Senate Bill No. 580

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(Originating in the Committee on Finance;

reported February 23, 1996.)

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A BILL supplementing, amending, reducing and transferring between items of the existing appropriations from the state road fund to the department of transportation, division of motor vehicles, account no. fund 9007, fiscal year 1996, organization 0802, as originally appropriated by chapter eight, acts of the Legislature, regular session, one thousand nine hundred ninety-five, known as the budget bill.

Be it enacted by the Legislature of West Virginia:
That the items of the total appropriations from the state road fund to account no. fund 9007, fiscal year 1996, organization 0802, be amended and reduced in the line item as follows:
TITLE II--APPROPRIATIONS.

Sec. 2. Appropriations from state road fund.

DEPARTMENT OF TRANSPORTATION

88--Division of Motor Vehicles

(WV Code Chapters 17, 17A, 17B, 17C, 17D, 20 and 24A)

Account No.

Fund 9007 FY 1996 Org 0802

State
Act-Road
ivityFund

5Optic Scan System283$ 500,000
And, that the items of the total appropriations from the state road fund to account no. fund 9007, fiscal year 1996, organization 0802, be amended and increased in the line items as follows:
TITLE II--APPROPRIATIONS.

Sec. 2. Appropriations from state road fund.

DEPARTMENT OF TRANSPORTATION

88--Division of Motor Vehicles

(WV Code Chapters 17, 17A, 17B, 17C, 17D, 20 and 24A)

Account No.

Fund 9007 FY 1996 Org 0802

State
Act-Road
ivityFund

1Personal Services001$ 469,000
3Employee Benefits010198,852
4Unclassified099707,250
9aCapital Outlay5111,098,000
The appropriation for capital outlay (fund 9007, Activity 511) shall not be reappropriated into fiscal year 1996-97, but shall expire the thirtieth day of June, one thousand nine hundred ninety- six.
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 the optic scan system is reduced by five hundred thousand dollars. The item for personal services is increased by four hundred sixty-nine thousand dollars. The item for employee benefits is increased by one hundred ninety-eight thousand eight hundred fifty-two dollars. The item for unclassified is increased by seven hundred seven thousand two hundred fifty dollars. A new item for capital outlay is added for one million ninety-eight thousand dollars. The amounts as itemized for expenditure in fiscal year ending the thirtieth day of June, one thousand nine hundred ninety-six, shall be available for expenditure immediately upon the effective date of this bill.