2003 Legislation
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SENATE BILL NO. 1189 – Approp, Public Works Projects

SENATE BILL NO. 1189

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Daily Data Tracking History



S1189............................................................by FINANCE
APPROPRIATIONS - PUBLIC WORKS PROJECTS -  Appropriates $28,993,400 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;
directs the State Treasurer to issue tax anticipation notes; and reduces
reappropriations on file with the State Controller for the Division of
Public Works.
                                                                        
04/15    Senate intro - 1st rdg - to printing
04/16    Rpt prt - to Fin
    Rpt out - rec d/p - to 2nd rdg
04/17    2nd rdg - to 3rd rdg
04/18    3rd rdg - PASSED - 35-0-0
      AYES -- Andreason, Bailey, Brandt, Bunderson, Burkett, Burtenshaw,
      Calabretta, Cameron, Compton, Darrington, Davis, Gannon, Geddes,
      Goedde, Hill, Ingram, Kennedy, Keough, Little, Lodge, Malepeai,
      Marley, McKenzie, McWilliams, Noble, Noh, Pearce, Richardson,
      Schroeder, Sorensen, Stegner, Stennett, Sweet, Werk, Williams
      NAYS -- None
      Absent and excused -- None
    Floor Sponsor - Hill
    Title apvd - to House
04/21    House intro - 1st rdg - to 2nd rdg
04/22    2nd rdg - to 3rd rdg
04/28    3rd rdg - PASSED - 68-0-2
      AYES -- Andersen(Guyon), Barraclough(Schanz), Barrett, Bauer, Bedke,
      Bell, Bieter, Black, Block, Boe, Bolz, Bradford, Campbell, Cannon,
      Clark, Collins, Cuddy, Deal, Denney, Douglas, Eberle, Edmunson,
      Ellsworth, Eskridge, Field(18), Field(23), Gagner, Garrett, Harwood,
      Henbest, Jaquet, Jones, Kellogg, Kulczyk, Lake, Langford, Langhorst,
      Martinez(Echohawk), McGeachin, McKague, Meyer, Miller, Mitchell,
      Moyle, Naccarato(Riggs), Nielsen, Raybould, Ridinger, Ring, Ringo,
      Roberts, Robison, Rydalch, Sali, Sayler, Schaefer, Shepherd(Buell),
      Shirley, Skippen, Smith(30), Smith(24), Smylie, Snodgrass, Stevenson,
      Trail, Wills, Wood, Mr. Speaker
      NAYS -- None
      Absent and excused -- Crow, Tilman
    Floor Sponsor - Mitchell
    Title apvd - to Senate
04/28    To enrol
04/29    Rpt enrol - Pres signed
04/30    Sp signed - To Governor
    Governor signed
         Session Law Chapter 328
         Effective: 04/30/03 Sec 5;
         07/01/03 All others

Bill Text


                                                                        
                                                                        
  ||||              LEGISLATURE OF THE STATE OF IDAHO             ||||
 Fifty-seventh Legislature                 First Regular Session - 2003
                                                                        
                                                                        
                                       IN THE SENATE
                                                                        
                                    SENATE BILL NO. 1189
                                                                        
                                    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;  REDUCING  SPENDING AUTHORITY; AND
  8        DECLARING AN EMERGENCY FOR SECTION 5 OF THIS ACT.
                                                                        
  9    Be It Enacted by the Legislature of the State of Idaho:
                                                                        
 10        SECTION 1.  There is hereby appropriated from the Permanent Building  Fund
 11    to  the  Division of Public Works the following amounts, or so much thereof as
 12    in each case may be necessary, for the purpose of paying the cost of any land,
 13    building, equipment, or the rebuilding, renovation or  repair,  of  buildings,
 14    installations,  facilities or structures at the places, institutions and agen-
 15    cies, or their successors, including those listed in this section. The  Perma-
 16    nent  Building  Fund  Advisory  Council  is  hereby authorized and directed to
 17    anticipate revenues accruing to the Permanent Building Fund for the purpose of
 18    undertaking the  construction,  renovation,  repair  and  acquisitions  herein
 19    authorized,  without delay, and to determine the priority of construction pur-
 20    suant to which the work hereunder will be undertaken.
 21    A.  MAINTENANCE PROJECTS IN THE FOLLOWING AREAS:                   $26,282,400
 22        (1)  Alterations and Repairs
 23        (2)  Asbestos Abatement
 24        (3)  Underground Storage Tank Program
 25        (4)  Statewide ADA Compliance
 26        (5)  Building Demolition
 27        (6)  Capitol Mall Maintenance
 28    B. DEPARTMENT OF CORRECTION:                                       $ 2,011,000
 29        (1)  Security Locking Systems
 30    C. DEPARTMENT OF ADMINISTRATION:                                   $   700,000
 31        (1)  Statewide Microwave System
 32        GRAND TOTAL                                                    $28,993,400
                                                                        
 33        SECTION 2.  It is legislative intent that the moneys appropriated in  this
 34    act  may  be made available for matching any allocation of moneys now in exis-
 35    tence or hereafter made available by agencies of the United States and/or pri-
 36    vate donations; and it is further the express intention of the Legislature  to
 37    authorize  the  Division  of Public Works to expend, for the purpose of paying
 38    the cost of any land, building, equipment or  the  rebuilding,  renovation  or
 39    repair  of buildings, moneys appropriated for public works to various agencies
 40    as part of the respective  agency  operating  budgets;  provided  the  express
 41    approval  by  the  Permanent Building Fund Advisory Council is granted to make
 42    application for such moneys in each instance.
                                                                        
                                           2
                                                                        
  1        SECTION 3.  All appropriations made herein shall be exempt from the provi-
  2    sions of Chapter 36, Title 67, and Section 67-3516, Idaho Code, but  shall  be
  3    available  for  expenditure  only after allotment in accordance with the other
  4    provisions of Chapter 35, Title 67, Idaho Code, and  all  appropriations  made
  5    hereunder  shall  be subject to the provisions of Section 67-5711, Idaho Code,
  6    except as otherwise provided herein.
                                                                        
  7        SECTION 4.  The State Treasurer  is  hereby  authorized  and  directed  to
  8    anticipate  the revenues in the Permanent Building Fund by the issuance of tax
  9    anticipation notes in accordance with authority conferred in Sections  63-3201
 10    through 63-3204, Idaho Code, and in accordance with the procedures and subject
 11    to  the  limitations  provided in those sections, in the same manner as though
 12    the revenues in the General Fund were being anticipated.
                                                                        
 13        SECTION 5.  Notwithstanding any other provision of law  to  the  contrary,
 14    the  reappropriations  on  file  with the State Controller for the Division of
 15    Public Works from the Permanent Building Fund for the purpose  of  paying  the
 16    cost of land, building, equipment, or the rebuilding, renovation or repair, of
 17    buildings, installations, facilities or structures at the places, institutions
 18    and  agencies,  or  their  successors are hereby reduced by $112,056,000. Such
 19    reductions shall be computed by the Department  of  Administration  by  budget
 20    unit  and  recorded  in  the  Statewide  Accounting and Reporting System on or
 21    before June 30, 2003.
                                                                        
 22        SECTION 6.  An emergency existing  therefor,  which  emergency  is  hereby
 23    declared  to exist, Section 5 of this act shall be in full force and effect on
 24    and after passage and approval.

Statement of Purpose / Fiscal Impact


Statement of Purpose
RS12284

This is the fiscal year 2004 appropriation bill for the Permanent Building Fund in the amount of $28,993,400. This budget is funded with dedicated funds. This bill provides $26,282,400 for state-wide alteration and repair projects; $2,011,000 to complete the electronic security locking systems at the Idaho Maximum Security Institution and the Idaho Correctional Institution at Orofino; and provides $700,000 for the final phase of the state-wide micro-wave communication system to complete the leg between Blackfoot and Salmon.

The bill also includes a reduction in spending authority for FY 2003 to reflect the transfer of cash–about $112 million– from the Permanent Building Fund to the General Fund to help balance the FY 2002 and FY 2003 General Fund budgets.

.

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Fiscal Note
FTP  Gen  Ded  Fed  Total 


FY 2003 Original Appropriation 0.00  17,663,800  17,663,800 


Reappropriations 0.00  148,627,200  148,627,200 
Building Fund Advisory Council          
 1. FY 2002 Cancelled Projects 0.00  (68,056,000)  (68,056,000) 
 2. FY 2003 Cancelled Projects 0.00  (13,013,800)  (13,013,800) 
 3. Cancelled Maintenance 0.00  (31,000,000)  (31,000,000) 
Other Approp Adjustments 0.00  (17,663,800)  (17,663,800) 


FY 2003 Total Appropriation 0.00  36,557,400  36,557,400 
Removal of One-Time Expenditures 0.00  (36,557,400)  (36,557,400) 


FY 2004 Base 0.00 
Nonstandard Adjustments 0.00  26,282,400  26,282,400 


FY 2004 Program Maintenance 0.00  26,282,400  26,282,400 



Enhancements          
Building Fund Advisory Council          
 1. DOC: Security Locking System 0.00  2,011,000  2,011,000 
 2. ADMIN: Statewide Microwave 0.00  700,000  700,000 


FY 2004 Total 0.00  28,993,400  28,993,400 
Chg from FY 2003 Orig Approp 0.00  11,329,600  11,329,600 
% Chg from FY 2003 Orig Approp.     64.1%     64.1%  

Contact: Eric Milstead 334-4746

Legislative Services Office, Budget & Policy Analysis

Statement of Purpose/Fiscal Note Bill No. S1189