Colorado 2025 2025 Regular Session

Colorado Senate Bill SB109 Engrossed / Bill

Filed 02/06/2025

                    First Regular Session
Seventy-fifth General Assembly
STATE OF COLORADO
REENGROSSED
This Version Includes All Amendments
Adopted in the House of Introduction
LLS NO. 25-0547.01 Craig Harper x3481
SENATE BILL 25-109
Senate Committees House Committees
Appropriations
A BILL FOR AN ACT
C
ONCERNING A SUPPLEMENTAL APPR OPRIATION TO THE DEPARTMENT101
OF TRANSPORTATION .102
Bill Summary
(Note:  This summary applies to this bill as introduced and does
not reflect any amendments that may be subsequently adopted. If this bill
passes third reading in the house of introduction, a bill summary that
applies to the reengrossed version of this bill will be available at
http://leg.colorado.gov
.)
Supplemental appropriations are made to the department of
transportation.
Be it enacted by the General Assembly of the State of Colorado:1
SENATE
3rd Reading Unamended
February 6, 2025
SENATE
2nd Reading Unamended
February 5, 2025
SENATE SPONSORSHIP
Bridges, Amabile, Kirkmeyer
HOUSE SPONSORSHIP
Bird, Sirota, Taggart
Shading denotes HOUSE amendment.  Double underlining denotes SENATE amendment.
Capital letters or bold & italic numbers indicate new material to be added to existing law.
Dashes through the words or numbers indicate deletions from existing law. SECTION 1. Appropriation to the department of1
transportation for the fiscal year beginning July 1, 2024. In Session2
Laws of Colorado 2024, section 2 of chapter 519, (HB 24-1430), amend3
Part XXII as follows:4
Section 2. Appropriation.5
109
-2- APPROPRIATION FROM
ITEM &
SUBTOTAL
TOTAL GENERAL
FUND
GENERAL
FUND
EXEMPT
CASH
FUNDS
REAPPROPRIATED
FUNDS
FEDERAL
FUNDS
PART XXII	1
DEPARTMENT OF TRANSPORTATION	2
3
(1) ADMINISTRATION	4 49,906,487
49,836,487
a
70,000
b
5 49,983,751 49,913,751
a
6 (162.5 FTE)
7
a
 This amount shall be from the State Highway Fund created in Section 43-1-219, C.R.S., from revenues credited pursuant to Secti	on 43-4-205 (5)(a), C.R.S.	8
b
 This amount shall be funded internally by various cash fund sources appropriated in the Construction, Maintenance, and Operati ons section.	9
10
(2) CONSTRUCTION,	11
MAINTENANCE, AND	12
OPERATIONS	13 1,658,620,633
 806,331,239
(I)
a
1,213,672(I)
b
851,075,722(I)
14 1,658,543,369 806,253,975(I)
a
15 (3,156.0 FTE) 
109
-3- APPROPRIATION FROM
ITEM &
SUBTOTAL
TOTAL GENERAL
FUND
GENERAL
FUND
EXEMPT
CASH
FUNDS
REAPPROPRIATED
FUNDS
FEDERAL
FUNDS
1
a
 Of this amount, $742,141,324
 $742,064,060 shall be from the State Highway Fund created in Section 43-1-219, C.R.S., and $64,189,915 shall be from various d epartment sources	2
including: the Aviation Fund created in Section 43-10-109 (1), C.R.S., the State Transit and Rail Fund created in Section 43-4-	811 (2), C.R.S., the Law Enforcement Assistance Fund	3
created in Section 43-4-401, C.R.S., and interest earnings from the loans and balances of the Transportation Infrastructure Rev	olving Fund created in Section 43-1-113.5 (1), C.R.S.	4
b
 This amount shall be funded from various sources of reappropriated funds. 	5
6
(3) STATEWIDE BRIDGE	7
AND TUNNEL	8
ENTERPRISE	9 163,545,750 153,919,511(I)
a
9,626,239
10(1.0 FTE)
11
a
 This amount shall be from the Statewide Bridge and Tunnel Enterprise Special Revenue Fund created in Section 43-4-	805 (3)(a), C.R.S. These funds are subject to allocation by the	12
Statewide Bridge Enterprise Board pursuant to Section 43-4-805 (3)(b), C.R.S., and are included for informational purposes only	. 	13
14
109
-4- APPROPRIATION FROM
ITEM &
SUBTOTAL
TOTAL GENERAL
FUND
GENERAL
FUND
EXEMPT
CASH
FUNDS
REAPPROPRIATED
FUNDS
FEDERAL
FUNDS
(4) HIGH	1
PERFORMANCE	2
TRANSPORTATION	3
ENTERPRISE	4 127,405,835 123,405,835(I)
a
4,000,000(I)
b
5(9.0 FTE)
6
a
 This amount shall be from the Statewide Transportation Enterprise Special Revenue Fund created in Section 43-4-806 (3)(a), C.R	.S. These funds are subject to allocation by the	7
High-Performance Transportation Enterprise Board pursuant to Section 43-4-806 (3), C.R.S., and are included for informational p	urposes only.	8
b
 This amount shall be from fees paid from the Construction, Maintenance, and Operations line item to the Statewide Transportati on Enterprise Operating Fund created in Section 43-4-806	9
(4), C.R.S.	10
11
12
(5) SPECIAL PURPOSE	13
Marijuana Impaired Driving	14
Program 15 950,000 950,000
a
109
-5- APPROPRIATION FROM
ITEM &
SUBTOTAL
TOTAL GENERAL
FUND
GENERAL
FUND
EXEMPT
CASH
FUNDS
REAPPROPRIATED
FUNDS
FEDERAL
FUNDS
Multimodal Transportation	1
Projects
110
2 19,338,751 19,338,751
b
3 20,288,751
4
a
 This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.	5
b
 This amount shall be from the Multimodal Transportation and M itigation Options Fund created in Section 43-4-1103 (1)(a), C.R.S .	6
7
(6) NONATTAINMENT	8
AREA AIR POLLUTION	9
MITIGATION	10
ENTERPRISE	11 10,881,662 10,881,662(I)
a
12
a
 This amount shall be from the Nonattainment Area Air Pollutio n Mitigation Enterprise Fund cr eated in Section 43-4-1303 (5)(a), C.R.S. These funds are subject to allocation by the	13
Nonattainment Area Air Pollution Mitigation Enterprise Board purs uant to Section 43-4-1303, C.R.S., and are included for inform ational purposes only.	14
15
109
-6- APPROPRIATION FROM
ITEM &
SUBTOTAL
TOTAL GENERAL
FUND
GENERAL
FUND
EXEMPT
CASH
FUNDS
REAPPROPRIATED
FUNDS
FEDERAL
FUNDS
(7) CLEAN TRANSIT	1
ENTERPRISE	2 18,134,321 18,134,321
a
3
a
 This amount shall be from the Clean Transit Enterprise Fund created in Section 43-4-1203 (5)(a), C.R.S.	4
5
(8)
 FUELS
 IMPACT	6
ENTERPRISE	7 15,000,000 $15,000,000(I)
a
8
a
 This amount shall be from the Fuels Impact Enterprise created in Section 43-4-1504(b)(I). These funds are subject to allocatio	n by the Transportation Commission pursuant to Section	9
43-4-1503, C.R.S., and are included for informational purposes only.	10
11
12
TOTALS PART XXII	13
(TRANSPORTATION)	14 $2,063,783,439 $1,197,797,806
a
$5,283,672
b
$860,701,961
c
15
109
-7- APPROPRIATION FROM
ITEM &
SUBTOTAL
TOTAL GENERAL
FUND
GENERAL
FUND
EXEMPT
CASH
FUNDS
REAPPROPRIATED
FUNDS
FEDERAL
FUNDS
a
 Of this amount, $1,109,538,247
 $1,109,460,983 contains an (I) notation.	1
b
 Of this amount, $5,213,672 contains an (I) notation.	2
c
 This amount contains an (I) notation.	3
4
FOOTNOTES -- The following statements are referenced to the numbered footnotes throughout section 2.	5
6
110 Department of Transportation, Special Purpose, Multimodal Transportation Projects -- This appropriation remains available fo	r expenditure until the close	7
of the 2027-28 state fiscal year.	8
109
-8- SECTION 2. Safety clause. The general assembly finds,1
determines, and declares that this act is necessary for the immediate2
preservation of the public peace, health, or safety or for appropriations for3
the support and maintenance of the departments of the state and state4
institutions.5
109-9-