SB3852 A BILL FOR 103RD GENERAL ASSEMBLY State of Illinois 2023 and 2024 SB3852 Introduced 2/28/2024, by Sen. Elgie R. Sims, Jr. SYNOPSIS AS INTRODUCED: Makes appropriations for the ordinary and contingent expenses of the Department of Transportation for the fiscal year beginning July 1, 2024, as follows: Other State Funds $4,576,543,588 Federal Funds $ 17,433,708 Total $4,593,977,296 OMB103 00208 STV 45208 b SB3852 OMB103 00208 STV 45208 b AN ACT concerning appropriations. 1 Be it enacted by the People of the State of Illinois, represented 2 in the General Assembly: 3 ARTICLE 1 4 DEPARTMENT OF TRANSPORTATION 5 MULTI-MODAL OPERATIONS 6 7 Section 5. The following named sums, or so much thereof 8 as may be necessary, for the objects and purposes hereinafter 9 named, are appropriated from the Road Fund to meet the ordinary 10 and contingent e xpenses of the Department of Transportation 11 for: 12 DEPARTMENT-WIDE 13 For Personal Services ........................... 510,010,600 14 Split approximated below: 15 Central Administration & Planning............. $37,040,600 16 Bureau of Information Processin g ...............$5,997,600 17 Planning & Programming ........................ $11,880,500 18 Highway Project Implementation ................$38,719,500 19 Day Labor ................................ ......$3,612,500 20 District 1 ................................ ...$120,559,400 21 SB3852 -2- OMB103 00208 STV 45208 b District 2 ................................ ....$34,918,800 1 District 3 ................................ ......$33,925,900 2 District 4 ................................ ......$35,395,700 3 District 5 ................................ ......$29,737,800 4 District 6 ................................ ......$40,596,500 5 District 7 ................................ ......$32,132,400 6 District 8 ................................ ......$49,508,000 7 District 9 ................................ .....$27,527,600 8 Aeronautics ................................ ......$3,706,300 9 Intermodal Project Implementation ................$4,751,500 10 For Extra Help for Districts 1 – 9 ...............38,375,000 11 Split approximated below: 12 District 1 ................................ ....$11,766,000 13 District 2 ................................ ......$4,650,000 14 District 3 ................................ .......$3,339,000 15 District 4 ................................ .......$4,300,000 16 District 5 ................................ .......$2,000,000 17 District 6 ................................ .......$4,150,000 18 District 7 ................................ .......$2,500,000 19 District 8 ................................ .......$3,220,000 20 District 9 ................................ ......$2,450,000 21 For State Contributions to State Employees’ 22 Retirement System ............................ 280,663,800 23 For State Contributions to Social Security .......42,063,500 24 Total $871,112,900 25 SB3852 -3- OMB103 00208 STV 45208 b Section 10. The following named sums, or so much thereof 1 as may be necessary, for the objects and purposes hereinafter 2 named, are appropriate d from the Road Fund to meet the ordinary 3 and contingent expenses of the Department of Transportation: 4 FOR CENTRAL ADMINISTRATION OFFICES 5 For Contractual Service .......................... 28,050,900 6 For Travel ................................ ..........526,700 7 For Commodities ................................ .....436,200 8 For Printing ................................ ........383,000 9 For Equipment ................................ .......251,800 10 For Equipment: 11 Purchase of Cars & Trucks ....................... ...430,000 12 For Telecommunications Services ..................... 260,000 13 For Operation of Automotive Equipment ...............661,100 14 Total $30,999,700 15 LUMP SUMS 16 Section 15. The following named amounts, or so much thereof 17 as may be necessary, are appropriated from the Road Fund to the 18 Department of Transportation for the objects and purposes 19 hereinafter named: 20 For costs associated with hazardous 21 material abatement .............................. 1,500,000 22 SB3852 -4- OMB103 00208 STV 45208 b For costs associated with auditing 1 consultants for internal 2 and external audits ............................. 2,900,000 3 For costs associated with process modernization 4 implementation of the Department ..................200,000 5 Total $4,600,000 6 Section 20. The sum of $3,000,000, or so much thereof as 7 may be necessary, is appropriated from the Road Fund to the 8 Department of Transportation for costs associated with an 9 efficiency study. 10 AWARDS AND GRANTS 11 Section 25. The following named amounts, or so much thereof 12 as may be necessary, are appropriated from the Road Fund to the 13 Department of Transportation for the objects and purposes 14 hereinafter named: 15 For Tort Claims, including payment pursuant 16 to the State Employee Indemnification Act .........2,000,000 17 For representation and inde mnification for 18 the Department of Transportation, the Illinois 19 State Police and the Secretary of State, 20 provided that the representation required 21 resulted from the Road Fund portion 22 of their normal operations. ......................... 100,000 23 SB3852 -5- OMB103 00208 STV 45208 b For auto liability payments for the Department 1 Transportation, the Illinois State Police, and the 2 Secretary of State, provided that the liability resulted from 3 the Road Fund portion of their normal 4 operations ................................ ....... 4,000,000 5 Total $6,100,000 6 7 REFUNDS 8 Section 30. The following named amount, or so much thereof 9 as may be necessary, is appropriated from the Road Fund to the 10 Department of Transportation for the objects and purposes 11 hereinafter named: 12 For Refunds ................................ ..........15,000 13 Section 35. The following named s ums, or so much thereof 14 as may be necessary, for the objects and purposes hereinafter 15 named, are appropriated from the Road Fund to meet the ordinary 16 and contingent expenses of the Department of Transportation: 17 FOR BUREAU OF INFORMATION PROCESSING 18 For Contractual Services ......................... 12,847,300 19 For Travel ................................ ...........30,000 20 For Commodities ................................ ......25,000 21 For Equipment ................................ ........10,000 22 For Electronic Data Processing ...................41,858,800 23 SB3852 -6- OMB103 00208 STV 45208 b For Telecommunications ............................ 2,113,000 1 Total $56,884,100 2 FOR PLANNING AND PROGRAMMING 3 Section 40. The following named sums, or so much thereof 4 as may be necessary, for the objects and purposes hereinafter 5 named, are appropriated from the Road Fund to the Department 6 of Transportation for the ordinary and contingent expenses of 7 the Office of Planning and Pro gramming: 8 For Contractual Services ............................ 780,200 9 For Travel ................................ ..........165,000 10 For Commodities ................................ ......65,200 11 For Printing ................................ ........225,000 12 For Equipment ................................ .......225,000 13 For Telecommunications Services ..................... 225,600 14 For Operation of Automotive Equipment ...............129,300 15 Total $1,815,300 16 LUMP SUMS 17 Section 45. The following named amounts, or so much thereof 18 as may be necessary, are appropriated from the Road Fund to the 19 Department of Transportation for the objects and purposes 20 hereinafter named: 21 For Planning, Research and Development 22 Purposes ................................ ..........250,000 23 SB3852 -7- OMB103 00208 STV 45208 b For metropolitan planning and research purposes as provided 1 by law, provided such amount shall 2 not exceed funds to be made 3 available from the federal 4 government or local sources ..................... 83,900,000 5 For metropolitan planning and research 6 purposes as provided by law ..................... 24,780,000 7 Total $108,930,000 8 Section 50. The sum of $3,000,000, or so much thereof as 9 may be necessary, is appropriated from the Road Fund to the 10 Department of Transportation for costs incurred as directed by 11 the Blue - Ribbon Commission for strategic advisory services 12 and support. 13 FOR HIGHWAYS PROJECT IMPLEMENTATION 14 Section 55. The following named sums, or so much thereof 15 as may be necessary, for the objects and purposes hereinafter 16 named, are appropriated from the Road Fund to the Department 17 of Transportation for the ordinary and contingent expenses of 18 the Office of Highway Implementation: 19 For Contractual Services .......................... 6,154,100 20 For Travel ................................ ..........420,000 21 For Commodities ................................ .....272,600 22 For Printing ................................ .........10,100 23 SB3852 -8- OMB103 00208 STV 45208 b For Equipment ................................ .....8,050,600 1 For Equipment: 2 Purchase of Cars and Trucks ...................... 9,330,000 3 For Telecommunications Services ...................4,491,100 4 For Operation of Automotive Equipment ...............846,600 5 Total $29,575,100 6 LUMP SUMS 7 Section 60. The following named sums, or so much thereof 8 as may be necessary, are appropriated from the Road Fund to the 9 Department of Transportation for payments to local governments 10 for the following purposes : 11 For reimbursement of eligible expenses 12 arising from local 13 Traffic Signal Maintenance Agreements ............5,400,000 14 For reimbursement of eligible expenses 15 arising from City, 16 County, and other State 17 Maintenance Agreements ......................... 15,200,000 18 Total $20,600,000 19 Section 65. The sum of $1,500,000, or so much thereof as 20 may be necessary, is appropriated from the Road Fund to the 21 Department of Transportation for repair of damages by motorists 22 to state vehicles and equipment or replacement of state 23 SB3852 -9- OMB103 00208 STV 45208 b vehicles and equipment, provided such amount not exceed funds 1 to be made available from collections from claims filed by the 2 Department to recover the costs of such damages. 3 Section 70. The sum of $6,500,000, or so much thereof as 4 may be necessary, is appropriated from the Road Fund to the 5 Department of Transportation for costs associated with the 6 State Radio Communications for the 21st Century (STARCOM) 7 program. 8 Section 75. The sum of $200,000, or so much thereof as may 9 be necessary, is appropriated from the Road Fund to the 10 Department of Transportation for costs associated with Illinois 11 Terrorism Task Force, that consist of approved purchases for 12 homeland security provided such expenditures do not exceed 13 funds made available by the federal government for this 14 purpose. 15 Section 80. The sum of $300,000, or so much thereof as may 16 be necessary, is appropriated from the Road Fund to the 17 Department of Transportation for costs incurred by the 18 Department’s response to natural disasters, emergencies and 19 acts of terroris m that receive Presidential and/or State 20 Disaster Declaration status. These costs would include, but 21 not be limited to, the Department’s fuel costs, cost of 22 SB3852 -10- OMB103 00208 STV 45208 b materials and cost of equipment rentals. This appropriation 1 is in addition to the Department’s ot her appropriations for 2 District and Central Office operations. 3 Section 85. The sum of $210,000, or so much thereof as may 4 be necessary, is appropriated from the Road Fund to the 5 Department of Transportation for costs associated with the 6 Technology Tran sfer Center, including the purchase of 7 equipment, media initiatives, and training, provided that such 8 expenditures do not exceed funds to be made available by the 9 federal government for this purpose. 10 Section 90. The sum of $5,500,000, or so much thereo f as 11 may be necessary, is appropriated from the Road Fund to the 12 Department of Transportation for costs associated with highway 13 safety media campaigns, provided such amounts do not exceed 14 funds to be made available from the federal government. 15 Section 95. The sum of $10,300,000, or so much thereof as 16 may be necessary, is appropriated from the Road Fund to the 17 Department of Transportation for the IDOT ITS Program. 18 Section 100. The sum of $160,000, or so much thereof as 19 may be necessary, is appropriated from the Transportation 20 Safety Highway Hire -back Fund to the Department of 21 SB3852 -11- OMB103 00208 STV 45208 b Transportation for agreements with the Illinois State Police 1 to provide patrol officers in highway construction work zones. 2 AWARDS AND GRANTS 3 Section 105. The sum of $4,300,900, or so much thereof as 4 may be necessary, is appropriated from the Road Fund to the 5 Department of Transportation for reimbursement to counties 6 participating in the Co unty Engineers Compensation Program for 7 salaries in the period agreed upon by the parties without regard 8 to state fiscal year. Such reimbursements may not exceed funds 9 to be made available from the counties federal highway 10 allocations retained by the Depar tment. 11 Section 110. The sum of $350,000, or so much there of as 12 may be necessary, is appropriated from the DUI Prevention and 13 Education Fund to the Department of Transportation for all 14 costs associated with providing grants, with guidance from the 15 DUI Prevention and Education Commission, for crash victim 16 programs and materials, impaired driving prevention programs, 17 law enforcement support, and other DUI -related programs. 18 REFUNDS 19 Section 115. The following named amount, or so much thereof 20 as may be necessary, is appropriated from the Road Fund to the 21 Department of Transportation for the objects and purposes 22 SB3852 -12- OMB103 00208 STV 45208 b hereinafter named: 1 For Refunds... ......... ............................35,000 2 FOR CYCLE RIDER SAFETY 3 Section 120. The following named sums, or so much thereof 4 as may be necessary, for the objects and purposes hereinafter 5 named, are appropriated from the Cycle Rider Safety Training 6 Fund to the Department of Transportation for the administration 7 of the Cycle Rider Safety Training Program: 8 OPERATIONS 9 For Personal Services ............................... 284,700 10 For State Contributions to State 11 Employees' Retirement System ....................... 145,700 12 For State Contributions to Social Security ...........21,800 13 For Group Insurance ................................ .120,600 14 For Contractual Services ............................ 158,800 15 For Travel ................................ ............9,700 16 For Commodities ................................ ......35,300 17 Total $776,600 18 LUMP SUMS 19 Section 125. The sum of $4,700,000, or so much thereof as 20 may be necessary, is appropriated from the Cycle Rider Safety 21 Training Fund to the Department of Transportation for 22 SB3852 -13- OMB103 00208 STV 45208 b reimbursements to State and local universitie s and colleges for 1 Cycle Rider Safety Training Programs. 2 Section 130. The following named sums, or so much thereof 3 as may be necessary, for the objects and purposes hereinafter 4 named, are appropriated from the Road Fund to meet the ordinary 5 and contingent expenses of the Department of Transportation: 6 FOR BUREAU OF DAY LABOR 7 For Contractual Services .......................... 7,133,700 8 For Travel ................................ ..........165,000 9 For Commodities ................................ .....263,800 10 For Equipment ................................ .......675,000 11 For Equipment: 12 Purchase of Cars and Trucks ........................ 900,000 13 For Telecommunications Services ...................... 46,800 14 For Operation of Automotive Equipment .............1,143,500 15 Total $10,327,800 16 Section 135. The following named sums, or so much thereof 17 as may be necessary, for the objects and purposes hereinafter 18 named, are appropriated from the Road Fund to meet the ordinary 19 and contingent expenses of the Department of Transportation: 20 DISTRICT 1, SCHAUMBURG OFFICE 21 SB3852 -14- OMB103 00208 STV 45208 b For Contractual Services ......................... 15,633,700 1 For Travel ................................ ..........440,000 2 For Commodities ................................ ..18,107,900 3 For Equipment ................................ .....4,827,700 4 For Equipment: 5 Purchase of Cars and Trucks ..................... 10,350,000 6 For Telecommunications Services ..................12,800,200 7 For Operation of Automotive Equipment ........... 22,385,200 8 Total $84,544,700 9 Section 140. The following named sums, or so much thereof 10 as may be necessary, for the objects and purposes hereinafter 11 named, are appropriated from the Road Fund to meet the ordinary 12 and contingent expenses of the Department of Transportation: 13 DISTRICT 2, DIXON OFFICE 14 For Contractual Services .......................... 5,221,800 15 For Travel ................................ ...........70,000 16 For Commodities ................................ ...8,306,500 17 For Equipment ................................ .....2,231,300 18 For Equipment: 19 Purchase of Cars and Trucks ...................... 4,875,000 20 For Telecommunications Services ..................... 265,200 21 For Operation of Automotive Equipment ............ 8,789,400 22 Total $29,759,200 23 SB3852 -15- OMB103 00208 STV 45208 b 1 Section 145. The following named sums, or so much thereof 2 as may be necessary, for the objects and purposes hereinafter 3 named, are appropriated from the Road Fund to meet the ordinary 4 and contingent expenses of the Department of Transportation: 5 DISTRICT 3, OTTAWA OFFICE 6 For Contractual Services .......................... 6,089,300 7 For Travel ................................ ...........70,000 8 For Commodities ................................ ...6,836,300 9 For Equipment ................................ .....2,231,300 10 For Equipment: 11 Purchase of Cars and Trucks ...................... 4,700,000 12 For Telecommunications Services ..................... 260,000 13 For Operation of Automotive Equipment .............8,484,200 14 Total $28,671,100 15 16 Section 150. The following named sums, or so much thereof 17 as may be necessary, for the objects and purposes hereinafter 18 named, are appropriated from the Road Fund to meet the ordinary 19 and contingent expenses of the Department of Transportation: 20 DISTRICT 4, PEORIA OFFICE 21 For Contractual Services .......................... 4,860,500 22 For Travel ................................ ...........53,000 23 SB3852 -16- OMB103 00208 STV 45208 b For Commodities ................................ ...5,413,400 1 For Equipment ................................ .....2,231,300 2 For Equipment: 3 Purchase of Cars and Trucks ...................... 4,210,000 4 For Telecommunications Services ..................... 280,000 5 For Operation of Automotive Equip ment ............ 9,087,900 6 Total $26,136,100 7 Section 155. The following named amounts, or so much 8 thereof as may be necessary, are appropriated from the Road 9 Fund to the Department of Transportation for the objects and 10 purposes hereinafter named: 11 DISTRICT 5, PARIS OFFICE 12 For Contractual Services .......................... 4,963,600 13 For Travel ................................ ...........50,000 14 For Commodities ................................ ...3,226,000 15 For Equipment ................................ .....2,231,300 16 For Equipment: 17 Purchase of Cars and Trucks ...................... 3,650,000 18 For Telecommunications Services ..................... 244,400 19 For Operation of Automotive Equipment .............6,964,700 20 Total $21,330,000 21 22 Section 160. The following named sums, or so much thereof 23 SB3852 -17- OMB103 00208 STV 45208 b as may be necessary, for the objects and purposes hereinafter 1 named, are appropriated from the Road Fund to meet the ordinary 2 and contingent expenses of the Department of Transportation: 3 DISTRICT 6, SPRINGFIELD OFFICE 4 For Contractual Services .......................... 6,708,400 5 For Travel ................................ ...........50,000 6 For Commodities ................................ ...5,714,400 7 For Equipment ................................ .....2,441,000 8 For Equipment: 9 Purchase of Cars and Trucks ...................... 3,650,000 10 For Telecommunications Services ..................... 369,200 11 For Operation of Automotive Equipment .............8,854,600 12 Total $27,787,600 13 Section 165. The following named sums, or so much thereof 14 as may be necessary, for the objects and purposes hereinafter 15 named, are appropriated from the Road Fund to meet the ordinary 16 and contingent expenses of the Department of Transportation: 17 DISTRICT 7, EFFINGHAM OFFICE 18 For Contractual Services .......................... 4,967,800 19 For Travel ................................ ...........53,000 20 For Commodities ................................ ...3,619,900 21 For Equipment ................................ .....2,231,300 22 SB3852 -18- OMB103 00208 STV 45208 b For Equipment: 1 Purchase of Cars and Trucks ...................... 3,700,000 2 For Telecommunications Services ..................... 291,200 3 For Operation of Automotive Equipment .............5,794,900 4 Total $20,658,100 5 Section 170. The following named sums, or so much thereof 6 as may be necessary, for the obj ects and purposes hereinafter 7 named, are appropriated from the Road Fund to meet the ordinary 8 and contingent expenses of the Department of Transportation: 9 DISTRICT 8, COLLINSVILLE OFFICE 10 For Contractual Services ......................... 10,907,600 11 For Travel ................................ ...........70,000 12 For Commodities ................................ ...7,923,500 13 For Equipment ................................ .....3,136,900 14 For Equipment: 15 Purchase of Cars and Trucks ...................... 5,025,000 16 For Telecommunications Services ..................... 858,000 17 For Operation of Automotive Equipment .............9,324,500 18 Total $37,245,500 19 Section 175. The following named sums, or so much thereof 20 as may be necessary, for the objects and purposes hereinafter 21 named, are appropriated from the Road Fund to meet the ordinary 22 SB3852 -19- OMB103 00208 STV 45208 b and contingent expenses of the Department of Transportation: 1 DISTRICT 9, CARBONDALE OFFICE 2 For Contractual Services .......................... 5,070,600 3 For Travel ................................ ...........57,000 4 For Commodities ................................ ...3,399,900 5 For Equipment ................................ .....2,231,300 6 For Equipment: 7 Purchase of Cars and Trucks ...................... 3,350,000 8 For Telecommunications Services ..................... 197,600 9 For Operation of Automotive Equipment .............6,486,500 10 Total $20,792,900 11 12 Section 180. The following named sums, or so much thereof 13 as may be necessary, for the objects and purposes hereinafter 14 named, are appropriated to meet the ordinary and contingent 15 expenses of the Department of Transportation: 16 FOR AERONAUTICS 17 For Contractual Services: 18 Payable from the Road Fund......................... 713,400 19 Payable from Air Transportation Revolving Fund ......208,000 20 For Travel: 21 Payable from the Road Fund ........................... 35,500 22 For Commodities: 23 SB3852 -20- OMB103 00208 STV 45208 b Payable from the Road Fund ........................... 93,600 1 Payable from Aeronautics Fund ......................... 5,200 2 For Equipment: 3 Payable from the Road Fund .......................... 125,000 4 For Telecommunications Services: 5 Payable from the Road Fund ........................... 58,200 6 For Operation of Automotive Equipment: 7 Payable from the Road Fund ........................... 80,400 8 Total $1,319,300 9 LUMP SUMS 10 Section 185. The sum of $1,600,000, or so much thereof as 11 may be necessary, is appropriated from the Tax Recovery Fund 12 to the Department of Transportation for maintenance and repair 13 costs incurred on real property owned by the Department for 14 development of an airport in Will County, for applicable 15 refunds of security deposits to lessees, and for payments to 16 the Will County Treasurer in lieu of leasehold taxes lost due 17 to government ownership. 18 Section 190. The sum of $32,000,000, or so much thereof 19 as may be necessary, is appropriated from the State Aviation 20 Program Fund to the Department of Transportation for the 21 purposes described in Section 6z -20.1 of the State Finance 22 Act. 23 SB3852 -21- OMB103 00208 STV 45208 b Section 195. The sum of $9,500,000, or so much thereof as 1 may be necessary, is appropriated from the Sound -Reducing 2 Windows and Doors Replacement Fund to the Department of 3 Transportation for the purposes described in Section 6z -20.1 4 of the State Finance Act. 5 REFUNDS 6 Section 200. The following named amount, or so much thereof 7 as may be necessary, is appropriated from the Aeronautics Fund 8 to the Department of Transportation for the objects and 9 purposes hereinafter named: 10 For Refunds ................................ .............500 11 FOR INTERMODAL PROJECT IMPLEMENTATION 12 Section 205. The following named sums, or so much thereof 13 as may be necessary for the agencies hereinafter named, are 14 appropriated from the Road Fund to the Department of 15 Transportation for the ordinary and contingent expenses of the 16 Office of Intermodal Project Implementation: 17 For Contractual Services ............................ 616,200 18 For Travel ................................ ...........52,000 19 For Commodities ................................ .......4,300 20 For Equipment ................................ .........4,200 21 For Telecommunications .............................. 33,400 22 SB3852 -22- OMB103 00208 STV 45208 b Total $710,100 1 LUMP SUMS 2 Section 210. The sum of $250,000, or so much thereof as 3 may be necessary, is appropriated from the Road Fund to the 4 Department of Transportation for public transportation 5 technical studies. 6 Section 215. The sum of $250,000, or so much thereof as may 7 be necessary, is appropriated from the Road Fund to the 8 Department of Transportation for costs associated with Safety 9 and Security Oversight as set forth in the federal 10 transportation bill, as amended. 11 Section 220. The following named sums, or so much thereof 12 as may be necessary, are appropriated from the Dow nstate Public 13 Transportation Fund to the Department of Transportation for 14 operating assistance to provide a portion of the eligible 15 operating expenses for the following carriers for the purposes 16 stated in the Downstate Public Transportation Act : 17 Champaign-Urbana Mass Transit District .............53,524,700 18 Greater Peoria Mass Transit District (with 19 Service to Peoria County) ...................... 42,340,700 20 Rock Island County Metropolitan 21 Mass Transit District ............................ 33,749,300 22 SB3852 -23- OMB103 00208 STV 45208 b Rockford Mass Transit District ..................... 28,012,500 1 Springfield Mass Transit D istrict ..................27,241,500 2 Bloomington-Normal Public Transit System ...........15,279,600 3 City of Decatur ................................ ....13,379,000 4 City of Quincy ................................ ......6,689,900 5 City of Galesburg ................................ ...3,041,600 6 Stateline Mass Transit District (with 7 service to South Beloit) .......................... 1,234,600 8 City of Danville ................................ ....4,866,400 9 RIDES Mass Transit District (with 10 service to Edgar and Clark counties) .............14,351,600 11 South Central Illinois Mass Transit District .......10,168,400 12 River Valley Metro Mass Transit District ............8,976,800 13 Jackson County Mass Transit District ................1,003,700 14 City of DeKalb ................................ ......6,911,100 15 City of Macomb ................................ ......4,199,000 16 Shawnee Mass Transit District ....................... 4,063,000 17 St. Clair County Transit Distric t ..................99,636,700 18 West Central Mass Transit District 19 (with service to Cass and Schuyler Counties) .......2,272,500 20 Monroe-Randolph Transit District .................... 1,728,100 21 Madison County Mass Transit District ...............39,701,100 22 Bond County ................................ ...........740,900 23 Bureau County (with service to Putnam County) .......1,392,900 24 Coles County ................................ ........1,030,400 25 SB3852 -24- OMB103 00208 STV 45208 b City of Freeport/Stephenson County ..................1,631,900 1 Henry County ................................ ..........718,400 2 Jo Daviess County ................................ .....983,500 3 Kankakee County ................................ .....1,279,000 4 Piatt County ................................ ..........942,500 5 Shelby County with service to Christian County ......1,697,700 6 Tazewell County ................................ .....1,317,700 7 CRIS Rural Mass Transit District .................... 1,317,800 8 Kendall County ................................ ......3,060,100 9 McLean County ................................ .......2,926,800 10 Woodford County ................................ .......578,500 11 Lee and Ogle Counties ............................... 1,867,000 12 Whiteside County ................................ ....1,167,300 13 Champaign County ................................ ....1,125,600 14 Boone County ................................ ..........235,700 15 DeKalb County ................................ .......1,284,000 16 Grundy County ................................ .........834,600 17 Warren County ................................ .........527,100 18 Rock Island/Mercer Counties ........................... 596,400 19 Hancock County ................................ ........342,100 20 Macoupin County ................................ .....1,027,100 21 Fulton County ................................ .........471,600 22 Effingham County ................................ ......778,000 23 City of Ottawa (serving LaSalle County) .............1,980,600 24 Carroll County ................................ ........542,400 25 SB3852 -25- OMB103 00208 STV 45208 b Logan County (with service to Mason County) ...........754,600 1 Sangamon County (with service to Menard County) .......779,500 2 Jersey County with service to Greene & Calhoun ....... 637,700 3 Marshall County with service to Stark County ......... 259,300 4 Douglas County ................................ ........209,200 5 Winnebago County ................................ ......798,800 6 Total $458,208,500 7 Section 225. The sum of $4,951,200, or so much thereof as 8 may be necessary, is appropriated from the Downstate Public 9 Transportation Fund to the Department of Transportation for 10 audit adjustments in accordance with Sections 2 -7 and 2-15 of 11 the Downstate Public Transportation Act , including prior years’ 12 costs. 13 Section 230. The sum of $520,000, or so mu ch thereof as 14 may be necessary, is appropriated from the Federal Mass 15 Transit Trust Fund to the Department of Transportation for 16 federal reimbursement of costs associated with Safety and 17 Security Oversight as set forth in the federal transportation 18 bill, as amended. 19 Section 235. The sum of $1,540,000, or so much thereof as 20 may be necessary, is appropriated from the Federal Mass Transit 21 Trust Fund to the Department of Transportation for federal 22 SB3852 -26- OMB103 00208 STV 45208 b reimbursement of transit studies as provided by the federal 1 transportation bill, as amended. 2 GRANTS AND AWARDS 3 Section 240. The sum of $530,000,000, or so much thereof 4 as may be necessary, is appropriated from the Public 5 Transportation Fund to the Department of Transportation for the 6 purpose stated in Section 4 .09 of the Regional Transportation 7 Authority Act. 8 Section 245. The sum of $7,000,000, or so much thereof as 9 may be necessary, is appropriated from the Public 10 Transportation Fund to the Department of Transportation for 11 making a grant to the Regional Tra nsportation Authority for 12 Additional State Assistance to be used for its purposes as 13 provided in the Regional Transportation Authority Act, but in 14 no event shall this amount exceed the amount provided for in 15 Sections 4.09 (c) and 4.09 (d) with respect to S trategic Capital 16 Improvement bonds issued by the Regional Transportation 17 Authority pursuant to the Regional Transportation Authority 18 Act. 19 Section 250. The sum of $100,000,000, or so much thereof 20 as may be necessary, is appropriated from the Public 21 Transportation Fund to the Department of Transportation for 22 SB3852 -27- OMB103 00208 STV 45208 b making a grant to the Regional Transportation Authority for 1 Additional Financial Assistance to be used for its purposes as 2 provided in the Regional Transportation Authority Act, but in 3 no event shall this amount exceed the amount provided for in 4 Sections 4.09 (c -5) and 4.09 (d) with respect to Strategic 5 Capital Improvement bonds issued by the Regional Transportation 6 Authority pursuant to the Regional Transportation Authority 7 Act. 8 Section 255. The sum of $20,969,900, or so much thereof 9 as may be necessary, is appropriated from the Road Fund to 10 the Department of Transportation for grants to the Regional 11 Transportation Authority intended to reimburse the Service 12 Boards for providing reduced fares on mass transportation 13 services for students, handicapped persons, and the elderly, 14 to be allocated proportionally among the Service Boards based 15 upon actual costs incurred by each Service Board for such 16 reduced fares. 17 Section 260. The sum of $10,020,000, or so much thereof 18 as may be necessary, is appropriated from the Road Fund to 19 the Department of Transportation for making a grant to the 20 Regional Transportation Authority for the funding of the 21 Americans with Disabilities Act of 1990 (ADA) paratransit 22 services and for other costs and services. 23 SB3852 -28- OMB103 00208 STV 45208 b 1 Section 265. The sum of $3,000,000, or so much thereof as 2 may be necessary, is appropriated from the Road Fund to the 3 Department of Transportation for costs associated with the 4 long-term heavy overhauls of locomotives. 5 Section 270. The sum of $67,000,000, or so much thereof 6 as may be necessary, is appropriated from the Road Fund to the 7 Department of Transportation for funding the State's share of 8 intercity rail passenger service and mak ing necessary 9 expenditures for services and other program improvements. 10 FOR HIGHWAY SAFETY 11 Section 275. The following named sums, or so much thereof 12 as may be necessary for the agencies hereinafter named, are 13 appropriated from the Road Fund to the Depar tment of 14 Transportation for implementation of the Illinois Highway 15 Safety Program under provisions of the National Highway Safety 16 Act of 1966, as amended, and Alcohol Traffic Safety Programs 17 of Title XXIII of the Surface Transportation Assistance Act of 18 1982, as amended, and other federal highway safety initiatives 19 as provided by law: 20 FOR THE DEPARTMENT OF TRANSPORTATION 21 For Contractual Services ............................ 225,600 22 SB3852 -29- OMB103 00208 STV 45208 b For Travel ................................ ...........44,300 1 For Commodities ................................ ......23,100 2 For Printing ................................ .........42,600 3 For Equipment ................................ .............0 4 For Telecommunication Services ............................ 0 5 For Operation of Automotive Equipment ..................... 0 6 Total $335,600 7 FOR THE ILLINOIS CRIMINAL JUSTICE INFO RMATION AUTHORITY 8 For costs associated with implementation of the Illinois 9 Highway Safety Program under provisions of the Nationa l Highway 10 Safety Act of 1966, as amended, and Alcohol Traffic Safety 11 Programs of Title XXIII of the Surface Transportation 12 Assistance Act of 1982, as amended, and other federal highway 13 safety initiatives as provided by law .................258,700 14 FOR THE SECRETARY OF STA TE 15 For costs associated with implementation of the Illinois 16 Highway Safety Program under provisions of the National Highway 17 Safety Act of 1966, as amended, and Alcohol Traffic Safety 18 Programs of Title XXIII of the Surface Transportation 19 Assistance Act of 1982, as amended, and other federal highway 20 safety initiatives as provided by law ................ 230,700 21 FOR THE DEPARTMENT OF PUBLIC HEALTH 22 SB3852 -30- OMB103 00208 STV 45208 b For costs associated with implementation of the Illinois 1 Highway Safety Program under provisions of the National Highway 2 Safety Act of 1966, as amended, and Alcohol Traffic Safety 3 Programs of Title XXIII of the Surface Transportation 4 Assistance Act of 1982, as amended, and other federal highway 5 safety initiatives as provided by law ................880,100 6 FOR THE ILLINOIS STATE POLICE 7 For costs associated with implementation of the Illinois 8 Highway Safety Program under provisions of the National Highway 9 Safety Act of 1966, as amended, and Alcohol Traffic Safety 10 Programs of Title XXIII of the Surface Transportation 11 Assistance Act of 1982, as amended, and other federal highway 12 safety initiatives as provided by law ............. 6,902,300 13 14 FOR THE ILLINOIS LAW ENFORCEMENT 15 TRAINING STANDARDS BOARD 16 For costs associated with implementation of the Illinois 17 Highway Safety Program under pr ovisions of the National Highway 18 Safety Act of 1966, as amended, and Alcohol Traffic Safety 19 Programs of Title XXIII of the Surface Transportation 20 Assistance Act of 1982, as amended, and other federal highway 21 safety initiatives as provided by law ................ 475,100 22 Total $9,082,500 23 SB3852 -31- OMB103 00208 STV 45208 b LUMP SUM AWARDS AND GRANTS 1 Section 280. The sum of $15,900,000, or so much thereof as 2 may be necessary, is appropriated from the Road Fund to the 3 Department of Transportation for local highway safety grants 4 to county and municipal govern ments, state and private 5 universities and other private entities for implementation of 6 the Illinois Highway Safety Program under provisions of the 7 National Highway Safety Act of 1966, as amended, and Alcohol 8 Traffic Safety Programs of Title XXIII of the Su rface 9 Transportation Assistance Act of 1982, as amended, and other 10 federal highway safety initiatives as provided by law. 11 FOR COMMERICIAL MOTOR CARRIER SAFETY 12 Section 285. The following named sums, or so much thereof 13 as may be necessary for the agencies hereinafter named, are 14 appropriated from the Road Fund to the Department of 15 Transportation for implementation of the Commercial Motor 16 Vehicle Safety Program under provisions of Title IV of the 17 Surface Transportation Assistance Act of 1982, as amended: 18 FOR THE DEPARTMENT OF TRANSPORTATION 19 For Contractual Services ............................ 356,900 20 For Travel ................................ ..........110,000 21 For Commodities ................................ ......46,200 22 For Equipment ................................ .......565,000 23 SB3852 -32- OMB103 00208 STV 45208 b For Equipment: 1 Purchase of Cars and Trucks ......................... 181,600 2 For Telecommunications Services ...................... 40,000 3 For Operation of Autom otive Equipment ...............183,900 4 Total $1,483,600 5 FOR THE ILLINOIS STATE POLICE 6 For costs associated with implementation of the Commercial 7 Motor Vehicle Safety Program under provisions of Title IV of 8 the Surface Transportation Assistance Act 9 of 1982, as amended ................................ 12,175,000 10 Total $13,658,600 11 Section 290. The sum of $350,000, or so much thereof as 12 may be necessary, is appropriated from the Road Fund to the 13 Department of Transportation for costs associated with motor 14 carrier safety media campaigns, provided such amounts do not 15 exceed funds to be made available from the federal government. 16 MOTOR FUEL TAX ADMINISTRATION 17 Section 295. The following named sums, or so much thereof 18 as may be necessary, are appropriated from the Motor Fuel Tax 19 Fund to the Department of Transportation for the ordinary and 20 contingent expenses incide nt to the operations and functions 21 of administering the provisions of the Illinois Highway Code, 22 SB3852 -33- OMB103 00208 STV 45208 b relating to use of Motor Fuel Tax Funds by the counties, 1 municipalities, road districts and townships: 2 OPERATIONS 3 For Personal Services ............................ 12,349,900 4 For State Contributions to State 5 Employees' Retirement System ..................... 6,320,700 6 For State Contributions to Social Security ..........942,300 7 For Group Insurance ............................... 4,489,900 8 For Contractual Services ............................. 69,500 9 For Travel ................................ ...........28,500 10 For Commodities ................................ .......6,500 11 For Printing ................................ .........13,000 12 For Equipment ................................ .........4,200 13 For Telecommunications Services ...................... 17,000 14 For Operation of Automotive Equipment ................18,800 15 Total $24,260,300 16 Section 300. The following named sums, or so much thereof 17 as are available for distribution in accordance with Section 8 18 of the Motor Fuel Tax Law, are appropriated to the Department 19 of Transportation for the purposes stated: 20 DISTRIBUTIVE ITEMS 21 Payable from the Motor Fuel Tax Counties Fund: 22 SB3852 -34- OMB103 00208 STV 45208 b For apportioning, allotting, and paying 1 as provided by law to Counties .................205,983,800 2 Payable from the Motor Fuel Tax Municipalities Fund: 3 For apportioning, allotting, and paying 4 as provided by law to Municipalities ...........287,256,200 5 Payable from the Motor Fuel Tax Townships and Road Districts 6 Fund: 7 For apportioning, allotting, and paying 8 to Counties for Distribution to 9 Road Districts ................................ ..93,385,000 10 Total $586,625,000 11 12 Section 305. The following named amounts, or so much 13 thereof as are available for distribution in accordance with 14 Section 8b of the Motor Fuel Tax Law, are appropriated from t he 15 Transportation Renewal Fund to the Department of Transportation 16 for the purposes stated: 17 DISTRIBUTIVE ITEMS 18 For apportioning, allotting, and paying 19 as provided by law: 20 To Counties ................................ ...202,837,000 21 To Municipalities ............................. 284,470,600 22 To Counties for Distribution to 23 Road Districts ................................ 92,062,600 24 SB3852 -35- OMB103 00208 STV 45208 b Total $579,370,200 1 Section 310. No contract shall be entered into or 2 obligation incurred or any expenditure made from an 3 appropriation herein made in: 4 Section 245 SCIP Debt Service I 5 Section 250 SCIP Debt Service II 6 of this Article until after the purpose and the amount of such 7 expenditure has been approved in writing by the Governor. 8 Total, This Article $3,956,803,700 9 ARTICLE 2 10 DEPARTMENT OF TRANSPORTATION 11 FOR CENTRAL ADMINISTRATION 12 Section 5. The sum of $2,071,604, or so much thereof as may 13 be necessary, and remains unexpended, at the close of business 14 on June 30, 2024, from the appropriation and reappropriation 15 heretofore made in Article 66, Section 15 and Article 67, 16 Section 5 of Public Act 103 -0006, as amended, is reappropriated 17 from the Road Fund to the Department of Transportation for 18 costs associated with hazardous material abatement. 19 Section 10. The sum of $10,030,374, or so much thereof as 20 SB3852 -36- OMB103 00208 STV 45208 b may be necessary, and remains unexpended, at the close of 1 business on June 30, 2024, from the appropriation and 2 reappropriation heretofore made in Article 66, Section 15 and 3 Article 67, Section 10 of Public Act 103 -0006, as amended, is 4 reappropriated from the Road Fund to the Department of 5 Transportation for costs associated with auditing consultants 6 for internal and external audits. 7 Section 15. The sum of $1,374,342 or so much thereof as may 8 be necessary, and remains unexpended, at the close of business 9 on June 30, 2024, from the appropriation and reappropriation 10 heretofore made in Article 66, Section 15 and Article 67, 11 Section 15 of Public Act 103 -0006, as amended, is 12 reappropriated from the Road Fund to the Department of 13 Transportation for costs associate d with process modernization 14 implementation of the Department. 15 FOR PLANNING AND PROGRAMMING 16 Section 20. The sum of $1,788,871, or so much thereof as 17 may be necessary, and remains unexpended, at the close of 18 business on June 30, 2024, from the appropria tion and 19 reappropriation heretofore made in Article 66, Section 40 and 20 Article 67, Section 20 of Public Act 103 -0006, as amended, is 21 reappropriated from the Road Fund to the Department of 22 Transportation for Planning, Research and Development purposes. 23 SB3852 -37- OMB103 00208 STV 45208 b Section 25. The sum of $110,908,026, or so much thereof as 1 may be necessary, and remains unexpended, at the close of 2 business on June 30, 2024, from the appropriation and 3 reappropriation heretofore made in Article 66, Section 40 and 4 Article 67, Section 25 o f Public Act 103-0006, as amended, is 5 reappropriated from the Road Fund to the Department of 6 Transportation for metropolitan planning and research purposes 7 as provided by law, provided such amounts shall not exceed 8 funds to be made available from the feder al government or local 9 sources. 10 Section 30. The sum of $40,115,361, or so much thereof as 11 may be necessary, and remains unexpended, at the close of 12 business on June 30, 2024, from the appropriation and 13 reappropriation heretofore made in Article 66, Section 40 and 14 Article 67, Section 30 o f Public Act 103-0006, as amended, is 15 reappropriated from the Road Fund to the Department of 16 Transportation for metropolitan planning and research purposes 17 as provided by law. 18 FOR HIGHWAY PROJECT IMPLEMENTATION 19 Section 35. The sum of $37,304,442, or so much thereof as 20 may be necessary, and remains unexpended, at the close of 21 business on June 30, 2024, from the appropriations and 22 SB3852 -38- OMB103 00208 STV 45208 b reappropriation heretofore made in Article 66, Section 50, and 1 Article 67, Section 35, of Public Act 103 -0006, as amended, is 2 reappropriated from the Road Fund to the Department of 3 Transportation for reimbursements of eligible expenses arising 4 from Local Traffic Signal Maintenance Agreements and 5 reimbursements of eligible expenses arising from City, County 6 and other State Mainte nance Agreements. 7 Section 40. The sum of $4,718,906, or so much thereof as 8 may be necessary, and remains unexpended, at the close of 9 business on June 30, 2024, from the appropriation and 10 reappropriation heretofore made in Article 66, Section 55 and 11 Article 67, Section 40 of Public Act 103 -0006, as amended, is 12 reappropriated from the Road Fund to the Department of 13 Transportation for repair of damages by motorists to state 14 vehicles and equipment or replacement of state vehicles and 15 equipment, provided such amount does not exceed funds to be 16 made available from collections from claims filed by the 17 Department to recover the costs of such damages. 18 Section 45. The sum of $7,953,047, or so much thereof as 19 may be necessary, and remains unexpended, at the close of 20 business on June 30, 2024, from the appropriation and 21 reappropriation heretofore made in Article 66, Section 60 and 22 Article 67, Section 45 of Public Act 103 -0006, as amended, is 23 SB3852 -39- OMB103 00208 STV 45208 b reappropriated from the Road Fund to the Department of 1 Transportation for costs associated with the State Radio 2 Communications for the 21st Century (STARCOM) program. 3 Section 50. The sum of $408,616, or so much thereof as may 4 be necessary, and remains unexpended, at the close of business 5 on June 30, 2024, from the appropriati on and reappropriation 6 heretofore made in Article 66, Section 65 and Article 67, 7 Section 50 of Public Act 103 -0006, as amended, is 8 reappropriated from the Road Fund to the Department of 9 Transportation for costs associated with Illinois Terrorism 10 Task Force, that consist of approved purchases for homeland 11 security provided such expenditures do not exceed funds made 12 available by the federal government for this purpose. 13 Section 55. The sum of $432,914, or so much thereof as may 14 be necessary, and remains une xpended, at the close of business 15 on June 30, 2024, from the appropriation and reappropriation 16 heretofore made in Article 66, Section 75 and Article 67, 17 Section 55 of Public Act 103 -0006, as amended, is 18 reappropriated from the Road Fund to the Department o f 19 Transportation for costs associated with the Technology 20 Transfer Center, including the purchase of equipment, media 21 initiatives and training, provided that such expenditures do 22 not exceed funds to be made available by the federal government 23 SB3852 -40- OMB103 00208 STV 45208 b for this purpose. 1 Section 60. The sum of $5,790,526, or so much thereof as 2 may be necessary, and remains unexpended, at the close of 3 business on June 30, 2024, from the appropriation and 4 reappropriation heretofore made in Article 66, Section 80 and 5 Article 67, Section 60 of Public Act 103 -0006, as amended, is 6 reappropriated from the Road Fund to the Department of 7 Transportation for costs associated with highways safety media 8 campaigns, provided such amounts do not exceed funds to be made 9 available from the federal go vernment. 10 Section 65. The sum of $979,500, or so much thereof as may 11 be necessary, and remains unexpended, at the close of business 12 on June 30, 2024, from the appropriation heretofore made in 13 Article 66, Section 82 of Public Act 103 -0006, as amended, is 14 reappropriated from the Road Fund to the Department of 15 Transportation for costs associated with identifying and 16 evaluating current state of work zone activity data, and 17 proposing changes to create a pilot data set that is compliant 18 with federal standards under the Work Zone Data Exchanges 19 (WZDx) to improve work zone safety, including prior incurred 20 costs. Amounts not to exceed funds to be made available from 21 the federal SMART grant. 22 SB3852 -41- OMB103 00208 STV 45208 b Section 70. The sum of $30,494,404, or so much thereof as 1 may be necessary, and remains unexpended, at the close of 2 business on June 30, 2024, from the appropriation and 3 reappropriation heretofore made in Article 66, Section 85 and 4 Article 67, Section 65 of Public Act 103 -0006, as amended, is 5 reappropriated from the Road Fu nd to the Department of 6 Transportation for the IDOT ITS program. 7 Section 75. The sum of $17,823,241, or so much thereof as 8 may be necessary, and remains unexpended, at the close of 9 business on June 30, 2024, from the appropriation and 10 reappropriation heretofore made in Article 66, Section 115 and 11 Article 67, Section 70 of Public Act 103 -0006, as amended, is 12 reappropriated from the Cycle Rider Safety Fund to the 13 Department of Transportation for reimbursements to State and 14 local universities and colleges for Cycle Rider Safety Training 15 Programs. 16 Section 80. The sum of $1,250,000, or so much thereof as 17 may be necessary, and remains unexpended at the close of 18 business on June 30, 2024, from the appropriation and 19 reappropriation heretofore made in Article 66, Section 100 and 20 Article 67, Section 75, of Public Act 103 -0006, as amended, is 21 reappropriated from the DUI Prevention and Education Fund to 22 the Department of Transportation for all costs associated with 23 SB3852 -42- OMB103 00208 STV 45208 b providing grants, with guidance from the DUI Prevention and 1 Education Commission, for crash victim programs and materials, 2 impaired driving prevention programs, law enforcement support, 3 and other DUI-related programs. 4 FOR AERONAUTICS 5 Section 85. The sum of $43,145,321, or so much ther eof as 6 may be necessary, and remains unexpended at the close of 7 business on June 30, 2024, from the appropriation and 8 reappropriation heretofore made in Article 66, Section 180 and 9 Article 67, Section 80, of Public Act 103 -0006, as amended, is 10 reappropriated from the State Aviation Program Fund to the 11 Department of Transportation for the purposes described in 12 Section 6z-20.1 of the State Finance Act. 13 Section 90. The sum of $39,500,000, or so much thereof as 14 may be necessary, and remains unexpended at the close of 15 business on June 30, 2024, from the appropriation and 16 reappropriation heretofore made in Article 66, Section 185 and 17 Article 67, Section 85, of Public Act 103 -0006, as amended, is 18 reappropriated from the Sound -Reducing Windows and Doors 19 Replacement Fund to the Department of Transportation for the 20 purposes described in Section 6z -20.1 of the State Finance Act. 21 FOR HIGHWAY SAFETY PROGRAM 22 SB3852 -43- OMB103 00208 STV 45208 b Section 95. The sum of $30,565,555, or so much thereof as 1 may be necessary, and remains unexpended at the clos e of 2 business on June 30, 2024, from the appropriation and 3 reappropriation heretofore made in Article 66, Section 270, and 4 Article 67 Section 90 of Public Act 103 -0006, as amended, is 5 reappropriated from the Road Fund to the Department of 6 Transportation fo r Illinois Highway Safety Program, local 7 highway safety projects by county and municipal governments, 8 state and private universities and other private entities. 9 Section 100. The sum of $700,000, or so much thereof as may 10 be necessary, and remains unexpe nded at the close of business 11 on June 30, 2024, from the appropriation and reappropriation 12 heretofore made in Article 66, Section 280, and Article 67 13 Section 95 of Public Act 103 -0006, as amended, is 14 reappropriated from the Road Fund to the Department of 15 Transportation for cost associated with motor carrier safety 16 media campaigns, provided such amounts do not exceed funds to 17 be made available from the federal government. 18 FOR INTERMODAL PROJECT IMPLEMENTATION 19 Section 105. The sum of $1,098,117, or so much thereof as 20 may be necessary, and remains unexpended at the close of 21 business on June 30, 2024, from the appropriation and 22 reappropriation heretofore made in Article 66, Section 200 and 23 SB3852 -44- OMB103 00208 STV 45208 b Article 67, Section 100 of Public Act 103 -0006, as amended, is 1 reappropriated from the Road Fund to the Department of 2 Transportation for public transportation technical studies. 3 Section 110. The sum of $4,254,153, or so much thereof as 4 may be necessary, and remains unexpended at the close of 5 business on June 30, 2024, from the appropriation and 6 reappropriation heretofore made in Article 66, Section 220 and 7 Article 67, Section 105 of Public Act 103 -0006, as amended, is 8 appropriated from the Federal Mass Transit Trust Fund to the 9 Department of Transportation for fed eral reimbursement of costs 10 associated with Safety and Security Oversight as set forth in 11 the federal transportation bill. 12 Section 115. The sum of $6,787,813, or so much thereof as 13 may be necessary, and remains unexpended at the close of 14 business on Jun e 30, 2024, from the appropriation and 15 reappropriation heretofore made in Article 66, Section 225 and 16 Article 67, Section 110 of Public Act 103 -0006, as amended, is 17 reappropriated from the Federal Mass Transit Trust Fund to the 18 Department of Transportation for federal reimbursement of 19 transit studies as provided by the federal transportation bill. 20 Section 120. The sum of $4,331,742, or so much thereof as 21 may be necessary, and remains unexpended at the close of 22 SB3852 -45- OMB103 00208 STV 45208 b business on June 30, 2024, from the reapprop riation heretofore 1 made in Article 67, Section 115 of Public Act 103 -0006, as 2 amended, is reappropriated from the Federal Mass Transit Trust 3 Fund to the Department of Transportation for support to rural 4 transit districts as provided by the CARES Act, inclu ding prior 5 incurred costs. 6 Section 125. The sum of $11,500,000, or so much thereof 7 as may be necessary, and remains unexpended, at the close of 8 business on June 30, 2024, from the appropriation and 9 reappropriation heretofore made in Article 66, Section 255 10 and Article 67, Section 120 of Public Act 103 -0006, as 11 amended, is reappropriated from the Road Fund to the 12 Department of Transportation for costs associated with the 13 long-term heavy overhauls of locomotives. 14 FOR EQUIPMENT 15 Section 130. The following named sums, or so much thereof 16 as may be necessary, and remains unexpended at the close of 17 business on June 30, 2024, from the appropriations and 18 reappropriations heretofore made in Article 66, Sections 35, 19 45, 120, 125, 130, 135, 140, 145, 150, 155, 160, 165 and 275 20 and Article 67 Section 125 of Public Act 103 -0006, as amended, 21 is reappropriated from the Road Fund to the Department of 22 Transportation for equipment as follows: 23 SB3852 -46- OMB103 00208 STV 45208 b Planning & Programming 1 For Equipment ................................ .......307,012 2 Highways Project Implementation 3 For Equipment ................................ ....18,861,899 4 Day Labor 5 For Equipment ................................ .....1,358,130 6 District 1, Schaumburg Office 7 For Equipment ................................ ....11,459,065 8 District 2, Dixon Office 9 For Equipment ................................ .....3,767,990 10 District 3, Ottawa Office 11 For Equipment ................................ .....4,930,620 12 District 4, Peoria Offi ce 13 For Equipment ................................ .....5,191,346 14 District 5, Paris Office 15 For Equipment ................................ .....3,828,448 16 District 6, Springfield Office 17 For Equipment ................................ .....4,837,173 18 District 7, Effingham Office 19 For Equipment ................................ .....5,111,467 20 District 8, Collinsville Office 21 For Equipment ................................ .....6,238,144 22 District 9, Carbondale Office 23 For Equipment ................................ .....4,246,370 24 Motor Carrier Safety 25 SB3852 -47- OMB103 00208 STV 45208 b For Equipment ................................ .....1,864,486 1 Total $72,002,150 2 Section 135. The following named sums, or so much thereof 3 as may be necessary, and remains unexpended at the close of 4 business on June 30, 2024, from the appropriations and 5 reappropriations heretofore made in Article 66, Sections 10, 6 45, 120, 125, 130, 135, 140, 145, 150, 155, 160, 165, and 275 7 and Article 67, Section 130 of Public Act 103 -0006, as amended, 8 is reappropriated from the Road Fund to the Department of 9 Transportation for the purchase of Cars and Trucks as follows: 10 Central Administration 11 For Purchase of Cars and Trucks ...................1,271,098 12 Highways Project Implementation 13 For Purchase of Cars an d Trucks ...................6,849,867 14 Day Labor 15 For Purchase of Cars and Trucks ...................4,150,666 16 District 1, Schaumburg Office 17 For Purchase of Cars and Trucks ..................36,634,532 18 District 2, Dixon Office 19 For Purchase of Cars and Trucks ..................15,642,190 20 District 3, Ottawa Office 21 For Purchase of Cars and Trucks ..................14,980,959 22 District 4, Peoria Office 23 For Purchase of Cars and Trucks ..................12,956,049 24 SB3852 -48- OMB103 00208 STV 45208 b District 5, Paris Office 1 For Purchase of Cars and Trucks ..................10,531,882 2 District 6, Springfield Office 3 For Purchase of Cars and Trucks ..................10,438,906 4 District 7, Effingham Office 5 For Purchase of Cars and Trucks ..................11,913,021 6 District 8, Collinsville Office 7 For Purchase of Cars and Trucks .................14,742,363 8 District 9, Carbondale Office 9 For Purchase of Cars and Trucks ...................9,428,828 10 Commercial Motor Carrier Safety 11 For Purchase of Cars and Trucks ..................... 304,210 12 Total 149,844,571 13 Total, This Article $637,173,596 14 Section 99. Effective date. This Act takes effect July 1, 15 2024. 16