs -- 120,000,000
20Nonfederal Aid
21Construction -- 41,000,000
22Highway Litter Control -- 1,500,000
23Total$ --$749,216,000
The purpose of this supplementary appropriation bill is to
supplement and amend the existing items in the aforesaid account
for expenditure in the fiscal year of 1992-1993 and to reflect
the new total spending authority of the spending unit for such
fiscal year. Such increased amounts shall be available for
expenditure upon the effective date of the bill.