Illinois 2025-2026 Regular Session

Illinois Senate Bill SB2529 Latest Draft

Bill / Introduced Version Filed 02/25/2025

                            104TH GENERAL ASSEMBLY
 State of Illinois
 2025 and 2026 SB2529 Introduced 2/25/2025, by Sen. Elgie R. Sims, Jr. SYNOPSIS AS INTRODUCED:      Makes appropriations for the ordinary and contingent expenses of the Department of Central Management Services for the fiscal year beginning July 1, 2025, as follows:      General Funds    $2,746,833,200     Other State Funds    $5,358,897,000     Total    $8,105,730,200      OMB104 00010 JMW 10010 b 104TH GENERAL ASSEMBLY
 State of Illinois
 2025 and 2026 SB2529 Introduced 2/25/2025, by Sen. Elgie R. Sims, Jr. SYNOPSIS AS INTRODUCED: Makes appropriations for the ordinary and contingent expenses of the Department of Central Management Services for the fiscal year beginning July 1, 2025, as follows:      General Funds    $2,746,833,200     Other State Funds    $5,358,897,000     Total    $8,105,730,200  OMB104 00010 JMW 10010 b     OMB104 00010 JMW 10010 b
104TH GENERAL ASSEMBLY
 State of Illinois
 2025 and 2026 SB2529 Introduced 2/25/2025, by Sen. Elgie R. Sims, Jr. SYNOPSIS AS INTRODUCED:
Makes appropriations for the ordinary and contingent expenses of the Department of Central Management Services for the fiscal year beginning July 1, 2025, as follows:      General Funds    $2,746,833,200     Other State Funds    $5,358,897,000     Total    $8,105,730,200
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1  AN ACT concerning appropriations.
2  Be it enacted by the People of the State of Illinois,
3  represented in the General Assembly:
4  ARTICLE 1
5  Section 5. The sum of $67,634,900, or so much thereof as
6  may be necessary, is appropriated from the General Revenue
7  Fund to the Department of Central Management Services for
8  ordinary and contingent expenses.
9  Section 10. The following named amounts, or so much
10  thereof as may be necessary, respectively, for the objects and
11  purposes hereinafter named are appropriated to the Department
12  of Central Management Services:
13  PAYABLE FROM GENERAL REVENUE FUND
14  For payment of administrative expenses and claims,
15  including prior years' claims or administrative expenses,
16  under the State Employee Indemnification Act.....2,518,700
17  For auto liability, adjusting and
18  administration of claims, loss control and prevention
19  services, and auto liability claims, including
20  prior years' claims..............................2,066,300
21  For Awards to Employees and Expenses
22  of the Employee Suggestion Board....................30,000

 

104TH GENERAL ASSEMBLY
 State of Illinois
 2025 and 2026 SB2529 Introduced 2/25/2025, by Sen. Elgie R. Sims, Jr. SYNOPSIS AS INTRODUCED:
Makes appropriations for the ordinary and contingent expenses of the Department of Central Management Services for the fiscal year beginning July 1, 2025, as follows:      General Funds    $2,746,833,200     Other State Funds    $5,358,897,000     Total    $8,105,730,200
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1  For Wage Claims...................................1,700,000
2  For Nurses' Tuition.................................100,000
3  For the Upward Mobility Program, including prior years'
4  costs...............................................5,000,000
5  Total    $11,415,000
6  PAYABLE FROM PROFESSIONAL SERVICES FUND
7  For Professional Services including
8  Administrative and Related Costs................87,264,500
9  Section 15. The following named amounts, or so much
10  thereof as may be necessary, respectively, for the objects and
11  purposes hereinafter named are appropriated to the Department
12  of Central Management Services:
13  BUREAU OF BENEFITS
14  PAYABLE FROM WORKERS' COMPENSATION REVOLVING FUND
15  For administrative costs and claims
16  of any state agency or university
17  employee.......................................135,000,000
18  Expenditures from appropriations for treatment and expense
19  may be made after the Department of Central Management
20  Services has certified that the injured person was employed
21  and that the nature of the injury is compensable in accordance
22  with the provisions of the Workers' Compensation Act or the
23  Workers' Occupational Diseases Act, and then has determined
24  the amount of such compensation to be paid to the injured

 

 

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1  person.
2  PAYABLE FROM STATE EMPLOYEES DEFERRED
3  COMPENSATION PLAN FUND
4  For expenses related to the administration
5  of the State Employees' Deferred
6  Compensation Plan................................1,624,300
7  BUREAU OF BENEFITS
8  PAYABLE FROM GENERAL REVENUE FUND
9  For transportation and lodging expenses for eligible
10  employees, retirees or for their dependents who are required
11  to travel outside of their state of residence in order to
12  secure reproductive healthcare. Transportation and lodging
13  expenses shall be reimbursable to the eligible employee in an
14  amount not to exceed $1,000 per occurrence.
15  For administrative costs and claims
16  of any state agency or university
17  employee...........................................250,000
18  Section 20. The following named amounts, or so much
19  thereof as may be necessary, are appropriated from the
20  Facilities Management Revolving Fund to the Department of
21  Central Management Services for expenses related to the
22  following:
23  PAYABLE FROM FACILITIES MANAGEMENT REVOLVING FUND

 

 

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1  For Facilities Management including
2  Administrative and Related Costs,
3  including prior years' costs...................314,529,600
4  For Prompt Payment Interest.........................500,000
5  Total    $315,029,600
6  The Department, with the consent in writing from the
7  Governor, may reapportion not more than one percent of the
8  total appropriation of Facility Management Revolving Funds in
9  this section among the various purposes herein enumerated.
10  Section 25. The following named amounts, or so much
11  thereof as may be necessary, respectively, are appropriated
12  for the objects and purposes hereinafter named to the
13  Department of Central Management Services:
14  BUREAU OF AGENCY SERVICES
15  PAYABLE FROM STATE GARAGE REVOLVING FUND
16  For State Garage including
17  Administrative and Related Costs,
18  including prior years' costs....................84,620,700
19  Section 30. The following named amounts, or so much
20  thereof as may be necessary, respectively, for the specific
21  purposes of: (1) purchasing and/or leasing zero emission
22  electric passenger motor vehicles; (2) designing and
23  purchasing electric vehicle charging infrastructure and

 

 

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1  associated improvements; (3) purchasing batteries, components,
2  diagnostic tools and equipment to maintain and repair zero
3  emission electric vehicles; (4) providing supplemental
4  training for employees to maintain and repair zero emission
5  electric vehicles and electric vehicle charging
6  infrastructures; and (5) procuring any goods or services
7  related to converting the state government fleet to zero
8  emission vehicles are appropriated to the Department of
9  Central Management Services:
10  PAYABLE FROM STATE GARAGE REVOLVING FUND
11  For all costs associated with converting the
12  state government vehicle fleet to
13  zero emission electric vehicles,
14  including prior years' costs....................24,800,000
15  Section 35. The sum of $10,000,000, or so much thereof as
16  may be necessary, is appropriated from the Energy Transition
17  Assistance Fund to the Department of Central Management
18  Services for operational expenses and administration of the
19  Energy Transition Act including state fleet electrification.
20  ARTICLE 2
21  Section 5. The sum of $2,667,533,300, or so much thereof
22  as may be necessary, is appropriated from the General Revenue
23  Fund to the Department of Central Management Services for

 

 

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1  Group Insurance.
2  Section 10. The following named amounts, or so much
3  thereof as may be necessary, respectively, for the objects and
4  purposes hereinafter named are appropriated to the Department
5  of Central Management Services:
6  PAYABLE FROM ROAD FUND
7  For Group Insurance..............................88,157,900
8  PAYABLE FROM GROUP INSURANCE PREMIUM FUND
9  For Life Insurance Coverage as Elected
10  by Members Per the State Employees
11  Group Insurance Act of 1971....................112,400,000
12  PAYABLE FROM HEALTH INSURANCE RESERVE FUND
13  For provisions of Health Care Coverage
14  as Elected by Eligible Members Per
15  the State Employees Group Insurance Act
16  of 1971......................................4,495,000,000
17  For Prompt Payment Interest.......................5,000,000
18  Total    $4,700,557,900
19  The Department, with the consent in writing from the
20  Governor, may reapportion not more than one percent of the
21  total appropriation of Health Insurance Reserve Funds in this
22  section among the various purposes herein enumerated.
23  Section 99. Effective date. This Act takes effect July 1,
24  2025.

 

 

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