7 | | - | ONCERNING A SUPPLEMENTAL APPROPRIATION TO THE DEPARTMENT OF |
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8 | | - | THE TREASURY |
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9 | | - | . |
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10 | | - | |
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11 | | - | Be it enacted by the General Assembly of the State of Colorado: |
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12 | | - | SECTION 1. Appropriation to the department of the treasury |
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13 | | - | for the fiscal year beginning July 1, 2022. In Session Laws of Colorado |
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14 | | - | 2022, section 2 of chapter 507, (HB 22-1329), amend Part XXIII and the |
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15 | | - | affected totals, as Part XXIII (1) and the affected totals are amended by |
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16 | | - | section 23 of chapter 170, (HB 22-1133), as follows: |
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17 | | - | Section 2. Appropriation. |
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18 | | - | NOTE: This bill has been prepared for the signatures of the appropriate legislative |
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19 | | - | officers and the Governor. To determine whether the Governor has signed the bill |
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20 | | - | or taken other action on it, please consult the legislative status sheet, the legislative |
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21 | | - | history, or the Session Laws. |
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22 | | - | ________ |
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23 | | - | Capital letters or bold & italic numbers indicate new material added to existing law; dashes |
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24 | | - | through words or numbers indicate deletions from existing law and such material is not part of |
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25 | | - | the act. APPROPRIATION FROM |
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| 13 | + | ONCERNING A SUPPLEMENTAL APPR OPRIATION TO THE DEPARTMENT101 |
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| 14 | + | OF THE TREASURY.102 |
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| 15 | + | Bill Summary |
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| 16 | + | (Note: This summary applies to this bill as introduced and does |
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| 17 | + | not reflect any amendments that may be subsequently adopted. If this bill |
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| 18 | + | passes third reading in the house of introduction, a bill summary that |
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| 19 | + | applies to the reengrossed version of this bill will be available at |
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| 20 | + | http://leg.colorado.gov |
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| 21 | + | .) |
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| 22 | + | Supplemental appropriations are made to the department of the |
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| 23 | + | treasury. |
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| 24 | + | Be it enacted by the General Assembly of the State of Colorado:1 |
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| 25 | + | HOUSE |
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| 26 | + | 3rd Reading Unamended |
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| 27 | + | February 16, 2023 |
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| 28 | + | HOUSE |
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| 29 | + | 2nd Reading Unamended |
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| 30 | + | February 15, 2023 |
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| 31 | + | SENATE |
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| 32 | + | 3rd Reading Unamended |
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| 33 | + | February 9, 2023 |
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| 34 | + | SENATE |
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| 35 | + | 2nd Reading Unamended |
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| 36 | + | February 8, 2023 |
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| 37 | + | SENATE SPONSORSHIP |
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| 38 | + | Zenzinger, Bridges, Kirkmeyer, Priola |
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| 39 | + | HOUSE SPONSORSHIP |
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| 40 | + | Bird, Sirota, Bockenfeld, Bacon, Herod, Lieder, Lindsay, Lindstedt, McCluskie, Michaelson |
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| 41 | + | Jenet, Snyder, Story, Velasco |
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| 42 | + | Shading denotes HOUSE amendment. Double underlining denotes SENATE amendment. |
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| 43 | + | Capital letters or bold & italic numbers indicate new material to be added to existing law. |
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| 44 | + | Dashes through the words or numbers indicate deletions from existing law. SECTION 1. Appropriation to the department of the treasury1 |
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| 45 | + | for the fiscal year beginning July 1, 2022. In Session Laws of Colorado2 |
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| 46 | + | 2022, section 2 of chapter 507, (HB 22-1329), amend Part XXIII and the3 |
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| 47 | + | affected totals, as Part XXIII (1) and the affected totals are amended by4 |
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| 48 | + | section 23 of chapter 170, (HB 22-1133), as follows:5 |
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| 49 | + | Section 2. Appropriation.6 |
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| 50 | + | 134 |
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| 51 | + | -2- APPROPRIATION FROM |
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61 | | - | Workers' Compensation and |
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62 | | - | Payment to Risk |
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63 | | - | Management and Property |
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64 | | - | Funds 29,036 29,036 |
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65 | | - | Operating Expenses 1,423,521 1,423,521 |
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66 | | - | Information Technology |
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67 | | - | Asset Maintenance 18,000 9,000 9,000 |
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68 | | - | b |
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69 | | - | Legal Services 325,278 92,102 233,176 |
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70 | | - | c |
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71 | | - | Capitol Complex Leased |
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72 | | - | Space 62,925 37,755 25,170 |
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73 | | - | b |
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74 | | - | Payments to OIT 222,502 |
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75 | | - | 131,313 |
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76 | | - | 91,189 |
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77 | | - | b |
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78 | | - | 245,147 145,126 100,021 |
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79 | | - | b |
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80 | | - | CORE Operations 379,703 170,866 208,837 |
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81 | | - | b |
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82 | | - | Charter School Facilities Financing Services 7,5007,500(I) |
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83 | | - | d |
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84 | | - | PAGE 2-SENATE BILL 23-134 APPROPRIATION FROM |
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| 88 | + | 134 |
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| 89 | + | -3- APPROPRIATION FROM |
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110 | | - | Of this amount, it is estimated that $169,943(I) shall be from the State Public Financing Cash Fund created in Section 24-36-1 21 (7)(a), C.R.S., $51,903 shall be from the principal |
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111 | | - | balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C.R.S., and $11,330 shall be from interest or income earned on the investment of the money in the |
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112 | | - | Public School Fund pursuant to Section 22-41-102, C.R.S. Appropriations from the State Public Financing Cash Fund are shown for informational purposes only because the State Public |
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113 | | - | Financing Cash Fund is continuously appropriated to the State Treasurer pursuant to Section 24-36-121 (7)(a), C.R.S. |
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| 114 | + | Capitol Complex Leased 9 |
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| 115 | + | Space 10 62,925 37,755 25,170 |
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| 116 | + | b |
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| 117 | + | Payments to OIT 11 222,502 |
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| 118 | + | 131,313 |
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| 119 | + | 91,189 |
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| 120 | + | b |
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| 121 | + | 12 245,147 145,126 100,021 |
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| 122 | + | b |
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| 123 | + | CORE Operations 13 379,703 170,866 208,837 |
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| 124 | + | b |
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| 125 | + | Charter School Facilities 14 |
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| 126 | + | Financing Services 15 7,5007,500(I) |
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115 | | - | This amount shall be from the Charter School Financing Administrative Cash Fund created in Section 22-30.5-406 (1)(c)(I), C.R. S. Money from the Charter School Financing |
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116 | | - | Administrative Cash Fund is continuously appropriated and is included as information for purposes of complying with the limitat ion on state fiscal year spending imposed by Section |
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117 | | - | 20 of Article X of the State Constitution. |
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118 | | - | (2) UNCLAIMED PROPERTY PROGRAM |
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119 | | - | Personal Services 1,336,342 1,336,342 |
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120 | | - | a |
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121 | | - | (20.0 FTE) |
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122 | | - | Operating Expenses 533,964 |
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123 | | - | 533,964 |
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124 | | - | a |
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125 | | - | 587,619 587,619 |
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126 | | - | a |
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127 | | - | Promotion and |
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128 | | - | Correspondence 200,000 200,000 |
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129 | | - | a |
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130 | | - | Contract Auditor Services 800,000 800,000(I) |
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131 | | - | b |
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132 | | - | 2,870,306 |
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133 | | - | 2,923,961 |
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134 | | - | a |
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135 | | - | These amounts shall be from the principal balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C. R.S. |
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136 | | - | b |
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137 | | - | This amount shall be from revenues collected by contract aud itors. This amount is included in the Long Bill for informational purposes only and is continuously appropriated pursuant |
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138 | | - | to Section 38-13-801 (2)(b), C.R.S. |
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139 | | - | PAGE 3-SENATE BILL 23-134 APPROPRIATION FROM |
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| 128 | + | 134 |
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| 129 | + | -4- APPROPRIATION FROM |
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218 | | - | These amounts represent estimated allocations from the Highway Users Tax Fund, created in Section 43-4-201 (1)(a), C.R.S. Thes e estimates of revenue distributions to counties and |
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219 | | - | municipalities pursuant to Sections 43-4- 205, 207, and 208, C.R.S., are included for informational purposes and for the purpose of complying with the limitation on state fiscal year |
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220 | | - | spending imposed by Section 20 of Article X of the State Constitution. |
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221 | | - | c |
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222 | | - | This amount shall be from funds transferred from the Lease Purchase of Academic Facilities pu rsuant to Section 23-19.9-102, C. R.S. line item in the Colorado Commission on Higher |
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223 | | - | Education section of the Department of Higher Education. |
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224 | | - | d |
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225 | | - | This amount shall be from funds transferred from the Senate Bill 20-219 Lease Purchase Payments line item in the Capital Expan sion section of Capital Construction. |
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226 | | - | e |
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227 | | - | This amount shall be from interest or income earned on the inve stment of the money in the Public School Fund pursuant to Secti on 22-41-102, C.R.S. |
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228 | | - | f |
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229 | | - | This amount shall be from various cash funds under the control of the Transportation Commission pursuant to Section 24-82-1303 (2)(d)(II), C.R.S. |
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230 | | - | g |
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231 | | - | This amount shall be from the PERA Payments Cash Fund created in Section 24-51-416 (1), C.R.S. Pursuant to Section 24-51-414 ( 5), C.R.S., this amount is included in the general |
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232 | | - | appropriation bill for informational purposes and for the purpose of complying with the limitation on state fiscal year spendin g imposed by Section 20 of Article X of the State |
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233 | | - | Constitution. Of this amount, $166,870,680 represents the estimated am ount of the total distribution that is attributable to pu blic education from kindergarten through the twelfth grade |
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234 | | - | and $31,600,203 represents part of the estimated amount of the total distribution that is attributable to the state. |
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235 | | - | h |
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236 | | - | This amount shall be from funds transferred from the Department of Personnel. Pursuant to Section 24-51-414 (5), C.R.S., this a mount is included in the general appropriation bill for |
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237 | | - | informational purposes and for the purpose of complying with the limitation on state fiscal year spending imposed by Section 20 of Article X of the State Constitution and represents |
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238 | | - | part of the estimated amount of the total distribution that is attributable to the state. |
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239 | | - | PAGE 5-SENATE BILL 23-134 APPROPRIATION FROM |
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| 194 | + | 10 2,870,306 |
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| 195 | + | 11 2,923,961 |
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| 196 | + | 12 |
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| 197 | + | a |
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| 198 | + | These amounts shall be from the principal balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C. R.S. 13 |
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| 199 | + | b |
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| 200 | + | This amount shall be from revenues collected by contract aud itors. This amount is included in the Long Bill for informational purposes only and is continuously appropriated pursuant 14 |
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| 201 | + | to Section 38-13-801 (2)(b), C.R.S. 15 |
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| 202 | + | 134 |
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| 203 | + | -6- APPROPRIATION FROM |
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254 | | - | TOTALS PART XXIII |
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255 | | - | (TREASURY)$968,619,884 |
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| 218 | + | 1 |
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| 219 | + | (3) SPECIAL PURPOSE 2 |
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| 220 | + | Senior Citizen and Disabled 3 |
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| 221 | + | Veteran Property Tax 4 |
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| 222 | + | Exemption 5 163,603,185 163,603,185(I) |
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| 223 | + | a |
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| 224 | + | Business Personal Property 6 |
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| 225 | + | Tax Exemption 7 19,000,000 19,000,000(I) |
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| 226 | + | Highway Users Tax Fund - 8 |
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| 227 | + | County Payments 9 223,242,679 223,242,679(I) |
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| 228 | + | b |
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| 229 | + | Highway Users Tax Fund - 10 |
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| 230 | + | Municipality Payments 11 153,417,876 153,417,876(I) |
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| 231 | + | b |
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| 232 | + | Property Tax 12 |
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| 233 | + | Reimbursement for 13 |
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| 234 | + | Property Destroyed by 14 |
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| 235 | + | Natural Cause 15 1,000,000 1,000,000 |
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| 236 | + | 134 |
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| 237 | + | -7- APPROPRIATION FROM |
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| 238 | + | ITEM & |
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| 239 | + | SUBTOTAL |
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| 240 | + | TOTAL GENERAL |
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| 241 | + | FUND |
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| 242 | + | GENERAL |
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| 243 | + | FUND |
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| 244 | + | EXEMPT |
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| 245 | + | CASH |
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| 246 | + | FUNDS |
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| 247 | + | REAPPROPRIATED |
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| 248 | + | FUNDS |
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| 249 | + | FEDERAL |
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| 250 | + | FUNDS |
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| 251 | + | $$$$$ $ $ |
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| 252 | + | Lease Purchase of 1 |
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| 253 | + | Academic Facilities 2 |
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| 254 | + | Pursuant to Section 3 |
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| 255 | + | 23-19.9-102, C.R.S. 4 17,439,90017,439,900(I) |
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| 256 | + | c |
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| 257 | + | Lease Purchase of 5 |
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| 258 | + | Academic Facilities 6 |
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| 259 | + | Pursuant to Section 7 |
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| 260 | + | 24-82-803, C.R.S. 8 4,746,3754,746,375(I) |
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| 261 | + | d |
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| 262 | + | Public School Fund 9 |
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| 263 | + | Investment Board Pursuant 10 |
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| 264 | + | to Section 22-41-102.5, 11 |
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| 265 | + | C.R.S. 12 1,760,000 1,760,000 |
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| 266 | + | e |
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| 267 | + | S.B. 17-267 13 |
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| 268 | + | Collateralization Lease 14 |
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| 269 | + | Purchase Payments 15 150,000,000 100,000,000 50,000,000 |
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| 270 | + | f |
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| 271 | + | 134 |
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| 272 | + | -8- APPROPRIATION FROM |
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| 273 | + | ITEM & |
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| 274 | + | SUBTOTAL |
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| 275 | + | TOTAL GENERAL |
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| 276 | + | FUND |
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| 277 | + | GENERAL |
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| 278 | + | FUND |
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| 279 | + | EXEMPT |
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| 280 | + | CASH |
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| 281 | + | FUNDS |
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| 282 | + | REAPPROPRIATED |
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| 283 | + | FUNDS |
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| 284 | + | FEDERAL |
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| 285 | + | FUNDS |
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| 286 | + | $$$$$ $ $ |
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| 287 | + | Direct Distribution for 1 |
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| 288 | + | Unfunded Actuarial 2 |
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| 289 | + | Accrued PERA Liability 3 225,000,000 198,470,883(I) |
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| 290 | + | g |
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| 291 | + | 26,529,117(I) |
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| 292 | + | h |
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| 293 | + | 4 959,210,015 |
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| 294 | + | 5 |
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| 295 | + | a |
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| 296 | + | Pursuant to Section 3.5 (3) of Article X of the State Constitution, this amount is not subject to the limitation on General Fu nd appropriations set forth in Section 24-75-201.1 6 |
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| 297 | + | (1)(a)(III)(A), C.R.S., because enactment of this constitutional pr ovision by the people of Colorado constitutes voter approval of a weakening of such limitation. This amount reflects 7 |
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| 298 | + | the estimate of the money that shall be paid to fully reimburse counties pursuant to Section 39-3-207 (4)(a), C.R.S., for lost property tax revenues as a result of property owners claiming 8 |
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| 299 | + | the exemption. 9 |
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| 300 | + | b |
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| 301 | + | These amounts represent estimated allocations from the Highway Users Tax Fund, created in Section 43-4-201 (1)(a), C.R.S. Thes e estimates of revenue distributions to counties and 10 |
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| 302 | + | municipalities pursuant to Sections 43-4- 205, 207, and 208, C.R.S., are included for informational purposes and for the purpose of complying with the limitation on state fiscal year 11 |
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| 303 | + | spending imposed by Section 20 of Article X of the State Constitution. 12 |
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| 304 | + | c |
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| 305 | + | This amount shall be from funds transferred from the Lease Purchase of Academic Facilities pu rsuant to Section 23-19.9-102, C. R.S. line item in the Colorado Commission on Higher 13 |
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| 306 | + | Education section of the Department of Higher Education. 14 |
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| 307 | + | d |
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| 308 | + | This amount shall be from funds transferred from the Senate Bill 20-219 Lease Purchase Payments line item in the Capital Expan sion section of Capital Construction. 15 |
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| 309 | + | 134 |
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| 310 | + | -9- APPROPRIATION FROM |
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| 311 | + | ITEM & |
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| 312 | + | SUBTOTAL |
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| 313 | + | TOTAL GENERAL |
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| 314 | + | FUND |
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| 315 | + | GENERAL |
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| 316 | + | FUND |
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| 317 | + | EXEMPT |
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| 318 | + | CASH |
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| 319 | + | FUNDS |
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| 320 | + | REAPPROPRIATED |
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| 321 | + | FUNDS |
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| 322 | + | FEDERAL |
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| 323 | + | FUNDS |
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| 324 | + | $$$$$ $ $ |
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| 325 | + | e |
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| 326 | + | This amount shall be from interest or income earned on the inve stment of the money in the Public School Fund pursuant to Secti on 22-41-102, C.R.S. 1 |
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| 327 | + | f |
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| 328 | + | This amount shall be from various cash funds under the control of the Transportation Commission pursuant to Section 24-82-1303 (2)(d)(II), C.R.S. 2 |
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| 329 | + | g |
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| 330 | + | This amount shall be from the PERA Payments Cash Fund created in Section 24-51-416 (1), C.R.S. Pursuant to Section 24-51-414 ( 5), C.R.S., this amount is included in the general 3 |
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| 331 | + | appropriation bill for informational purposes and for the purpose of complying with the limitation on state fiscal year spendin g imposed by Section 20 of Article X of the State 4 |
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| 332 | + | Constitution. Of this amount, $166,870,680 represents the estimated am ount of the total distribution that is attributable to pu blic education from kindergarten through the twelfth grade 5 |
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| 333 | + | and $31,600,203 represents part of the estimated amount of the total distribution that is attributable to the state. 6 |
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| 334 | + | h |
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| 335 | + | This amount shall be from funds transferred from the Department of Personnel. Pursuant to Section 24-51-414 (5), C.R.S., this a mount is included in the general appropriation bill for 7 |
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| 336 | + | informational purposes and for the purpose of complying with the limitation on state fiscal year spending imposed by Section 20 of Article X of the State Constitution and represents 8 |
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| 337 | + | part of the estimated amount of the total distribution that is attributable to the state. 9 |
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| 338 | + | 10 |
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| 339 | + | 11 |
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| 340 | + | TOTALS PART XXIII 12 |
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| 341 | + | (TREASURY) 13 $968,619,884 |
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273 | | - | This amount contains an (I) notation. |
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274 | | - | PAGE 6-SENATE BILL 23-134 SECTION 2. Safety clause. The general assembly hereby finds, |
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275 | | - | determines, and declares that this act is necessary for the immediate |
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276 | | - | preservation of the public peace, health, and safety. |
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277 | | - | ____________________________ ____________________________ |
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278 | | - | Steve Fenberg |
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279 | | - | Julie McCluskie |
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280 | | - | PRESIDENT OF SPEAKER OF THE HOUSE |
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281 | | - | THE SENATE OF REPRESENTATIVES |
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282 | | - | ____________________________ ____________________________ |
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283 | | - | Cindi L. Markwell Robin Jones |
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284 | | - | SECRETARY OF CHIEF CLERK OF THE HOUSE |
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285 | | - | THE SENATE OF REPRESENTATIVES |
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286 | | - | APPROVED________________________________________ |
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287 | | - | (Date and Time) |
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288 | | - | _________________________________________ |
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289 | | - | Jared S. Polis |
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290 | | - | GOVERNOR OF THE STATE OF COLORADO |
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291 | | - | PAGE 7-SENATE BILL 23-134 |
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| 376 | + | This amount contains an (I) notation. 5 |
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| 377 | + | 6 |
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| 378 | + | 134 |
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| 379 | + | -11- SECTION 2. Safety clause. The general assembly hereby finds,1 |
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| 380 | + | determines, and declares that this act is necessary for the immediate2 |
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| 381 | + | preservation of the public peace, health, and safety.3 |
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| 382 | + | 134-12- |
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