Louisiana 2018 2018 Regular Session

Louisiana House Bill HB883 Introduced / Bill

                    HLS 18RS-1065	ORIGINAL
2018 Regular Session
HOUSE BILL NO. 883
BY REPRESENTATIVE LEGER
APPROPRIATIONS/SUPPLEML:  Makes supplemental appropriations for Fiscal Year
2017-2018
1	AN ACT
2To appropriate funds and to make certain reductions from certain sources to be allocated to
3 designated agencies and purposes in specific amounts for the making of
4 supplemental appropriations and reductions for said agencies and purposes for Fiscal
5 Year 2017-2018; to provide for an effective date;  and to provide for related matters.
6Be it enacted by the Legislature of Louisiana:
7 Section 1.  The following sums are hereby appropriated from the sources specified
8for the purpose of making supplemental appropriations for Fiscal Year 2017-2018. 
9Reductions are denoted in parentheses.
10	EXECUTIVE DEPARTMENT
1101-107DIVISION OF ADMINISTRATION
12The commissioner of administration is hereby authorized and directed to adjust the means
13of finance for the Executive Administration Program, as contained in Act No. 3 of the 2017
14Second Extraordinary Session of the Legislature, by reducing the appropriation out of the
15State General Fund (Direct) by ($1,238,546) for funding associated with the unclassified pay
16raise.
17Payable out of the State General Fund (Direct)
18to the Executive Administration Program for
19LaGov expenses	$30,530,000
2001-111GOVERNOR'S OFFICE OF HOMELAND SECURITY AND
21 EMERGENCY PREPAREDNESS
22Payable out of the State General Fund (Direct)
23to the Administrative Program for scheduled debt
24payments to FEMA for the state share cost of 
25multiple disasters	$46,325,832
26Payable out of the State General Fund (Direct)
27to the Administrative Program for funding related
28to the St. Joseph water crisis	$ 262,843
Page 1 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
101-112DEPARTMENT OF MILITARY AFFAIRS
2Payable out of the State General Fund (Direct)
3to the Military Affairs Program for state share
4costs of emergency response efforts for Hurricanes
5Harvey and Nate	$ 319,326
601-124LOUISIANA STADIUM AND EXP OSITION DISTRICT
7EXPENDITURES:
8Administrative Program for contractual team obligations $ 270,913
9 TOTAL EXPENDITURES	$ 270,913
10MEANS OF FINANCE:
11State General Fund by:
12 Statutory Dedications:
13 New Orleans Sports Franchise Assistance Fund	$ 17,124
14 New Orleans Sports Franchise Fund	$ 253,789
15 TOTAL MEANS OF FINANCING	$ 270,913
16 DEPARTMENT OF CULTURE, RECREATION AND TOURISM
1706-263OFFICE OF STATE MUSEUM
18Payable out of the State General Fund by
19Fees & Self-generated Revenues
20to the Museum Program for operating expenses	$ 100,000
21 DEPARTMENT OF PUBLIC SAFETY AND CORRECTIONS
22	CORRECTIONS SERVICES
2308-400CORRECTIONS -ADMINISTRATION
24The commissioner of administration is hereby authorized and directed to adjust the means
25of finance for the Office of Management and Finance Program, as contained in Act No. 3
26of the 2017 Second Extraordinary Session of the Legislature, by reducing the appropriation
27out of the State General Fund (Direct) by ($4,330,000).
2808-402LOUISIANA STATE PENITENTIARY
29Payable out of the State General Fund (Direct)
30to the Administration Program for supplies	$ 50,506
31Payable out of the State General Fund (Direct)
32to the Incarceration Program for supplies	$ 1,199,494
3308-405RAYMOND LABORDE CORRECTIONAL CENTER
34Payable out of the State General Fund (Direct)
35to the Administration Program for supplies	$ 177,250
36Payable out of the State General Fund (Direct)
37to the Incarceration Program for supplies	$ 52,750
Page 2 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
108-406LOUISIANA CORRECTIONAL INSTITUTE F OR WOMEN
2Payable out of the State General Fund (Direct)
3to the Administration Program for supplies	$ 98,968
4Payable out of the State General Fund (Direct)
5to the Incarceration Program for supplies	$ 101,032
608-407WINN CORRECTIONAL CENTER
7The commissioner of administration is hereby authorized and directed to adjust the means
8of finance for the Administration Program, as contained in Act No. 3 of the 2017 Second
9Extraordinary Session of the Legislature, by reducing the appropriation out of the State
10General Fund (Direct) by ($129,164).
11Payable out of the State General Fund (Direct)
12to the Purchase of Correctional Services Program for
13other charges	$ 129,164
1408-408ALLEN CORRECTIONAL CENTER
15The commissioner of administration is hereby authorized and directed to adjust the means
16of finance for the Administration Program, as contained in Act No. 3 of the 2017 Second
17Extraordinary Session of the Legislature, by reducing the appropriation out of the State
18General Fund (Direct) by ($121,896).
19Payable out of the State General Fund (Direct)
20to the Purchase of Correctional Services Program for
21other charges	$ 121,896
22Payable out of the State General Fund (Direct)
23to the Incarceration Program for supplies	$ 450,000
2408-409DIXON CORRECTIONAL INSTITUTE
25Payable out of the State General Fund (Direct)
26to the Administration Program for supplies	$ 229,109
27Payable out of the State General Fund (Direct)
28to the Incarceration Program for supplies	$ 770,891
2908-413ELAYN HUNT CORRECTIONAL CENTER
30The commissioner of administration is hereby authorized and directed to adjust the means
31of finance for the Administration Program, as contained in Act No. 3 of the 2017 Second
32Extraordinary Session of the Legislature, by reducing the appropriation out of the State
33General Fund (Direct) by ($88,516).
34Payable out of the State General Fund (Direct)
35to the Incarceration Program for supplies	$ 88,516
3608-414DAVID WADE CORRECTIONAL CENTER
37Payable out of the State General Fund (Direct)
38to the Administration Program for supplies	$ 325,754
39Payable out of the State General Fund (Direct)
40to the Incarceration Program for supplies	$ 174,246
Page 3 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
108-415ADULT PROBATION AND PAROLE
2The commissioner of administration is hereby authorized and directed to adjust the means
3of finance for the Administration Program, as contained in Act No. 3 of the 2017 Second
4Extraordinary Session of the Legislature, by reducing the appropriation out of the State
5General Fund (Direct) by ($668,061).
6Payable out of the State General Fund (Direct)
7to the Field Services Program for personal services $ 668,061
8Payable out of the State General Fund (Direct)
9to the Field Services Program for supplies	$ 500,000
1008-416RAYBURN CORRECTIONAL CENTER
11The commissioner of administration is hereby authorized and directed to adjust the means
12of finance for the Administration Program, as contained in Act No. 3 of the 2017 Second
13Extraordinary Session of the Legislature, by reducing the appropriation out of the State
14General Fund (Direct) by ($89,024).
15Payable out of the State General Fund (Direct)
16to the Incarceration Program for supplies	$ 89,024
17Payable out of the State General Fund (Direct)
18to the Incarceration Program for supplies	$ 200,000
19	LOUISIANA DEPARTMENT OF HEALTH
2009-340OFFICE FOR CITIZENS WITH DEVELOP MENTAL DISABILITIES
21Payable out of the State General Fund by
22Fees & Self-generated Revenues
23to the Community Program	$ 100,000
24	DEPARTMENT OF NATURAL RESOURCES
2511-432OFFICE OF CONSERVATION
26Payable out of the State General Fund by
27Statutory Dedications out of the Underwater Obstruction 
28Removal Fund to the Oil and Gas Regulatory Program for
29administrative costs	$ 24,437
3011-435OFFICE OF COASTAL MANAG EMENT
31Payable out of the State General Fund by
32Statutory Dedications out of the Coastal Resources Trust
33Fund for the Lost Lake mitigation project	$ 500,000
3411-434OFFICE OF MINERAL RESOURCES
35Payable out of the State General Fund by
36Interagency Transfers to the Mineral Resources
37Management Program for geographic information systems work $ 56,000
38	DEPARTMENT OF REVENUE
39The commissioner of administration is hereby authorized and directed to adjust the means
40of finance for the Tax Collection Program, as contained in Act No. 3 of the 2017 Second
41Extraordinary Session of the Legislature, by reducing the appropriation out of the State
42General Fund (Direct) by ($30,900,000).
Page 4 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1Payable out of the State General Fund by
2Fees & Self-generated Revenues from prior and current 
3year collections to the Tax Collection Program	$30,900,000
4	SPECIAL SCHOOLS AND COMMISSIONS
519-655LOUISIANA SPECIAL EDUCATION CENTER
6Payable out of the State General Fund by
7Interagency Transfers to the LSEC Education
8Program for overtime/related benefits	$ 899,327
9Payable out of the State General Fund by
10Interagency Transfers to the LSEC Education
11Program for campus repairs	$ 1,200,000
1219-658THRIVE ACADEMY
13Payable out of the State General Fund (Direct)
14to the Instruction Program	$ 480,419
15The commissioner of administration is hereby authorized and directed to adjust the means
16of finance for the Instruction Program, as contained in Act No. 3 of the 2017 Second
17Extraordinary Session of the Legislature, by reducing the appropriation out of the State
18General Fund by Interagency Transfers by ($480,419).
19	DEPARTMENT OF EDUCATION
2019-682RECOVERY SCHOOL DISTRICT
21Payable out of the State General Fund by
22Interagency Transfers to the Instruction Program	$ 501,363
23	OTHER REQUIREMENTS
2420-931LED STATE COMMITMENTS AND DEBT SERVICE
25Payable out of the State General Fund (Direct)
26to Debt Service and State Commitments for repayment
27of NBA All-Star Weekend expenses associated with the 
28Major Events Fund process	$ 1,500,000
2920-966SUPPLEMENTAL PAY TO LAW ENFORCEMENT PERSONNEL
30Payable out of the State General Fund (Direct)
31to the Municipal Police Program	$ 435,000
32Payable out of the State General Fund (Direct)
33to the Firefighters Program	$ 901,000
34The commissioner of administration is hereby authorized and directed to adjust the means
35of finance for the Deputy Sheriffs' Program, as contained in Act No. 3 of the 2017 Second
36Extraordinary Session of the Legislature, by reducing the appropriation out of the State
37General Fund (Direct) by ($460,672).
Page 5 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1	RETIREMENT SYSTEMS
2In accordance with Constitution Article VII, Section 10(D)(2)(b)(ii), funding to the
3Louisiana State Employees' Retirement System and the Teachers' Retirement System of
4Louisiana for application to the balance of the unfunded accrued liability of such systems
5existing as of June 30, 1988, in proportion to the balance of such unfunded accrued liability
6of each such system as of June 30, 2017.
718-585LOUISIANA STATE EMPLOYEES' RETIREMENT SYSTEM -
8 CONTRIBUTIONS
9EXPENDITURES:
10To the Louisiana State Employees' Retirement System	$ 3,676,833
11 TOTAL EXPENDITURES	$ 3,676,833
12MEANS OF FINANCE:
13State General Fund (Direct) from the FY 2016-2017 
14surplus certified by the commissioner of administration
15at the January 22, 2018, meeting of the Joint Legislative 
16Committee on the Budget and recognized by the 
17Revenue Estimating Conference	$ 3,676,833
18 TOTAL MEANS OF FINANCING	$ 3,676,833
1918-586TEACHERS' RETIREMENT SYSTEM-CONTRIBUTIONS
20EXPENDITURES:
21To the Teachers' Retirement System of Louisiana	$ 8,585,163
22 TOTAL EXPENDITURES	$ 8,585,163
23MEANS OF FINANCE:
24State General Fund (Direct) from the FY 2016-2017
25surplus certified by the commissioner of administration
26at the January 22, 2018, meeting of the Joint Legislative 
27Committee on the Budget and recognized  by the
28Revenue Estimating Conference	$ 8,585,163
29 TOTAL MEANS OF FINANCING	$ 8,585,163
30 Section 2A.  The following revisions are hereby made to the referenced legislation
31for the purpose of making supplemental capital outlay appropriations for Fiscal Year 2017-
322018.  Provided, however, that the provisions of Sections 2 through 18, inclusive, of Act 4
33of the 2017 Second Extraordinary Session of the Legislature are adopted and incorporated
34by reference for the appropriations contained in these Sections 2A, 2B, and 2C.
35 Section 2B.  Notwithstanding any provision of law to the contrary, including the
36provisions of the Capital Outlay Act, the appropriation to 01/107 DIVISION OF
37ADMINISTRATION for Statewide Roofing Asset Management Program and
38Waterproofing, Related Repairs and Equipment Replacement Program (Statewide) contained
39in Section 1 of Act 4 of the 2017 Second Extraordinary Session of the Legislature is hereby
Page 6 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1amended and reenacted to include an appropriation made out of the interest earnings from
2the investment of general obligation bond or note proceeds in the Comprehensive Capital
3Outlay Escrow Account:
4 On page 8, delete lines 33 and 34 in their entirety and insert the following:
5 "Payable from Fees and Self-Generated Revenue $ 250,000
6 Payable from Interest Earnings	$5,000,000
7 Total	$25,250,000"
8The appropriation of monies in this Section shall be deemed to be and constitute approval 
9by the Joint Legislative Committee on the Budget.
10 Section 2C. The following sums are hereby appropriated from the source specified
11for the purpose of making a supplemental capital outlay appropriation for Fiscal Year 2017-
122018:
1301-107DIVISION OF ADMINISTRATION
14(1277)Local Government Assistance Program
15 (Statewide)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 5,000,000
18(1278)Community Water Enrichment Program
19 (Statewide)
20 Payable from State General Fund (Direct) Non-Recurring
21 Revenues	$ 5,000,000
22(1330)Louisiana Cancer Research Center in New Orleans, 
23 Planning and Construction
24 (Orleans)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 3,000,000
27(1348)Major Repairs for State Buildings Based on Statewide
28 Condition Assessment, and Infrastructure, Planning
29 and Construction
30 (Statewide)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$10,793,609
33(1352)Land Acquisition for Mitigation
34 (Richland)
35 Payable from State General Fund (Direct) Non-Recurring 
36 Revenues	$ 10,000
3703-132NORTHEAST LOUISIANA WAR VETERANS HOME
38(1450)Exterior and Interior Door Replacements
39 (Ouachita)
40 Payable from State General Fund (Direct) Non-Recurring 
41 Revenues	$ 8,000
Page 7 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
105-252OFFICE OF BUSINESS DEVELOPMENT
2(1161)Economic Development Award Program for 
3 Infrastructure Assistance
4 (Statewide)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 2,000,000
7(1403)Capital Improvements Projects to Meet Economic
8 Development Commitments, Planning, Construction,
9 and Equipment
10 (Statewide)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 72,055
1306-263OFFICE OF STATE MUSEUM
14(1031)Cabildo Exterior Restoration and Repair, Planning and 
15 Construction
16 (Orleans)
17 Payable from State General Fund (Direct) Non-Recurring 
18 Revenues	$ 7,000
1906-264OFFICE OF STATE PARKS
20(642) Chemin-a-Haut State Park Acquisition, Planning and 
21 Construction of New Group Camp, Vacation Cabins,
22 Visitor Center and Restrooms
23 (Morehouse)
24 Payable from State General Fund (Direct) Non-Recurring 
25 Revenues	$ 700
2607-270DOTD - ADMINISTRATION
27(719) Highway Program (Up to $4,000,000 for 
28 Secretary's Emergency Fund)
29 (Statewide)
30 Payable from State General Fund (Direct) Non-Recurring 
31 Revenues	$40,465,560
32(948) LA 22 Improvements (LA 16 to Diversion Canal),
33 Including the Overlay of LA 22 from Head of Island to
34 Chinquapin Bridge, Planning and Construction
35 (Livingston)
36 Payable from State General Fund (Direct) Non-Recurring 
37 Revenues	$ 4,300
3807-274DOTD - PUBLIC IMPROVEMENTS
39(483) Mississippi River Deepening, Phase 3, Planning, Design,
40 Construction, Rights-of-Way, Relocations and
41 Utilities (Federal Match $154,500,000)
42 (Ascension, East Baton Rouge, Jefferson, Orleans, 
43 Plaquemines, St. Bernard, St. Charles, St. James, St. John 
44 the Baptist, West Baton Rouge)
45 Payable from State General Fund (Direct) Non-Recurring 
46 Revenues	$ 50,000
Page 8 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
108-403OFFICE OF JUVENILE JUSTICE
2(1203)Major Repairs and Equipment Replacement, Planning
3 and Construction
4 (Statewide)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 13,200
708-407WINN CORRECTIONAL CENTER
8(1462)Sanitation Code Violations, Planning and Construction
9 (Winn)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 3,400
1208-419OFFICE OF STATE POLICE
13(842) Crime Lab Expansion, Planning and Construction
14 (East Baton Rouge)
15 Payable from State General Fund (Direct) Non-Recurring 
16 Revenues	$ 36,000
1709-320OFFICE OF AGING AND ADULT SERVICES
18(825) Water Tower Repairs and Improvements, Planning 
19 and Construction
20 (East Feliciana)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 119,500
23(1625)Replace Fire Alarm and Sprinkler System, Planning
24 and Construction
25 (East Feliciana)
26 Payable from State General Fund (Direct) Non-Recurring 
27 Revenues	$ 100
2809-340OFFICE FOR CITIZENS WITH DEVELOP MENTAL DISABILITIES
29(1466)Replace Rooftop Air Conditioning Units on Residential 
30 Homes, Planning and Construction
31 (Tangipahoa)
32 Payable from State General Fund (Direct) Non-Recurring 
33 Revenues	$ 92,400
3414-474OFFICE OF WORKFORCE DEVELOPMENT
35(1467)Renovations to Louisiana Workforce 
36 Commission's Administrative Headquarters, Planning 
37 and Construction
38 (East Baton Rouge)
39 Payable from State General Fund (Direct) Non-Recurring 
40 Revenues	$ 17,100
4116-513OFFICE OF WILDLIFE
42(975) Monroe Headquarters, District 2, Planning and 
43 Construction
44 (Ouachita)
45 Payable from State General Fund (Direct) Non-Recurring 
46 Revenues	$ 130,500
Page 9 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
119-601LSU BATON ROUG E
2(47) French House Renovation, Acquisition, Planning and 
3 Construction
4 (East Baton Rouge)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 121,300
719-602LSU ALEXANDRIA
8(50) Drainage Outfall Improvements, Planning and
9 Construction
10 (Rapides)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 55,400
1319-604SLSU HEALTH SCIENCES CENTER - SHREVEP ORT
14(66) High Voltage Electrical Distribution System Upgrade,
15 Planning and Construction
16 (Caddo)
17 Payable from State General Fund (Direct) Non-Recurring 
18 Revenues	$ 10,000
1919-610LSU HEALTH CARE SERVICES DIVISION
20(52) Replacement of Air Handlers and Chillers, WO Moss, 
21 Planning and Construction
22 (Calcasieu)
23 Payable from State General Fund (Direct) Non-Recurring 
24 Revenues	$ 1,100
25(56) New Emergency Generator and Chillers, UMC, 
26 Planning and Construction
27 (Lafayette)
28 Payable from State General Fund (Direct) Non-Recurring 
29 Revenues	$ 400
30(135) Air Handler Replacement, Planning and Construction
31 (Lafayette)
32 Payable from State General Fund (Direct) Non-Recurring 
33 Revenues	$ 41,300
3419-612BATON ROUGE COMMUNITY COLLEG E
35(1468)Office of Motor Vehicle Building and Campus Renovation,
36 Demolition and Improvements, Planning and Construction
37 (Statewide)
38 Payable from State General Fund (Direct) Non-Recurring 
39 Revenues	$ 53,100
4019-616SOUTHERN UNIVERSITY - BATON ROUG E
41(1469)Fire Detection and Alarm System Upgrades, 
42 Planning and Construction
43 (East Baton Rouge)
44 Payable from State General Fund (Direct) Non-Recurring 
45 Revenues	$ 28,400
Page 10 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1(1470)Major Repairs to F.G. Clark Activity Center
2 (East Baton Rouge)
3 Payable from State General Fund (Direct) Non-Recurring 
4 Revenues	$ 149,000
519-621NICHOLLS STATE UNIVERSITY
6(1317)Talbot Hall Renovation and Roof Replacement, 
7 Planning and Construction
8 (Lafourche)
9 Payable from State General Fund (Direct) Non-Recurring 
10 Revenues	$ 383,100
1119-621NICHOLLS STATE UNIVERSITY
12(1473)Fieldhouse, Planning and Construction
13 (Lafourche)
14 Payable from State General Fund (Direct) Non-Recurring 
15 Revenues	$ 84,700
1619-623GRAMBLING STATE UNIVERSITY
17(198) Campus Utility Infrastructure Assessment, Planning
18 and Emergency Repairs and/or Replacement, 
19 Planning and Construction
20 (Lincoln)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 78,500
2319-625LOUISIANA TECH UNIVERSITY
24(181) Louisiana Tech Research Park, Real Estate
25 Acquisition, Planning and Construction
26 (Lincoln)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 59,000
29(1474)Water Distribution System Repairs and Improvements
30 (Lincoln)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$ 21,100
3319-625LOUISIANA TECH UNIVERSITY
34(1475)Visual Arts Building Renovation for Business,
35 Planning and Construction
36 (Lincoln)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 53,000
3919-627MCNEESE STATE UNIVERSITY
40(1476)Alpha Hall Renovations, Planning and Construction
41 (Calcasieu)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 66,300
Page 11 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
119-627MCNEESE STATE UNIVERSITY
2(1477)Frazar Memorial Library Renovation and Repairs, 
3 Planning and Construction
4 (Calcasieu)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 346,500
719-627MCNEESE STATE UNIVERSITY
8(1478)Campus-Wide Elevator Repairs, Planning and Construction
9 (Calcasieu)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 3,150
1219-629UNIVERSITY OF LOUISIANA - MONROE
13(1322)Sandel Hall Renovation, Planning and Construction
14 (Ouachita)
15 Payable from State General Fund (Direct) Non-Recurring 
16 Revenues	$ 559,400
1719-631NORTHWESTERN STATE UNIVERSITY
18(1479)Williamson Hall Renovation for EngineeringTechnology,
19 Planning and Construction
20 (Natchitoches)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 45,000
2319-644BOSSIER COMMUNITY COLLEG E
24(1480)Parking Lot, Planning and Construction
25 (Bossier)
26 Payable from State General Fund (Direct) Non-Recurring 
27 Revenues	$ 2,000
2819-657LOUISIANA SCHOOL F OR MATH, SCIENCE AND THE ARTS
29(1295)HVAC Issues in Caddo Hall, Planning and Construction
30 (Natchitoches)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$ 900
33(1296)Stair Railings - Addressing Code Violations,
34 Planning and Construction
35 (Natchitoches)
36 Payable from State General Fund (Direct) Non-Recurring 
37 Revenues	$ 3,800
38(1481)Renovation, Expansion and Replacement of Annex
39 Building, Existing Auditorium and Cafeteria Areas,
40 Planning and Construction
41 (Natchitoches)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 112,700
Page 12 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
119-673NEW ORLEANS CENTER F OR THE CREATIVE ARTS
2(1177)Replace HVAC System, Planning and Construction
3 (Orleans)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 120,900
619-731L.E. FLETCHER TECHNICAL COMMUNITY COLLEG E
7(1482)Integrated Petroleum Technologies Program (IPT) Lab
8 and Classroom Building, Planning and Construction
9 (Terrebonne)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 32,700
12(1483)Diesel Marine, Welding and Transportation Building 8 
13 for Fletcher Technical Community College
14 (Terrebonne)
15 Payable from State General Fund (Direct) Non-Recurring 
16 Revenues	$ 52,700
1719-741SOUTH LOUISIANA COMMUNITY COLLEGE - LAFAYETTE CAMPUS
18(1484)HVAC Replacement, Planning and Construction
19 (Lafayette)
20 Payable from State General Fund (Direct) Non-Recurring 
21 Revenues	$ 13,100
2236-L37IBERIA PARISH LEVEE HURRICANE AND CONSERVATION
23 DISTRICT
24(777) Planning, Permitting, Engineering and Right of Way 
25 Acquisitions for the Iberia Hurricane Protection Master 
26 Plan
27 (Iberia)
28 Payable from State General Fund (Direct) Non-Recurring 
29 Revenues	$ 4,300
3036-P05WEST CALCASIEU PORT
31(1487)Land Acquisition and Rehabilitation of Existing 
32 Bulkhead, Planning and Construction
33 ($1,305,000 Local Match)
34 (Calcasieu)
35 Payable from State General Fund (Direct) Non-Recurring 
36 Revenues	$ 36,700
3736-P12LAKE PROVIDENCE PORT COMMISSION
38(1488)Railroad Rehabilitation, Planning and Construction
39 (East Carroll)
40 Payable from State General Fund (Direct) Non-Recurring 
41 Revenues	$ 10,000
Page 13 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
136-P14MADISON PARISH PORT, HARBOR AND TERMINAL DISTRICT
2(1489)Railroad Rehabilitation/ Improvement and New Rail Spur
3 for Avondale Facility, and Improvements Required for
4 Levee Raising Including Raise Rail, Road and Utilities
5 ($221,000 Local Match)
6 (Madison)
7 Payable from State General Fund (Direct) Non-Recurring 
8 Revenues	$ 91,800
9(1490)Improvements to Madison Parish Port former 
10 Northrop Grumman Shipbuilding Expansion
11 (Madison)
12 Payable from State General Fund (Direct) Non-Recurring 
13 Revenues	$ 15,000
1436-P15MORGAN CITY HARBOR AND TERMINAL DISTRICT
15(404) Governmental Operations and Emergency Center,
16 Planning and Construction
17 (St. Mary)
18 Payable from State General Fund (Direct) Non-Recurring 
19 Revenues	$ 13,200
2036-P20ST. BERNARD PORT, HARBOR AND TERMINAL DISTRICT
21(396) Rehabilitation of Chalmette Slip, Planning and
22 Construction
23 (St. Bernard)
24 Payable from State General Fund (Direct) Non-Recurring 
25 Revenues	$ 100,000
2636-P21PORT OF SOUTH LOUISIANA
27(344) Warehouse and Property Acquisition and
28 Improvements, Planning and Construction
29 (St. John the Baptist)
30 Payable from State General Fund (Direct) Non-Recurring 
31 Revenues	$ 90,000
3236-P26LAKE CHARLES HARBOR AND TERMINAL DISTRICT
33(1491)New Administration Building, Planning and 
34 Construction ($1,500,000 Local Match)
35 (Calcasieu)
36 Payable from State General Fund (Direct) Non-Recurring 
37 Revenues	$ 10,000
3836-P40GRAND ISLE PORT COMMISSION
39(1397)Pier and Bulkhead Project, Planning and Construction
40 (Jefferson)
41 Payable from State General Fund (Direct) Non-Recurring 
42 Revenues	$ 500,000
43(1492)Port Access Road and New Commercial Boat Slip Facility
44 (Jefferson)
45 Payable from State General Fund (Direct) Non-Recurring 
46 Revenues	$ 27,800
Page 14 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
136-P49POINTE COUPEE PORT, HARBOR AND TERMINAL DISTRICT
2(1494)Pointe Coupee Parish Port Capital Improvements, Planning
3 and Construction
4 (Pointe Coupee)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 11,800
750-J03ASCENSION PARISH
8(1496)Lamar Dixon Development, Purchase and Land
9 Acquisition
10 (Ascension)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 1,600
1350-J06BEAUREGARD PARISH
14(1497)Crosby, Butler and Pleasant Hill Roads
15 (Beauregard)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 12,000
1850-J07BIENVILLE PARISH
19(1498)Courthouse Improvements in Arcadia, Planning and
20 Construction ($115,000 Non-State Match)
21 (Bienville)
22 Payable from State General Fund (Direct) Non-Recurring 
23 Revenues	$ 40,000
2450-J08BOSSIER PARISH
25(279) Acceleration Lane on US 71, Planning and Construction
26 (Bossier)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 150,000
2950-J11CALDWELL PARISH
30(1153)Recreation Facilities Construction, Reconstruction,
31 Planning and Construction
32 (Caldwell)
33 Payable from State General Fund (Direct) Non-Recurring 
34 Revenues	$ 37,000
3550-J18EAST CARROLL PARISH
36(1499)Industrial Site Development and Road
37 Improvements (For Economic Development Purposes, 
38 Including but not Limited to an Ethanol Plant), Planning
39 and Construction
40 (East Carroll)
41 Payable from State General Fund (Direct) Non-Recurring 
42 Revenues	$ 42,500
Page 15 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-J18EAST CARROLL PARISH
2(1500)Courthouse and Jail Renovations
3 (East Carroll)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 55,200
650-J21FRANKLIN PARISH
7(1501)Courthouse Renovations, Planning and Construction
8 (Franklin)
9 Payable from State General Fund (Direct) Non-Recurring 
10 Revenues	$ 43,200
11(1502)Parish Road Improvements
12 (Franklin)
13 Payable from State General Fund (Direct) Non-Recurring 
14 Revenues	$ 31,400
1550-J23IBERIA PARISH
16(774) Robert B. Green Veterans Memorial Building
17 Renovation, Upgrade and Expansion Project for 
18 Robert B. Green American Legion Post 533 and
19 Perry Thompson VFW Post 12065, Planning and
20 Construction
21 (Iberia)
22 Payable from State General Fund (Direct) Non-Recurring 
23 Revenues	$ 50,000
2450-J26JEFFERSON PARISH
25(78) Bike Path Along Leo Kerner Parkway (Barataria Blvd.
26 to Parc des Familles Entrance), Planning and Construction
27 (Jefferson)
28 Payable from State General Fund (Direct) Non-Recurring 
29 Revenues	$ 43,800
30(111) Multi-Purpose Recreational and Achievement Center
31 (Jefferson)
32 Payable from State General Fund (Direct) Non-Recurring 
33 Revenues	$ 1,000
34(123) Upper Kraak Ditch Subsurface Drainage Improvement 
35 (Upper Kraak Drainage Pump Station to Earhart
36 Expressway), Planning and Construction
37 (Jefferson)
38 Payable from State General Fund (Direct) Non-Recurring 
39 Revenues	$ 134,900
40(126) Waggaman Subsurface Drainage Improvements, Planning 
41 and Construction
42 (Jefferson)
43 Payable from State General Fund (Direct) Non-Recurring 
44 Revenues	$ 18,300
45(1505)Martin Luther King Playground Improvements, Planning
46 and Construction
47 (Jefferson)
48 Payable from State General Fund (Direct) Non-Recurring 
49 Revenues	$ 2,000
Page 16 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1(1506)Livingston Place (Metairie Road to Loumor Avenue)
2 (Jefferson)
3 Payable from State General Fund (Direct) Non-Recurring 
4 Revenues	$ 17,700
550-J28LAFAYETTE PARISH
6(263) Parish Governmental Complex - Parish Courthouse, 
7 Planning and Construction
8 (Lafayette)
9 Payable from State General Fund (Direct) Non-Recurring 
10 Revenues	$ 6,400
1150-J29LAFOURCHE PARISH
12(1508)Company Canal Pump Station, Planning and Construction
13 ($283,236 Cash and/or In-Kind Match)
14 (Lafourche)
15 Payable from State General Fund (Direct) Non-Recurring 
16 Revenues	$ 30,000
1750-J30LASALLE PARISH
18(1509)Pine Hill Road Improvements, Planning and Construction
19 (LaSalle)
20 Payable from State General Fund (Direct) Non-Recurring 
21 Revenues	$ 16,200
2250-J32LIVINGSTON PARISH
23(1510)Livingston Parish Regional Airport, Planning and
24 Construction ($900,000 Federal Funds)
25 (Livingston)
26 Payable from State General Fund (Direct) Non-Recurring 
27 Revenues	$ 38,500
28(1512)District 9 Fire Station, Planning and Construction
29 (Livingston)
30 Payable from State General Fund (Direct) Non-Recurring 
31 Revenues	$ 2,000
32(1513)Livingston Parish Animal Shelter
33 (Livingston)
34 Payable from State General Fund (Direct) Non-Recurring 
35 Revenues	$ 4,900
3650-J34MOREHOUSE PARISH
37(1515)Carl Road Improvements, Construction
38 (Morehouse)
39 Payable from State General Fund (Direct) Non-Recurring 
40 Revenues	$ 1,500
4150-J39POINTE COUPEE PARISH
42(1517)Regional Fence Line Monitoring, Planning and
43 Equipment
44 (Pointe Coupee)
45 Payable from State General Fund (Direct) Non-Recurring 
46 Revenues	$ 4,000
Page 17 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1(1518)Emergency Communications Equipment
2 (Pointe Coupee)
3 Payable from State General Fund (Direct) Non-Recurring 
4 Revenues	$ 6,100
550-J40RAPIDES PARISH
6(1279)Renovation of Elevators at Rapides Parish Courthouse
7 (Rapides)
8 Payable from State General Fund (Direct) Non-Recurring 
9 Revenues	$ 375,000
1050-J42RICHLAND PARISH
11(952) Richland Parish Courthouse Renovations
12 (Richland)
13 Payable from State General Fund (Direct) Non-Recurring 
14 Revenues	$ 30,000
1550-J45ST. CHARLES PARISH
16(1442)West Bank Hurricane Protection Levee
17 (St. Charles)
18 Payable from State General Fund (Direct) Non-Recurring 
19 Revenues	$ 43,200
2050-J46ST. HELENA PARISH
21(1519)Emergency ADA and Life Safety Renovations to the 
22 Court House, Planning and Construction ($2,680,000
23 Federal Funds)
24 (St. Helena)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 4,100
27(1520)Eddy Road Improvements, Planning and Construction
28 (St. Helena)
29 Payable from State General Fund (Direct) Non-Recurring 
30 Revenues	$ 5,000
3150-J48ST. JOHN THE BAPTIST PARISH
32(1332)East Bank Courthouse, Planning and Construction
33 (St. John the Baptist)
34 Payable from State General Fund (Direct) Non-Recurring 
35 Revenues	$ 30,000
3650-J49ST. LANDRY PARISH
37(1213)Hurricane Evacuations and Homeland Security 
38 Coordination and Related Renovations, Planning and
39 Construction
40 (St. Landry)
41 Payable from State General Fund (Direct) Non-Recurring 
42 Revenues	$ 86,300
Page 18 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-J51ST. MARY PARISH
2(442) Recreation and Infrastructure Improvements at Centerville 
3 Park, Planning and Construction
4 (St. Mary)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 1,500
7(443) Plantation Pump Station Replacement for Sub-Gravity
8 Drainage District #1 of St. Mary Parish Gravity Drainage
9 District #2, Planning and Construction
10 (St. Mary)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 95,500
13(445) St. Mary Parish Sewage District #5 Sewer Lift Station
14 Improvements
15 (St. Mary)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 95,000
1850-J53TANGIPAHOA PARISH
19(759) Wardline Road, Widening and Improvements
20 (Tangipahoa)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 47,100
23(760) South Airport Road - North Hoover Road Improvements
24 (Tangipahoa)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 111,000
27(1522)Tangipahoa Parish Multipurpose Livestock and 
28 Agricultural Facility, Planning and Construction,
29 Supplemental Funding
30 (Tangipahoa)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$ 10,900
3350-J55TERREBONNE PARISH
34(1523)Terrebonne Parish Animal Shelter Facility,
35 Planning, Construction, and Equipment
36 (Terrebonne)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 33,600
3950-J58VERNON PARISH
40(1003)Pickering School Parking Lot, Planning and
41 Construction
42 (Vernon)
43 Payable from State General Fund (Direct) Non-Recurring 
44 Revenues	$ 90,000
45(1526)Plainview Road Improvements, Planning and
46 Construction
47 (Vernon)
48 Payable from State General Fund (Direct) Non-Recurring 
49 Revenues	$ 82,900
Page 19 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1(1527)Lift Station and Force Main for Vernon Parish Jail
2 (Vernon)
3 Payable from State General Fund (Direct) Non-Recurring 
4 Revenues	$ 32,000
550-J59WASHINGTON PARISH
6(1232)Animal Shelter Construction and Furnishings
7 (Washington)
8 Payable from State General Fund (Direct) Non-Recurring 
9 Revenues	$ 16,100
1050-J60WEBSTER PARISH
11(1528)Courthouse HVAC Renovations, Planning and
12 Construction
13 (Webster)
14 Payable from State General Fund (Direct) Non-Recurring 
15 Revenues	$ 19,000
1650-J61WEST BATON ROUG E PARISH
17(653) Sid Richardson Road Extension, Planning and 
18 Construction
19 (West Baton Rouge)
20 Payable from State General Fund (Direct) Non-Recurring 
21 Revenues	$ 150,000
2250-J64WINN PARISH
23(1529)Beulah Road Reconstruction, Planning and Construction
24 (Winn)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 12,000
27(1530)Parish-Wide Roadway Projects
28 (Winn)
29 Payable from State General Fund (Direct) Non-Recurring 
30 Revenues	$ 11,600
3150-M02ABITA SPRINGS
32(1531)Water Lines and Sewer Lines, Extensions and
33 Upgrades, Planning and Construction (Cash and/or 
34 In- Kind Match Required)
35 (St. Tammany)
36 Payable from State General Fund (Direct) Non-Recurring 
37 Revenues	$ 4,800
3850-M06AMITE
39(232) Town of Amite City Water Improvement Project, 
40 Planning and Construction
41 (Tangipahoa)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 680,000
Page 20 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-M10ARNAUDVILLE
2(1532)Multipurpose Aquatic Recreational Facility
3 (St. Landry)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 4,600
650-M20BATON ROUGE
7(1534)Drainage Improvements in Old Goodwood Area, 
8 Planning and Construction
9 (East Baton Rouge)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 5,000
1250-M22BENTON
13(1535)Town of Benton Wastewater Collection System
14 Improvements, Planning and Construction
15 (Bossier)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 9,500
1850-M25BIENVILLE
19(1537)Village of Bienville, Water System Improvements
20 (Bienville)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 2,000
2350-M27BOGALUSA
24(1018)Drainage, Paving and Water System Improvements,
25 Planning and Construction
26 (Washington)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 8,100
29(1019)Emergency Sewer Collection System Evaluation and
30 Repairs, Planning and Construction
31 (Washington)
32 Payable from State General Fund (Direct) Non-Recurring 
33 Revenues	$ 38,300
3450-M39CARENCRO
35(168) Gaston Coulee Cleaning, Planning and Improvements
36 (Lafayette)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 16,600
3950-M44CHOUDRANT
40(1194)Village of Choudrant Town Hall
41 (Lincoln)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 20,000
Page 21 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-M52COLUMBIA
2(1539)Water Well, Planning and Construction
3 (Caldwell)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 6,500
650-M58CROWLEY
7(1540)North Avenue O Drainage Improvements, 
8 Planning and Construction
9 (Acadia)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 19,200
1250-M59CULLEN
13(989) Potable Water and Distribution System
14 Improvements, Planning and Construction
15 (Webster)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 321,000
1850-M61DELHI
19(1160)Richland Parish Recreational and Learning Center, 
20 Planning and Construction
21 (Richland)
22 Payable from State General Fund (Direct) Non-Recurring 
23 Revenues	$ 1,300
2450-M68DONALDSONVILLE
25(1542)Riverfront Development, Planning and Construction
26 (Ascension)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 51,400
2950-M80ERATH
30(366) Wastewater Treatment Plant Improvement,
31 Planning and Construction
32 (Vermilion)
33 Payable from State General Fund (Direct) Non-Recurring 
34 Revenues	$ 15,600
35(1013)Public Works Facility, Planning and Construction
36 (Vermilion)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 6,700
3950-M87FERRIDAY
40(1543)Downtown Revitalization, Planning and Construction 
41 ($253,750 In-Kind Local Match)
42 (Concordia)
43 Payable from State General Fund (Direct) Non-Recurring 
44 Revenues	$ 12,400
Page 22 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MA3GOLDEN MEADOW
2(229) Median Turning Lane near Town Hall
3 (Lafourche)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 103,600
650-MB2GRAYSON
7(1544)Streets and Drainage Improvements
8 (Caldwell)
9 Payable from State General Fund (Direct) Non-Recurring 
10 Revenues	$ 11,200
1150-MB5GRETNA
12(925) Hancock Street Canal Improvements (Kepler Street 
13 - Virgil Street), Planning and Construction
14 (Jefferson)
15 Payable from State General Fund (Direct) Non-Recurring 
16 Revenues	$ 4,900
17(926) Cultural Center for the Arts, Planning and Construction
18 ($300,000 Local Match, $500,000 Parish Match)
19 (Jefferson)
20 Payable from State General Fund (Direct) Non-Recurring 
21 Revenues	$ 2,000
22(1546)Lion's Club Conversion to Gretna Senior Center, 
23 Planning and Construction
24 (Jefferson)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 10,000
2750-MC1HARAHAN
28(1547)Magnolia Boulevard Drainage - West Magnolia to 
29 Jefferson Highway, Planning and Construction
30 (Jefferson)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$ 16,500
3350-MC3HAUGHTON
34(1548)Additional Water Supply Wells, Planning and Construction
35 (Bossier)
36 Payable from State General Fund (Direct) Non-Recurring 
37 Revenues	$ 4,100
3850-MC9HOMER
39(1549)Town of Homer, Town Hall Renovations, 
40 Planning and Construction
41 (Claiborne)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 7,700
Page 23 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MD1HORNBECK
2(469) Improvements to the Compressed Natural Gas System, 
3 Acquisition, Planning and Construction
4 (Vernon)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 57,700
7(610) Emergency Connection with West Vernon Waterworks
8 District and Inline Booster Station, Planning and 
9 Construction
10 (Vernon)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 10,100
13(1550)Emergency Connection with Sabine Parish Water 
14 Works District 1, Planning and Construction
15 (Sabine)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 18,600
18(1551)Rehabilitation of Elevated Water Tank, Planning and
19 Construction
20 (Vernon)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 3,600
2350-MD5INDEPENDENCE
24(1552)Independence Area Community Pavilion, Planning
25 and Construction
26 (Tangipahoa)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 1,000
2950-ME1JEAN LAFITTE
30(1553)Lafitte Seafood Pavilion, Planning and Construction
31 (Jefferson)
32 Payable from State General Fund (Direct) Non-Recurring 
33 Revenues	$ 61,800
3450-ME2JEANERETTE
35(910) Sewer Treatment Facility Upgrade, Planning and 
36 Construction ($912,500 Federal and/or Local Match)
37 (Iberia)
38 Payable from State General Fund (Direct) Non-Recurring 
39 Revenues	$ 7,200
4050-MF1KENNER
41(1554)Lake Trail Drainage Improvement, Planning and 
42 Construction
43 (Jefferson)
44 Payable from State General Fund (Direct) Non-Recurring 
45 Revenues	$ 63,600
Page 24 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MF9LAKE CHARLES
2(1556)Riverside Park Improvements, Planning and Construction
3 (Calcasieu)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 10,000
650-MG3LEESVILLE
7(242) Water System Rehabilitation Including Generators, 
8 Planning and Construction
9 (Vernon)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 500,000
12(243) Acquisition of East Central Water System
13 (Vernon)
14 Payable from State General Fund (Direct) Non-Recurring 
15 Revenues	$ 7,000
16(1557)University Parkway Sewer System and Wastewater
17 Treatment Facilities Enhancements, Planning and 
18 Construction
19 (Vernon)
20 Payable from State General Fund (Direct) Non-Recurring 
21 Revenues	$ 19,300
2250-MG8LIVONIA
23(196) Sewer Infrastructure Expansion and Improvements
24 (Pointe Coupee)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 1,500
2750-MI6MARKSVILLE
28(1561)Mary Bethune Community Center, previously known as 
29 D.A. Jordan Community Center, for the City of
30 Marksville, Planning and Construction
31 (Avoyelles)
32 Payable from State General Fund (Direct) Non-Recurring 
33 Revenues	$ 35,000
3450-MJ3MER ROUGE
35(1562)Boutz Lane Renovations
36 (Morehouse)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 15,000
3950-MJ4MERRYVILLE
40(1563)Sewerage Pump Station and Aeration System 
41 Improvements, Planning and Construction
42 (Beauregard)
43 Payable from State General Fund (Direct) Non-Recurring 
44 Revenues	$ 4,500
Page 25 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MK2MORGAN CITY
2(1308)Lake End Parkway Cabins, Planning and Construction
3 (St. Mary)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 9,700
650-MK9NATCHITOCHES
7(1080)South Natchitoches Drainage Improvements,
8 including Adjacent Roadwork, Planning and Construction
9 (Natchitoches)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 45,000
1250-ML1NEW IBERIA
13(402) Bayou Teche Museum Expansion and George Rodrigue
14 Park
15 (Iberia)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 750,000
18(1565)Armenco Branch Canal Drainage Improvements
19 (Non-State Match Required)
20 (Iberia)
21 Payable from State General Fund (Direct) Non-Recurring 
22 Revenues	$ 46,500
2350-ML2NEW LLANO
24(1566)Raymond Street Rehabilitation
25 (Vernon)
26 Payable from State General Fund (Direct) Non-Recurring 
27 Revenues	$ 7,000
28(1567)Expansion of Wastewater System South to Fort Polk
29 Entrance Road ($750,000 Local Match) Real Estate 
30 Acquisition, and/or Street Lighting Improvements, 
31 Planning and Construction
32 (Vernon)
33 Payable from State General Fund (Direct) Non-Recurring 
34 Revenues	$ 35,700
3550-ML3NEW ORLEANS
36(533) Norman Playground Basketball Gym, and Park 
37 Enhancements, Planning and Construction
38 (Orleans)
39 Payable from State General Fund (Direct) Non-Recurring 
40 Revenues	$ 85,100
41(1113)Historic Algiers Courthouse Renovation, Planning and
42 Construction
43 (Orleans)
44 Payable from State General Fund (Direct) Non-Recurring 
45 Revenues	$ 125,000
Page 26 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MM3OBERLIN
2(399) Lift Station Pump and Control Replacement
3 (Allen)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 150,000
650-MM6OPELOUSAS
7(1378)Opelousas Infrastructure Renovation Program, Planning
8 and Construction
9 (St. Landry)
10 Payable from State General Fund (Direct) Non-Recurring 
11 Revenues	$ 200,000
1250-MN8PLEASANT HILL
13(1011)Rehabilitate Two Elevated Water Tanks and Rehabilitate
14 Water Well, Planning and Construction
15 (Sabine)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 150,000
1850-MO1PONCHATOULA
19(1324)Downtown Parking Lot, Acquisition, Planning and 
20 Construction
21 (Tangipahoa)
22 Payable from State General Fund (Direct) Non-Recurring 
23 Revenues	$ 131,000
24(1571)Consolidated Law Enforcement Complex, 
25 Acquisition, Planning and Construction
26 (Tangipahoa)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 12,000
2950-MP5RINGGOLD
30(905) Town Hall/Civic Center Renovations, and
31 Remodeling, Planning and Construction
32 (Bienville)
33 Payable from State General Fund (Direct) Non-Recurring 
34 Revenues	$ 45,000
3550-MP9ROSELAND
36(1158)Community Center, Planning and Construction
37 (Tangipahoa)
38 Payable from State General Fund (Direct) Non-Recurring 
39 Revenues	$ 248,400
4050-MQ1ROSEPINE
41(1573)Rehabilitation of Elevated Water Tank, Planning and 
42 Construction
43 (Vernon)
44 Payable from State General Fund (Direct) Non-Recurring 
45 Revenues	$ 59,500
Page 27 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1(1574)Improvements to Sewer Collection System
2 (Vernon)
3 Payable from State General Fund (Direct) Non-Recurring 
4 Revenues	$ 110,200
550-MQ4ST. JOSEPH
6(1576)Proposed City Hall/Convention Center, Planning and 
7 Construction
8 (Tensas)
9 Payable from State General Fund (Direct) Non-Recurring 
10 Revenues	$ 15,000
1150-MQ5ST. MARTINVILLE
12(1577)Sewer and Water Updates, Planning and Construction
13 (St. Martin)
14 Payable from State General Fund (Direct) Non-Recurring 
15 Revenues	$ 60,500
16(1578)Sewer Lift Station Improvements
17 (St. Martin)
18 Payable from State General Fund (Direct) Non-Recurring 
19 Revenues	$ 30,000
2050-MR2SIBLEY
21(1581)Town of Sibley, Water Tank Rehabilitations, Planning 
22 and Construction
23 (Webster)
24 Payable from State General Fund (Direct) Non-Recurring 
25 Revenues	$ 6,000
2650-MR7SIMSBORO
27(1582)Water Well and Water Main
28 (Lincoln)
29 Payable from State General Fund (Direct) Non-Recurring 
30 Revenues	$ 28,000
3150-MS5SPRINGHILL
32(1195)Wastewater Collection System Improvements, Planning
33 and Construction
34 (Webster)
35 Payable from State General Fund (Direct) Non-Recurring 
36 Revenues	$ 326,600
3750-MS7STERLINGTON
38(1208)Wastewater Treatment Improvements - Headworks
39 Structure, Planning and Construction
40 (Ouachita)
41 Payable from State General Fund (Direct) Non-Recurring 
42 Revenues	$ 12,500
Page 28 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MT3TALLULAH
2(1583)Improvements to Sewer System, Planning and Construction
3 (Madison)
4 Payable from State General Fund (Direct) Non-Recurring 
5 Revenues	$ 12,900
6(1584)Sewer Treatment Plant Improvements City of Tallulah
7 (Madison)
8 Payable from State General Fund (Direct) Non-Recurring 
9 Revenues	$ 92,600
1050-MT5THIBODAUX
11(1585)LA Hwy 20 (N. Canal Blvd.) Widening, Planning and
12 Construction
13 (Lafourche)
14 Payable from State General Fund (Direct) Non-Recurring 
15 Revenues	$ 30,900
1650-MU5VINTON
17(1586)Water Treatment Plant Improvements, Including 
18 Rehabilitation of Elevated Water Storage Tank,
19 Site and Electrical Improvements, Planning and
20 Construction
21 (Calcasieu)
22 Payable from State General Fund (Direct) Non-Recurring 
23 Revenues	$ 26,800
24(1587)Reconstruction of Big Woods Road, Planning and
25 Construction
26 (Calcasieu)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 7,500
2950-MV4WESTWEGO
30(658) Riverboat Landing Phase IV, Planning and
31 Construction ($200,000 Local Match)
32 (Jefferson)
33 Payable from State General Fund (Direct) Non-Recurring 
34 Revenues	$ 143,100
35(676) Drainage Improvements, Phase I
36 (Jefferson)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 47,300
39(775) Performing Arts Center/Community Center Renovations, 
40 Planning, Construction and Equipment
41 (Jefferson)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 400
Page 29 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-MW2YOUNGSVILLE
2(1588)Youngsville Parkway Road Project, Including
3 Waterline Improvements, Roadway Lighting,
4 and Other Infrastructure Improvements, Planning 
5 and Construction
6 (Lafayette)
7 Payable from State General Fund (Direct) Non-Recurring 
8 Revenues	$ 31,300
9(1589)Highway 92 Realignment Near Youngsville, 
10 Construction, Right of Way, and Utilities
11 (Lafayette)
12 Payable from State General Fund (Direct) Non-Recurring 
13 Revenues	$ 295,000
1450-MW4ZWOLLE
15(1590)Installation of 6" Waterline and Water Well,
16 Planning and Construction ($25,000 Local Match)
17 (Sabine)
18 Payable from State General Fund (Direct) Non-Recurring 
19 Revenues	$ 21,400
2050-N71NORTH LAFOURCHE CONSERVATION LEVEE AND DRAINAGE
21 DISTRICT
22(1591)80 Arpent Canal Dredging, Caldwell Plantation to
23 Laurel Valley, Planning and Construction
24 (Lafourche)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 10,000
2750-NAJEFFORTS OF GRACE, INC.
28(932) Ashe Too, Planning and Construction
29 (Orleans)
30 Payable from State General Fund (Direct) Non-Recurring 
31 Revenues	$ 15,000
3250-NB3MCKINLEY HIGH SCHOOL ALUMNI ASSOCIATION
33(1593)Old McKinley High Community Center on Thomas 
34 Delpit Drive in the City of Baton Rouge, Kitchen and 
35 Building Renovations, Repairs and Upgrades Including 
36 Elevator Repair, Planning and Construction
37 (East Baton Rouge)
38 Payable from State General Fund (Direct) Non-Recurring 
39 Revenues	$ 100,000
4050-NBCCAPITOL CITY FAMILY HEALTH CENTER
41(663) Federally Qualified Health Centers, Acquisitions, 
42 Planning and Construction
43 (Ascension, East Baton Rouge)
44 Payable from State General Fund (Direct) Non-Recurring 
45 Revenues	$ 35,000
Page 30 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-NBTDISTRICT 2 COMMUNITY ENHANCEMENT CORP ORATION
2(1595)New Orleans East Walking and Bike Trail, 
3 Planning and Construction
4 (Orleans)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 23,700
750-NCNSOUTH TOLEDO BEND WATERWORK S DISTRICT
8(1596)Water Distribution System Improvements Including
9 Water Meters
10 (Sabine)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 8,800
1350-NCYRECONCILE NEW ORLEANS, INC.
14(1597)Reconcile New Orleans, Renovation and 
15 Expansion Project, Central City New Orleans, 
16 Planning and Construction
17 (Orleans)
18 Payable from State General Fund (Direct) Non-Recurring 
19 Revenues	$ 55,000
2050-NFQALGIERS DEVELOPMENT DISTRICT, INC.
21(1598)Westbank Recreation Center - Federal City
22 (Orleans)
23 Payable from State General Fund (Direct) Non-Recurring 
24 Revenues	$ 27,700
2550-NFSSHREVEPORT - RUSTON METHODIST CAMP
26(1599)Caney Conference Center Remodel Project,
27 Planning and Construction
28 (Webster)
29 Payable from State General Fund (Direct) Non-Recurring 
30 Revenues	$ 2,000
3150-NGEWEST VERNON WATERWORK S DISTRICT
32(1600)Expansion of Water Distribution System and
33 Booster Station West Vernon Waterworks District,
34 Planning and Construction
35 (Vernon)
36 Payable from State General Fund (Direct) Non-Recurring 
37 Revenues	$ 32,500
3850-NHLBOGALUSA COMMUNITY MEDICAL CENTER F OUNDATION
39(1602)Capital Improvements at Washington St. Tammany 
40 Regional Medical Center
41 (St. Tammany, Washington)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 5,500
Page 31 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-NHSPLEASANT HILL-CROSSROADS WATER SYSTEMS, INC.
2(1603)Pleasant Hill/Crossroads Water System, Repairs and
3 Extension, Planning and Construction
4 (Winn)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 4,100
750-NIKLOUISIANA 4-H FOUNDATION
8(1604)Louisiana 4-H Foundation Youth Educational 
9 Development Center, Camp Windy Wood Property, 
10 Including Multipurpose Educational Building, 
11 Planning, Construction and Acquisition
12 (Grant)
13 Payable from State General Fund (Direct) Non-Recurring 
14 Revenues	$ 3,900
1550-NJPWATERWORK S DISTRICT #1 DESOTO PARISH
16(1325)Water System Improvements and Extension,
17 Planning and Construction ($1,977,300 Local Match)
18 (DeSoto)
19 Payable from State General Fund (Direct) Non-Recurring 
20 Revenues	$ 5,000
2150-NLRHORSESHOE ROAD WATER SYSTEM, INC.
22(1607)Horseshoe Water System, Planning and Construction
23 (Webster)
24 Payable from State General Fund (Direct) Non-Recurring 
25 Revenues	$ 15,900
2650-NM3NATCHITOCHES VOLUNTEER COUNCIL ON AG ING, INC.
27(1246)Reconstruction and Renovations to Natchitoches Parish
28 Council on Aging Office and Activities Building, 
29 Planning and Construction
30 (Natchitoches)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$ 3,800
3350-NNRWASHINGTON PARISH RECREATION DISTRICT #1
34(388) Multi-Purpose Recreation Facility, Land Acquisition,
35 Master Planning, Design, and Construction
36 (Washington)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 346,000
39(918) Right Turn Lane Entrance into Recreation Facility, 
40 Planning and Construction
41 (Washington)
42 Payable from State General Fund (Direct) Non-Recurring 
43 Revenues	$ 204,000
Page 32 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-NQYWESTON WATER SYSTEM, INC.
2(1266)Water Distribution System Expansion - Caney Lake
3 Extension
4 (Jackson)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 146,100
7(1608)Water Mains Extensions with Connections, Booster 
8 Station and Emergency Power Improvements, Planning
9 and Construction
10 (Jackson)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 12,400
1350-NSESABINE PARISH WATER DISTRICT #1
14(1275)New Production Water Well, Planning and Construction
15 (Sabine)
16 Payable from State General Fund (Direct) Non-Recurring 
17 Revenues	$ 30,300
1850-NSMNATCHITOCHES VETERANS MEMORIAL P ARK COMMISSION
19(1375)Natchitoches Veterans and Memorial Park, Planning
20 and Construction
21 (Natchitoches)
22 Payable from State General Fund (Direct) Non-Recurring 
23 Revenues	$ 24,200
2450-NSPEDEN HOUSE
25(1064)New Facility, Acquisition, Planning and Construction
26 (Orleans)
27 Payable from State General Fund (Direct) Non-Recurring 
28 Revenues	$ 11,800
2950-NSRJUNIOR LEAGUE OF NEW ORLEANS, INCORP ORATED
30(1610)Renovate Thrift Shop and Annex, Including Parking
31 Lot, Planning and Construction
32 (Orleans)
33 Payable from State General Fund (Direct) Non-Recurring 
34 Revenues	$ 100
35(1611)Renovate Headquarters Building, Including HVAC 
36 System, Planning and Construction
37 (Orleans)
38 Payable from State General Fund (Direct) Non-Recurring 
39 Revenues	$ 2,800
4050-NSXMOREHOUSE PARISH SHERIFF
41(1206)Operations Center Relocation, Site Development,
42 Renovations and Improvements, Planning and
43 Construction ($130,000 Local Match)
44 (Morehouse)
45 Payable from State General Fund (Direct) Non-Recurring 
46 Revenues	$ 36,400
Page 33 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-NT2MERCY ENDEAVORS
2(1612)Irish Channel St. Andrew Street Elderly Resource 
3 Center, New Facility, Land Acquisition, Including
4 Installation and Acquisition of Building Equipment
5 and Furnishings, Planning and Construction
6 (Orleans)
7 Payable from State General Fund (Direct) Non-Recurring 
8 Revenues	$ 101,600
950-NTJCADEVILLE WATER DISTRICT
10(1613)Site No. 4 Water System Renovations and
11 Improvements, Planning and Construction
12 (50% Local Match)
13 (Ouachita)
14 Payable from State General Fund (Direct) Non-Recurring 
15 Revenues	$ 3,800
1650-NTQEAST FELICIANA EMERG ENCY COMMUNICATIONS DISTRICT
17(1614)Emergency Communications Center, Planning and 
18 Construction
19 (East Feliciana)
20 Payable from State General Fund (Direct) Non-Recurring 
21 Revenues	$ 30,800
2250-NTTHOMER MEMORIAL HOSP ITAL
23(1615)Bone Density Machine, Acquisition and Installation
24 (Claiborne)
25 Payable from State General Fund (Direct) Non-Recurring 
26 Revenues	$ 16,100
2750-NUJHAMMOND AREA RECREATION DISTRICT 1
28(933) Parking Lot for Hammond Area Recreation District 
29 No. 1, Planning and Construction
30 (Tangipahoa)
31 Payable from State General Fund (Direct) Non-Recurring 
32 Revenues	$ 7,500
3350-NUWTERREBONNE PARISH RECREATION DISTRICT #11
34(367) Mechanicville Gym - Multi-Purpose Building, 
35 Planning and Construction
36 (Terrebonne)
37 Payable from State General Fund (Direct) Non-Recurring 
38 Revenues	$ 76,500
3950-NV5SWLA CENTER FOR HEALTH SERVICES
40(1623)SWLA Center for Health Services - Healing Center,
41 Planning and Construction
42 (Calcasieu)
43 Payable from State General Fund (Direct) Non-Recurring 
44 Revenues	$ 85,000
Page 34 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
150-NV6EAST CARROLL PARISH HOSPITAL
2(1616)East Carroll Parish Hospital Capital Improvement,
3 Emergency Repairs, Planning and Construction
4 (East Carroll)
5 Payable from State General Fund (Direct) Non-Recurring 
6 Revenues	$ 3,400
750-NVZBORDELONVILLE VOLUNTEER F IRE DEPARTMENT
8(535) Roof Repairs to Fire Department Building, 
9 Planning and Construction
10 (Avoyelles)
11 Payable from State General Fund (Direct) Non-Recurring 
12 Revenues	$ 105,000
1350-NWKNATIONAL HURRICANE MUSEUM AND SCIENCE CENTER, INC.
14(1619)National Hurricane Museum and Science Center,
15 Planning and Construction
16 (Calcasieu)
17 Payable from State General Fund (Direct) Non-Recurring 
18 Revenues	$ 4,000
1950-NWQCHENIER PLAIN COASTAL RESTORATION AND PROTECTION
20 AUTHORITY
21(1309)Boston Canal/Vermilion Bay Bank Stabilization
22 (Vermilion)
23 Payable from State General Fund (Direct) Non-Recurring 
24 Revenues	$ 65,000
2550-S39POINTE COUPEE PARISH SCHOOL BOARD
26(1621)Pointe Coupee Parish School Board Central Office
27 Relocation, Renovation and Rebuilding Due to 
28 Flooding Caused By Hurricane Gustav
29 (Pointe Coupee)
30 Payable from State General Fund (Direct) Non-Recurring 
31 Revenues	$ 40,900
32 Section 3.  Notwithstanding the provisions of R.S. 49:112, the sum of
33$10,000,000.00 is hereby appropriated out of the state general fund (Direct) for Fiscal Year
342017-2018 to be allocated to pay consent judgments, stipulated judgments, and other
35judgments against the state, if such judgments are final.  Provided, however, that all
36judgments provided for in this Section shall be paid as to principal, interest, court costs, and
37expert witness fees as provided in said judgments, it being the intent herein that when the
38provisions of any judgment conflict with the provisions of this Act, the provisions of the
39judgment shall be controlling.  Any other provision of this Act not in conflict with the
40provisions of such judgment shall control.  Payment shall be made as to any such judgment
41only after presentation to the state treasurer of documentation required by the state treasurer. 
Page 35 of 36 HLS 18RS-1065	ORIGINAL
HB NO. 883
1 Further, all judgments provided for in this Section shall be deemed to have been paid on the
2effective date of the Act, and interest shall cease to run as of that date.
3 Section 4.  This Act shall become effective upon signature by the governor or,
4if not signed by the governor, upon expiration of the time for bills to become law without
5signature by the governor, as provided by Article III, Section 18 of the Constitution of
6Louisiana.  If vetoed by the governor and subsequently approved by the legislature, this Act
7shall become effective on the day following such approval.
DIGEST
The digest printed below was prepared by House Legislative Services.  It constitutes no part
of the legislative instrument.  The keyword, one-liner, abstract, and digest do not constitute
part of the law or proof or indicia of legislative intent.  [R.S. 1:13(B) and 24:177(E)]
HB 883 Original 2018 Regular Session	Leger
Appropriates supplemental funding and provides for means of financing substitutions and
other budgetary adjustments for Fiscal Year 2017-2018.  Provides for net increases
(decreases) as follows: State General Fund (Direct) by $58,155,202; Interagency Transfers
by $2,176,171; Fees & Self-generated Revenues by $36,100,000; Statutory Dedications by
795,350; and Federal Funds by $0.
Additionally appropriates $91,964,970 of State General Fund (Direct) of nonrecurring
revenue out of the surplus from Fiscal Year 2016-2017.
Effective upon signature of the governor or lapse of time for gubernatorial action.
Page 36 of 36