H. B. 2907
(By Delegates Compton, Leggett, Clements, Campbell, Michael, Doyle and Farris)
(Originating in the Committee on Finance)
[April 8, 1997]
A BILL making a supplementary appropriation of public moneys out
of the treasury from the balance of moneys remaining as an
unappropriated balance in the state fund, general revenue,
to the department of administration, division of general
services, account no. fund 0230, fiscal year 1997,
organization 0211, all supplementing and amending the
appropriation for the fiscal year ending the thirtieth day
of June, one thousand nine hundred ninety-seven.
Whereas, The governor submitted to the Legislature the
executive budget document, dated the twelfth day of February, one
thousand nine hundred ninety seven, which included a statement of
the state fund, general revenue, setting forth therein the cash
balance and investments as of the first day of July, one thousand
nine hundred ninety-six, and further included the estimate of
revenues for the fiscal year 1996-97, less net appropriation
balances forwarded and regular appropriations for fiscal year
1996-97; and
Whereas, It thus appearing 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-seven; therefore
Be it enacted by the Legislature of West Virginia:
That the total appropriation for the fiscal year ending the
thirtieth day of June, one thousand nine hundred ninety-seven, to
account no. fund 0230, fiscal year 1997, organization 0211, be
supplemented and amended by increasing the total appropriation by
one million dollars as follows:
TITLE II--APPROPRIATIONS.
Section 1. Appropriations from general revenue.
DEPARTMENT OF ADMINISTRATION
23--Division of General Services
(WV Code Chapter 5A)
Account No.
Fund 0230 FY 1997 Org 0211
General
Act-Revenue
ivityFund
6 Capitaol Complex
Capitaal Outlay417$1,000,000
Any unexpended balance remaining in the appropriation for
capitaol complex capital outlay (fund 0230, activity 417) at the
close of the fiscal year 1996-97 is hereby reappropriated for
expenditure during the fiscal year 1997-98.
The purpose of this bill is to supplement this account in
the budget act for the fiscal year ending the thirtieth day of
June, one thousand nine hundred ninety-seven, by adding one
million dollars to the existing appropriation for expenditure
during the fiscal year one thousand nine hundred ninety-seven.