Colorado 2023 Regular Session

Colorado Senate Bill SB134 Compare Versions

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1+First Regular Session
2+Seventy-fourth General Assembly
3+STATE OF COLORADO
4+REREVISED
5+This Version Includes All Amendments
6+Adopted in the Second House
7+LLS NO. 23-0392.01 Carolyn Kampman x4959
18 SENATE BILL 23-134
2-BY SENATOR(S) Zenzinger, Bridges, Kirkmeyer, Priola;
3-also REPRESENTATIVE(S) Bird, Sirota, Bockenfeld, Bacon, Herod,
4-Lieder, Lindsay, Lindstedt, Michaelson Jenet, Snyder, Story, Velasco,
5-McCluskie.
9+Senate Committees House Committees
10+Appropriations Appropriations
11+A BILL FOR AN ACT
612 C
7-ONCERNING A SUPPLEMENTAL APPROPRIATION TO THE DEPARTMENT OF
8-THE TREASURY
9-.
10-
11-Be it enacted by the General Assembly of the State of Colorado:
12-SECTION 1. Appropriation to the department of the treasury
13-for the fiscal year beginning July 1, 2022. In Session Laws of Colorado
14-2022, section 2 of chapter 507, (HB 22-1329), amend Part XXIII and the
15-affected totals, as Part XXIII (1) and the affected totals are amended by
16-section 23 of chapter 170, (HB 22-1133), as follows:
17-Section 2. Appropriation.
18-NOTE: This bill has been prepared for the signatures of the appropriate legislative
19-officers and the Governor. To determine whether the Governor has signed the bill
20-or taken other action on it, please consult the legislative status sheet, the legislative
21-history, or the Session Laws.
22-________
23-Capital letters or bold & italic numbers indicate new material added to existing law; dashes
24-through words or numbers indicate deletions from existing law and such material is not part of
25-the act. APPROPRIATION FROM
13+ONCERNING A SUPPLEMENTAL APPR OPRIATION TO THE DEPARTMENT101
14+OF THE TREASURY.102
15+Bill Summary
16+(Note: This summary applies to this bill as introduced and does
17+not reflect any amendments that may be subsequently adopted. If this bill
18+passes third reading in the house of introduction, a bill summary that
19+applies to the reengrossed version of this bill will be available at
20+http://leg.colorado.gov
21+.)
22+Supplemental appropriations are made to the department of the
23+treasury.
24+Be it enacted by the General Assembly of the State of Colorado:1
25+HOUSE
26+3rd Reading Unamended
27+February 16, 2023
28+HOUSE
29+ 2nd Reading Unamended
30+February 15, 2023
31+SENATE
32+3rd Reading Unamended
33+February 9, 2023
34+SENATE
35+2nd Reading Unamended
36+February 8, 2023
37+SENATE SPONSORSHIP
38+Zenzinger, Bridges, Kirkmeyer, Priola
39+HOUSE SPONSORSHIP
40+Bird, Sirota, Bockenfeld, Bacon, Herod, Lieder, Lindsay, Lindstedt, McCluskie, Michaelson
41+Jenet, Snyder, Story, Velasco
42+Shading denotes HOUSE amendment. Double underlining denotes SENATE amendment.
43+Capital letters or bold & italic numbers indicate new material to be added to existing law.
44+Dashes through the words or numbers indicate deletions from existing law. SECTION 1. Appropriation to the department of the treasury1
45+for the fiscal year beginning July 1, 2022. In Session Laws of Colorado2
46+2022, section 2 of chapter 507, (HB 22-1329), amend Part XXIII and the3
47+affected totals, as Part XXIII (1) and the affected totals are amended by4
48+section 23 of chapter 170, (HB 22-1133), as follows:5
49+Section 2. Appropriation.6
50+134
51+-2- APPROPRIATION FROM
2652 ITEM &
2753 SUBTOTAL
2854 TOTAL GENERAL
2955 FUND
3056 GENERAL
3157 FUND
3258 EXEMPT
3359 CASH
3460 FUNDS
3561 REAPPROPRIATED
3662 FUNDS
3763 FEDERAL
3864 FUNDS
3965 $$$$$ $ $
40-PART XXIII
41-DEPARTMENT OF THE TREASURY
42-(1) ADMINISTRATION
43-Personal Services 3,132,038 2,026,546 1,105,492
66+PART XXIII 1
67+DEPARTMENT OF THE TREASURY 2
68+3
69+(1) ADMINISTRATION 4
70+Personal Services 5 3,132,038 2,026,546 1,105,492
4471 a
45-(28.8 FTE)
46-Health, Life, and Dental 473,575 264,241 209,334
72+6 (28.8 FTE)
73+Health, Life, and Dental 7 473,575 264,241 209,334
4774 b
48-Short-term Disability 5,515 3,356 2,159
75+Short-term Disability 8 5,515 3,356 2,159
4976 b
50-S.B. 04-257 Amortization
51-Equalization Disbursement 172,337 104,879 67,458
77+S.B. 04-257 Amortization 9
78+Equalization Disbursement 10 172,337 104,879 67,458
5279 b
53-S.B. 06-235 Supplemental
54-Amortization Equalization
55-Disbursement 172,337 104,879 67,458
80+S.B. 06-235 Supplemental 11
81+Amortization Equalization 12
82+Disbursement 13 172,337 104,879 67,458
5683 b
57-Salary Survey 90,193 58,150 32,043
84+Salary Survey 14 90,193 58,150 32,043
5885 b
59-PERA Direct Distribution 20,10320,103
86+PERA Direct Distribution 15 20,10320,103
6087 b
61-Workers' Compensation and
62-Payment to Risk
63-Management and Property
64-Funds 29,036 29,036
65-Operating Expenses 1,423,521 1,423,521
66-Information Technology
67-Asset Maintenance 18,000 9,000 9,000
68-b
69-Legal Services 325,278 92,102 233,176
70-c
71-Capitol Complex Leased
72-Space 62,925 37,755 25,170
73-b
74-Payments to OIT 222,502
75-131,313
76-91,189
77-b
78-245,147 145,126 100,021
79-b
80-CORE Operations 379,703 170,866 208,837
81-b
82-Charter School Facilities Financing Services 7,5007,500(I)
83-d
84-PAGE 2-SENATE BILL 23-134 APPROPRIATION FROM
88+134
89+-3- APPROPRIATION FROM
8590 ITEM &
8691 SUBTOTAL
8792 TOTAL GENERAL
8893 FUND
8994 GENERAL
9095 FUND
9196 EXEMPT
9297 CASH
9398 FUNDS
9499 REAPPROPRIATED
95100 FUNDS
96101 FEDERAL
97102 FUNDS
98103 $$$$$ $ $
99-Discretionary Fund 5,000 5,000
100-6,539,563
101-6,562,208
102-a
103- Of this amount, $887,488 shall be from cash management transaction fees pursuant to Section 24-36-120, C.R.S., and $218,004 sh all be from the Unclaimed Property Trust Fund created
104-in Section 38-13-801 (1)(a), C.R.S.
104+Workers' Compensation and 1
105+Payment to Risk 2
106+Management and Property 3
107+Funds 4 29,036 29,036
108+Operating Expenses 5 1,423,521 1,423,521
109+Information Technology 6
110+Asset Maintenance 7 18,000 9,000 9,000
105111 b
106- Of these amounts, $728,211
107- $737,043 shall be from the principal balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C.R.S., and $4,540 shall be from
108-various sources of cash funds.
112+Legal Services 8 325,278 92,102 233,176
109113 c
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
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
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
113-Financing Cash Fund is continuously appropriated to the State Treasurer pursuant to Section 24-36-121 (7)(a), C.R.S.
114+Capitol Complex Leased 9
115+Space 10 62,925 37,755 25,170
116+b
117+Payments to OIT 11 222,502
118+131,313
119+91,189
120+b
121+12 245,147 145,126 100,021
122+b
123+CORE Operations 13 379,703 170,866 208,837
124+b
125+Charter School Facilities 14
126+Financing Services 15 7,5007,500(I)
114127 d
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
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
117-20 of Article X of the State Constitution.
118-(2) UNCLAIMED PROPERTY PROGRAM
119-Personal Services 1,336,342 1,336,342
120-a
121-(20.0 FTE)
122-Operating Expenses 533,964
123-533,964
124-a
125-587,619 587,619
126-a
127-Promotion and
128-Correspondence 200,000 200,000
129-a
130-Contract Auditor Services 800,000 800,000(I)
131-b
132-2,870,306
133-2,923,961
134-a
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.
136-b
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
138-to Section 38-13-801 (2)(b), C.R.S.
139-PAGE 3-SENATE BILL 23-134 APPROPRIATION FROM
128+134
129+-4- APPROPRIATION FROM
140130 ITEM &
141131 SUBTOTAL
142132 TOTAL GENERAL
143133 FUND
144134 GENERAL
145135 FUND
146136 EXEMPT
147137 CASH
148138 FUNDS
149139 REAPPROPRIATED
150140 FUNDS
151141 FEDERAL
152142 FUNDS
153143 $$$$$ $ $
154-(3) SPECIAL PURPOSE
155-Senior Citizen and Disabled
156-Veteran Property Tax
157-Exemption 163,603,185 163,603,185(I)
144+Discretionary Fund 1 5,000 5,000
145+2 6,539,563
146+3 6,562,208 4
158147 a
159-Business Personal Property
160-Tax Exemption 19,000,000 19,000,000(I)
161-Highway Users Tax Fund -
162-County Payments 223,242,679 223,242,679(I)
148+ Of this amount, $887,488 shall be from cash management transaction fees pursuant to Section 24-36-120, C.R.S., and $218,004 sh all be from the Unclaimed Property Trust Fund created 5
149+in Section 38-13-801 (1)(a), C.R.S. 6
163150 b
164-Highway Users Tax Fund -
165-Municipality Payments 153,417,876 153,417,876(I)
166-b
167-Property Tax
168-Reimbursement for
169-Property Destroyed by
170-Natural Cause 1,000,000 1,000,000
171-Lease Purchase of
172-Academic Facilities
173-Pursuant to Section
174-23-19.9-102, C.R.S. 17,439,90017,439,900(I)
151+ Of these amounts, $728,211
152+ $737,043 shall be from the principal balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C.R.S., and $4,540 shall be from 7
153+various sources of cash funds. 8
175154 c
176-Lease Purchase of
177-Academic Facilities
178-Pursuant to Section
179-24-82-803, C.R.S. 4,746,3754,746,375(I)
155+ 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 9
156+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 10
157+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 11
158+Financing Cash Fund is continuously appropriated to the State Treasurer pursuant to Section 24-36-121 (7)(a), C.R.S. 12
180159 d
181-Public School Fund
182-Investment Board Pursuant
183-to Section 22-41-102.5,
184-C.R.S. 1,760,000 1,760,000
185-e
186-S.B. 17-267
187-Collateralization Lease
188-Purchase Payments150,000,000 100,000,000 50,000,000
189-f
190-PAGE 4-SENATE BILL 23-134 APPROPRIATION FROM
160+ 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 13
161+Administrative Cash Fund is continuously appropriated and is incl uded as information for purposes of complying with the limitat ion on state fiscal year spending imposed by Section 14
162+20 of Article X of the State Constitution. 15
163+134
164+-5- APPROPRIATION FROM
191165 ITEM &
192166 SUBTOTAL
193167 TOTAL GENERAL
194168 FUND
195169 GENERAL
196170 FUND
197171 EXEMPT
198172 CASH
199173 FUNDS
200174 REAPPROPRIATED
201175 FUNDS
202176 FEDERAL
203177 FUNDS
204178 $$$$$ $ $
205-Direct Distribution for
206-Unfunded Actuarial
207-Accrued PERA Liability 225,000,000 198,470,883(I)
208-g
209-26,529,117(I)
210-h
211-959,210,015
179+1
180+(2) UNCLAIMED PROPERTY PROGRAM 2
181+Personal Services 3 1,336,342 1,336,342
212182 a
213- 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
214-(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
215-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
216-the exemption.
183+4(20.0 FTE)
184+Operating Expenses 5 533,964
185+533,964
186+a
187+6 587,619 587,619
188+a
189+Promotion and 7
190+Correspondence 8 200,000 200,000
191+a
192+Contract Auditor Services 9 800,000 800,000(I)
217193 b
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
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
220-spending imposed by Section 20 of Article X of the State Constitution.
221-c
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
223-Education section of the Department of Higher Education.
224-d
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.
226-e
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.
228-f
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.
230-g
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
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
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
234-and $31,600,203 represents part of the estimated amount of the total distribution that is attributable to the state.
235-h
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
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
238-part of the estimated amount of the total distribution that is attributable to the state.
239-PAGE 5-SENATE BILL 23-134 APPROPRIATION FROM
194+10 2,870,306
195+11 2,923,961
196+12
197+a
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
199+b
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
201+to Section 38-13-801 (2)(b), C.R.S. 15
202+134
203+-6- APPROPRIATION FROM
240204 ITEM &
241205 SUBTOTAL
242206 TOTAL GENERAL
243207 FUND
244208 GENERAL
245209 FUND
246210 EXEMPT
247211 CASH
248212 FUNDS
249213 REAPPROPRIATED
250214 FUNDS
251215 FEDERAL
252216 FUNDS
253217 $$$$$ $ $
254-TOTALS PART XXIII
255-(TREASURY)$968,619,884
218+1
219+(3) SPECIAL PURPOSE 2
220+Senior Citizen and Disabled 3
221+Veteran Property Tax 4
222+Exemption 5 163,603,185 163,603,185(I)
223+a
224+Business Personal Property 6
225+Tax Exemption 7 19,000,000 19,000,000(I)
226+Highway Users Tax Fund - 8
227+County Payments 9 223,242,679 223,242,679(I)
228+b
229+Highway Users Tax Fund - 10
230+Municipality Payments 11 153,417,876 153,417,876(I)
231+b
232+Property Tax 12
233+Reimbursement for 13
234+Property Destroyed by 14
235+Natural Cause 15 1,000,000 1,000,000
236+134
237+-7- APPROPRIATION FROM
238+ITEM &
239+SUBTOTAL
240+TOTAL GENERAL
241+FUND
242+GENERAL
243+FUND
244+EXEMPT
245+CASH
246+FUNDS
247+REAPPROPRIATED
248+FUNDS
249+FEDERAL
250+FUNDS
251+$$$$$ $ $
252+Lease Purchase of 1
253+Academic Facilities 2
254+Pursuant to Section 3
255+23-19.9-102, C.R.S. 4 17,439,90017,439,900(I)
256+c
257+Lease Purchase of 5
258+Academic Facilities 6
259+Pursuant to Section 7
260+24-82-803, C.R.S. 8 4,746,3754,746,375(I)
261+d
262+Public School Fund 9
263+Investment Board Pursuant 10
264+to Section 22-41-102.5, 11
265+C.R.S. 12 1,760,000 1,760,000
266+e
267+S.B. 17-267 13
268+Collateralization Lease 14
269+Purchase Payments 15 150,000,000 100,000,000 50,000,000
270+f
271+134
272+-8- APPROPRIATION FROM
273+ITEM &
274+SUBTOTAL
275+TOTAL GENERAL
276+FUND
277+GENERAL
278+FUND
279+EXEMPT
280+CASH
281+FUNDS
282+REAPPROPRIATED
283+FUNDS
284+FEDERAL
285+FUNDS
286+$$$$$ $ $
287+Direct Distribution for 1
288+Unfunded Actuarial 2
289+Accrued PERA Liability 3 225,000,000 198,470,883(I)
290+g
291+26,529,117(I)
292+h
293+4 959,210,015
294+5
295+a
296+ Pursuant to Section 3.5 (3) of Article X of the State Constitution, this amount is not subject to the limitation on General Fu nd appropriations set forth in Section 24-75-201.1 6
297+(1)(a)(III)(A), C.R.S., because enactment of this constitutional pr ovision by the people of Colorado constitutes voter approval of a weakening of such limitation. This amount reflects 7
298+the estimate of the money that shall be paid to fully reimburse counties pursuant to Section 39-3-207 (4)(a), C.R.S., for lost property tax revenues as a result of property owners claiming 8
299+the exemption. 9
300+b
301+ These amounts represent estimated allocations from the Highway Users Tax Fund, created in Section 43-4-201 (1)(a), C.R.S. Thes e estimates of revenue distributions to counties and 10
302+municipalities pursuant to Sections 43-4- 205, 207, and 208, C.R.S., are included for informational purposes and for the purpose of complying with the limitation on state fiscal year 11
303+spending imposed by Section 20 of Article X of the State Constitution. 12
304+c
305+ This amount shall be from funds transferred from the Lease Purchase of Academic Facilities pu rsuant to Section 23-19.9-102, C. R.S. line item in the Colorado Commission on Higher 13
306+Education section of the Department of Higher Education. 14
307+d
308+ This amount shall be from funds transferred from the Senate Bill 20-219 Lease Purchase Payments line item in the Capital Expan sion section of Capital Construction. 15
309+134
310+-9- APPROPRIATION FROM
311+ITEM &
312+SUBTOTAL
313+TOTAL GENERAL
314+FUND
315+GENERAL
316+FUND
317+EXEMPT
318+CASH
319+FUNDS
320+REAPPROPRIATED
321+FUNDS
322+FEDERAL
323+FUNDS
324+$$$$$ $ $
325+e
326+ This amount shall be from interest or income earned on the inve stment of the money in the Public School Fund pursuant to Secti on 22-41-102, C.R.S. 1
327+f
328+This amount shall be from various cash funds under the control of the Transportation Commission pursuant to Section 24-82-1303 (2)(d)(II), C.R.S. 2
329+g
330+ This amount shall be from the PERA Payments Cash Fund created in Section 24-51-416 (1), C.R.S. Pursuant to Section 24-51-414 ( 5), C.R.S., this amount is included in the general 3
331+appropriation bill for informational purposes and for the purpose of complying with the limitation on state fiscal year spendin g imposed by Section 20 of Article X of the State 4
332+Constitution. Of this amount, $166,870,680 represents the estimated am ount of the total distribution that is attributable to pu blic education from kindergarten through the twelfth grade 5
333+and $31,600,203 represents part of the estimated amount of the total distribution that is attributable to the state. 6
334+h
335+This amount shall be from funds transferred from the Department of Personnel. Pursuant to Section 24-51-414 (5), C.R.S., this a mount is included in the general appropriation bill for 7
336+informational purposes and for the purpose of complying with the limitation on state fiscal year spending imposed by Section 20 of Article X of the State Constitution and represents 8
337+part of the estimated amount of the total distribution that is attributable to the state. 9
338+10
339+11
340+TOTALS PART XXIII 12
341+(TREASURY) 13 $968,619,884
256342 $288,063,829
257343 a
258344 $631,840,663
259345 b
260346 $48,715,392
261347 c
262-$968,696,184 $288,077,642
348+14 $968,696,184 $288,077,642
263349 a
264350 $631,903,150
265351 b
352+15
353+134
354+-10- APPROPRIATION FROM
355+ITEM &
356+SUBTOTAL
357+TOTAL GENERAL
358+FUND
359+GENERAL
360+FUND
361+EXEMPT
362+CASH
363+FUNDS
364+REAPPROPRIATED
365+FUNDS
366+FEDERAL
367+FUNDS
368+$$$$$ $ $
266369 a
267- Of this amount, $182,603,185 contains an (I) notation and $163,603,185 is not subject to the limitation on General Fund approp riations imposed by Section 24-75-201.1 (1)(a)
268-(III), C.R.S.
370+ Of this amount, $182,603,185 contains an (I) notation and $163,603,185 is not subject to the limitation on General Fund approp riations imposed by Section 24-75-201.1 (1)(a) 1
371+(III), C.R.S. 2
269372 b
270- Of this amount, $576,108,881 contains an (I) notation; $376,660,555 represents allocations of Highway Users Tax Fund revenues to counties and municipalities pursuant to Sections
271-43-4-205, 207, and 208, C.R.S.
373+ Of this amount, $576,108,881 contains an (I) notation; $376,660,555 represents allocations of Highway Users Tax Fund revenues to counties and municipalities pursuant to Sections 3
374+43-4-205, 207, and 208, C.R.S. 4
272375 c
273-This amount contains an (I) notation.
274-PAGE 6-SENATE BILL 23-134 SECTION 2. Safety clause. The general assembly hereby finds,
275-determines, and declares that this act is necessary for the immediate
276-preservation of the public peace, health, and safety.
277-____________________________ ____________________________
278-Steve Fenberg
279-Julie McCluskie
280-PRESIDENT OF SPEAKER OF THE HOUSE
281-THE SENATE OF REPRESENTATIVES
282-____________________________ ____________________________
283-Cindi L. Markwell Robin Jones
284-SECRETARY OF CHIEF CLERK OF THE HOUSE
285-THE SENATE OF REPRESENTATIVES
286- APPROVED________________________________________
287- (Date and Time)
288- _________________________________________
289- Jared S. Polis
290- GOVERNOR OF THE STATE OF COLORADO
291-PAGE 7-SENATE BILL 23-134
376+This amount contains an (I) notation. 5
377+6
378+134
379+-11- SECTION 2. Safety clause. The general assembly hereby finds,1
380+determines, and declares that this act is necessary for the immediate2
381+preservation of the public peace, health, and safety.3
382+134-12-