ENGROSSED

Senate Bill No. 689

(By Senators Craigo, Anderson, Bailey, Bowman, Chafin, Edgell, Helmick, Jackson, Love, Plymale, Prezioso, Sharpe, Unger, Walker, Sprouse, Boley and Minear)

__________

[Originating in the Committee on Finance;

reported February 25, 1999.]

__________

A BILL supplementing, amending and reducing, and increasing items of the existing appropriations from the state road fund to the department of transportation, division of highways, account no. fund 9018, fiscal year 1999, organization 0803, as originally appropriated by chapter six, acts of the Legislature, regular session, one thousand nine hundred ninety-eight, known as the budget bill.

WHEREAS, the governor submitted to the Legislature the executive budget document, dated January 13, 1999, which included the statement of the state road fund setting forth therein the cash balances and investments as of July 1, 1998, and further included the estimate of revenues for the fiscal year 1998-99, less net appropriation balances forwarded and regular appropriations for fiscal year 1998-99.
WHEREAS, it thus appears from the governor's executive budget document there now remains an unappropriated balance in the state treasury which is available for appropriation during the fiscal year ending the thirtieth day of June, one thousand nine hundred ninety-nine, therefore
Be it enacted by the Legislature of West Virginia:
That the items of the total appropriation from the state road fund to account 9018, fiscal year 1999, organization 0803, be amended and reducedenacted in the line items as follows:
TITLE II-APPROPRIATIONS.

Sec.tion 2. Appropriations from state road fund.

DEPARTMENT OF TRANSPORTATION

92-Division of Highways-

Federal Aid Highway Matching Funday


(WV Code Chapters 17 and 17C)

Fund 90187 FY 1999 Org 0803

Act-OtherState
Road
ivityRoadFunds


fFUNDund
2
2Other Federal Aid Programs279$14,$1$ $14,500,000
2ARC Assessment136607,000
14Appalachian Programs2805,750,000
And, that the items of the total appropriations from the state road fund to account no. fund 90187, fiscal year 1999, organization 0803, be amended and increased in the line items as follows:
TITLE II-APPROPRIATIONS.

Sec.tion 2. Appropriations from state road fund.

DEPARTMENT OF TRANSPORTATION

921-Division of Highways-Public Service Commission-

Federal Aid Highway Matching Fund


(WV Code Chapters 17 and 17C)

Fund 90187 FY 1999 Org 0803

Act-StateOther
ivityRoadFunds
Funds

15Interstate ConstructionrporationMaintenance, State Local Service 27827111,750,00010,299,000
326 Appalachian ProgramsMaintenance, Contract Paving and28011,000,000
7 Secondary Road Maintenance2724,500,000
9Inventory Revolving275750,000
10Equipment Revolving2761,500,000
11General Operations2772,700,000
12Interstate Construction2784,000,000
13Other Federal Aid Programs27942,250,000
15Nonfederal Aid Construction2813,500,000
The purpose of this supplementary appropriation bill is to supplement, amend, reduce and increase existing items in the aforesaid account for the designated spending unit. The item for Other Federal Aid Programs isDebt Service is reduced by fourteen million five hundred thousand dollarsive million dollars. The item for IntersateInterstate Construction is increased by eleven million, seven hundred fifty thousand dollars and Appalachian Programs is increased by eleven million dollars. The amounts as itemized for expenditure iinin fiscal year ending the thirtieth day of JuneJune, one thosuandthousand nine hundred ninety-niennine shall be available for expenditure immeidatelyimmediately upon tehthe effective date of this bill., ARC Assessment is reduced by six hundred seven thousand dollars, and Appalachian Programs is reduced by five million seven hundred fifty thousand dollars. The item for Maintenance, State Local Service is increased by ten million two hundred ninety-nine thousand dollars, Maintenance, Contract Paving and Secondary Road Maintenance is increased by four million five hundred thousand dollars, Inventory Revolving is increased by seven hundred fifty thousand dollars, Equipment Revolving is increased by one million five hundred thousand dollars, General Operations is increased by two million seven hundred thousand dollars, Interstate Construction is increased by four million dollars, Other Federal Aid Programs is increased by forty-five million two hundred fifty million five hundred thousand dollars. The amounts as itemized for expenditure in fiscal year ending the thirtieth day of June, one thousand nine hundred ninety-nine shall be available for expenditure immediately upon the effective date of this bill.