Print Friendly SENATE BILL NO. 1513 – Approp, Public Works Projects
SENATE BILL NO. 1513
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S1513............................................................by FINANCE
APPROPRIATIONS - PUBLIC WORKS PROJECTS - Appropriates $17,663,800 to the
Division of Public Works for specified projects; provides legislative
intent regarding expenditure of moneys by the Division of Public Works;
exempts the appropriations from certain provisions of the Idaho Code; and
directs the State Treasurer to issue tax anticipation notes.
03/06 Senate intro - 1st rdg - to printing
03/07 Rpt prt - to Fin
Rpt out - rec d/p - to 2nd rdg
03/08 2nd rdg - to 3rd rdg
03/11 3rd rdg - PASSED - 28-1-6
AYES -- Andreason, Boatright, Branch(Bartlett), Brandt, Burtenshaw,
Cameron, Darrington, Davis, Deide, Frasure, Geddes, Hill, Ingram,
Ipsen, Keough, Little, Lodge, Marley, Noh, Richardson, Risch, Sandy,
Schroeder, Sims, Stegner, Stennett, Thorne, Williams
NAYS -- Hawkins
Absent and excused -- Bunderson, Dunklin, Goedde, King-Barrutia,
Sorensen, Wheeler
Floor Sponsor - Burtenshaw
Title apvd - to House
03/12 House intro - 1st rdg - to 2nd rdg
Rls susp - PASSED - 64-0-6
AYES -- Aikele, Barraclough, Bedke, Bell, Bieter, Black, Block, Boe,
Bolz, Bradford, Bruneel, Callister, Campbell, Clark, Collins, Crow,
Cuddy, Deal, Denney, Ellis, Ellsworth, Eskridge, Field(13), Gagner,
Gould, Hadley, Hammond, Harwood, Henbest, Hornbeck, Jaquet, Jones,
Kellogg, Kendell, Lake, Langford, Loertscher, Mader, Martinez, Meyer,
Montgomery, Mortensen, Moyle, Pearce, Pischner, Pomeroy, Raybould,
Ridinger, Robison, Sali, Schaefer, Sellman, Shepherd, Smith(33),
Smith(23), Smylie, Stevenson, Stone, Tilman, Trail, Wheeler, Wood,
Young, Mr. Speaker
NAYS -- None
Absent and excused -- Barrett, Field(20), Higgins, Kunz, McKague,
Roberts
Floor Sponsor - Hadley
Title apvd - to Senate
03/13 To enrol
Rpt enrol - Pres signed
03/14 Sp signed - to Governor
03/21 Governor signed
Session Law Chapter 202
Effective: 03/21/02
|||| LEGISLATURE OF THE STATE OF IDAHO ||||
Fifty-sixth Legislature Second Regular Session - 2002
IN THE SENATE
SENATE BILL NO. 1513
BY FINANCE COMMITTEE
1 AN ACT
2 APPROPRIATING MONEYS FROM THE PERMANENT BUILDING FUND TO THE DIVISION OF PUB-
3 LIC WORKS FOR THE VARIOUS PURPOSES SPECIFIED; EXPRESSING LEGISLATIVE
4 INTENT CONCERNING THE USE OF MONEYS APPROPRIATED IN THIS ACT; EXEMPTING
5 THE APPROPRIATIONS FROM THE PROVISIONS OF CHAPTER 36, TITLE 67, IDAHO
6 CODE, AND FROM THE PROVISIONS OF SECTION 67-3516, IDAHO CODE; AUTHORIZING
7 THE USE OF TAX ANTICIPATION NOTES; AND DECLARING AN EMERGENCY.
8 Be It Enacted by the Legislature of the State of Idaho:
9 SECTION 1. There is hereby appropriated from the Permanent Building Fund
10 to the Division of Public Works the following amounts, or so much thereof as
11 in each case may be necessary, for the purpose of paying the cost of any land,
12 building, equipment, or the rebuilding, renovation or repair, of buildings,
13 installations, facilities or structures at the places, institutions and agen-
14 cies, or their successors, including those listed in this section. The Perma-
15 nent Building Fund Advisory Council is hereby authorized and directed to
16 anticipate revenues accruing to the Permanent Building Fund for the purpose of
17 undertaking the construction, renovation, repair and acquisitions herein
18 authorized, without delay, and to determine the priority of construction pur-
19 suant to which the work hereunder will be undertaken.
20 A. MAINTENANCE PROJECTS IN THE FOLLOWING AREAS: $14,652,800
21 (1) Alterations and Repairs
22 (2) Asbestos Abatement
23 (3) Underground Storage Tank Program
24 (4) Statewide ADA Compliance
25 (5) Building Demolition
26 (6) Capitol Mall Maintenance
27 B. DEPARTMENT OF CORRECTION:
28 (1) Security Locking Systems $ 3,011,000
29 GRAND TOTAL $17,663,800
30 SECTION 2. It is legislative intent that the moneys appropriated in this
31 act may be made available for matching any allocation of moneys now in exis-
32 tence or hereafter made available by agencies of the United States and/or pri-
33 vate donations; and it is further the express intention of the Legislature to
34 authorize the Division of Public Works to expend, for the purpose of paying
35 the cost of any land, building, equipment or the rebuilding, renovation or
36 repair of buildings, moneys appropriated for public works to various agencies
37 as part of the respective agency operating budgets; provided the express
38 approval by the Permanent Building Fund Advisory Council is granted to make
39 application for such moneys in each instance. It is further the intention of
40 the Legislature that this authority be effective from the effective date of
41 this act.
42 SECTION 3. All appropriations made herein shall be exempt from the provi-
2
1 sions of Chapter 36, Title 67, and Section 67-3516, Idaho Code, but shall be
2 available for expenditure only after allotment in accordance with the other
3 provisions of Chapter 35, Title 67, Idaho Code, and all appropriations made
4 hereunder shall be subject to the provisions of Section 67-5711, Idaho Code,
5 except as otherwise provided herein.
6 SECTION 4. The State Treasurer is hereby authorized and directed to
7 anticipate the revenues in the Permanent Building Fund by the issuance of tax
8 anticipation notes in accordance with authority conferred in Sections 63-3201
9 through 63-3204, Idaho Code, and in accordance with the procedures and subject
10 to the limitations provided in those sections, in the same manner as though
11 the revenues in the General Fund were being anticipated.
12 SECTION 5. An emergency existing therefor, which emergency is hereby
13 declared to exist, this act shall be in full force and effect on and after its
14 passage and approval.
Statement of Purpose |
RS11381 |
This is the fiscal year 2003 for the Permanent Building Fund. This bill appropriates $17,663,800 all in dedicated funds.
.
 
FY 2002 Original Appropriation |
0.00 |
0 |
103,030,000 |
0 |
103,030,000 |
Building Fund Advisory Council |
|
|
|
|
|
1. |
0.00 |
0 |
0 |
0 |
0 |
FY 2002 Total Appropriation |
0.00 |
0 |
95,930,000 |
0 |
95,930,000 |
Removal of One-Time Expenditures |
0.00 |
0 |
(95,930,000) |
0 |
(95,930,000) |
FY 2003 Base |
0.00 |
0 |
0 |
0 |
0 |
Replacement Items |
0.00 |
0 |
14,652,800 |
0 |
14,652,800 |
FY 2003 Program Maintenance |
0.00 |
0 |
14,652,800 |
0 |
14,652,800 |
Enhancements |
|
|
|
|
|
Building Fund Advisory Council |
|
|
|
|
|
1. CORR: Security Locking System |
0.00 |
0 |
3,011,000 |
0 |
3,011,000 |
2. BLIND: New Location |
0.00 |
0 |
0 |
0 |
0 |
3. MIL: St. Anthony Armory |
0.00 |
0 |
0 |
0 |
0 |
4. LAVA: Pool Enclosure Study |
0.00 |
0 |
0 |
0 |
0 |
5. BSU: IT Infrastructure, Phase 2 |
0.00 |
0 |
0 |
0 |
0 |
6. ISP: New Facility, Coeur d’Alene |
0.00 |
0 |
0 |
0 |
0 |
7. DJC: 36-Bed Unit, Lewiston |
0.00 |
0 |
0 |
0 |
0 |
8. ISHS: Museum Addition, Phase 2 |
0.00 |
0 |
0 |
0 |
0 |
9. EITC: Health Care/Admin Building |
0.00 |
0 |
0 |
0 |
0 |
FY 2003 Total |
0.00 |
0 |
17,663,800 |
0 |
17,663,800 |
Chg from FY 2002 Orig Approp |
0.00 |
0 |
(85,366,200) |
0 |
(85,366,200) |
% Chg from FY 2002 Orig Approp. |
|
|
(82.9%) |
|
(82.9%) |
.
Contact: Eric Milstead 334-4746
Legislative Services Office, Budget & Policy Analysis
Statement of Purpose/Fiscal Note |
Bill No. S1513 |