HLS 21RS-704 RE-REENGROSSED 2021 Regular Session HOUSE BILL NO. 2 BY REPRESENTATIVE BISHOP CAPITAL OUTLAY: Provides for the comprehensive Capital Outlay budget 1 AN ACT 2To provide with respect to the capital outlay budget and the capital outlay program for state 3 government, state institutions, and other public entities; to provide for the 4 designation of projects and improvements; to provide for the financing thereof 5 making appropriations from certain sources; and to provide for related matters. 6Be it enacted by the Legislature of Louisiana: 7 Section 1. The following sums or so much thereof as may be necessary are hereby 8appropriated out of any monies in the state treasury from the sources specified, from federal 9funds and self-generated revenues belonging to the state of Louisiana and/or collected by 10boards, commissions, departments, and agencies thereof, all for making capital outlay and 11for the purposes and in the amounts specified herein for the Fiscal Year commencing July 121, 2021, and ending June 30, 2022, subject to the conditions thereafter provided: 13 A project with funding payable from General Obligation Bonds Priority 1 indicates 14that the funding for the project includes the reauthorization of funding which was previously 15granted as a line of credit by the State Bond Commission in Fiscal Year 2020-2021. As used 16in this Section, the term "general obligation bonds" means state general obligation bonds or 17other evidences of indebtedness payable from the Bond Security and Redemption Fund. The 18amount set forth in this Section opposite each project, or so much thereof as may be 19necessary, is hereby appropriated and payable from the source of funding indicated; 20provided, however, amounts appropriated and payable from federal funds may be 21encumbered or expended only to the extent such amounts shall have been committed or Page 1 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1received. Pursuant to the provisions of R.S. 39:82, funds for planning, acquisition, 2construction, and major repair projects appropriated by this Act may be retained until 3completion of the project, even if no bona fide liability exists on the last day of the fiscal 4year. 5 This Act shall constitute the comprehensive state capital outlay budget for the 2021- 62022 Fiscal Year. Projects set forth which are payable from the proceeds available from the 7sale of general obligation bonds shall have the priorities as indicated. The Request for Line 8of Credit form used by the attorney general and Bond Counsel in evaluating Louisiana 9Constitutional, Internal Revenue Code, and applicable income tax regulations shall be filed 10with the commissioner of administration, State Bond Commission, and state attorney 11general. No general obligation bond cash lines of credit shall be granted to fund any lower 12priority project prior to the granting of general obligation bond cash lines of credit to fund 13all higher priority projects (the "general rule"), except as hereinafter provided. This 14prohibition against funding a lower priority project shall not apply upon a showing of an 15impossibility or impracticality either to proceed with all unfunded higher priority projects 16or to proceed with the funding of such projects or any part thereof through the issuance of 17general obligation bonds for any reason. Such showing shall be stated in reasonable detail 18in a certificate or certificates signed by the state agency responsible for administering the 19funding, and filed with the commissioner of administration and the State Bond Commission 20(hereinafter referred to as "the Commission"). Upon a determination by the Commission 21that proceeding with such a project or the funding thereof through the issuance of general 22obligation bonds is impractical or impossible, the Commission may then proceed with the 23sale of general obligation bonds or the granting of cash lines of credit without regard to the 24priority of the unfunded projects determined to be impossible or impractical. 25 Upon recommendation by the state agency responsible for administering the funding, 26if it is determined at any time that proceeding with the project or with the funding thereof 27is no longer impossible or impractical, the State Bond Commission may rescind the 28certificate of impossibility or impracticality and may proceed with the project or with the 29issuance of general obligation bonds or the granting of cash lines of credit to fund the 30project. Alternatively, the Interim Emergency Board (hereinafter referred to as "the Board"), Page 2 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1upon reviewing certificates as described above and determining that proceeding with such 2projects or the funding thereof through the issuance of general obligation bonds is 3impossible or impractical, may designate a lower priority for such projects. The Board's 4determination and lower priority designation shall be submitted to the members of the 5legislature for their approval in accordance with the provisions of Chapter 3-B of Subtitle 6I of Title 39 of the Louisiana Revised Statutes of 1950. In accordance with the provisions 7of Chapter 3-B of Subtitle I of Title 39 of the Louisiana Revised Statutes of 1950, whenever 8at the written request of the appropriate legislators and agency, the Board determines that 9an adjustment to a project description originally set forth in such capital budget adopted by 10the legislature for a current fiscal year is necessary to correct a mistake in a project 11description, clarify a description, change the scope of a description, or make any other 12adjustment the Board deems necessary to implement the purpose of the project, such 13adjustment shall become effective only upon the approval by majority vote of the elected 14members of each house of the legislature in the manner provided for in Chapter 3-B of 15Subtitle I of Title 39 of the Louisiana Revised Statutes of 1950. 16 If such approval is granted, notification by the chair or secretary of the Board of the 17results of the balloting shall be transmitted to the State Bond Commission, which may then 18proceed with the sale of general obligation bonds or the granting of cash lines of credit for 19each change approved upon request of the commissioner of administration in accordance 20with the general rule. 21 With respect to Priorities 1 through 5, a lower priority project may be moved to a 22higher priority only upon a showing of an emergency or other cause not reasonably 23anticipated by the legislature, which shall be stated in reasonable detail in a certificate signed 24by the head of the appropriate department, political subdivision, or agency and filed with the 25commissioner of administration and the Board. Upon a determination by the Board that such 26project should be moved to a higher priority because of an emergency or other cause not 27reasonably anticipated by the legislature, the Board shall designate a higher priority to the 28project. The matter then shall be submitted to and be subject to the same approval by the 29members of the legislature in the manner previously indicated in this Section. If such 30approval is granted, notification by the chair or secretary of the board of the change of Page 3 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1priority shall be transmitted to the State Bond Commission, which then upon request of the 2commissioner of administration, may proceed with the sale of general obligation bonds or 3the granting of cash lines of credit in accordance with the general rule. As to projects within 4a priority, the State Bond Commission acting on requests submitted by the commissioner of 5administration shall determine when such project, or phases thereof, shall be funded. In 6making such determination, the State Bond Commission shall consider the amount of 7proceeds of general obligation bonds to be made available in light of money and capital 8market conditions; the expenditure requirements of the project; the time required for 9architectural plans and drawings, public bidding, and site acquisition and preparation; 10availability of receipt of federal monies; litigation affecting the undertaking or completion 11of a project; federal tax laws and regulations regarding the sale of municipal bonds; and 12other items of a similar nature bearing upon the possibility or the necessity to commence a 13project or any particular phase thereof. 14 Any other provision of this Act to the contrary notwithstanding, projects described 15in Priority 5 of this Act shall not be moved to a higher priority except upon one of the 16following conditions: (1) Funding is necessary to complete or additionally fund a project 17located elsewhere in the Capital Outlay Act. Determination of such condition shall be made 18by the head of the appropriate department or agency by means of a certificate to that effect 19filed with the Interim Emergency Board, who shall, by mail ballot, request approval of such 20change and if approved by a majority of each house of the legislature it shall be funded, or 21(2) unless required by an emergency or other cause not reasonably anticipated by the 22legislature, to be in accordance with procedures set forth in this Section. However, the State 23Bond Commission may authorize a non-cash line of credit for any project in Priority 5 which 24represents that portion of construction contracts which were let during a previous fiscal year, 25or construction contracts which will be let during the current fiscal year, but which will not 26require cash expenditures during the year. Such non-cash lines of credit, when combined 27with previously sold bonds or with higher priority bonds or lines of credit, or with funds 28appropriated from other sources, will provide sufficient appropriated funds to award 29equipment or construction contracts. Contracts shall not be awarded without approval of the 30division of administration. Page 4 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 Upon approval by the State Bond Commission, and subject to compliance with its 2policies and procedures and the procedures set forth herein, a line of credit providing for the 3use of funds in anticipation of the sale of general obligation bonds may be granted to the 4appropriate administering agency or department from the Comprehensive Capital Outlay 5Escrow Account, or if there is not a sufficient amount available in such account, from other 6available state cash in the state treasury, for capital improvement projects for which bond 7proceeds are appropriated by a current capital budget, prior to the actual issuance of bonds 8for such projects, unless the attorney general advises that an impediment exists to the valid 9issuance of the bonds on the date such line of credit is granted. 10 All bonds that are to be repaid, in whole or in part, by revenues generated by the 11project shall be designated as "Reimbursement Bonds.” The State Bond Commission shall 12enter into such agreements as are necessary to provide that the agency or subdivision, whose 13project is reimbursable, shall pay the bond debt costs into the Bond Security and Redemption 14Fund. Such costs may be paid annually or at the end of the term of the bonds issued as 15determined by the State Bond Commission. 16 Priority 1 general obligation bond funding shall be limited to: 17 (1) Projects and amounts which were previously authorized by Act 2 of the 2020 18First Extraordinary Session of the Legislature; and which were granted cash lines of credit 19by the State Bond Commission. The bonds to fund these projects were not sold in Fiscal 20Year 2020-2021. 21 (2) The reauthorization of the portion of the outstanding Fiscal Year 2020-2021 22Priority 5 Non-Cash Lines of Credit for projects which will require cash expenditures in 23Fiscal Year 2021-2022 and therefore must be converted to Cash Lines of Credit in Fiscal 24Year 2021-2022. 25 (3) Commitments made in the Higher Education Desegregation Settlement 26Agreement. 27 Priority 2 general obligation bond projects are for the completion of plans and 28specifications, land acquisition, site preparation, or for construction which will begin during 29the fiscal year. It is presently anticipated that the listed projects will require the sale of 30bonds or extension of lines of credit during the fiscal year after adoption of this Act. Page 5 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 Priority 3 general obligation bond projects are for the preparation of plans and 2specifications, land acquisition, site preparation, or for construction and shall be limited to 3funding for the portion of construction contracts which will not require cash expenditures 4during the fiscal year. The projects in this category shall be considered future year projects 5in the state's five-year capital outlay plan. It is presently anticipated that the listed projects 6will not require the sale of bonds or extension of lines of credit during the fiscal year. 7 Priority 4 general obligation bond projects are for the preparation of plans and 8specifications, land acquisition, site preparation, or for construction and shall be limited to 9funding for the portion of construction contracts which will not require cash expenditures 10during the fiscal year. The projects in this category shall be considered future year projects 11in the state's five-year capital outlay plan. It is presently anticipated that the listed projects 12will not require the sale of bonds or extension of lines of credit during the fiscal year. 13 Priority 5 general obligation bond funding shall be limited to funding for the portion 14of construction contracts which will not require cash expenditures during the fiscal year. 15These funds, when combined with previously sold bonds or with higher priority bonds on 16lines of credit, or with funds appropriated from other sources, will provide sufficient 17appropriated funds to award contracts. Non-cash lines of credit shall be required prior to the 18award of these contracts. 19 In accordance with the cash management plan adopted pursuant to R.S. 48:251(D) 20and the provisions of Act 161 of the 1998 First Extraordinary Session, the Department of 21Transportation and Development is authorized to enter into contracts or agreements for 22projects approved pursuant to the Highway Priority Program, Airport Construction and 23Development Priority Program, Port Construction and Development Priority Program, and 24Statewide Flood Control Program for projects bid and awarded, authorized, or commenced 25during the fiscal year which do not require cash expenditures for the full contract or 26agreement amount. Page 6 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 EXECUTIVE DEPARTMENT 201/107DIVISION OF ADMINISTRATION 3(2) Americans With Disabilities Act Implementation 4 for State Facilities, Planning and Construction 5 (Statewide) 6 Payable from General Obligation Bonds 7 Priority 1 $ 1,742,300 8(5) Community Water Enrichment Program 9 (Statewide) 10 Payable from State General Fund (Direct) Non-Recurring 11 Revenues $10,000,000 12Provided, however, that all recipients comply with the applicable Department of Natural 13Resources rules and regulations, if any, regarding master meter installation. 14(6) State Office Buildings Major Repairs, Equipment 15 Replacement, and Renovations, Planning and 16 Construction 17 (Statewide) 18 Payable from General Obligation Bonds 19 Priority 1 $ 3,750,000 20 Priority 5 $12,110,000 21 Payable from State General Fund (Direct) Non-Recurring 22 Revenues $10,000,000 23 Total $25,860,000 24(12) Local Government Assistance Program 25 (Statewide) 26 Payable from State General Fund (Direct) Non-Recurring 27 Revenues $10,000,000 28 Payable from the balance of State General Fund (Direct) 29 previously allocated under the authority of Act 26 of 2005 30 for Beauregard Parish, Three Pine Church Road 31 Improvements, Planning and Construction (Beauregard); 32 and Act 28 of 2007 for Natchitoches Parish, Existing 33 Building Purchase for Head Start Children Development 34 (Natchitoches); and Act 29 of 2018 for St. Helena Parish, 35 Eddy Road Improvements, Planning and Construction (St. 36 Helena); and Act 29 of 2018 for Rosepine, Rehabilitation 37 of Elevated Water Tank, Planning and Construction 38 (Vernon); and Act 29 of 2018 for St. Martinville, Sewer 39 Lift Station Improvements (St. Martin); and Act 20 of 40 2019 for St. Francisville, Burnet Road Bridge 41 Replacement, Planning and Construction (West 42 Feliciana); and Act 26 of 2005 for Catahoula Council on 43 Aging, Inc., Catahoula Council on Aging, Inc., Planning 44 and Construction (Catahoula); and Act 29 of 2018 for St. 45 Martinville, Sewer and Water Updates, Planning and 46 Construction (St. Martin); and Act 20 of 2019 for Jean 47 Lafitte, Lafitte Seafood Pavilion and Market, Planning 48 and Construction 49 (Jefferson) $ 419,730 50 Total $10,419,730 Page 7 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(14) Major Repairs, Equipment Replacement and Renovations 2 for State Buildings to Address Deferred Maintenance 3 Backlog and Infrastructure, Planning and Construction 4 (Statewide) 5 Payable from General Obligation Bonds 6 Priority 1 $11,000,000 7 Payable from Interagency Transfers $ 5,000,000 8 Payable from State General Fund (Direct) Non-Recurring 9 Revenues $ 1,745,258 10 Total $17,745,258 11(15) Mold Remediation and Indoor Air Quality, Planning and 12 Construction 13 (Statewide) 14 Payable from General Obligation Bonds 15 Priority 1 $ 197,500 16(16) Outstanding Percent for Arts Projects 17 (Statewide) 18 Payable from General Obligation Bonds 19 Priority 1 $ 4,315,085 20 Priority 5 $ 4,500,000 21 Total $ 8,815,085 22(21) Repair, Restoration and Replacement for Declared 23 Disasters, Planning, Construction, Renovation, and 24 Acquisition 25 (Statewide) 26 Payable from General Obligation Bonds 27 Priority 1 $45,285,237 28 Priority 5 $50,000,000 29 Payable from the balance of General Obligation Bonds 30 proceeds previously allocated under the authority of Act 31 4 of 2017 for LSU Health Sciences Center-Shreveport, 32 Boiler Replacement, Planning and Construction (Caddo); 33 and Act 4 of 2017 for Southeastern Louisiana University, 34 Computer Science and Technology Facility 35 Improvements and Expansion, Planning and Construction 36 (Tangipahoa); and Act 4 of 2017 for Sowela Technical 37 Community College-Morgan Smith Campus, New 38 Construction or Renovations to Morgan Smith Campus, 39 Planning and Construction 40 (Jefferson Davis) $ 6,113,612 41 Payable from Interagency Transfers $75,000,000 42 Total $176,398,849 43Provided, however, that $1,384,077 of the reappropriated general obligation bonds not 44requiring priority is allocated to projects at SOWELA Technical Community College for 45damages caused by Hurricanes Laura and Delta. Page 8 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(23) Statewide Roofing Asset Management Program and 2 Waterproofing, Related Repairs and Equipment 3 Replacement Program 4 (Statewide) 5 Payable from General Obligation Bonds 6 Priority 1 $ 2,500,000 7 Priority 5 $ 2,500,000 8 Payable from Interagency Transfers $ 5,000,000 9 Payable from State General Fund (Direct) Non-Recurring 10 Revenues $ 1,000,000 11 Total $11,000,000 1201/109COASTAL PROTECTION AND RESTORATION AUTHORITY 13(25) Coastal Protection Projects, Planning and Construction 14 (Statewide) 15 Payable from General Obligation Bonds 16 Priority 1 $20,000,000 17 Priority 5 $190,000,000 18 Payable from Interagency Transfers $ 1,968,000 19 Payable from Natural Resources Restoration Trust 20 Fund $162,035,577 21 Payable from Costal Protection and Restoration 22 Fund $46,204,703 23 Payable from Federal Funds $180,079,935 24 Payable from State General Fund (Direct) Non-Recurring 25 Revenues $ 1,700,000 26 Total $601,988,215 27(31) Morganza to Gulf of Mexico Flood Control Feasibility 28 Study, Planning, Design, Right-of-Way and Construction 29 of Levees, Floodgates and Other Flood Control Systems 30 ($100,000,000 Local Match) 31 (Ascension, Assumption, Iberia, Iberville, Lafourche, 32 Pointe Coupee, St. Martin, St. Mary, Terrebonne, West 33 Baton Rouge) 34 Payable from General Obligation Bonds 35 Priority 1 $ 5,000,000 36 Priority 5 $24,500,000 37 Payable from State General Fund (Direct) Non-Recurring 38 Revenues $ 5,000,000 39 Total $34,500,000 40(37) Union Diversion Project, Planning and Construction 41 (Ascension, Livingston, St. James, St. John the Baptist) 42 Payable from General Obligation Bonds 43 Priority 1 $ 350,000 44 Priority 5 $ 1,000,000 45 Total $ 1,350,000 Page 9 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 101/112DEPARTMENT OF MILITARY AFFAIRS 2(41) Statewide Backlog of Maintenance and Repair (BMAR), 3 Phase 3, and Statewide Infrastructure Rehabilitation, 4 Phase 3 5 (Statewide) 6 Payable from General Obligation Bonds 7 Priority 1 $ 2,245,005 8 Priority 2 $ 2,500,000 9 Payable from Federal Funds $15,000,000 10 Payable from the balance of general obligation bond 11 proceeds previously allocated under the authority of Act 12 20 of 2019 for Department of Military Affairs, Readiness 13 Center Replacement, Franklinton, LA 14 (Washington) $ 57,341 15 Total $19,802,346 16(43) Camp Beauregard Road Network Rehabilitation 17 (Rapides) 18 Payable from General Obligation Bonds 19 Priority 1 $ 1,025,000 20 Priority 2 $ 525,000 21 Total $ 1,550,000 22(44) Camp Minden, Infrastructure, Rehabilitation, Phase 2, 23 Planning and Construction 24 (Webster) 25 Payable from General Obligation Bonds 26 Priority 1 $ 710,000 27(45) Expand and Renovate Cadre Operations Building 28 Number 621 Youth Challenge Program, 29 Planning and Construction 30 (Rapides) 31 Payable from State General Fund (Direct) Non-Recurring 32 Revenues $ 400,000 33(46) Gillis W. Long Center, Water, Fire, and Sewage Line 34 Upgrades, Carville, Louisiana 35 (Iberville) 36 Payable from General Obligation Bonds 37 Priority 1 $ 1,343,100 38 Priority 5 $ 2,172,310 39 Total $ 3,515,410 40(48) Lake Charles Readiness Center, 41 Planning and Construction 42 (Calcasieu) 43 Payable from State General Fund (Direct) Non-Recurring 44 Revenues $ 490,750 45 Payable from Federal Funds $ 722,250 46 Total $ 1,213,000 47(49) New Administration, Emergency Operations, and 48 Warehouse Building, Planning and Construction 49 (Rapides) 50 Payable from General Obligation Bonds 51 Priority 2 $ 300,000 52 Priority 5 $ 3,360,000 53 Total $ 3,660,000 Page 10 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(52) Louisiana National Guard Vehicle Maintenance Shop, 2 Lake Charles, Planning and Construction 3 (Calcasieu) 4 Payable from Federal Funds $13,000,000 5(53) Renovate-Upgrade Cadet Barracks Buildings 18, 21, 22, 6 23, and 24, Youth Challenge Program (YCP), Carville, 7 Louisiana 8 (Iberville) 9 Payable from General Obligation Bonds 10 Priority 2 $ 1,600,000 1101/124LOUISIANA STADIUM AND EXP OSITION DISTRICT 12(54) Bayou Segnette Recreation Complex, Land Acquisition, 13 Planning and Construction 14 (Jefferson) 15 Payable from General Obligation Bonds 16 Priority 1 $20,100,000 17 Priority 5 $10,000,000 18 Total $30,100,000 19(56) Improvements to the Superdome 20 (Orleans) 21 Payable from General Obligation Bonds 22 Priority 1 $ 862,020 23(58) Zephyr Field Improvements 24 (Jefferson) 25 Payable from General Obligation Bonds 26 Priority 5 $ 25,000 27 Payable from State General Fund (Direct) Non-Recurring 28 Revenues $ 25,000 29 Total $ 50,000 30 DEPARTMENT OF VETERANS AFFAIRS 3103/130DEPARTMENT OF VETERANS AFFAIRS 32(59) Central Louisiana Veterans Cemetery Columbarium 33 Addition, Improvements and Repairs, Planning and 34 Construction 35 (Vernon) 36 Payable from State General Fund (Direct) Non-Recurring 37 Revenues $ 135,000 38 Payable from Federal Funds via Interagency Transfer $ 1,350,500 39 Total $ 1,485,500 40(60) Northwest LA Veterans Cemetery Expansion 41 (Caddo) 42 Payable from State General Fund (Direct) Non-Recurring 43 Revenues $ 100,000 44 Payable from Federal Funds via Interagency Transfer $ 2,800,000 45 Total $ 2,900,000 46(61) Southeast Louisiana Veterans Cemetery Expansion, 47 Columbarium, Planning and Construction 48 (St. Tammany) 49 Payable from General Obligation Bonds 50 Priority 2 $ 175,000 Page 11 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 103/135NORTHWEST LOUISIANA WAR VETERANS HOME 2(63) Replacement of Air Conditioners, Planning and 3 Construction 4 (Bossier) 5 Payable from Federal Funds via Interagency Transfer $ 600,000 6 ELECTED OFFICIALS 704/139SECRETARY OF STATE 8(1390)Louisiana State Exhibit Museum - Courtyard Enclosure 9 (Caddo) 10 Payable from General Obligation Bonds 11 Priority 5 $ 1,750,000 12 LOUISIANA ECONOMIC DEVELOP MENT 1305/252OFFICE OF BUSINESS DEVELOPMENT 14(65) Economic Development Award Program for 15 Infrastructure Assistance 16 (Statewide) 17 Payable from General Obligation Bonds 18 Priority 5 $ 5,000,000 19 Payable from State General Fund (Direct) Non-Recurring 20 Revenues $ 2,500,000 21 Total $ 7,500,000 22 DEPARTMENT OF CULTURE, RECREATION AND TOURISM 2306/263OFFICE OF STATE MUSEUM 24(67) Construction of Civil Rights Museum, Planning and 25 Construction 26 (Orleans) 27 Payable from General Obligation Bonds 28 Priority 1 $ 2,765,000 2906/264OFFICE OF STATE PARKS 30(76) Preventive Maintenance/Major Repairs and 31 Improvements 32 (Statewide) 33 Payable from General Obligation Bonds 34 Priority 1 $ 370,925 35 Priority 2 $ 1,200,000 36 Total $ 1,570,925 37(1375)Bayou Segnette State Park, Land Acquisition, 38 Additional Cabins, Planning and Construction 39 (Jefferson) 40 Payable from General Obligation Bonds 41 Priority 1 $ 455,515 Page 12 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 106/A20NEW ORLEANS CITY P ARK 2(80) City Park Golf Complex Phase II, Planning and 3 Construction 4 (Orleans) 5 Payable from Fees and Self Generated Revenues $ 100,000 6(83) Tad Gormley Stadium Renovations, Planning and 7 Construction 8 (Orleans) 9 Payable from Fees and Self Generated Revenues $ 350,000 10(1373)Repairs to Historic Structures, Planning and 11 Construction 12 (Orleans) 13 Payable from General Obligation Bonds 14 Priority 1 $ 1,155,000 15(1374)Splash Park, Planning and Construction 16 (Orleans) 17 Payable from General Obligation Bonds 18 Priority 1 $ 21,074 19(1391)Covered Courts at Tennis Center, Planning and 20 Construction 21 (Orleans) 22 Payable from General Obligation Bonds 23 Priority 1 $ 145,000 24 DEPARTMENT OF TRANSPORTATION AND DEVELOP MENT 2507/270ADMINISTRATION 26(84) City of Gonzales - GO Program LA Highway 30 27 Corridor, Planning and Construction 28 (Ascension) 29 Payable from General Obligation Bonds 30 Priority 1 $16,439,900 31(85) Deepwater Horizon Economic Damages Proceeds 32 (Statewide) 33 Payable from Transportation Trust Fund - Construction 34 Subfund $28,333,333 35(86) Earhart/Causeway Interchange, Planning, Engineering, 36 Right-of-Way, Utilities and Construction 37 (Jefferson) 38 Payable from General Obligation Bonds 39 Priority 1 $ 5,000,000 40 Priority 5 $44,500,000 41 Total $49,500,000 42(87) Essen Lane Widening, I-10 to Perkins Road, Planning, 43 Utilities, Right-of-Way and Construction 44 (East Baton Rouge) 45 Payable from General Obligation Bonds 46 Priority 1 $ 1,124,600 Page 13 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(88) Evaluation of Regional Freeway System Expansion 2 (East Baton Rouge, West Baton Rouge) 3 Payable from General Obligation Bonds 4 Priority 1 $ 68,500 5(91) Harding Boulevard Improvements and Southern 6 University Information Center 7 (East Baton Rouge) 8 Payable from General Obligation Bonds 9 Priority 1 $ 2,075,000 10(92) Highway 397 in Calcasieu Parish, North and South 11 Turning Lanes 12 (Calcasieu) 13 Payable from General Obligation Bonds 14 Priority 1 $ 200,000 15 Priority 5 $ 2,000,000 16 Total $ 2,200,000 17(93) Highway Program (Up to $4,000,000 for Secretary's 18 Emergency Fund) 19 (Statewide) 20 Payable from General Obligation Bonds 21 Priority 1 $25,900,000 22 Priority 5 $207,000,000 23 Payable from State General Fund (Direct) Non-Recurring 24 Revenues $29,250,000 25 Payable from Transportation Trust Fund - Regular $70,500,000 26 Payable from Transportation Trust Fund - Federal $657,920,224 27 Payable from Transportation Trust Fund - Construction 28 Subfund $ 3,000,000 29 Total $993,570,224 30Provided, however, that the Department of Transportation and Development is authorized 31to implement or commence projects approved in this program for Fiscal Year 2021-2022 32identified for phased funding pursuant to the cash management plan established pursuant to 33R.S. 48:251(D), to provide funding for said projects on an as-needed basis by utilizing 34unspent cash balances appropriated in prior years' programs, which funds when combined 35with current appropriations will provide sufficient appropriated funds to award contracts. 36(94) Hooper Road Extension and Widening, Environmental, 37 Planning, Engineering, Right-of-Way, Utilities and 38 Construction 39 (East Baton Rouge, Livingston) 40 Payable from General Obligation Bonds 41 Priority 1 $ 3,553,000 42 Priority 5 $ 2,000,000 43 Total $ 5,553,000 44(95) Hooper Road Widening and Sewer Improvements 45 (Blackwater Bayou to Sullivan Road) Planning, 46 Engineering, Utilities and Construction 47 (East Baton Rouge) 48 Payable from General Obligation Bonds 49 Priority 1 $ 9,390,000 50 Priority 5 $ 2,875,000 51 Total $12,265,000 Page 14 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(96) I-10 Calcasieu River Bridge, Environmental, Planning, 2 Engineering, Right-of-Way, Utilities, Demolition and 3 Construction 4 (Calcasieu) 5 Payable from General Obligation Bonds 6 Priority 5 $85,000,000 7(98) I-49 South from Lafayette to Westbank Expressway, 8 Planning, Engineering, Right-of-Way, Utilities and 9 Construction 10 (Iberia, Jefferson, Lafayette, Lafourche, St. Charles, 11 St. Martin, St. Mary, Terrebonne) 12 Payable from General Obligation Bonds 13 Priority 1 $ 6,000,000 14 Priority 5 $127,000,000 15 Total $133,000,000 16(99) Improvements on LA 3038, Including Patching, 17 Repairing and Overlaying of the Highway, Planning 18 and Construction 19 (Ascension) 20 Payable from General Obligation Bonds 21 Priority 1 $ 641,200 22(100) Intersection Improvements, Planning and Construction 23 (Lafayette) 24 Payable from General Obligation Bonds 25 Priority 5 $ 5,000,000 26(101) Jimmie Davis Bridge Rehabilitation and Lighting, or 27 Design, Engineering, Planning and Construction 28 (Bossier) 29 Payable from General Obligation Bonds 30 Priority 1 $ 8,982,400 31 Priority 5 $15,000,000 32 Total $23,982,400 33(102) LA 1 Improvements, Phase 2, Planning, Engineering, 34 Right-of-Way, Utilities and Construction 35 (Lafourche) 36 Payable from General Obligation Bonds 37 Priority 1 $ 3,000,000 38 Priority 5 $92,000,000 39 Total $95,000,000 40(103) LA 117 Widening (LA 8 - LA 118) 41 (Natchitoches, Vernon) 42 Payable from General Obligation Bonds 43 Priority 1 $ 1,000,000 44 Priority 5 $29,000,000 45 Total $30,000,000 46(104) LA 13 (Crowley to Vermilion Parish Line) 47 (Acadia) 48 Payable from General Obligation Bonds 49 Priority 2 $ 6,200,000 Page 15 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(105) LA 143 to US 165 Connector, Planning, Engineering, 2 Right-of-Way, Utilities and Construction 3 (Ouachita) 4 Payable from General Obligation Bonds 5 Priority 1 $ 1,000,000 6 Priority 5 $16,100,000 7 Total $17,100,000 8(106) LA 182 Overlay (LA 3069 - LA 317) 9 (St. Mary) 10 Payable from General Obligation Bonds 11 Priority 1 $ 3,000,000 12(107) LA 29 Improvements (LA 13 - LA 758) 13 (Evangeline, St. Landry) 14 Payable from General Obligation Bonds 15 Priority 2 $ 120,000 16 Priority 5 $ 5,000,000 17 Total $ 5,120,000 18(108) LA 3034 Improvements 19 (East Baton Rouge) 20 Payable from General Obligation Bonds 21 Priority 1 $15,652,900 22(109) LA 3227 - LA 157 Intersection Realignment, Planning 23 and Construction 24 (Bossier) 25 Payable from General Obligation Bonds 26 Priority 2 $ 4,500,000 27(110) LA 3241 (I-12 to Bush), Planning, Engineering, 28 Right-of-Way, Utilities and Construction 29 (St. Tammany) 30 Payable from General Obligation Bonds 31 Priority 1 $ 5,000,000 32 Priority 5 $28,000,000 33 Total $33,000,000 34(111) LA 35 Overlay (LA 98 - LA 365) 35 (Acadia) 36 Payable from General Obligation Bonds 37 Priority 2 $ 8,900,000 38(112) LA 352 Levee Slide Repair 39 (St. Martin) 40 Payable from General Obligation Bonds 41 Priority 1 $ 2,200,000 42(113) LA 42 (US 61 to LA 44) Widening, including a 43 Roundabout at Joe Sevario Road, Planning and 44 Construction 45 (Ascension) 46 Payable from General Obligation Bonds 47 Priority 1 $ 592,900 48 Priority 5 $ 2,500,000 49 Total $ 3,092,900 Page 16 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(115) LA 44 Widening, I-10 to LA 22, Planning, Utilities, 2 Right-of-Way and Construction 3 (Ascension) 4 Payable from General Obligation Bonds 5 Priority 1 $ 1,345,200 6 Priority 5 $ 9,500,000 7 Total $10,845,200 8(116) LA 5 (Thomas Road to LA 3015), Planning 9 and Construction 10 (Desoto) 11 Payable from General Obligation Bonds 12 Priority 5 $ 8,000,000 13(117) LA 621 Realignment at LA 73, Planning and Construction 14 (Ascension) 15 Payable from General Obligation Bonds 16 Priority 1 $ 2,500,000 17 Priority 2 $ 4,000,000 18 Priority 5 $ 3,600,000 19 Total $10,100,000 20(119) LA 91: Bayou Plaquemine Brule Bridge Replacement, 21 Planning and Construction 22 (Acadia) 23 Payable from General Obligation Bonds 24 Priority 1 $ 1,000,000 25 Priority 5 $ 3,200,000 26 Total $ 4,200,000 27(120) LA 964 (Groom Road - US 61) Highway Lighting 28 (East Baton Rouge) 29 Payable from General Obligation Bonds 30 Priority 2 $ 450,000 31 Priority 5 $ 1,950,000 32 Total $ 2,400,000 33(122) Loyola/I-10 Interchange Improvements, Feasibility 34 Study, Interchange Modification Report, Environmental 35 Assessment, Engineering, Right-of-Ways, Utilities and 36 Construction 37 (Jefferson, Orleans) 38 Payable from General Obligation Bonds 39 Priority 1 $ 479,600 40 Priority 5 $ 2,500,000 41 Total $ 2,979,600 42(123) New Mississippi River Bridge 43 (Ascension, East Baton Rouge, Iberville, St. James, 44 West Baton Rouge) 45 Payable from General Obligation Bonds 46 Priority 1 $ 1,000,000 47 Priority 5 $ 4,000,000 48 Total $ 5,000,000 Page 17 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(124) New Orleans International Airport Landside 2 Access Improvements 3 (Jefferson) 4 Payable from General Obligation Bonds 5 Priority 1 $ 300,000 6 Priority 5 $15,700,000 7 Total $16,000,000 8(125) Non-Federal Aid Eligible Highway Program 9 (Statewide) 10 Payable from State Highway Improvement Fund $31,500,000 11(126) Overlay of U.S. 167 for 9.32 Miles, from Turkey Creek 12 North of I-49, Planning and Construction 13 (Evangeline) 14 Payable from General Obligation Bonds 15 Priority 1 $ 5,987,500 16(127) Pecue Lane/I-10 Interchange, Planning, Design, 17 Rights-of-Way, Utilities and Construction 18 (East Baton Rouge) 19 Payable from General Obligation Bonds 20 Priority 1 $23,365,500 21 Priority 2 $14,000,000 22 Total $37,365,500 23(128) Peters Road Bridge and Extension, Planning and 24 Construction 25 (Plaquemines) 26 Payable from General Obligation Bonds 27 Priority 1 $17,546,300 28 Priority 5 $ 7,000,000 29 Total $24,546,300 30(129) Relocate Hickory Avenue (LA Hwy. 48-11th Street) 31 (Mounes) (LA Hwy. 3154) Construction, 32 Right-of-Way, and Utilities 33 (Jefferson) 34 Payable from General Obligation Bonds 35 Priority 1 $ 1,000,000 36 Priority 5 $ 2,000,000 37 Total $ 3,000,000 38(130) Secretary's Emergency Fund for Bridge Damages, 39 Other Reimbursements, Local Matching Dollars, 40 Federal Funds, and Opportunity Grants Subject to the 41 Provisions of R.S. 48:232 42 (Statewide) 43 Payable from Interagency Transfers $10,000,000 44 Payable from Fees and Self Generated Revenues $25,000,000 45 Payable from Transportation Trust Fund - Federal $25,000,000 46 Payable from Federal Funds $ 6,000,000 47 Total $66,000,000 48(131) Turn Lanes on US 71 for Emergency Vehicle Staging 49 Area, Planning, Engineering, Right-of-Way, Utilities 50 and Construction 51 (Rapides) 52 Payable from General Obligation Bonds 53 Priority 1 $ 1,000,000 Page 18 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(132) US 190 (Vine Street) Reconstruction 2 (St. Landry) 3 Payable from General Obligation Bonds 4 Priority 1 $ 200,000 5 Priority 5 $19,200,000 6 Total $19,400,000 7(133) US 190: LA 437 - US 190 Bus (Ph 1) 8 (St. Tammany) 9 Payable from General Obligation Bonds 10 Priority 2 $13,000,000 11 Priority 5 $ 2,000,000 12 Total $15,000,000 13(134) Widening of Highway 447 and I-12 Overpass 14 Improvements, Environmental Phase 15 Commencement, Planning and Construction 16 (Livingston) 17 Payable from General Obligation Bonds 18 Priority 1 $ 1,800,000 19 Priority 5 $26,000,000 20 Total $27,800,000 21(1411)Roundabout at Intersection of LA 3125 and LA 3274 22 (St. James) 23 Payable from General Obligation Bonds 24 Priority 1 $ 1,200,000 25 Priority 5 $ 1,200,000 26 Total $ 2,400,000 27( )Highway 70 Restoration, Planning and 28 Construction 29 (St. James) 30 Payable from General Obligation Bonds 31 Priority 5 $17,000,000 32 Payable from State General Fund (Direct) Non-Recurring 33 Revenues $10,000,000 34 Total $27,000,000 35Pending submittal and late approval of the capital outlay budget request pursuant to the 36provisions of R.S. 39:112. 37( ) Highway 30 Roundabout West of LA 44, Planning and 38 Construction 39 (Ascension) 40 Payable from General Obligation Bonds 41 Priority 5 $ 4,500,000 42 Payable from State General Fund (Direct) Non-Recurring 43 Revenues $ 1,500,000 44 Total $ 6,000,000 45Pending submittal and late approval of the capital outlay budget request pursuant to the 46provisions of R.S. 39:112. 47( ) Overlay of LA Highway 3125 From LA 48 Highway 3213 to LA Highway 642, 49 Planning and Construction 50 (St. James) 51 Payable from State General Fund (Direct) Non-Recurring 52 Revenues $ 4,310,000 Page 19 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Pending submittal and late approval of the capital outlay budget request pursuant to the 2provisions of R.S. 39:112. 307/274PUBLIC IMPROVEMENTS 4(135) Acadiana Gulf of Mexico Access Channel (AGMAC), 5 Port of Iberia, Planning, Design, Construction, Rights- 6 of-Way, Relocations and Utilities (Federal 4 Match 7 $100,000,000) 8 (Iberia, Vermilion) 9 Payable from General Obligation Bonds 10 Priority 1 $18,000,000 11 Priority 5 $10,000,000 12 Payable from State General Fund (Direct) Non-Recurring 13 Revenues $10,000,000 14 Total $38,000,000 15(137) Bayou Dechene Reservoir, Planning, Land Acquisition 16 and Construction 17 (Caldwell) 18 Payable from General Obligation Bonds 19 Priority 1 $10,981,600 20 Priority 5 $ 5,000,000 21 Total $15,981,600 22(138) Bundick Lake Level Control Structure, Planning and 23 Construction 24 (Beauregard) 25 Payable from General Obligation Bonds 26 Priority 1 $ 3,000,000 27(139) Comite River Diversion Canal Planning, Right-of-Way, 28 Utilities and Construction 29 (Ascension, East Baton Rouge, Livingston) 30 Payable from General Obligation Bonds 31 Priority 1 $ 1,732,900 32 Payable from Federal Funds $68,000,000 33 Total $69,732,900 34(140) Houma Navigational Canal Deepening Project, 35 Planning, Design, Construction, Rights-of-Ways, 36 Relocations and Utilities (Federal Match $191,000,000) 37 (Terrebonne) 38 Payable from General Obligation Bonds 39 Priority 1 $ 675,400 40 Priority 5 $40,500,000 41 Total $41,175,400 42(141) J. Bennett Johnston (Red River) Deepening 43 (Avoyelles, Bossier, Caddo, Grant, Natchitoches, 44 Rapides, Red River) 45 Payable from General Obligation Bonds 46 Priority 1 $ 500,000 47 Priority 5 $ 1,000,000 48 Total $ 1,500,000 Page 20 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(143) Mississippi River Deepening, Phase 3, Planning, 2 Design, Construction, Rights-of-Way, Relocations 3 and Utilities (Federal Match $154,500,000) 4 (Ascension, East Baton Rouge, Jefferson, Orleans, 5 Plaquemines, St. Bernard, St. Charles, St. James, St. John 6 the Baptist, West Baton Rouge) 7 Payable from General Obligation Bonds 8 Priority 1 $55,500,000 9 Priority 5 $28,000,000 10 Total $83,500,000 11(144) Mississippi River Levee Raising, Arkansas to Old 12 River, Planning and Construction 13 (Avoyelles, Concordia, East Carroll, Madison, Pointe 14 Coupee, Tensas) 15 Payable from General Obligation Bonds 16 Priority 1 $ 2,927,800 17 Priority 5 $41,000,000 18 Total $43,927,800 19(145) New Orleans Rail Gateway Finalize EIS to 20 Complete Study 21 (Jefferson, Orleans) 22 Payable from General Obligation Bonds 23 Priority 1 $ 3,000,000 24(146) Ouachita River Bank Stabilization and Levee Repair 25 (Caldwell, Ouachita) 26 Payable from General Obligation Bonds 27 Priority 1 $ 7,350,000 28 Priority 5 $16,650,000 29 Total $24,000,000 30(147) Ouachita River Deepening at Little River 31 (Catahoula) 32 Payable from General Obligation Bonds 33 Priority 1 $ 500,000 34 Priority 5 $ 1,000,000 35 Total $ 1,500,000 36(149) Port Construction And Development Priority Program 37 (Statewide) 38 Payable from Transportation Trust Fund - Regular $39,400,000 39Provided, however, that the Department of Transportation and Development is authorized 40to implement or commence projects approved in this program for Fiscal Year 2021-2022 41identified for phased funding pursuant to the cash management plan established pursuant to 42R.S. 48:251(D), to provide funding for said projects on an as-needed basis by utilizing 43unspent cash balances appropriated in prior years' programs, which funds when combined 44with current appropriations will provide sufficient appropriated funds to award contracts. 45(150) Rehabilitation and Repair of State-Maintained 46 Reservoirs and Dams 47 (Statewide) 48 Payable from General Obligation Bonds 49 Priority 1 $ 2,000,000 50 Priority 5 $ 6,500,000 51 Total $ 8,500,000 Page 21 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(151) Short Line Railroad Upgrades 2 (Statewide) 3 Payable from General Obligation Bonds 4 Priority 1 $ 3,000,000 5 Priority 5 $10,000,000 6 Total $13,000,000 7(152) Statewide Flood Control Program 8 (Statewide) 9 Payable from Transportation Trust Fund - Regular $20,000,000 10Provided, however, that the Department of Transportation and Development is authorized 11to implement or commence projects approved in this program for Fiscal Year 2021-2022 12identified for phased funding pursuant to the cash management plan established pursuant to 13R.S. 48:251(D), to provide funding for said projects on an as-needed basis by utilizing 14unspent cash balances appropriated in prior years' programs, which funds when combined 15with current appropriations will provide sufficient appropriated funds to award contracts. 16(153) Turkey Creek Lake Repairs, Planning and Construction 17 (Franklin) 18 Payable from General Obligation Bonds 19 Priority 1 $ 1,500,000 20 Priority 5 $ 3,686,560 21 Total $ 5,186,560 2207/276ENGINEERING AND OPERATIONS 23(155) Facilities Program Major Repairs, Renovations, 24 Additions, New Facilities, Equipment Replacement At 25 Various DOTD Sites, Planning and Construction 26 (Statewide) 27 Payable from Transportation Trust Fund - Regular $ 5,000,000 28(156) Motor Vessel and Equipment Drydocking, Repairs, 29 Various Locations 30 (Statewide) 31 Payable from Transportation Trust Fund - Regular $ 1,500,000 32(157) New Cameron Ferry 33 (Cameron) 34 Payable from General Obligation Bonds 35 Priority 1 $ 2,500,000 36 Priority 5 $20,000,000 37 Total $22,500,000 3807/277AVIATION IMPROVEMENTS 39(158) State Aviation and Airport Improvement Program 40 (Statewide) 41 Payable from Transportation Trust Fund - Regular $28,156,483 42 DEPARTMENT OF PUBLIC SAFETY AND CORRECTIONS 4308/400DEPARTMENT OF CORRECTIONS 44(160) HVAC Installation, Offender Housing, Planning and 45 Construction 46 (Statewide) 47 Payable from General Obligation Bonds 48 Priority 2 $ 2,500,000 Page 22 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 108/402LOUISIANA STATE PENITENTIARY 2(165) Electrical Distribution System Upgrade, Planning and 3 Construction 4 (West Feliciana) 5 Payable from General Obligation Bonds 6 Priority 1 $ 4,594,000 7(168) Main Prison Shower and Cellblock Plumbing Upgrade, 8 Planning and Construction 9 (West Feliciana) 10 Payable from General Obligation Bonds 11 Priority 1 $ 1,606,000 1208/403OFFICE OF JUVENILE JUSTICE 13(1) Community Based Program, Juvenile Justice 14 Improvements, Planning, Construction, Renovation, 15 Acquisition, and Equipment 16 (Statewide) 17 Payable from General Obligation Bonds 18 Priority 1 $ 2,500,000 19 Priority 5 $35,000,000 20 Total $37,500,000 21(170) Acadiana Center for Youth - Renovation to Create 22 Behavioral Intervention Rooms 23 (Avoyelles) 24 Payable from State General Fund (Direct) Non-Recurring 25 Revenues $ 127,500 26 Payable from Fees and Self Generated Revenues $ 127,500 27 Total $ 255,000 2808/406LOUISIANA CORRECTIONAL INSTITUTE F OR WOMEN 29(195) Louisiana Correctional Institute for Women/Jetson 30 Center for Youth Site: Repair, Equipment and 31 Replacement, Planning and Construction 32 (East Baton Rouge) 33 Payable from General Obligation Bonds 34 Priority 2 $ 2,000,000 3508/413ELAYN HUNT CORRECTIONAL CENTER 36(1413)Walk-in Cold Storage Building 37 (Iberville) 38 Payable from Interagency Transfers $ 2,279,320 3908/416RAYBURN CORRECTIONAL CENTER 40(215) Security Perimeter Fence, Planning and Construction 41 (Washington) 42 Payable from General Obligation Bonds 43 Priority 1 $ 2,095,000 Page 23 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 LOUISIANA DEPARTMENT OF HEALTH 209/320OFFICE OF AGING AND ADULT SERVICES 3(230) Repair and Upgrade to Sewer System, Planning and 4 Construction 5 (East Feliciana) 6 Payable from General Obligation Bonds 7 Priority 1 $ 536,480 8 Priority 5 $ 6,170,000 9 Total $ 6,706,480 10(231) Replace Roof and Storm Drains on all Patient 11 Buildings, Planning and Construction 12 (East Feliciana) 13 Payable from General Obligation Bonds 14 Priority 1 $ 358,262 1509/330OFFICE OF BEHAVIORAL HEALTH 16(235) Central Louisiana State Hospital Relocation to 17 Pinecrest, Planning and Construction 18 (Rapides) 19 Payable from General Obligation Bonds 20 Priority 1 $10,000,000 21 Priority 5 $13,336,500 22 Total $23,336,500 23(237) Fire Alarm System Replacement for Ten Buildings, 24 Planning and Construction 25 (East Feliciana) 26 Payable from General Obligation Bonds 27 Priority 1 $ 95,600 28 Priority 5 $ 2,453,200 29 Total $ 2,548,800 30(238) Center Building and Fire Alarm System Renovation 31 and Restoration, East Louisiana State Hospital, 32 Planning and Construction 33 (East Feliciana) 34 Payable from General Obligation Bonds 35 Priority 1 $ 1,722,680 36 Priority 5 $ 5,000,000 37 Total $ 6,722,680 38 DEPARTMENT OF WILDLIFE AND FISHERIES 3916/512OFFICE OF THE SECRETARY 40(246) Wildlife and Fisheries Enforcement Training Academy 41 and Emergency Facility (Complex) 42 (East Baton Rouge) 43 Payable from General Obligation Bonds 44 Priority 5 $ 2,250,000 Page 24 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 116/513OFFICE OF WILDLIFE 2(273) White Lake WCA Unit 1 Florence Canal Water 3 Control Structure 4 (Vermilion) 5 Payable from White Lake Property Fund $ 750,000 6(274) White Lake WCA Unit 1 Guillotine Gate Replacement 7 (Vermilion) 8 Payable from White Lake Property Fund $ 325,000 9(275) White Lake WCA Unit 2 Water Control Improvement 10 Project 11 (Vermilion) 12 Payable from White Lake Property Fund $ 3,000,000 13(278) Woodworth Central Office Complex and Pineville 14 Office/Region 3, Planning and Construction 15 (Rapides) 16 Payable from General Obligation Bonds 17 Priority 1 $ 2,108,900 18 Priority 5 $ 1,500,000 19 Total $ 3,608,900 20 DEPARTMENT OF EDUCATION 2119/601LSU BATON ROUG E 22(284) H.P. Long Field House Renovation, Planning and 23 Construction 24 (East Baton Rouge) 25 Payable from General Obligation Bonds 26 Priority 1 $14,950,000 27(286) Library - Strategic Capital Plan Repairs and Upgrades 28 (East Baton Rouge) 29 Payable from General Obligation Bonds 30 Priority 5 $51,500,000 31(288) Science - Strategic Capital Plan Repairs and Upgrades - 32 Food Science Renovation, New Science Building, 33 Infrastructure and Utilities, Planning and Construction 34 (East Baton Rouge) 35 Payable from General Obligation Bonds 36 Priority 1 $ 5,650,000 37 Priority 5 $52,350,000 38 Total $58,000,000 39(289) Strategic Capital Plan - Deferred Maintenance 40 for Infrastructure and Streets 41 (East Baton Rouge) 42 Payable from General Obligation Bonds 43 Priority 2 $ 1,500,000 44(290) Student Health Center Renovation and Addition, 45 Planning and Construction 46 (East Baton Rouge) 47 Payable from Revenue Bonds $23,890,000 Page 25 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Provided, however, that the Revenue Bonds in this appropriation are in lieu of Revenue 2Bonds appropriated in Act 29 of the 2018 Regular Session to LSU Baton Rouge for Student 3Health Center Renovation and Addition, Planning and Construction (East Baton Rouge). 4(291) Veterinary Medicine Facilities Repair 5 (East Baton Rouge) 6 Payable from Fees and Self Generated Revenues $10,000,000 719/602LSU ALEXANDRIA 8(1420)Student Success Center, Planning and Construction 9 (Rapides) 10 Payable from General Obligation Bonds 11 Priority 5 $ 5,000,000 12Pending approval of the capital outlay budget request pursuant to the provisions of R.S. 1339:112. 1419/604NLSU HEALTH SCIENCE CENTER - NEW ORLEANS 15(301) LSUHSC-NO Campus Stormwater Infrastructure 16 Upgrades, Planning and Construction 17 (Orleans) 18 Payable from Fees and Self Generated Revenues $ 1,900,000 19(304) LSUHSC-NO Medical Education Building Laboratory 20 Renovation, Phase 1, Planning and Construction 21 (Orleans) 22 Payable from Fees and Self Generated Revenues $10,000,000 23(1372)Health Science Center Facility Renovations - Dental 24 School Simulation Facility 25 (Orleans) 26 Payable from General Obligation Bonds 27 Priority 1 $ 92,000 2819/604SLSU HEALTH SCIENCE CENTER - SHREVEP ORT 29(298) Center for Medical Education and Wellness, Planning 30 and Construction 31 (Caddo) 32 Payable from General Obligation Bonds 33 Priority 1 $14,500,000 34 Priority 5 $ 8,250,000 35 Total $34,750,000 36(307) Medical School B-Building HVAC Replacement, Planning and Construction 37 (Caddo) 38 Payable from General Obligation Bonds 39 Priority 1 $ 4,785,710 40(1400)Capital Improvement Projects, Design and Engineering 41 (Caddo) 42 Payable from General Obligation Bonds 43 Priority 1 $ 2,067,400 44(1401)Inpatient Critical Care Renovation, Planning and Construction 45 (Caddo) 46 Payable from General Obligation Bonds 47 Priority 1 $ 143,900 Page 26 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 119/605LSU EUNICE 2(309) Manuel Hall Exterior Wall and Roof Repair 3 (Acadia) 4 Payable from General Obligation Bonds 5 Priority 1 $ 1,260,000 619/606LSU SHREVEPORT 7(310) Building Exterior Walls and Bridge Repair, Planning 8 and Construction 9 (Caddo) 10 Payable from General Obligation Bonds 11 Priority 1 $ 3,000,000 12(311) Business Continuity Disaster Recovery Equipment, 13 Planning and Construction 14 (Caddo) 15 Payable from General Obligation Bonds 16 Priority 2 $ 115,000 17 Priority 5 $ 1,235,000 18 Total $ 1,350,000 19(313) Student Success Health and Wellness Center, Planning 20 and Construction 21 (Caddo) 22 Payable from Fees and Self Generated Revenues $16,000,000 23Provided, however, that the Fees and Self-Generated Revenues in this appropriation are in 24lieu of Fees and Self Generated Revenues appropriated in Act 20 of the 2019 Regular 25Session to LSU Shreveport for Student Success, Health and Wellness Center (Caddo). 2619/607LSU AGRICULTURAL CENTER 27(314) Animal and Food Science Facilities Renovations and 28 Modernizations, Phase II, Planning and Construction 29 (East Baton Rouge) 30 Payable from General Obligation Bonds 31 Priority 1 $ 600,000 32 Priority 5 $29,403,500 33 Total $30,003,500 34(315) Dean Lee Tornado Damage Building Repairs and Reconstruction 35 (Rapides) 36 Payable from General Obligation Bonds 37 Priority 2 $ 1,500,000 38(317) Renewable and Natural Resources Building Repairs, 39 Planning and Construction 40 (East Baton Rouge) 41 Payable from General Obligation Bonds 42 Priority 2 $ 1,000,000 Page 27 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 119/614SOUTHERN UNIVERSITY LAW CENTER 2(322) Renovations and Addition to Existing Law Library, 3 Planning and Construction 4 (East Baton Rouge) 5 Payable from General Obligation Bonds 6 Priority 2 $ 650,000 7 Priority 5 $10,750,000 8 Total $11,400,000 919/616SOUTHERN UNIVERSITY - BATON ROUG E 10(328) Stewart Hall - Wall Mount HVAC Units 1st, 2nd and 11 3rd Floors, Planning and Construction 12 (East Baton Rouge) 13 Payable from General Obligation Bonds 14 Priority 1 $ 1,800,000 15(330) New STEM Science Complex, Planning and 16 Construction 17 (East Baton Rouge) 18 Payable from General Obligation Bonds 19 Priority 1 $ 1,500,000 20(333) Southern University Laboratory School Addition and 21 Upgrades, Planning and Construction 22 (East Baton Rouge) 23 Payable from General Obligation Bonds 24 Priority 1 $ 1,000,000 25 Priority 5 $ 7,006,400 26 Total $ 8,006,400 27(347) A.O. Williams Hall Renovations 28 (East Baton Rouge) 29 Payable from General Obligation Bonds 30 Priority 1 $ 5,660,400 31(1402)Renovation of Fisher Hall, Planning and Construction 32 (East Baton Rouge) 33 Payable from General Obligation Bonds 34 Priority 1 $ 3,500,000 3519/617SOUTHERN UNIVERSITY- NEW ORLEANS 36(336) ADA Compliant Restrooms and Public 37 Accommodations in the Cafeteria, University Center, 38 Health and Physical Education, Library and 39 Administration Building, Planning and Construction 40 (Orleans) 41 Payable from General Obligation Bonds 42 Priority 1 $ 250,000 43 Priority 5 $ 1,150,000 44 Total $ 1,400,000 Page 28 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 119/618SOUTHERN UNIVERSITY - SHREVEP ORT 2(343) Lewis Collier Hall Science Building Renovation, 3 Planning and Construction 4 (Caddo) 5 Payable from General Obligation Bonds 6 Priority 1 $ 225,000 7 Priority 5 $ 3,780,000 8 Total $ 4,005,000 9(345) New Workforce Training and Technology Center, 10 Planning and Construction 11 (Caddo) 12 Payable from General Obligation Bonds 13 Priority 1 $ 676,000 1419/619SOUTHERN UNIVERSITY AG RICULTURAL 15 RESEARCH AND EXTENSION CENTER 16(346) Disaster Relief Mega Shelter, Planning and 17 Construction 18 (East Baton Rouge) 19 Payable from General Obligation Bonds 20 Priority 1 $ 1,000,000 21 Priority 5 $10,100,000 22 Total $11,100,000 2319/621NICHOLLS STATE UNIVERSITY 24(350) Coastal Center Facility, Planning and Construction 25 (Lafourche) 26 Payable from General Obligation Bonds 27 Priority 2 $ 1,250,000 28 Priority 5 $ 7,500,000 29 Payable from State General Fund (Direct) Non-Recurring 30 Revenues $ 1,250,000 31 Payable from Interagency Transfers $ 2,500,000 32 Payable from Fees and Self Generated Revenues $ 5,000,000 33 Total $17,500,000 34(353) Lafourche Crossing Farm, Bridge Replacement 35 (Lafourche) 36 Payable from State General Fund (Direct) Non-Recurring 37 Payable from Fees and Self Generated Revenues $ 50,000 38(354) Renovation to and Addition of Athletic Facility, 39 Planning and Construction 40 (LaFourche) 41 Payable from Fees and Self Generated Revenues $ 2,000,000 42(355) Stopher Hall Restroom ADA Upgrade, Planning and Construction 43 (Lafourche) 44 Payable from General Obligation Bonds 45 Priority 1 $ 141,920 Page 29 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 119/623GRAMBLING STATE UNIVERSITY 2(356) Campus Utility Infrastructure Assessment Emergency 3 Repair/Replacement, Planning and Construction 4 (Lincoln) 5 Payable from General Obligation Bonds 6 Priority 1 $ 3,000,000 7 Priority 5 $ 5,000,000 8 Payable from State General Fund (Direct) Non-Recurring 9 Revenues $ 2,000,000 10 Total $10,000,000 11(357) Criminal Justice Building Renovation 12 (Lincoln) 13 Payable from General Obligation Bonds 14 Priority 2 $ 400,000 15 Priority 5 $ 4,000,000 16 Total $ 4,400,000 17(360) Library Replacement, Planning and Construction 18 (Lincoln) 19 Payable from State General Fund (Direct) Non-Recurring 20 Revenues $ 2,000,000 2119/625LOUISIANA TECH UNIVERSITY 22(364) Comprehensive ADA Assessment/Remediation, 23 Planning and Construction 24 (Lincoln) 25 Payable from General Obligation Bonds 26 Priority 1 $ 478,400 2719/627MCNEESE STATE UNIVERSITY 28(371) Shearman Fine Arts Building Renovation and Addition, 29 Planning and Construction 30 (Calcasieu) 31 Payable from General Obligation Bonds 32 Priority 1 $ 1,025,000 33 Priority 5 $ 4,000,000 34 Total $ 5,025,000 3519/629UNIVERSITY OF LOUISIANA - MONROE 36(375) Health Science Complex Renovation, Sugar Hall and 37 Caldwell Hall, Planning and Construction 38 (Ouachita) 39 Payable from General Obligation Bonds 40 Priority 1 $ 1,000,000 41 Priority 5 $11,600,000 42 Total $12,600,000 Page 30 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 119/631NORTHWESTERN STATE UNIVERSITY 2(378) Replacement of John S. Kyser Hall, Planning and 3 Construction 4 (Natchitoches) 5 Payable from General Obligation Bonds 6 Priority 1 $ 2,113,170 7 Priority 5 $35,195,000 8 Total $37,308,170 919/634SOUTHEASTERN LOUISIANA UNIVERSITY 10(383) Academic Athletic Training and Ancillary Athletic 11 Facility, Planning and Construction 12 (Tangipahoa) 13 Payable from General Obligation Bonds 14 Priority 2 $ 800,000 15 Priority 5 $ 9,200,000 16 Total $10,000,000 17(385) D. Vickers Hall Renovation and Addition, Planning and 18 Construction 19 (Tangipahoa) 20 Payable from General Obligation Bonds 21 Priority 1 $ 3,920,000 22 Priority 5 $17,100,000 23 Total $21,020,000 2419/640UNIVERSITY OF LOUISIANA - LAFAYETTE 25(388) Engineering Classroom Building, Planning and 26 Construction 27 (Lafayette) 28 Payable from General Obligation Bonds 29 Priority 1 $ 1,300,000 30 Priority 5 $12,500,000 31 Total $13,800,000 32(389) Health Care Education and Training Facility, Planning 33 and Construction 34 (Lafayette) 35 Payable from General Obligation Bonds 36 Priority 1 $ 750,000 37 Priority 5 $12,500,000 38 Total $13,250,000 39(390) Madison Hall Renovation, Planning and Construction 40 (Lafayette) 41 Payable from General Obligation Bonds 42 Priority 5 $18,000,000 4319/647LOUISIANA DELTA COMMUNITY COLLEG E 44( ) Campus Expansion for Louisiana Delta Community 45 College, Winnsboro, Planning and Construction 46 (Franklin) 47 Payable from General Obligation Bonds 48 Priority 5 $ 5,000,000 Page 31 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Pending submittal and approval of the capital outlay budget request pursuant to the 2provisions of R.S. 39:112. 319/649LOUISIANA COMMUNITY AND TECHNICAL COLLEG E SYSTEM 4(394) Maritime/Petroleum Workforce Training Academy, 5 Planning and Construction 6 (Terrebonne) 7 Payable from General Obligation Bonds 8 Priority 1 $ 5,031,880 9 Priority 5 $ 4,500,000 10 Total $ 9,531,880 1119/671BOARD OF REGENTS 12(397) Land Acquisition for Post Secondary Educational 13 Institutions 14 (Statewide) 15 Payable from General Obligation Bonds 16 Priority 1 $ 2,000,000 17 Priority 5 $ 2,000,000 18 Total $ 4,000,000 19Provided that $2,500,000 of this appropriation shall be used for the acquisition of the former 20Our Lady of Lourdes Hospital Facility. 21(398) System-Wide Telecommunications Wiring and 22 Equipment, Planning and Construction 23 (Statewide) 24 Payable from General Obligation Bonds 25 Priority 1 $ 2,233,920 2619/673NEW ORLEANS CENTER F OR THE CREATIVE ARTS 27(1403)Roof Replacement, Planning and Construction 28 (Orleans) 29 Payable from General Obligation Bonds 30 Priority 1 $ 500,000 3119/674LOUISIANA UNIVERSITIES MARINE CONSORTIUM 32(399) LUMCON Houma Marine Campus, Planning and 33 Construction 34 (Terrebonne) 35 Payable from General Obligation Bonds 36 Priority 1 $10,400,000 37(400) Houma Marine Campus Phase 2, Planning and 38 Construction 39 (Terrebonne) 40 Payable from General Obligation Bonds 41 Priority 1 $12,071,410 42 Priority 2 $ 265,000 43 Payable from Interagency Transfers $ 1,600,000 44 Payable from State General Fund (Direct) Non-Recurring 45 Revenues $ 2,000,000 46 Total $15,936,410 Page 32 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(401) Research Vessel (R/V Pelican) Replacement 2 (Terrebonne) 3 Payable from General Obligation Bonds 4 Priority 1 $ 1,000,000 5 Priority 5 $29,000,000 6 Payable from State General Fund (Direct) Non-Recurring 7 Revenues $ 1,300,000 8 Total $31,300,000 919/712LOUISIANA TECHNICAL COLLEG E - SULLIVAN CAMPUS 10(1422)New Diesel Automotive Building, Northshore 11 Technical Community College - Sullivan Campus, 12 Planning and Construction 13 (Washington) 14 Payable from General Obligation Bonds 15 Priority 5 $ 9,140,000 16 Payable from State General Fund (Direct) Non-Recurring 17 Revenues $ 820,000 18 Total $ 9,960,000 19Pending approval of the capital outlay budget request pursuant to the provisions of R.S. 2039:112. 2119/731FLETCHER TECHNICAL COMMUNITY COLLEG E 22(403) Precision Agriculture Training Facility, Planning and 23 Construction 24 (Terrebonne) 25 Payable from General Obligation Bonds 26 Priority 2 $ 750,000 27 Priority 5 $10,250,000 28 Total $11,000,000 29 JUDICIAL EXPENSES 3023/949LOUISIANA JUDICIARY 31(1392)Land Acquisition, Planning, and Construction of New 32 Courthouse for the Louisiana Court of Appeal, Third 33 Circuit 34 (Calcasieu) 35 Payable from General Obligation Bonds 36 Priority 1 $ 268,700 37 LEVEE DISTRICTS AND PORTS 3836/L13PONTCHARTRAIN LEVEE DISTRICT 39(410) Lake Pontchartrain West Shore Hurricane Protection 40 Project 41 (St. Charles, St. James, St. John the Baptist) 42 Payable from General Obligation Bonds 43 Priority 1 $ 2,330,000 44 Priority 5 $ 6,170,000 45 Total $ 8,500,000 Page 33 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 136/L15SQUIRREL RUN LEVEE AND DRAINAG E DISTRICT 2(411) Maintenance of Levee and FEMA Certification 3 (Iberia) 4 Payable from General Obligation Bonds 5 Priority 1 $ 250,000 6 Priority 5 $ 200,000 7 Total $ 450,000 836/L16SOUTH LAFOURCHE LEVEE DISTRICT 9(412) Larose to Golden Meadow Hurricane Protection 10 System, Planning and Construction 11 (Lafourche) 12 Payable from General Obligation Bonds 13 Priority 1 $ 1,800,000 14 Priority 5 $10,200,000 15 Total $12,000,000 1636/L25GRAND ISLE INDEPENDENT LEVEE DISTRICT 17(418) Breakwater Protection, Planning and Construction 18 (Jefferson) 19 Payable from General Obligation Bonds 20 Priority 1 $ 55,460 21 Priority 5 $ 678,700 22 Total $ 734,160 23(419) Grand Isle Back Levee Flood Protection, Planning and 24 Construction 25 (Jefferson) 26 Payable from General Obligation Bonds 27 Priority 1 $ 1,500,000 28 Payable from State General Fund (Direct) Non-Recurring 29 Revenues $ 500,000 30 Total $ 2,000,000 3136/L26NATCHITOCHES LEVEE AND DRAINAG E DISTRICT 32(1371)Lower Cane River Area Flow Control Structure and 33 Levee Surface Restorations, Planning and Construction 34 (Natchitoches) 35 Payable from General Obligation Bonds 36 Priority 1 $ 150,000 37 Priority 5 $ 765,000 38 Total $ 915,000 3936/L36LAFITTE AREA INDEPENDENT LEVEE DISTRICT 40(439) Goose Bayou/The Pen Levee Basin, Planning and 41 Construction 42 (Jefferson) 43 Payable from General Obligation Bonds 44 Priority 5 $15,066,000 Page 34 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(440) Lower Lafitte (Orange Street) Basin, Planning and 2 Construction 3 (Jefferson) 4 Payable from General Obligation Bonds 5 Priority 1 $ 4,250,000 6 Priority 5 $12,750,000 7 Total $17,000,000 836/P10GREATER LAFOURCHE PORT COMMISSION 9(445) Fourchon Bridge and Connector Road, 10 Planning and Construction 11 (Lafourche) 12 Payable from General Obligation Bonds 13 Priority 2 $ 250,000 14 Priority 5 $ 5,410,000 15 Payable from State General Fund (Direct) Non-Recurring 16 Revenues $ 250,000 17 Total $ 5,910,000 1836/P17PORT OF NEW ORLEANS 19(452) Cruise Ship Terminal, Planning and Construction 20 (Orleans) 21 Payable from General Obligation Bonds 22 Priority 1 $ 197,200 23 Priority 5 $ 6,690,000 24 Total $ 6,887,200 25(453) Jourdan Road Terminal Cold Storage Expansion 26 (Orleans) 27 Payable from General Obligation Bonds 28 Priority 1 $ 8,000,000 29(454) Milan Upland Yard Improvements 30 (Orleans) 31 Payable from General Obligation Bonds 32 Priority 1 $ 606,200 33 Priority 5 $ 9,171,100 34 Total $ 9,777,300 35(455) Napoleon Avenue Container Crane Expansion Project, 36 Planning and Construction 37 (Orleans) 38 Payable from General Obligation Bonds 39 Priority 1 $13,100,000 4036/P21PORT OF SOUTH LOUISIANA 41(459) Globalplex Dock Access Bridge and Equipment 42 Replacement/Repair, Planning and Construction 43 (St. John the Baptist) 44 Payable from General Obligation Bonds 45 Priority 1 $ 975,000 46 Priority 5 $ 7,705,000 47 Total $ 8,680,000 Page 35 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(460) Globalplex Rail Siding ($5,577,932 2 Local/Federal/Other Match) 3 (St. John the Baptist) 4 Payable from General Obligation Bonds 5 Priority 1 $ 346,700 6 Priority 5 $ 2,516,800 7 Total $ 2,863,500 8(461) Globalplex Terminal Building #71 and Other 9 Globalplex Terminal Building Upgrades, Planning 10 and Construction 11 (St. John the Baptist) 12 Payable from General Obligation Bonds 13 Priority 1 $ 1,169,240 14 Priority 5 $ 1,000,000 15 Total $ 2,169,240 16(1386)Administration Building, also known as the Business 17 Development Center 18 (St. John the Baptist) 19 Payable from General Obligation Bonds 20 Priority 1 $ 4,129,550 2136/P23TERREBONNE PORT COMMISSION 22(464) Houma Navigational Canal and Short Cut 23 Canal Maintenance Dredging, Permitting, 24 Deepening, Planning, Design, Inspection, 25 and Pipeline Lowering 26 (Terrebonne) 27 Payable from State General Fund (Direct) Non-Recurring 28 Revenues $ 2,000,000 29Provided, however, that $2,000,000 of the State General Fund (Direct) Non-Recurring 30Revenues appropriation shall be used to fund dredging of the Houma Navigational Canal. 31(465) Slip Dredging, Houma Navigation Canal Dredging, 32 Planning and Construction 33 (Terrebonne) 34 Payable from General Obligation Bonds 35 Priority 1 $ 1,800,000 36 Priority 5 $ 1,470,300 37 Total $ 3,270,300 3836/P26PORT OF LAKE CHARLES 39(467) Two Mobile Harbor Cranes for BT-1, Planning and 40 Construction 41 (Calcasieu) 42 Payable from General Obligation Bonds 43 Priority 1 $ 2,500,000 4436/P35MERMENTAU RIVER HARBOR AND TERMINAL DISTRICT 45(470) Slip Improvements, Planning and Construction 46 (Acadia) 47 Payable from General Obligation Bonds 48 Priority 5 $ 925,000 Page 36 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 136/P41JEFFERSON PARISH PORT DISTRICT 2(473) Avondale Marine Facility Improvements, Planning and 3 Construction 4 (Jefferson) 5 Payable from General Obligation Bonds 6 Priority 1 $ 1,500,000 736/P43COLUMBIA PORT COMMISSION 8(475) Railroad Spur, Planning and Construction 9 (Caldwell) 10 Payable from General Obligation Bonds 11 Priority 1 $ 155,000 12 Priority 5 $ 1,841,000 13 Total $ 1,996,000 1436/P44AVOYELLES PARISH PORT COMMISSION 15(476) Liquid Fertilizer Tank Terminal Expansion, Planning 16 and Construction 17 (Avoyelles) 18 Payable from General Obligation Bonds 19 Priority 2 $ 750,000 20 MISCELLANEOUS NON-STATE ENTITIES 2150/J04ASSUMPTION PARISH 22(484) Plattenville Drainage Improvements, 23 Planning and Construction 24 (Assumption) 25 Payable from General Obligation Bonds 26 Priority 5 $ 500,000 2750/J05AVOYELLES PARISH 28(491) Parishwide Roadway Improvements, 29 Planning and Construction 30 (Avoyelles) 31 Payable from State General Fund (Direct) Non-Recurring 32 Revenues $ 600,000 3350/J06BEAUREGARD PARISH 34(492) Camp Edqewood Road Improvements - Beauregard Parish Police Jury 35 (Beauregard) 36 Payable from General Obligation Bonds 37 Priority 2 $ 750,000 3850/J08BOSSIER PARISH 39(500) Extension of Crouch Road to Swan Lake 40 Road/Reconstruction of Swan Lake Road To I-220, 41 Planning and Construction (Local Match Required) 42 (Bossier) 43 Payable from State General Fund (Direct) Non-Recurring 44 Revenues $ 191,270 Page 37 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(502) Improvements to LA Highway 3 (Benton Road) 2 and I-220 Interchange, Planning and Construction 3 (Bossier) 4 Payable from General Obligation Bonds 5 Priority 5 $ 1,000,000 650/J10CALCASIEU PARISH 7(508) Gravity Sewer Trunk Mains and Pumping Stations 8 South Ward 3 and South Ward 4, Planning and 9 Construction 10 (Calcasieu) 11 Payable from General Obligation Bonds 12 Priority 1 $ 2,000,000 13 Priority 5 $ 2,000,000 14 Total $ 4,000,000 1550/J12CAMERON PARISH 16(517) North Cameron Emergency Operations 17 Center, Planning and Construction 18 (Cameron) 19 Payable from General Obligation Bonds 20 Priority 5 $ 1,975,000 21 Payable from State General Fund (Direct) Non-Recurring 22 Revenues $ 125,000 23 Total $ 2,100,000 2450/J15CONCORDIA PARISH 25(521) Concordia Parish Courthouse District Courtroom 26 Security and Safety Renovations 27 (Concordia) 28 Payable from State General Fund (Direct) Non-Recurring 29 Revenues $ 68,325 3050/J17EAST BATON ROUG E PARISH 31(1387)East Baton Rouge Parish Flood Risk Reduction Project- 32 Expand, Repair, and Modify Drainage System 33 throughout East Baton Rouge Parish 34 (East Baton Rouge) 35 Payable from General Obligation Bonds 36 Priority 1 $ 4,000,000 37 Priority 5 $31,000,000 38 Total $35,000,000 3950/J18EAST CARROLL PARISH 40(525) Spillway Structure Repairs for Lake Providence Lake 41 and Cleaning of Outfall Canal from the Lake Downstream, 42 Planning and Construction 43 (East Carroll) 44 Payable from General Obligation Bonds 45 Priority 2 $ 400,000 Page 38 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J21FRANKLIN PARISH 2(530) Franklin Parish Activity Center, 3 Planning and Construction 4 (Franklin) 5 Payable from General Obligation Bonds 6 Priority 5 $ 1,500,000 7(1376)Bayou Macon Cut-Off No. 1 Drainage Structure 8 Improvements, Planning and Construction 9 (Franklin) 10 Payable from State General Fund (Direct) Non-Recurring 11 Revenues $ 50,570 1250/J23IBERIA PARISH 13(537) Courthouse Elevators, Planning and Construction 14 (Iberia) 15 Payable from General Obligation Bonds 16 Priority 1 $ 180,000 17(541) Labit Road Improvements, Planning 18 and Construction 19 (Iberia) 20 Payable from State General Fund (Direct) Non-Recurring 21 Revenues $ 450,000 22(548) Sewer System Improvements, Planning and Construction 23 (Iberia) 24 Payable from General Obligation Bonds 25 Priority 1 $ 200,000 26(1377)Robert B. Green Veterans Memorial Building 27 Renovation, Upgrade and Expansion Project, Robert B. 28 Green American Legion Post 533 and Perry Thompson 29 VFW Post 12065, Planning and Construction 30 (Iberia) 31 Payable from General Obligation Bonds 32 Priority 1 $ 187,255 3350/J26JEFFERSON PARISH 34(552) 11th Street Roadway Replacement and Upgrade of 35 Subsurface Drainage System Between Queens and 36 Manhattan Boulevard, Planning and Construction 37 (Jefferson) 38 Payable from General Obligation Bonds 39 Priority 1 $ 1,500,000 40 Priority 5 $ 9,375,000 41 Total $10,875,000 42(554) Airline Drive (US 61) at 17th Street Canal Drainage 43 Crossing and Railroad Bridge Replacement 44 (Jefferson) 45 Payable from General Obligation Bonds 46 Priority 1 $ 5,500,000 47 Priority 5 $ 5,500,000 48 Total $11,000,000 Page 39 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(556) Avondale Booster Club and Playground Upgrades, 2 Planning and Construction 3 (Jefferson) 4 Payable from General Obligation Bonds 5 Priority 1 $ 75,700 6(561) Brown Avenue Canal Improvements Between the 7 Westbank Expressway and Harold Street, Planning and 8 Construction 9 (Jefferson) 10 Payable from General Obligation Bonds 11 Priority 1 $ 1,619,740 12 Priority 5 $ 500,000 13 Total $ 2,119,740 14(565) Bucktown Harbor Marsh Restoration and Living 15 Shoreline, Planning and Construction 16 (Jefferson) 17 Payable from General Obligation Bonds 18 Priority 2 $ 500,000 19 Payable from State General Fund (Direct) Non-Recurring 20 Revenues $ 500,000 21 Total $ 1,000,000 22(567) Bucktown Harbor Wave Attenuation Jetty, Planning and Construction 23 (Jefferson) 24 Payable from General Obligation Bonds 25 Priority 1 $ 500,000 26(576) East Bank Backup Generators East: Sewer Lift 27 Station Backup Generators, Planning and Construction 28 (Jefferson) 29 Payable from General Obligation Bonds 30 Priority 5 $ 500,000 31(582) Gretna Government Complex Parking Lot, Planning and Construction 32 (Jefferson) 33 Payable from General Obligation Bonds 34 Priority 1 $ 99,600 35 Priority 5 $ 328,400 36 Total $ 428,000 37(596) New Access Road in the Churchill Technology and 38 Business Park for Delgado's Advanced Manufacturing 39 and River City Campus, Planning and Construction 40 (Jefferson) 41 Payable from General Obligation Bonds 42 Priority 1 $ 200,000 43 Priority 5 $ 1,350,000 44 Total $ 1,550,000 45(601) Preservation and Restoration of Historic Structures for 46 Hope Haven/Madonna Manor Campus, Planning and 47 Construction 48 (Jefferson) 49 Payable from General Obligation Bonds 50 Priority 1 $ 5,286,270 51 Priority 5 $ 1,000,000 52 Total $ 6,286,270 Page 40 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(603) Rehabilitation of Alex Kornman Blvd. and Long Leaf 2 Lane, Planning and Construction 3 (Jefferson) 4 Payable from General Obligation Bonds 5 Priority 2 $ 100,000 6 Priority 5 $ 2,900,000 7 Total $ 3,000,000 8(604) Riverside Senior Center, Planning and Construction 9 (Jefferson) 10 Payable from General Obligation Bonds 11 Priority 1 $ 948,000 12 Priority 5 $ 1,455,000 13 Total $ 2,403,000 14(607) Sewer Lift Station Backup Generators - North, 15 Planning and Construction 16 (Jefferson) 17 Payable from General Obligation Bonds 18 Priority 1 $ 3,603,000 19 Priority 5 $ 6,920,000 20 Total $10,523,000 21(615) West Esplanade Pump Station, Planning and 22 Construction 23 (Jefferson) 24 Payable from General Obligation Bonds 25 Priority 1 $ 500,000 26 Priority 5 $ 3,000,000 27 Total $ 3,500,000 28(617) Woodlake Estates Drainage Improvements, 29 Planning and Construction 30 (Jefferson) 31 Payable from General Obligation Bonds 32 Priority 2 $ 500,000 33 Payable from State General Fund (Direct) Non-Recurring 34 Revenues $ 2,000,000 35 Total $ 2,500,000 36(618) Woodland West Drainage Improvements, Planning 37 and Construction 38 (Jefferson) 39 Payable from General Obligation Bonds 40 Priority 1 $ 1,218,000 41 Priority 5 $ 1,400,000 42 Total $ 2,618,000 43(620) Woodmere Playground Improvements, Planning and 44 Construction 45 (Jefferson) 46 Payable from General Obligation Bonds 47 Priority 1 $ 1,000,000 48 Priority 5 $ 1,190,000 49 Total $ 2,190,000 50(622) Woodmere Youth Center, Planning and Construction 51 (Jefferson) 52 Payable from General Obligation Bonds 53 Priority 1 $ 102,000 Page 41 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J28LAFAYETTE PARISH 2(625) Cypress Island Swamp Spoil Bank Removal, 3 Planning and Construction 4 (Lafayette, St. Martin) 5 Payable from General Obligation Bonds 6 Priority 2 $ 250,000 7 Payable from State General Fund (Direct) Non-Recurring 8 Revenues $ 1,250,000 9 Total $ 1,500,000 10(627) Heymann Park Improvements Project, Planning and Construction 11 (Lafayette) 12 Payable from General Obligation Bonds 13 Priority 1 $ 250,000 14 Priority 5 $ 750,000 15 Total $ 1,000,000 16(630) Parish Government Complex, Parish Courthouse, 17 Planning and Construction 18 (Lafayette) 19 Payable from General Obligation Bonds 20 Priority 1 $ 1,733,600 21 Priority 5 $ 4,500,000 22 Total $ 6,233,600 23(631) University Avenue Corridor Improvements, Planning, 24 Construction and Acquisition 25 (Lafayette) 26 Payable from General Obligation Bonds 27 Priority 1 $ 3,000,000 28 Priority 5 $10,000,000 29 Payable from State General Fund (Direct) Non-Recurring 30 Revenues $ 1,000,000 31 Total $14,000,000 32(632) Kaliste Saloom Widening 33 (Lafayette) 34 Payable from General Obligation Bonds 35 Priority 1 $ 5,429,785 36 Priority 5 $ 5,316,650 37 Total $10,746,435 38(1416)Bayou Vermilion Flood Control, Planning 39 and Construction 40 (Lafayette) 41 Payable from General Obligation Bonds 42 Priority 2 $ 500,000 43 Priority 5 $28,000,000 44 Payable from State General Fund (Direct) Non-Recurring 45 Revenues $ 3,100,000 46 Total $31,600,000 47Pending approval of the capital outlay budget request pursuant to the provisions of R.S. 4839:112. Page 42 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J29LAFOURCHE PARISH 2(637) South Lafourche Airport Corridor Project 3 (Lafourche) 4 Payable from General Obligation Bonds 5 Priority 1 $ 5,711,537 6 Priority 5 $ 3,386,600 7 Total $ 9,098,137 850/J32LIVINGSTON PARISH 9(641) Cook Road Extension Economic Development Corridor 10 (Pete's Highway Frontage Road) 11 (Livingston) 12 Payable from General Obligation Bonds 13 Priority 1 $ 618,100 14 Priority 5 $ 2,660,900 15 Total $ 3,279,000 16(642) Juban Road North Extension Between US 190 17 (Florida Boulevard) and LA 1026 (Lockhart 18 Road), Planning and Construction 19 (Livingston) 20 Payable from General Obligation Bonds 21 Priority 2 $ 250,000 22 Payable from State General Fund (Direct) Non-Recurring 23 Revenues $ 250,000 24 Total $ 500,000 2550/J34MOREHOUSE PARISH 26(647) Public Works Center, Planning and Construction 27 (Morehouse) 28 Payable from General Obligation Bonds 29 Priority 1 $ 301,750 3050/J35NATCHITOCHES P ARISH 31(648) Courthouse Security Improvements, Planning and 32 Construction 33 (Natchitoches) 34 Payable from General Obligation Bonds 35 Priority 1 $ 692,545 36(1395)Resurfacing of Roads in Payne Subdivision, Planning 37 and Construction 38 (Natchitoches) 39 Payable from General Obligation Bonds 40 Priority 1 $ 155,168 4150/J37OUACHITA PARISH 42(656) Bayou Mouchoir Drainage Improvements 43 (Ouachita) 44 Payable from General Obligation Bonds 45 Priority 5 $ 500,000 Page 43 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(659) Hannah's Run Control Structure, Planning and 2 Construction 3 (Ouachita) 4 Payable from General Obligation Bonds 5 Priority 1 $ 304,190 6(664) Steep Bayou Sewer - Phase 3, Planning, Construction 7 and Right-of-Way Acquisition 8 (Ouachita) 9 Payable from General Obligation Bonds 10 Priority 1 $ 175,000 11 Priority 5 $ 1,570,000 12 Total $ 1,745,000 1350/J38PLAQUEMINES PARISH 14(668) Empire Bridge Lighting, Planning and Construction 15 (Plaquemines) 16 Payable from General Obligation Bonds 17 Priority 1 $ 97,000 18 Priority 5 $ 100,000 19 Total $ 197,000 2050/J39POINTE COUPEE PARISH 21(677) False River Ecosystem Restoration Project, including 22 Bulkhead Replacement, Planning and Construction 23 (Pointe Coupee) 24 Payable from General Obligation Bonds 25 Priority 5 $ 3,000,000 2650/J43SABINE PARISH 27(689) Plainview Road Rehabilitation, Planning and 28 Construction 29 (Sabine) 30 Payable from General Obligation Bonds 31 Priority 1 $ 1,902,700 32 Priority 5 $ 2,433,600 33 Total $ 4,336,300 3450/J44ST. BERNARD PARISH 35(693) St. Bernard Parish Jail Renovations, Planning and 36 Construction 37 (St. Bernard) 38 Payable from General Obligation Bonds 39 Priority 2 $ 500,000 40 Priority 5 $ 2,700,000 41 Total $ 3,200,000 4250/J45ST. CHARLES PARISH 43(696) Fifth Street Drainage Improvements, Planning and 44 Construction 45 (St. Charles) 46 Payable from General Obligation Bonds 47 Priority 1 $ 450,000 Page 44 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J46ST. HELENA PARISH 2(699) Leggett Road Rehabilitation, Planning and 3 Construction 4 (St. Helena Parish) 5 Payable from General Obligation Bonds 6 Priority 2 $ 420,000 7(700) Audubon Library, Planning and Construction 8 (St. Helena) 9 Payable from General Obligation Bonds 10 Priority 1 $ 1,163,600 1150/J47ST. JAMES PARISH 12(701) LA 3127 Widening (LA 20 to LA 3213), 13 Planning and Construction 14 (St. James Parish) 15 Payable from General Obligation Bonds 16 Priority 2 $ 500,000 17 Priority 5 $ 8,400,000 18 Total $ 8,900,000 1950/J48ST. JOHN THE BAPTIST 20(702) Lions Water Treatment Plant Upgrades and a 21 Mississippi River Water Source for LaPlace 22 (St. John the Baptist) 23 Payable from General Obligation Bonds 24 Priority 1 $ 100,000 25 Priority 5 $ 900,000 26 Total $ 1,000,000 2750/J49ST. LANDRY PARISH 28(703) Central St. Landry Economic Development District, 29 Infrastructure Improvements, Planning, Engineering, 30 Utilities, and Construction 31 (St. Landry) 32 Payable from State General Fund (Direct) Non-Recurring 33 Revenues $ 77,082 34(704) Courthouse Renovations, Planning and 35 Construction 36 (St. Landry) 37 Payable from General Obligation Bonds 38 Priority 2 $ 180,000 39(706) Renovation of the Parish Jail, Planning 40 and Construction 41 (St. Landry Parish) 42 Payable from State General Fund (Direct) Non-Recurring 43 Revenues $ 125,000 44(707) Wastewater Treatment Facility - Central St. Landry 45 Economic Development District, Planning and 46 Construction 47 (St. Landry) 48 Payable from General Obligation Bonds 49 Priority 1 $ 1,365,000 Page 45 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J50ST. MARTIN PARISH 2(711) Road Improvements on Four-Mile Bayou Road 3 (St. Martin) 4 Payable from General Obligation Bonds 5 Priority 1 $ 739,000 6 Priority 5 $ 150,000 7 Total $ 889,000 8(714) Joe Daigre Canal Drainage Improvements, Planning 9 and Construction 10 (St. Martin) 11 Payable from General Obligation Bonds 12 Priority 1 $ 750,000 13 Priority 5 $ 550,000 14 Total $ 1,300,000 15( )Spanish Trail Industrial Park Access 16 Road, Planning and Construction 17 (St. Martin) 18 Payable from General Obligation Bonds 19 Priority 2 $ 1,000,000 20 Priority 5 $ 4,100,000 21 Total $ 5,100,000 22Pending submittal and late approval of the capital outlay budget request pursuant to the 23provisions of R.S. 39:112. 2450/J51ST. MARY PARISH 25(721) Infrastructure Improvements and Construction of a 26 Welding Training Center Facility at the Charenton 27 Canal Industrial Park 28 (St. Mary) 29 Payable from General Obligation Bonds 30 Priority 1 $ 500,000 31 Priority 5 $ 527,000 32 Total $ 1,027,000 33(725) Reconstruction of Martin Luther King Roadway in 34 Charenton for St. Mary Parish Government, within 35 Existing Right-of-Way, Planning and Construction 36 (St. Mary) 37 Payable from General Obligation Bonds 38 Priority 5 $ 750,000 3950/J52ST. TAMMANY PARISH 40(736) LA 22 Extension and Improvements, LA 22 41 Roundabout, Design, Engineering, Planning 42 and Construction 43 (St. Tammany) 44 Payable from General Obligation Bonds 45 Priority 2 $ 200,000 46 Priority 5 $ 3,740,000 47 Payable from State General Fund (Direct) Non-Recurring 48 Revenues $ 200,000 49 Total $ 4,140,000 Page 46 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(738) Safe Haven Campus for Behavioral and Mental Health, 2 Planning, Construction and Renovation for Triage 3 (St. Tammany) 4 Payable from General Obligation Bonds 5 Priority 1 $ 2,720,000 6(739) South Slidell Levee Protection Rehabilitation: (USACE 7 533d Report or Planning, Land Acquisition, and 8 Construction of Levees West and East of Interstate 10) 9 (St. Tammany) 10 Payable from General Obligation Bonds 11 Priority 1 $ 750,000 12 Priority 5 $ 9,108,000 13 Total $ 9,858,000 14(740) St. Tammany Parish Fishing Pier, Planning and 15 Construction 16 (St. Tammany) 17 Payable from General Obligation Bonds 18 Priority 1 $ 390,000 19(741) University Square Learning Center Facilities, Planning 20 and Construction 21 (St. Tammany) 22 Payable from General Obligation Bonds 23 Priority 1 $ 208,740 24 Priority 5 $10,630,000 25 Total $10,838,740 2650/J53TANGIPAHOA PARISH 27(742) Kentwood Library Construction, Planning and 28 Construction 29 (Tangipahoa) 30 Payable from General Obligation Bonds 31 Priority 1 $ 1,160,000 32(744) South Airport Road, North Hoover Road 33 Improvements, Planning and Construction 34 (Tangipahoa) 35 Payable from General Obligation Bonds 36 Priority 1 $ 2,500,000 37 Priority 5 $ 1,000,000 38 Total $ 3,500,000 3950/J54TENSAS PARISH 40(747) Lide Road Improvements, Planning and Construction 41 (Tensas) 42 Payable from General Obligation Bonds 43 Priority 1 $ 500,000 44 Priority 5 $ 350,000 45 Total $ 850,000 46(749) Tensas Parish/Port Priority Site Plan, Planning and 47 Construction 48 (Tensas) 49 Payable from General Obligation Bonds 50 Priority 1 $ 220,300 Page 47 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J55TERREBONNE PARISH 2(751) Bayou LaCarpe Watershed Project, Location C, Design 3 and Construction 4 (Terrebonne) 5 Payable from General Obligation Bonds 6 Priority 1 $ 750,000 7 Priority 5 $ 1,000,000 8 Payable from State General Fund (Direct) Non-Recurring 9 Revenues $ 4,500,000 10 Total $ 6,250,000 11(752) Renovate the LePetit Terrebonne Theater Building, 12 Planning and Construction 13 (Terrebonne) 14 Payable from General Obligation Bonds 15 Priority 1 $ 679,000 16(753) Replacement of Brady Road Bridge, Planning and 17 Construction 18 (Terrebonne) 19 Payable from General Obligation Bonds 20 Priority 5 $ 5,885,000 21(755) South Louisiana Wetland Discovery Center - Phase 2 - 22 Bayou Country Institute, Planning and Construction 23 (Terrebonne) 24 Payable from General Obligation Bonds 25 Priority 1 $ 929,100 26(757) Terrebonne Sports Complex, Planning and Construction 27 (Terrebonne) 28 Payable from General Obligation Bonds 29 Priority 1 $ 1,000,000 30 Priority 5 $ 984,000 31 Total $ 1,984,000 32(759) Westside/Alma Street Drainage, Planning 33 and Construction 34 (Terrebonne) 35 Payable from General Obligation Bonds 36 Priority 1 $ 620,000 37 Priority 2 $ 200,000 38 Payable from State General Fund (Direct) Non-Recurring 39 Revenues $ 500,000 40 Total $ 1,320,000 41( )Maintenance of Levees, Planning and Construction 42 (Terrebonne) 43 Payable from State General Fund (Direct) Non-Recurring 44 Revenues $ 3,000,000 45Pending submittal and late approval of the capital outlay budget request pursuant to the 46provisions of R.S. 39:112. Page 48 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/J57VERMILION PARISH 2(761) Parish Wide Road Improvements, 3 Planning and Construction 4 (Vermilion) 5 Payable from General Obligation Bonds 6 Priority 5 $ 680,000 7 Payable from State General Fund (Direct) Non-Recurring 8 Revenues $ 70,000 9 Total $ 750,000 10(762) Bridge Repairs and Improvements, 11 Planning and Construction 12 (Vermilion) 13 Payable from State General Fund (Direct) Non-Recurring 14 Revenues $ 225,000 1550/J58VERNON PARISH 16(768) Vernon/Fort Polk Thoroughfare Electrical Power 17 Extension, and Utilities Including Generators 18 (Vernon) 19 Payable from General Obligation Bonds 20 Priority 1 $ 468,000 2150/J59WASHINGTON PARISH 22(772) Washington Parish Courthouse Renovation and HVAC, 23 Planning and Construction 24 (Washington) 25 Payable from General Obligation Bonds 26 Priority 2 $ 300,000 27(774) Washington Parish Jail Renovations Including HVAC, 28 Security and ADA, Planning and Construction 29 (Washington) 30 Payable from General Obligation Bonds 31 Priority 2 $ 1,000,000 3250/J63WEST FELICIANA PARISH 33(777) West Feliciana Port Infrastructure, Planning, 34 Engineering, and Construction 35 (West Feliciana) 36 Payable from General Obligation Bonds 37 Priority 1 $ 807,135 38 Priority 5 $ 2,140,000 39 Total $ 2,947,135 4050/J64WINN PARISH 41(779) Roadway Reconstruction, Lum Fox and Zion Hill 42 Church Roads, Planning and Construction 43 (Winn) 44 Payable from State General Fund (Direct) Non-Recurring 45 Revenues $ 423,000 Page 49 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(781) Roadway Reconstruction, Old Alexandria Road, 2 Planning and Construction 3 (Winn) 4 Payable from State General Fund (Direct) Non-Recurring 5 Revenues $ 180,000 6(783) Roadway Reconstruction, Williams Loop, Cole, Oak 7 Ridge and Pine Ridge Roadways, Planning and 8 Construction 9 (Winn) 10 Payable from General Obligation Bonds 11 Priority 2 $ 652,500 1250/M02ABITA SPRINGS 13(785) Wastewater Treatment System Improvements, 14 Planning and Construction 15 (St. Tammany) 16 Payable from General Obligation Bonds 17 Priority 5 $ 800,000 18 Payable from State General Fund (Direct) Non-Recurring 19 Revenues $ 500,000 20 Total $ 1,300,000 2150/M05ALEXANDRIA 22(789) Sugarhouse Road/Eddie Williams Boulevard to LA 23 Highway 1, Phase I and II, Planning and Construction 24 ($5,000,000 Local Match) 25 (Rapides) 26 Payable from General Obligation Bonds 27 Priority 1 $ 2,000,000 28 Priority 5 $ 5,620,000 29 Total $ 7,620,000 3050/M10ARNAUDVILLE 31(795) Water System - Automated Meter Reading 32 System, Planning and Construction 33 (St. Landry) 34 Payable from General Obligation Bonds 35 Priority 5 $ 300,000 3650/M15BALDWIN 37(1396)Potable Water System Improvements, Planning and 38 Construction 39 (St. Mary) 40 Payable from General Obligation Bonds 41 Priority 1 $ 200,000 42 Priority 5 $ 700,000 43 Total $ 900,000 4450/M16BALL 45(798) Curtis Park Sewer Rehabilitation, 46 Planning and Construction 47 (Rapides) 48 Payable from General Obligation Bonds 49 Priority 5 $ 530,000 Page 50 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/M17BASILE 2(799) Street Improvements, Planning and 3 Construction 4 (Evangeline) 5 Payable from State General Fund (Direct) Non-Recurring 6 Revenues $ 125,000 750/M20BATON ROUGE 8(806) Old Hammond Hwy. (La 426) Roadway Improvements 9 From Blvd. De Province to Millerville Road, Planning 10 and Construction 11 (East Baton Rouge) 12 Payable from General Obligation Bonds 13 Priority 1 $ 450,000 14 Priority 5 $ 5,000,000 15 Total $ 5,450,000 1650/M27BOGALUSA 17(821) Emergency Sewer System Evaluation and 18 Repairs, Planning and Construction 19 (Washington) 20 Payable from General Obligation Bonds 21 Priority 2 $ 400,000 22 Priority 5 $ 1,600,000 23 Total $ 2,000,000 2450/M29BOSSIER CITY 25(824) Louisiana Technology Research Institute 26 (Bossier) 27 Payable from General Obligation Bonds 28 Priority 1 $ 7,500,000 2950/M31BREAUX BRIDGE 30(826) Water Treatment Plant Improvements, Planning and 31 Construction 32 (St. Martin) 33 Payable from General Obligation Bonds 34 Priority 1 $ 460,000 3550/M32BROUSSARD 36(827) Highway 89 Improvements, Planning and Construction 37 (Lafayette) 38 Payable from General Obligation Bonds 39 Priority 1 $ 1,500,000 40 Priority 5 $ 3,410,000 41 Total $ 4,910,000 42(1388)Reconstruct South Bernard Road From LA Hwy 182 to 43 US Hwy 90, Planning and Construction 44 (Lafayette) 45 Payable from General Obligation Bonds 46 Priority 1 $ 4,443,090 Page 51 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/M38CANKTON 2(1378)Cankton Water System Improvements, Planning and 3 Construction 4 (St. Landry) 5 Payable from State General Fund (Direct) Non-Recurring 6 Revenues $ 189,000 750/M39CARENCRO 8(833) Arceneaux Road Drainage Improvements and Utility 9 Relocations, Planning and Construction 10 (Lafayette) 11 Payable from General Obligation Bonds 12 Priority 1 $ 669,880 13(837) Wastewater and City Infrastructure Flood Damages, 14 Planning and Construction 15 (Lafayette) 16 Payable from General Obligation Bonds 17 Priority 1 $ 3,545,205 18 Priority 5 $ 1,205,000 19 Total $ 4,750,205 2050/M42CHATHAM 21(839) Ground Storage Tank Replacement, Planning and 22 Construction 23 (Jackson) 24 Payable from General Obligation Bonds 25 Priority 2 $ 288,000 2650/M45CHURCH POINT 27(844) Street and Drainage Improvements, Planning 28 and Construction 29 (Acadia) 30 Payable from State General Fund (Direct) Non-Recurring 31 Revenues $ 125,000 32(1404)Sewer System Improvements, Planning and Construction 33 (Acadia) 34 Payable from General Obligation Bonds 35 Priority 1 $ 291,000 3650/M54COTTON VALLEY 37(846) Sewerage System Improvements, Planning and 38 Construction 39 (Webster) 40 Payable from General Obligation Bonds 41 Priority 1 $ 1,189,000 42 Priority 2 $ 80,000 43 Total $ 1,269,000 Page 52 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/M57COVINGTON 2(855) Covington Wastewater Treatment Plant, Planning and 3 Construction 4 (St. Tammany) 5 Payable from General Obligation Bonds 6 Priority 1 $ 900,000 750/M58CROWLEY 8(858) Installation of Comminutor for the City of Crowley 9 Main Sewerage Pump Station, Planning and 10 Construction 11 (Acadia) 12 Payable from General Obligation Bonds 13 Priority 1 $ 405,000 14(859) Public Sewerage System Expansion Along North of I- 15 10 Service Road, Planning and Construction 16 (Acadia) 17 Payable from General Obligation Bonds 18 Priority 1 $ 100,000 19 Priority 5 $ 1,226,000 20 Total $ 1,326,000 21(860) Renovations and Repairs to Rice Festival, Planning and 22 Construction 23 (Acadia) 24 Payable from State General Fund (Direct) Non-Recurring 25 Revenues $ 200,000 26(861) Restoration and Rehabilitation of Rice Community 27 Theatre, Planning and Construction 28 (Acadia) 29 Payable from State General Fund (Direct) Non-Recurring 30 Revenues $ 90,000 3150/M61DELHI 32(865) Sapa Drive Extension, Planning and Construction 33 (Richland) 34 Payable from General Obligation Bonds 35 Priority 1 $ 500,000 36 Priority 5 $ 500,000 37 Total $ 1,000,000 3850/M64DEQUINCY 39(867) Wastewater Treatment Plant Improvements, Planning 40 and Construction 41 (Calcasieu) 42 Payable from General Obligation Bonds 43 Priority 2 $ 500,000 Page 53 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/M65DERIDDER 2(873) Education and Job Training Center, Planning and 3 Construction 4 (Beauregard) 5 Payable from General Obligation Bonds 6 Priority 1 $ 205,000 7 Priority 5 $ 1,000,000 8 Total $ 1,205,000 950/M68DONALDSONVILLE 10(1405)Natural Gas System Infrastructure Improvements, 11 Phase II, Planning and Construction 12 (Ascension) 13 Payable from General Obligation Bonds 14 Priority 1 $ 1,170,000 1550/M70DOYLINE 16(879) Village of Doyline Wastewater Treatment Facility 17 Upgrades 18 (Webster) 19 Payable from General Obligation Bonds 20 Priority 1 $ 21,550 21 Priority 5 $ 370,000 22 Total $ 391,550 2350/M74DUSON 24(880) LA Highway 95 Roundabout, Planning and 25 Construction 26 (Acadia) 27 Payable from General Obligation Bonds 28 Priority 1 $ 2,700,000 2950/M84EVERGREEN 30(885) Evergreen Water System Improvements 31 (Avoyelles) 32 Payable from General Obligation Bonds 33 Priority 1 $ 1,000,000 3450/M87FERRIDAY 35(887) Water Renovations, Planning and Construction 36 (Concordia) 37 Payable from General Obligation Bonds 38 Priority 1 $ 400,000 39 Priority 5 $ 1,000,000 40 Total $ 1,400,000 4150/M89FLORIEN 42(888) Village of Florien Town Hall, Planning and 43 Construction 44 (Sabine) 45 Payable from General Obligation Bonds 46 Priority 1 $ 385,505 Page 54 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/M91FORDOCHE 2(889) Water Distribution System Improvements, Planning 3 and Construction 4 (Pointe Coupee) 5 Payable from General Obligation Bonds 6 Priority 1 $ 631,000 7(890) Water Storage Improvements, Planning and 8 Construction 9 (Pointe Coupee) 10 Payable from General Obligation Bonds 11 Priority 1 $ 755,000 1250/M94FRANKLIN 13(892) Cayce Street Repairs, Planning and Construction 14 (St. Mary) 15 Payable from General Obligation Bonds 16 Priority 1 $ 167,000 17 Priority 5 $ 2,200,000 18 Total $ 2,367,000 19(893) Renovation of Old Crowell Elementary Building, 20 Planning and Construction 21 (St. Mary) 22 Payable from General Obligation Bonds 23 Priority 1 $ 1,254,200 24 Priority 5 $ 100,000 25 Total $ 1,354,200 2650/MA3GOLDEN MEADOW 27(900) Upgrade to North Sewerage Treatment Plant, Planning 28 and Construction 29 (Lafourche) 30 Payable from General Obligation Bonds 31 Priority 1 $ 163,940 3250/MA5GONZALES 33(901) Connector Road for City of Gonzales Hospital 34 District, Construction and Planning 35 (Ascension) 36 Payable from General Obligation Bonds 37 Priority 5 $ 2,200,000 38 Payable from State General Fund (Direct) Non-Recurring 39 Revenues $ 1,200,000 40 Total $ 3,400,000 41(902) Veteran's Ave to Commerce Ave Connector Road, Planning and Construction 42 (Ascension) 43 Payable from General Obligation Bonds 44 Priority 1 $ 324,000 Page 55 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MA7GRAMERCY 2(906) Sewer Force Main, Planning and 3 Construction 4 (St. James) 5 Payable from State General Fund (Direct) Non-Recurring 6 Revenues $ 250,000 750/MB1GRAND ISLE 8(911) Historic Recreation Center/Community Center, 9 Planning and Construction 10 (Jefferson) 11 Payable from General Obligation Bonds 12 Priority 1 $ 17,000 13 Priority 5 $ 824,600 14 Total $ 841,600 1550/MB5GRETNA 16(914) Downtown Drainage Improvements, Planning 17 and Construction 18 (Jefferson) 19 Payable from General Obligation Bonds 20 Priority 2 $ 375,000 21 Payable from State General Fund (Direct) Non-Recurring 22 Revenues $ 375,000 23 Total $ 750,000 2450/MB6GROSSE TETE 25(915) LA Highway 77 Realignment Improvements - 26 Grosse Tete (Multi-Phase), Planning and 27 Construction 28 (Iberville) 29 Payable from General Obligation Bonds 30 Priority 2 $ 620,000 31 Payable from State General Fund (Direct) Non-Recurring 32 Revenues $ 300,000 33 Total $ 920,000 3450/MB7GUEYDAN 35(917) Sewer Plant Improvements, Planning and 36 Construction 37 (Vermilion) 38 Payable from General Obligation Bonds 39 Priority 5 $ 95,000 40 Payable from State General Fund (Direct) Non-Recurring 41 Revenues $ 30,000 42 Total $ 125,000 4350/MB9HAMMOND 44(919) Roadside Drainage Improvements, Planning 45 and Construction 46 (Tangipahoa) 47 Payable from General Obligation Bonds 48 Priority 2 $ 225,000 Page 56 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MC1HARAHAN 2(922) Emergency Sewer Collection and Treatment 3 System Overhaul - Equipment Acquisition 4 (Jefferson) 5 Payable from General Obligation Bonds 6 Priority 2 $ 200,000 7 Payable from State General Fund (Direct) Non-Recurring 8 Revenues $ 205,000 9 Total $ 405,000 1050/MC9HOMER 11(930) Town Hall Renovations, Planning and Construction 12 (Claiborne) 13 Payable from General Obligation Bonds 14 Priority 1 $ 58,550 15 Priority 5 $ 500,000 16 Total $ 558,550 1750/MD1HORNBECK 18(932) West Side Water System Expansion, Planning and 19 Construction 20 (Sabine, Vernon) 21 Payable from General Obligation Bonds 22 Priority 1 $ 341,175 23 Priority 5 $ 1,000,000 24 Total $ 1,341,175 2550/MD4IDA 26(935) Water System Improvements, Water Wells, Tanks, and 27 Booster Stations Construction, Planning and 28 Construction 29 (Caddo) 30 Payable from General Obligation Bonds 31 Priority 1 $ 100,000 32 Priority 5 $ 700,000 33 Total $ 800,000 3450/MD5INDEPENDENCE 35(937) Building Repairs, Planning and Construction 36 (Tangipahoa) 37 Payable from General Obligation Bonds 38 Priority 1 $ 124,150 39(939) Wastewater Improvements, Planning and 40 Construction 41 (Tangipahoa) 42 Payable from General Obligation Bonds 43 Priority 2 $ 220,000 4450/MD6IOTA 45(940) Street Improvements, Planning and Construction 46 (Acadia) 47 Payable from State General Fund (Direct) Non-Recurring 48 Revenues $ 125,000 Page 57 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/ME1JEAN LAFITTE 2(944) Lafitte Warehouse, Planning and Construction 3 (Jefferson) 4 Payable from General Obligation Bonds 5 Priority 2 $ 385,000 6 Payable from State General Fund (Direct) Non-Recurring 7 Revenues $ 300,000 8 Total $ 685,000 9(945) Lafitte Wetlands Museum Addition, Planning and 10 Construction 11 (Jefferson) 12 Payable from General Obligation Bonds 13 Priority 1 $ 700,000 14 Priority 5 $ 1,000,000 15 Total $ 1,700,000 1650/ME4JENNINGS 17(948) Expansion of Sewer System for New 18 Development, Planning and Construction 19 (Jefferson Davis) 20 Payable from General Obligation Bonds 21 Priority 2 $ 200,000 22 Payable from State General Fund (Direct) Non-Recurring 23 Revenues $ 300,000 24 Total $ 500,000 2550/ME5JONESBORO 26(949) Well Rehab for Well Tank 1, Planning and 27 Construction 28 (Jackson) 29 Payable from General Obligation Bonds 30 Priority 2 $ 261,600 3150/ME6JONESVILLE 32(952) Renovations to National Guard Armory Building 33 (Catahoula) 34 Payable from General Obligation Bonds 35 Priority 5 $ 285,700 3650/ME8KAPLAN 37(953) Street and Drainage Improvements 38 (Vermilion) 39 Payable from General Obligation Bonds 40 Priority 5 $ 315,000 41 Payable from State General Fund (Direct) Non-Recurring 42 Revenues $ 50,000 43 Total $ 365,000 Page 58 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MF1KENNER 2(960) Lincoln Manor Drainage Phase 2, Planning 3 and Construction 4 (Jefferson) 5 Payable from General Obligation Bonds 6 Priority 2 $ 300,000 7 Payable from State General Fund (Direct) Non-Recurring 8 Revenues $ 300,000 9 Total $ 600,000 10(961) Lincoln Manor Subdivision Drainage Improvement, 11 Planning and Construction 12 (Jefferson) 13 Payable from General Obligation Bonds 14 Priority 1 $ 200,000 1550/MF2KENTWOOD 16(967) Recreation Facility Property Acquisition, Planning, Site 17 Preparation, Master Recreation Planning and 18 Construction 19 (Tangipahoa) 20 Payable from State General Fund (Direct) Non-Recurring 21 Revenues $ 400,000 2250/MF5KINDER 23(968) Town of Kinder - Waste Water Treatment Pond 24 Improvements 25 (Allen) 26 Payable from General Obligation Bonds 27 Priority 2 $ 100,000 28 Priority 5 $ 2,412,500 29 Total $ 2,512,500 3050/MF9LAKE CHARLES 31(971) Enterprise Boulevard Extension, Planning 32 and Construction 33 (Calcasieu) 34 Payable from General Obligation Bonds 35 Priority 2 $ 1,000,000 36 Priority 5 $ 1,500,000 37 Total $ 2,500,000 38(974) Lakefront Development 39 (Calcasieu) 40 Payable from General Obligation Bonds 41 Priority 1 $ 1,000,000 42 Priority 5 $ 1,000,000 43 Total $ 2,000,000 4450/MG1LAKE PROVIDENCE 45(980) Street Improvements, Planning and Construction 46 (East Carroll) 47 Payable from State General Fund (Direct) Non-Recurring 48 Revenues $ 225,000 Page 59 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MG3LEESVILLE 2(983) City of Leesville, Sanitary Sewer Extension for Fort 3 Polk Entrance Road, Planning and Construction 4 (Vernon) 5 Payable from General Obligation Bonds 6 Priority 1 $ 2,500,000 750/MH3LOREAUVILLE 8(993) New Fire Station, Planning and Construction 9 (Iberia) 10 Payable from General Obligation Bonds 11 Priority 1 $ 150,000 12 Priority 2 $ 732,000 13 Total $ 882,000 1450/MH7MAMOU 15(996) Gas System Improvements, Planning and Construction 16 (Evangeline) 17 Payable from State General Fund (Direct) Non-Recurring 18 Revenues $ 450,000 1950/MH8MANDEVILLE 20(997) LA 22 Drainage Improvements, Planning 21 and Construction 22 (St. Tammany) 23 Payable from General Obligation Bonds 24 Priority 5 $ 2,500,000 2550/MH9MANGHAM 26(1001)Mangham Recreation Complex, Planning and 27 Construction 28 (Richland) 29 Payable from General Obligation Bonds 30 Priority 1 $ 1,036,400 31 Priority 5 $ 520,000 32 Total $ 1,556,400 3350/MI4MARINGOUIN 34(1007)Governmental/Multi-Purpose Facility, Planning and 35 Construction 36 (Iberville) 37 Payable from General Obligation Bonds 38 Priority 5 $ 300,000 3950/MJ5MINDEN 40(1014)Potable Water Ground Storage Tank, Planning and 41 Construction 42 (Webster) 43 Payable from General Obligation Bonds 44 Priority 1 $ 145,100 45 Priority 5 $ 686,300 46 Total $ 831,400 Page 60 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MJ6MONROE 2(1015)I-20 Interchange Improvement and Kansas Garrett 3 Connector, Kansas Lane Connector, Planning and 4 Construction ($1,000,000 Local and $6,000,000 Federal 5 Match) 6 (Ouachita) 7 Payable from General Obligation Bonds 8 Priority 1 $ 9,900,200 9 Priority 5 $19,100,000 10 Total $29,000,200 11(1016)Calypso Street Pump Station Rehabilitation, 12 Planning, Engineering, Design, Right-of-Way, 13 Utilities, and Construction 14 (Ouachita) 15 Payable from General Obligation Bonds 16 Priority 5 $ 1,500,000 17(1018)Georgia Street Pump Station, Including Generator 18 and Auxiliary Pumps, Planning, Engineering, 19 Right-of-Way, Utilities and Construction 20 (Ouachita) 21 Payable from General Obligation Bonds 22 Priority 1 $ 200,000 23 Priority 5 $ 1,800,000 24 Total $ 2,000,000 25(1022)River Pump Station Water Treatment Plant, 26 Planning and Construction 27 (Ouachita) 28 Payable from General Obligation Bonds 29 Priority 5 $ 2,800,000 3050/MK4MORSE 31(1033)Water Tower Improvements, Planning and 32 Construction 33 (Acadia) 34 Payable from General Obligation Bonds 35 Priority 1 $ 227,000 36 Priority 2 $ 120,000 37 Total $ 347,000 3850/MK9NATCHITOCHES 39(1038)South Natchitoches Drainage Improvements, 40 Including Adjacent Road Work, Planning and 41 Construction 42 (Natchitoches) 43 Payable from General Obligation Bonds 44 Priority 5 $ 250,000 Page 61 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/ML1NEW IBERIA 2(1041)Bayou Teche Museum Expansion and George Rodrigue 3 Park 4 (Iberia) 5 Payable from General Obligation Bonds 6 Priority 1 $ 2,207,500 7 Priority 2 $ 250,000 8 Total $ 2,457,500 9(1044)City Park and West End Community Centers 10 Improvements, Planning and Construction 11 (Iberia) 12 Payable from General Obligation Bonds 13 Priority 1 $ 500,000 14(1046)Fulton Street Landing, Planning 15 and Construction 16 (Iberia) 17 Payable from State General Fund (Direct) Non-Recurring 18 Revenues $ 360,000 1950/ML3NEW ORLEANS 20(1052)Algiers Playgrounds and Parks, Renovation of 21 Restrooms, Lighting, Fencing, and Playground 22 Equipment 23 (Orleans) 24 Payable from State General Fund (Direct) Non-Recurring 25 Revenues $ 182,099 26(1056)Joe Bartholomew Golf Course Storm Shelter/ 27 Restrooms Portico Units, Planning, Acquisition, 28 Installation, and Construction 29 (Orleans) 30 Payable from State General Fund (Direct) Non-Recurring 31 Revenues $ 300,000 32(1059)Lower Ninth Ward Green Infrastructure 33 Project, Planning and Construction 34 (Orleans) 35 Payable from General Obligation Bonds 36 Priority 5 $ 250,000 37(1061)New Sewerage and Water Board Power Plant, Planning 38 and Construction 39 (Orleans) 40 Payable from General Obligation Bonds 41 Priority 1 $32,700,000 42 Priority 5 $14,000,000 43 Total $46,700,000 44(1062)Old New Orleans VA Building Rehabilitation 45 (Orleans) 46 Payable from General Obligation Bonds 47 Priority 1 $ 2,000,000 48 Priority 5 $ 8,000,000 49 Total $10,000,000 Page 62 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(1065)West Bank Ferry Terminal Renovations, Planning and 2 Construction 3 (Orleans) 4 Payable from General Obligation Bonds 5 Priority 1 $ 300,000 6 Priority 5 $ 300,000 7 Total $ 600,000 8(1066)West Bank Park Improvements Including New Soccer 9 and Recreational Facilities, Planning and Construction 10 (Orleans) 11 Payable from General Obligation Bonds 12 Priority 1 $ 910,900 13 Priority 5 $12,325,400 14 Total $13,236,300 15Provided, however, that $450,000 of the Priority 1 appropriation shall be used to fund the 16George W. Carver Playground Renovations project, and $200,000 of the Priority 1 17appropriation shall be used to fund the Skateboard Park at the West Bank Park project. 1850/ML4NEW ROADS 19(1067)Industrial Park Development Project, Planning and 20 Construction 21 (Pointe Coupee) 22 Payable from General Obligation Bonds 23 Priority 1 $ 1,000,000 2450/ML8NORWOOD 25(1070)Town Hall Renovations, Planning and 26 Construction 27 (East Feliciana) 28 Payable from General Obligation Bonds 29 Priority 2 $ 70,000 30 Priority 5 $ 200,000 31 Total $ 270,000 3250/ML9OAK GROVE 33(1071)Elevated Water Storage Tank Renovation, 34 Planning and Construction 35 (West Carroll) 36 Payable from General Obligation Bonds 37 Priority 5 $ 330,000 3850/MM2OAKDALE 39(1074)Oakdale City Hall Renovations, Roof, and 40 Reconstruction 41 (Allen) 42 Payable from General Obligation Bonds 43 Priority 2 $ 352,500 Page 63 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MM4OIL CITY 2(1383)Water Treatment Plant, Transmission Main, and 3 Distribution System Improvements, Planning and 4 Construction 5 (Caddo) 6 Payable from General Obligation Bonds 7 Priority 1 $ 1,773,500 8 Priority 5 $ 500,000 9 Total $ 2,273,500 1050/MM6OPELOUSAS 11(1078)Opelousas Street and Drainage Improvements 12 (St. Landry) 13 Payable from General Obligation Bonds 14 Priority 1 $ 1,500,000 15 Priority 5 $ 2,250,000 16 Total $ 3,750,000 17(1079)Water Meter Replacement and Upgrades, Planning and 18 Construction 19 (St. Landry) 20 Payable from General Obligation Bonds 21 Priority 1 $ 1,031,400 22 Priority 5 $ 1,000,000 23 Total $ 2,031,400 2450/MM8PARKS 25(1081)Parks Water System Improvements, Planning and 26 Construction 27 (St. Martin) 28 Payable from General Obligation Bonds 29 Priority 5 $ 140,000 3050/MM9PATTERSON 31(1082)Replacement of Water and Gas Meters in Patterson, 32 Planning and Construction 33 (St. Mary) 34 Payable from General Obligation Bonds 35 Priority 1 $ 200,000 36 Priority 5 $ 260,000 37 Total $ 460,000 3850/MN3PINEVILLE 39(1083)Cedar Lake Pump Station Reconstruction, 40 Design, Planning, and Construction 41 (Rapides) 42 Payable from General Obligation Bonds 43 Priority 5 $ 585,000 Page 64 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MN5PLAIN DEALING 2(1086)Wastewater Treatment Plant Improvement, Planning 3 and Construction 4 (Bossier) 5 Payable from General Obligation Bonds 6 Priority 5 $ 277,900 750/MO2PORT ALLEN 8(1092)Street and Drainage Improvements, Planning 9 and Construction 10 (West Baton Rouge) 11 Payable from General Obligation Bonds 12 Priority 2 $ 400,000 1350/MO8RAYNE 14(1095)Martin Luther King Community Center Improvements, 15 Planning and Construction 16 (Acadia) 17 Payable from General Obligation Bonds 18 Priority 1 $ 309,000 1950/MO9RAYVILLE 20(1098)Wastewater Transport and Treatment Facilities for 21 Economic Development 22 (Richland) 23 Payable from General Obligation Bonds 24 Priority 1 $ 1,150,200 25 Priority 2 $ 1,500,000 26 Payable from State General Fund (Direct) Non-Recurring 27 Revenues $ 500,000 28 Total $ 3,150,200 29Provided, however, that this appropriation is used for the extension of sewer lines south 30along Highway 425. 31(1099)Water Service Facilities for Economic Development, 32 Planning and Construction 33 (Richland) 34 Payable from General Obligation Bonds 35 Priority 1 $ 394,570 36 Priority 5 $ 8,022,300 37 Total $ 8,416,870 3850/MP5RINGGOLD 39(1101)Town Hall and Civic Center, Planning and 40 Construction 41 (Bienville) 42 Payable from General Obligation Bonds 43 Priority 1 $ 705,000 Page 65 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MP8ROSEDALE 2(1102)New Rosedale Fire Station, Planning and Construction 3 (Iberville) 4 Payable from General Obligation Bonds 5 Priority 1 $ 760,000 650/MQ1ROSEPINE 7(1104)Rosepine Wastewater Treatment Plant Improvement, 8 Planning and Construction 9 (Vernon) 10 Payable from General Obligation Bonds 11 Priority 1 $ 1,785,000 12 Priority 2 $ 465,000 13 Total $ 2,250,000 1450/MQ2RUSTON 15(1108)New Road from Highway 150 to I-20 South Frontage 16 Road, Planning and Construction 17 (Lincoln) 18 Payable from General Obligation Bonds 19 Priority 1 $ 825,000 20 Priority 5 $ 1,000,000 21 Total $ 1,825,000 2250/MQ3ST. FRANCISVILLE 23(1110)Emergency Erosion Repairs, Planning and Construction 24 (West Feliciana) 25 Payable from General Obligation Bonds 26 Priority 2 $ 350,000 2750/MQ5ST. MARTINVILLE 28(1423)Water Drainage Project, Planning and Construction 29 (St. Martin) 30 Payable from General Obligation Bonds 31 Priority 1 $ 200,000 3250/MQ8SCOTT 33(1118)Water and Sewer Line Installation along Apollo Road 34 Extension, Planning and Construction 35 (Lafayette) 36 Payable from General Obligation Bonds 37 Priority 1 $ 186,100 38 Priority 5 $ 2,250,000 39 Total $ 2,436,100 4050/MR1SHREVEPORT 41(1120)C.C. Antoine Museum and Arts Center, Planning and 42 Construction ($64,000 Local Match) 43 (Caddo) 44 Payable from General Obligation Bonds 45 Priority 1 $ 325,000 46 Priority 5 $ 100,000 47 Total $ 425,000 Page 66 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1(1121)C.C. Antoine Park, Planning and Construction 2 (Caddo) 3 Payable from General Obligation Bonds 4 Priority 1 $ 781,360 5 Priority 5 $ 972,700 6 Total $ 1,754,060 7(1122)District 3 Road Rehabilitation, 8 Planning and Construction 9 (Caddo) 10 Payable from State General Fund (Direct) Non-Recurring 11 Revenues $ 500,000 1250/MR2SIBLEY 13(1128)Wastewater Treatment Facilities Improvements, 14 Planning and Construction 15 (Webster) 16 Payable from State General Fund (Direct) Non-Recurring 17 Revenues $ 68,355 1850/MS4SPRINGFIELD 19(1133)Sewer System Improvements Planning and 20 Construction 21 (Livingston) 22 Payable from State General Fund (Direct) Non-Recurring 23 Revenues $ 455,000 2450/MS9SULPHUR 25(1139)Maplewood Drive Rehabilitation 26 (Calcasieu) 27 Payable from General Obligation Bonds 28 Priority 1 $ 6,500,000 29(1140)Maplewood Drive Pump Station 30 (Calcasieu) 31 Payable from General Obligation Bonds 32 Priority 2 $ 1,575,000 33(1142)Upgrade Regional Sewerage Pumping Stations 34 (Arizona and Highway 108), Planning and Construction 35 (Calcasieu) 36 Payable from General Obligation Bonds 37 Priority 1 $ 14,015 3850/MT2SUNSET 39(1145)Street Improvements - Phase II, Planning 40 and Construction 41 (St. Landry) 42 Payable from General Obligation Bonds 43 Priority 2 $ 200,000 Page 67 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MT3TALLULAH 2(1146)Emergency Water Production, Transmission and 3 Treatment, Acquisition, Planning and Construction 4 (Madison) 5 Payable from General Obligation Bonds 6 Priority 1 $ 462,860 7 Priority 5 $ 75,000 8 Total $ 537,860 950/MT5THIBODEAUX 10(1148)Replacement of Canal Boulevard Bridges and 11 Construction of Menard Pedestrian Bike Trail, Planning 12 and Construction 13 (Lafourche) 14 Payable from General Obligation Bonds 15 Priority 1 $ 1,500,000 16 Priority 5 $ 3,150,000 17 Total $ 4,650,000 1850/MT6TICKFAW 19(1150)Pumping Lift Stations Renovations, Village of Tickfaw, 20 Planning and Construction 21 (Tangipahoa) 22 Payable from State General Fund (Direct) Non-Recurring 23 Revenues $ 169,030 2450/MU2VIDALIA 25(1154)Development of a Slackwater Port on the Mississippi 26 River, Planning and Construction 27 (Concordia) 28 Payable from General Obligation Bonds 29 Priority 1 $ 4,274,040 30(1155)Utility System Upgrade, Planning, Acquisition, 31 Construction and Equipment 32 (Concordia) 33 Payable from General Obligation Bonds 34 Priority 1 $ 1,000,000 35 Priority 5 $ 9,000,000 36 Total $10,000,000 3750/MU4VILLE PLATTE 38(1156)Ville Platte Evangeline Recreational District 39 (Evangeline) 40 Payable from General Obligation Bonds 41 Priority 1 $ 862,945 42 Priority 5 $ 885,000 43 Total $ 1,747,945 44(1412)Infrastructure Improvements, Planning and 45 Construction 46 (Evangeline) 47 Payable from General Obligation Bonds 48 Priority 1 $ 914,000 Page 68 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MU5VINTON 2(1158)Town of Vinton - South Street Lift Station, 3 Planning and Construction 4 (Calcasieu) 5 Payable from State General Fund (Direct) Non-Recurring 6 Revenues $ 450,000 7(1159)Town of Vinton - Wastewater Treatment Plant 8 Improvements 9 (Calcasieu) 10 Payable from General Obligation Bonds 11 Priority 2 $ 900,000 1250/MU6VIVIAN 13(1164)Water and Wastewater System Improvements and 14 Extension, Planning and Construction 15 (Caddo) 16 Payable from General Obligation Bonds 17 Priority 1 $ 303,530 1850/MV1WELSH 19(1167)Town of Welsh, Street and Drainage Improvements 20 (Jefferson Davis) 21 Payable from State General Fund (Direct) Non-Recurring 22 Revenues $ 450,000 2350/MV2WEST MONROE 24(1168)New Drago Street Sanitary Sewer Lift 25 Station, Planning and Construction 26 (Ouachita) 27 Payable from General Obligation Bonds 28 Priority 5 $ 1,200,000 29(1169)New Kiroli Road Bridge Over North 30 Tupawek Bayou, Planning and Construction 31 (Ouachita) 32 Payable from General Obligation Bonds 33 Priority 5 $ 900,000 3450/MV3WESTLAKE 35(1171)Compressed Natural Gas Fueling Station, Planning and 36 Construction 37 (Calcasieu) 38 Payable from General Obligation Bonds 39 Priority 1 $ 470,000 40 Priority 5 $ 1,600,000 41 Total $ 2,070,000 42(1172)Westlake Sewer Transport System Improvements 43 (Calcasieu) 44 Payable from General Obligation Bonds 45 Priority 2 $ 500,000 46 Priority 5 $ 2,000,000 47 Total $ 2,500,000 Page 69 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MV4WESTWEGO 2(1174)Emergency Preparedness Building, Planning and 3 Construction 4 (Jefferson) 5 Payable from General Obligation Bonds 6 Priority 1 $ 290,915 7(1176)Fire Station, Planning and Construction 8 (Jefferson) 9 Payable from General Obligation Bonds 10 Priority 1 $ 136,400 11 Priority 5 $ 300,000 12 Total $ 436,400 13(1177)Park Land and Improvements, Including Improvements 14 to Existing Parks and Land Acquisition, Planning and 15 Construction 16 (Jefferson) 17 Payable from General Obligation Bonds 18 Priority 1 $ 917,685 19(1179)Sala Avenue Street and Infrastructure Improvements 20 (Jefferson) 21 Payable from General Obligation Bonds 22 Priority 1 $ 208,300 23 Priority 5 $ 850,000 24 Total $ 1,058,300 25(1181)The WHARF, Planning, Construction, and Site 26 Preparation 27 (Jefferson) 28 Payable from General Obligation Bonds 29 Priority 1 $ 5,188,000 30 Priority 5 $ 2,200,000 31 Total $ 7,388,000 32(1185)Water Tower, Line and Improvements, Water Meter 33 Replacement, Planning and Construction 34 (Jefferson) 35 Payable from General Obligation Bonds 36 Priority 1 $ 438,000 3750/MV7WINNFIELD 38(1189)South Winnfield Drainage Improvements - Phase 1, 39 Planning and Construction 40 (Winn) 41 Payable from General Obligation Bonds 42 Priority 2 $ 570,000 43 Priority 5 $ 600,000 44 Total $ 1,170,000 Page 70 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/MW2YOUNGSVILLE 2(1194)Highway 89 Improvements, Planning and Construction 3 (Lafayette) 4 Payable from General Obligation Bonds 5 Priority 1 $ 1,567,000 6 Priority 5 $ 4,103,000 7 Total $ 5,670,000 850/MW6ST. GABRIEL 9(1199)City Council Chambers - New Construction 10 (Iberville) 11 Payable from General Obligation Bonds 12 Priority 1 $ 1,440,000 1350/MW8CENTRAL 14(1410)Administration Building 15 (East Baton Rouge) 16 Payable from General Obligation Bonds 17 Priority 1 $ 1,067,155 1850/N05NEW ORLEANS EXHIBITION HALL AUTHORITY 19(1206)Property Development Project 20 (Orleans) 21 Payable from General Obligation Bonds 22 Priority 5 $25,000,000 2350/N06STATE FAIR OF LOUISIANA 24(1207)Hirsch Memorial Coliseum and Louisiana State 25 Fairgrounds Improvements Project 26 (Caddo) 27 Payable from General Obligation Bonds 28 Priority 1 $ 500,000 29 Priority 5 $ 3,280,000 30 Total $ 3,780,000 3150/N13CHENNAULT INTERNATIONAL AIRP ORT AUTHORITY 32(1209)New Air Cargo Facility, Planning and Construction 33 ($1,100,000 Local Match) 34 (Calcasieu) 35 Payable from General Obligation Bonds 36 Priority 1 $ 3,093,000 3750/N19PAUL S. MORTON SCHOLARSHIP FOUNDATION 38(1215)Paul S. Morton Scholarship Foundation 39 Greater Works Family Life Center, Planning 40 and Construction 41 (Orleans) 42 Payable from General Obligation Bonds 43 Priority 5 $ 1,000,000 44 Payable from State General Fund (Direct) Non-Recurring 45 Revenues $ 500,000 46 Total $ 1,500,000 Page 71 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/N34ODYSSEY HOUSE LOUISIANA, INC. 2(1218)Odyssey House Louisiana Renovation Project, Planning 3 and Construction 4 (Orleans) 5 Payable from General Obligation Bonds 6 Priority 1 $ 1,357,885 7 Priority 5 $ 2,677,300 8 Total $ 4,035,185 950/N40LAFAYETTE ECONOMIC DEVELOP MENT AUTHORITY 10(1219)Lafayette Innovation Center, Planning and Construction 11 (Lafayette) 12 Payable from General Obligation Bonds 13 Priority 1 $ 1,493,690 14 Priority 5 $ 5,500,000 15 Total $ 6,993,690 1650/N41BATON ROUGE METROPOLITAN AIRPORT 17(1220)Airport Aviation Business Park, Planning and 18 Construction 19 (East Baton Rouge) 20 Payable from General Obligation Bonds 21 Priority 1 $ 2,750,000 2250/N44UNITED WATER SYSTEM, INC. 23(1221)Water Treatment Facility Upgrades - 24 United Water System, Planning and 25 Construction 26 (St. Martin) 27 Payable from General Obligation Bonds 28 Priority 5 $ 1,000,000 2950/N74THE NATIONAL WORLD WAR II MUSEUM, INC. 30(1230)Eight projects under FP&C Management Plus 31 Liberation Pavilion: Bricks and Mortar, Exhibit 32 Fabrication, Media Production, Planning and 33 Construction 34 (Orleans) 35 Payable from General Obligation Bonds 36 Priority 1 $ 5,000,000 37 Priority 2 $ 2,500,000 38 Total $ 7,500,000 3950/NA2LAFAYETTE AIRPORT COMMISSION 40(1235)Construction of a New Passenger Facility Terminal and 41 Associated Infrastructure at Lafayette Regional Airport 42 (Lafayette) 43 Payable from General Obligation Bonds 44 Priority 1 $ 2,300,000 Page 72 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NAJEFFORTS OF GRACE, INC. 2(1239)Ashe Too, Planning and Construction 3 (Orleans) 4 Payable from General Obligation Bonds 5 Priority 5 $ 1,000,000 650/NB1CENTER FOR THE INNOVATIVE TRAINING OF YOUTH, INC. 7(1242)STEM Innovation Hub, Planning and Construction 8 (Orleans) 9 Payable from State General Fund (Direct) Non-Recurring 10 Revenues $ 2,000,000 1150/NBCCAPITOL CITY FAMILY HEALTH CENTER, INC. 12(1245)Care South Medical and Dental Expansion, Planning 13 and Construction 14 (East Baton Rouge) 15 Payable from General Obligation Bonds 16 Priority 1 $ 500,000 17 Priority 5 $ 50,000 18 Total $ 550,000 1950/NBFCOMMUNITY RECEIVING HOME, INC. 20(1246)Renaissance Home for Youth, New Administrative 21 Building, Renovation of Existing Administrative 22 Building, Roads and Parking Areas, Planning and 23 Construction 24 (Rapides) 25 Payable from General Obligation Bonds 26 Priority 1 $ 1,198,590 2750/NC2BATON ROUGE RECREATION AND PARKS COMMISSION 28(1251)Central Community Sports Park, Planning and 29 Construction 30 (East Baton Rouge) 31 Payable from General Obligation Bonds 32 Priority 1 $ 300,000 3350/NCFTECHE ACTION BOARD, INC. 34(1257)Construction of a New Health Center Facility 35 for Teche Action Clinic at Gramercy, Planning 36 and Construction 37 (St. James) 38 Payable from State General Fund (Direct) Non-Recurring 39 Revenues $ 750,000 Page 73 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NCMFIFTH WARD RECREATION DISTRICT OF 2 ST. HELENA PARISH 3(1398)Recreation District Baseball Fields, Planning and 4 Construction 5 (St. Helena) 6 Payable from General Obligation Bonds 7 Priority 1 $ 422,400 8 Priority 5 $ 575,000 9 Total $ 997,400 1050/ND5LAFOURCHE PARISH WATER DISTRICT 11(1414)Kraemer Water Line Upgrades, Planning and 12 Construction 13 (Lafourche) 14 Payable from General Obligation Bonds 15 Priority 1 $ 100,000 16 Priority 5 $ 1,500,000 17 Total $ 1,600,000 1850/NDNOPPORTUNITIES INDUSTRIALIZ ATION CENTER 19 INCORPORATED OF OUACHITA 20(1265)New Education Building, Planning and Construction 21 (Ouachita) 22 Payable from General Obligation Bonds 23 Priority 1 $ 393,000 24 Priority 5 $ 1,845,000 25 Total $ 2,238,000 2650/NDQTANGIPAHOA AFRICAN AMERICAN HERITAG E 27 MUSEUM AND VETERANS ARCHIVES 28(1266)Tangipahoa African American Heritage Museum Roof 29 Replacement, Planning and Construction 30 (Tangipahoa) 31 Payable from General Obligation Bonds 32 Priority 2 $ 460,000 33 Priority 5 $ 80,000 34 Total $ 540,000 3550/NDXNEW ORLEANS COUNCIL ON AG ING, INC. 36(1267)New Orleans Council on Aging Office and Senior 37 Community Center - Planning, Land Acquisition, 38 Construction, and Initial Equipment and Furnishings 39 for New Building 40 (Orleans) 41 Payable from General Obligation Bonds 42 Priority 2 $ 500,000 43 Priority 5 $ 6,000,000 44 Total $ 6,500,000 Page 74 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NERST. HELENA PARISH HOSPITAL SERVICE DISTRICT NO. 1 2(1270)Hospital Renovation, Expansion, and Equipment 3 Replacement, Planning and Construction 4 (St. Helena) 5 Payable from General Obligation Bonds 6 Priority 2 $ 4,200,000 750/NEYORLEANS PARISH HOSPITAL SERVICE DISTRICT A 8(1271)Parish Hospital Service District for the 9 Parish of Orleans - District A- Obstetrics 10 Service Line Expansion Level 2 Unit, 11 Planning and Construction 12 (Orleans) 13 Payable from General Obligation Bonds 14 Priority 2 $ 250,000 15 Priority 5 $ 4,000,000 16 Payable from State General Fund (Direct) Non-Recurring 17 Revenues $ 250,000 18 Total $ 4,500,000 1950/NFLYOUNG MEN'S CHRISTIAN ASSOCIATION OF 20 BOGALUSA, LOUISIANA 21(1406)New Roof and Equipment Upgrades for the Bogalusa 22 YMCA 23 (Washington) 24 Payable from State General Fund (Direct) Non-Recurring 25 Revenues $ 55,235 2650/NG6THE LOUISIANA BLACK HISTORY HALL OF FAME 27(1288)Museum and Cultural Center, Planning and 28 Construction 29 (East Baton Rouge) 30 Payable from General Obligation Bonds 31 Priority 1 $ 337,255 32 Priority 5 $ 1,865,000 33 Total $ 2,202,255 3450/NGALINCOLN PARISH FIRE PROTECTION DISTRICT NO. 1 35(1289)Renovations to Existing Facility and Additional 36 Buildings, Acquisition, Planning and Construction 37 (Lincoln) 38 Payable from General Obligation Bonds 39 Priority 1 $ 120,000 40 Priority 5 $ 765,000 41 Total $ 885,000 Page 75 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NGMNEW ORLEANS AF RICAN AMERICAN MUSEUM OF ART, 2 CULTURE AND HISTORY 3(1290)New Orleans African American Museum of Art, 4 Culture and History: Renovation and New Construction 5 (Orleans) 6 Payable from General Obligation Bonds 7 Priority 2 $ 800,000 8 Priority 5 $ 9,200,000 9 Total $10,000,000 1050/NGQTHE STRAND THEATRE OF SHREVEPORT CORPORATION 11(1291)Repair and Renovation to the Strand Theatre of 12 Shreveport 13 (Caddo) 14 Payable from General Obligation Bonds 15 Priority 5 $ 984,000 1650/NHEST. JAMES PARISH HOSPITAL 17(1293)West Bank Health Clinic, Planning and Construction 18 (St. James) 19 Payable from General Obligation Bonds 20 Priority 1 $ 200,000 21 Priority 5 $ 3,100,000 22 Total $ 3,300,000 2350/NI7HOSPITAL SERVICE DISTRICT NO. 1 IBERIA PARISH 24 DOING BUSINESS AS IBERIA PARISH MEDICAL CENTER 25(1294)Addition of Medical/Surgical and Psychiatric 26 Inpatient Rooms at 600 N. Lewis Street in 27 New Iberia, Planning and Construction, 28 Equipment 29 (Iberia) 30 Payable from General Obligation Bonds 31 Priority 2 $ 250,000 32 Priority 5 $11,700,000 33 Total $11,950,000 3450/NI9ASCENSION - ST. JAMES AIRPORT AUTHORITY 35(1295)Commercial Hangar Complex - Louisiana Regional 36 Airport, Gonzales, La., Planning and Construction 37 (Ascension) 38 Payable from General Obligation Bonds 39 Priority 5 $ 1,000,000 4050/NJ9DRYADES YOUNG MEN’S CHRISTIAN ASSOCIATION 41(1407)Technical Training Center, Acquisition and Renovation 42 (Orleans) 43 Payable from General Obligation Bonds 44 Priority 1 $ 5,059,500 Page 76 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NL6EAST RICHLAND WATER WORK S DISTRICT 2(1300)Poverty Point Parkway Water Main, Planning and 3 Construction 4 (Richland) 5 Payable from General Obligation Bonds 6 Priority 5 $ 625,000 750/NLMFOUNDATION FOR SCIENCE AND MATHEMATICS 8 EDUCATION, INC. 9(1301)A Model for a 21st Century Workforce Development 10 Urban High School - New Orleans Science and 11 Mathematics High School 12 (Orleans) 13 Payable from General Obligation Bonds 14 Priority 1 $ 2,000,000 15 Priority 5 $ 1,000,000 16 Total $ 3,000,000 1750/NMDBELMONT WATERWORK S, INC. 18(1307)Water System Improvements, Planning and 19 Construction 20 (Sabine) 21 Payable from General Obligation Bonds 22 Priority 1 $ 705,595 2350/NMYNORTHWEST LOUISIANA COMMUNITY 24 DEVELOPMENT CORPORATION 25(1408)African American Museum, Planning and Construction 26 (Caddo) 27 Payable from State General Fund (Direct) Non-Recurring 28 Revenues $ 157,059 2950/NNBPROFESSIONAL SPECIALTIES 30(1380)Equipment for USDA Veterinary Biologic Facility 31 (East Baton Rouge) 32 Payable from State General Fund (Direct) Non-Recurring 33 Revenues $ 348,000 3450/NP1ACADIANA CRIMINALISTICS LABORATORY DISTRICT 35(1314)New Crime Laboratory, Planning, Design, 36 Construction, and Equipment 37 (Iberia) 38 Payable from General Obligation Bonds 39 Priority 1 $ 1,932,185 40 Priority 5 $ 2,000,000 41 Total $ 3,932,185 4250/NP3BAYOU LAFOURCHE FRESH WATER DISTRICT 43(1315)Donaldsonville Flood Control, Planning and 44 Construction 45 (Ascension, Assumption, Lafourche, Terrebonne) 46 Payable from General Obligation Bonds 47 Priority 1 $ 753,000 Page 77 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NPDIBERIA ECONOMIC DEVELOP MENT AUTHORITY 2(1316)Progress Point Business Park and Airport Gateway, 3 Land Acquisition, Planning and Construction 4 (Iberia) 5 Payable from General Obligation Bonds 6 Priority 1 $ 2,164,680 750/NQCTANNEHILL WATER SYSTEM 8(1319)Water Production and Treatment System, Planning and 9 Construction 10 (Winn) 11 Payable from General Obligation Bonds 12 Priority 1 $ 442,845 1350/NQGLAFAYETTE METROP OLITAN EXPRESSWAY COMMISSION 14(1320)Lafayette Loop Project Planning and Construction 15 (Lafayette) 16 Payable from General Obligation Bonds 17 Priority 1 $ 4,000,000 18 Priority 5 $ 2,500,000 19 Total $ 6,500,000 2050/NQNLSU REAL ESTATE AND FACILITIES FOUNDATION 21(1321)University Lakes Restoration Project to Address Flood 22 Control, Environmental, Safety, Health and Other 23 Issues (Matching Funds) 24 (East Baton Rouge) 25 Payable from General Obligation Bonds 26 Priority 1 $ 5,000,000 27 Priority 5 $11,000,000 28 Total $16,000,000 29Notwithstanding any other provision of law to the contrary, the appropriation for the LSU 30Real Estate and Facilities Foundation, University Lakes Restoration Project to Address 31Flood Control, Environmental, Safety, Health and Other Issues is conditioned upon the 32contracts for the project containing a provision that any sinker cypress or other natural 33resource recovered from the lakes is public property, and shall be sold at public auction with 34the proceeds of the sale to be used for the project. 3550/NQVBEAUREGARD PARISH WATERWORK S DISTRICT NO. 6 36(1324)Water System Improvements, Planning and 37 Construction 38 (Beauregard) 39 Payable from General Obligation Bonds 40 Priority 1 $ 1,499,110 4150/NRVTHE MADISON VOLUNTARY COUNCIL ON AG ING, INC. 42(1328)Expansion and Improvements to Activities Building, 43 Planning and Construction 44 (Madison) 45 Payable from State General Fund (Direct) Non-Recurring 46 Revenues $ 213,195 Page 78 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NSPEDEN HOUSE 2(1331)New Orleans Emergency Shelter, Planning and 3 Construction 4 (Orleans) 5 Payable from State General Fund (Direct) Non-Recurring 6 Revenues $ 150,000 750/NTKTHE UNION LINCOLN REG IONAL WATER SUPPLY INITIATIVE 8(1389)Development of Alternative Water Supply from Lake 9 D'Arbonne for Lincoln and Union Parishes 10 (Lincoln, Union) 11 Payable from General Obligation Bonds 12 Priority 1 $ 1,397,200 13 Priority 5 $ 2,400,000 14 Total $ 3,797,200 1550/NTLGIRL SCOUTS LOUISIANA EAST, INC. 16(1334)Emergency Repairs to Lake Valve and Spillway at Girl 17 Scout Camp Whispering Pines, Planning and 18 Construction 19 (Tangipahoa) 20 Payable from State General Fund (Direct) Non-Recurring 21 Revenues $ 82,200 22Provided, however, that this appropriation shall be used to pay obligations that were 23outstanding against the FY 2020-2021 Priority 1 General Obligation Bond cash line of 24credit. 2550/NU99TH WARD STADIUM, INC. 26(1336)Multi-sport Venue in Eastern New Orleans and Lower 27 Ninth Ward, Planning and Construction 28 (Orleans) 29 Payable from General Obligation Bonds 30 Priority 2 $ 250,000 31 Priority 5 $ 1,200,000 32 Total $ 1,450,000 3350/NUVMONROE DOWNTOWN ECONOMIC DEVELOP MENT DISTRICT 34(1393)Monroe Riverwalk, Planning and Construction 35 (Ouachita) 36 Payable from State General Fund (Direct) Non-Recurring 37 Revenues $ 108,595 3850/NV1POLLOCK AREA WATER SYSTEM, INC. 39(1340)Parish Line Site, Planning and Construction 40 (Grant) 41 Payable from General Obligation Bonds 42 Priority 5 $ 890,000 Page 79 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NVYWASHINGTON PARISH HOSPITAL SERVICE DISTRICT NO. 1 2(1409)Emergency Upgrades including Power Generation 3 System Upgrade, Mechanical Systems, and Roofing, 4 Planning and Construction 5 (Washington) 6 Payable from General Obligation Bonds 7 Priority 1 $ 650,000 8 Priority 5 $ 4,650,000 9 Total $ 5,300,000 1050/NWOAIRPORT AUTHORITY DISTRICT NO. 1 CALCASIEU P ARISH 11(1346)Airport Entrance and Access Road Improvements 12 and Marquee, Planning and Construction 13 (Calcasieu) 14 Payable from General Obligation Bonds 15 Priority 5 $ 1,000,000 16 Payable from State General Fund (Direct) Non-Recurring 17 Revenues $ 1,000,000 18 Total $ 2,000,000 1950/NWSLAFAYETTE CENTRAL P ARK, INC. 20(1348)Lafayette Central Park Improvements, Planning and 21 Construction 22 (Lafayette) 23 Payable from General Obligation Bonds 24 Priority 1 $ 3,000,000 25 Priority 5 $ 5,387,000 26 Total $ 8,387,000 2750/NXIHEBERT WATER SYSTEM, INC. 28(1350)Water System Improvements, Planning and 29 Construction 30 (Caldwell) 31 Payable from General Obligation Bonds 32 Priority 1 $ 1,544,420 33 Priority 5 $ 1,100,000 34 Total $ 2,644,420 3550/NXNLOUISIANA CHILDREN'S MEDICAL CENTER 36(1351)Children's Hospital New Orleans Behavioral Health 37 Hospital, Planning and Construction 38 (Orleans) 39 Payable from General Obligation Bonds 40 Priority 1 $ 1,417,915 4150/NXSBATON ROUGE GENERAL MEDICAL CENTER 42(1399)Regional Burn Center Expansion 43 (East Baton Rouge) 44 Payable from General Obligation Bonds 45 Priority 1 $ 1,279,460 Page 80 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NXYRIVERLAND MEDICAL CENTER 2(1381)Concordia Parish Hospital and Medical Office 3 Building, Real Estate Acquisition, Planning, Design, 4 Construction, and Equipment 5 (Concordia) 6 Payable from General Obligation Bonds 7 Priority 1 $ 970,535 850/NYNOPELOUSAS HEIGHTS, INC. 9(1382)Opelousas Heights Proposed Subdivision, Planning and 10 Construction 11 (St. Landry) 12 Payable from General Obligation Bonds 13 Priority 1 $ 1,184,790 1450/NYPSECOND HARVEST F OOD BANK OF GREATER 15 NEW ORLEANS AND ACADIANA 16(1354)Roof Replacement and HVAC Installation, Planning 17 and Construction 18 (Jefferson) 19 Payable from General Obligation Bonds 20 Priority 1 $ 1,949,155 2150/NYSHOLY ROSARY REDEVELOP MENT 22(1394)Holy Rosary Institute, Planning, Construction, and 23 Restoration 24 (Lafayette) 25 Payable from General Obligation Bonds 26 Priority 1 $ 2,000,000 27 Priority 5 $ 2,500,000 28 Total $ 4,500,000 2950/NYVCHATEAU DE NOTRE DAME F ACILITIES CORPORATION 30(1356)Wynhoven Health Care Expansion, including St. 31 Andrew's Village Planning and Construction 32 (Jefferson) 33 Payable from General Obligation Bonds 34 Priority 1 $ 1,747,880 35 Priority 5 $ 3,999,750 36 Total $ 5,747,630 3750/NZBLIVINGSTON PARISH AIRPORT DISTRICT 38(1357)Livingston Executive Airport, Planning and 39 Construction 40 (Livingston) 41 Payable from General Obligation Bonds 42 Priority 1 $ 2,277,000 43 Priority 5 $ 485,000 44 Total $ 2,762,000 Page 81 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/NZDHOSPITAL SERVICE DISTRICT NO. 1, 2 PARISH OF ST. MARY 3(1358)Franklin Foundation Hospital Wellness Center 4 (St. Mary) 5 Payable from General Obligation Bonds 6 Priority 1 $ 1,000,000 7 Priority 5 $ 1,000,000 8 Total $ 2,000,000 950/NZGCAMERON PARISH WATER AND WASTEWATER DISTRICT NO. 1 10(1359)Cameron Parish Water and Wastewater District No. 1 11 Water System Improvements 12 (Cameron) 13 Payable from General Obligation Bonds 14 Priority 5 $ 475,000 1550/NZKTHE ROBERT A. BOGAN BATON ROUGE 16 FIRE MUSEUM 17(1361)Museum Restoration, Planning and Construction 18 (East Baton Rouge) 19 Payable from General Obligation Bonds 20 Priority 5 $ 3,165,000 21 Payable from State General Fund (Direct) Non-Recurring 22 Revenues $ 175,410 23 Total $ 3,340,410 2450/NZXWEST CALCASIEU CAMERON HOSP ITAL FOUNDATION 25(1365)West Calcasieu Cameron Hospital Medical Office 26 Building, Planning and Construction 27 (Calcasieu) 28 Payable from General Obligation Bonds 29 Priority 2 $ 250,000 30 Priority 5 $ 4,350,000 31 Total $ 4,600,000 3250/S10CALCASIEU PARISH SCHOOL BOARD 33(1385)Renovations to Lake Charles Boston Stadium, Planning 34 and Construction 35 (Calcasieu) 36 Payable from General Obligation Bonds 37 Priority 1 $ 167,000 38 Priority 5 $ 823,000 39 Total $ 990,000 4050/S18EAST CARROLL PARISH SCHOOL BOARD 41(1366)Administration Building, Acquisition and Renovation, 42 Planning and Construction 43 (East Carroll) 44 Payable from State General Fund (Direct) Non-Recurring 45 Revenues $ 271,600 Page 82 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 150/S32LIVINGSTON PARISH SCHOOL BOARD 2(1367)Widening and Turn Lane Construction for LA Hwy 16 3 as Part of the New Southside Elementary and Jr. High 4 Schools 5 (Livingston) 6 Payable from General Obligation Bonds 7 Priority 1 $ 750,000 8 Priority 5 $ 250,000 9 Total $ 1,000,000 10( )Restoration and Lighting, Planning and 11 Construction 12 (Livingston) 13 Payable from State General Fund (Direct) Non-Recurring 14 Revenues $ 1,000,000 15Pending submittal and late approval of the capital outlay budget request pursuant to the 16provisions of R.S. 39:112. 1750/S39POINTE COUPEE PARISH SCHOOL BOARD 18(1368)Pointe Coupee Parish School Board Office Relocation, 19 to be Located at 8777 Morganza Highway, Formerly 20 Labarre Elementary School Site, Due to Flooding Caused 21 by Hurricane Gustav, Planning and Construction 22 (Pointe Coupee) 23 Payable from General Obligation Bonds 24 Priority 1 $ 2,000,000 25 Priority 5 $ 2,400,000 26 Total $ 4,400,000 2750/S63WEST FELICIANA PARISH SCHOOL BOARD 28(1369)Julius Freyhan Cultural/Conference Center, Planning 29 and Construction 30 (West Feliciana) 31 Payable from General Obligation Bonds 32 Priority 1 $ 997,000 33 Section 1.(A) Appropriated Debt Projects. The projects listed in this section are to be 34funded through the sale bonds and secured by or payable from state appropriation. 3508/406LOUISIANA CORRECTIONAL INSTITUTE F OR WOMEN 36(194) Rebuild and/or Replace Facility Due to Damage from 37 2016 Flood Event 38 (Iberville) 39 Payable from General Obligation Bonds 40 Priority 5 $17,000,000 41 Payable from Revenue Bonds $46,000,000 42 Payable from Interagency Transfers $ 8,000,000 43 Total $71,000,000 Page 83 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Notwithstanding anything contained in this Capital Outlay Act, or any previous Capital 2Outlay Act to the contrary, or any other provision of law, the Department of Public Safety 3and Corrections may finance the design, construction, furnishing and equipping of 4replacement facilities through the issuance of revenue bonds by the Louisiana Correctional 5Facilities Corporation to be secured by and payable from State appropriations. The issuance 6of such revenue bonds shall require the approval of the State Bond Commission. 7 (B) The following revisions are hereby made to Act 2 of the 2020 First Extraordinary 8Session of the Louisiana Legislature for the purpose of making supplemental capital outlay 9appropriations for Fiscal Year 2021-2022. 10 (1) Notwithstanding any provision of law to the contrary, including the provisions of this 11Capital Outlay Act, the appropriation to 01/107 DIVISION OF ADMINISTRATION for the 12Major Repairs, Equipment Replacement and Renovations for State Buildings to Address 13Deferred Maintenance Backlog and Infrastructure, Planning and Construction (Statewide) 14project is hereby amended and reenacted to include an appropriation made out of the interest 15earnings from the investment of general obligation bond or note proceeds in the 16Comprehensive Capital Outlay Escrow Account: 17On page 7, delete lines 36 and 37 in their entirety and insert the following: 18 "Priority 1 $26,550,000 19 Payable from Interest Earnings $ 1,275,000 20 Total $32,825,000" 21 (2) Notwithstanding any provision of law to the contrary, including the provisions of 22this Capital Outlay Act, Act 2 of the 2020 First Extraordinary Session of the Louisiana 23Legislature is hereby amended and reenacted to include an appropriation made out of the 24interest earnings from the investment of general obligation bond or note proceeds in the 25Comprehensive Capital Outlay Escrow Account for the DEPARTMENT OF WILDLIFE 26AND FISHERIES, 16/513 OFFICE OF WILDLIFE for the Region 5/Lake Charles Office 27(Calcasieu) project: 28On page 24, between lines 33 and 34 and insert the following: 29“(1376)Region 5/Lake Charles Office 30 (Calcasieu) 31 Payable from Interest Earnings $ 725,000" 32 (3) Notwithstanding any provision of law to the contrary, including the provisions of this 33Capital Outlay Act, the appropriation to the DEPARTMENT OF EDUCATION, 19/604N 34LSU HEALTH SCIENCE CENTER - NEW ORLEANS for the Interim Hospital 35Repurposing, Construction (Orleans) project is hereby amended and reenacted to include an Page 84 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1appropriation made out of the interest earnings from the investment of general obligation 2bond or note proceeds in the Comprehensive Capital Outlay Escrow Account: 3On page 26, delete line 35 in its entirety and insert the following: 4 "Priority 1 $19,000,000 5 Payable from Interest Earnings $ 3,000,000 6 Total $22,000,000 7The appropriation of monies in this Section shall be deemed to be and constitute approval 8by the Joint Legislative Committee on the Budget." 9 Section 1.(C) The following revision is hereby made to Act 20 of the 2019 Regular 10Session of the Louisiana Legislature for the purpose of making supplemental capital outlay 11appropriations for Fiscal Year 2019-2020. Notwithstanding any provision of law to the 12contrary, including the provisions of this or any other Capital Outlay Act, the appropriation 13to the DEPARTMENT OF TRANSPORTATION AND DEVELOPMENT 07/277 14AVIATION IMPROVEMENTS for the State Aviation and Airport Improvement Program 15project is hereby amended and reenacted as follows: 16On page 30, delete line 10, and insert the following: 17 "Payable from Transportation Trust Fund - Regular $28,536,799 18The appropriation of monies in this Section shall be deemed to be and constitute approval 19by the Joint Legislative Committee on the Budget." 20 Section 2. The expenditure of funds appropriated in this Act, except appropriations 21made to nonprofit economic development corporations, shall be in conformity to all existing 22statutes relative to public bidding, contractual review, and R.S. 39:101 through 128 and any 23other statutes affecting the capital outlay program for state government, state institutions, 24and political entities. No contract shall be awarded for any project prior to the granting of 25a line of credit or the sale of bonds by the State Bond Commission, determination by the 26state treasurer that cash funding is available in the Comprehensive Capital Outlay Escrow 27Account for the project, or delivery of revenue bonds whose issuance is authorized in 28Section 1 or Section 1.(A) of this Act. 29 Section 3. Payment for projects specified in this Act must be made by warrant submitted 30to the division of administration, Department of Transportation and Development, the state 31treasurer or other administering agency as provided in Section 8, whichever is appropriate, 32only to the extent of funds required for immediate payment. Copies of invoices or other Page 85 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1supporting documentation shall be submitted with warrants. In the event that any equipment 2included in this Act, is procured pursuant to the provisions of the State Lease-Purchase Act, 3R.S. 39:1761 et seq., the amounts included in this Act for each such piece of equipment shall 4not be appropriated. The provisions of R.S. 39:1771 which require equipment to be leased 5under the State Lease-Purchase Act to be included in the executive budget and approved by 6the legislature through inclusion in the General Appropriation Act shall be considered 7waived upon the inclusion of such equipment in this Act. Projects contained in this Act may, 8at the direction of the division of administration and with the approval of the State Bond 9Commission, alternatively be funded through financing programs heretofore or hereafter 10provided by a public trust and public corporation duly organized pursuant to R.S. 9:2341 et 11seq., having for its beneficiary the state and the Louisiana Local Government Environmental 12Facilities and Community Development Authority, pursuant to R.S. 33:4548.1 et seq. 13 Section 4. If at any time during the Fiscal Year 2021-2022, the governor should find, 14or the Joint Legislative Committee on the Budget or the commissioner of administration 15should report to the governor, that the receipts of the treasury are falling short or appear 16likely to fall short of the revenue estimates for the fiscal year and that a cash deficit is likely 17to be incurred, the governor shall take such steps as deemed necessary to prevent the 18occurrence of a cash deficit. In the event that a capital outlay project funded in this Act falls 19under an agency which is abolished or for which funds are not appropriated in the 2021-2022 20General Appropriation Act, then the funds appropriated in this Act for such capital outlay 21projects shall not be expended unless deemed necessary by the governor to protect life or 22property. In the event that legislation is enacted which transfers facilities or programs for 23which projects are funded in this Act, on behalf of one agency, institution, department, or 24management board to another agency, institution, department, or management board, then 25the projects in this Act shall be deemed transferred also. 26 Section 5. All monies appropriated by this Act and any applicable funds of a prior 27capital outlay budget act adopted by the legislature shall be deposited by the state treasurer 28in the Comprehensive Capital Outlay Escrow Account, established by this Section, in the 29state treasury. In accordance with R.S. 36:764, no later than sixty days following the end 30of each quarter, the state treasurer shall report to the Joint Legislative Committee on the Page 86 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Budget and the commissioner of administration, all funds contained in the Miscellaneous 2Fund of the Comprehensive Capital Outlay Escrow Account. Notwithstanding any 3provisions contained herein or other law to the contrary, any original issue premium or 4accrued interest proceeds received pursuant to the sale of general obligation bonds shall 5remain on deposit to the credit of the Bond Security and Redemption Fund until such time 6as they may be utilized in accordance with U.S. Department of the Treasury Regulations 7promulgated pursuant to the Internal Revenue Code of 1986. All such monies shall be 8administered according to the particular act pertaining to the fiscal year in which such 9monies were appropriated. If it is determined by the director of the office of facility 10planning and control, division of administration, that the funds appropriated by this Act or 11any prior capital outlay budget act are not sufficient to complete the projects contained in 12any capital outlay budget act, through unavoidable deficiencies in appropriation, including 13administrative and legal requirements, the commissioner of administration, subject to 14approval of the Joint Legislative Committee on the Budget, may direct the use of interest 15earned from the investment of general obligation bond or note proceeds in the 16Comprehensive Capital Outlay Escrow Account, not to exceed an aggregate of five million 17dollars in any one fiscal year, for the purpose of completing the projects contained in any 18capital outlay budget act and such money shall be deemed appropriated in specific amounts 19necessary for such purpose. All appropriations in this Act which are made as additions to 20funds for previously authorized projects shall be included, for accounting purposes, in the 21account of the previously authorized projects. If it is determined by the director of the office 22of facility planning and control, division of administration, that it is cost effective and 23practical to combine individual appropriations, the commissioner of administration, subject 24to the approval of the Joint Legislative Committee on the Budget, may direct that two or 25more appropriations or parts thereof may be combined into a single project for accounting 26and audit purposes. The commissioner of administration may direct that funding in the 27various statewide and/or multiple parish projects for improvements for state facilities may 28be transferred to any project, in this Act or any previous Capital Outlay Act, which require 29supplemental funding for improvements for state facilities which qualify for funding through 30the various statewide and/or multiple parish projects for improvements for state facilities. Page 87 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1The office of facility planning and control, division of administration is authorized to receive 2settlements and vendor rebates and to use a portion or all of those receipts to replace other 3funds appropriated in this Act or any previous Capital Outlay Act including those previously 4appropriated funds that become unavailable, provided that the office of facility planning and 5control may add funds from settlement and/or vendor rebate receipts as new funding for any 6projects in this Act with approval by the Joint Legislative Committee on the Budget. The 7office of facility planning and control, division of administration is authorized to receive 8insurance payments and are hereby authorized to immediately repair facilities that suffer 9insurance losses without those projects being included in the Act and shall report to the Joint 10Legislative Committee on the Budget any expenditures from insurance funds received 11pursuant to this section. A portion, as determined by the commissioner of administration and 12not to exceed one percent (1%), of the funding for projects which qualify for the Percent for 13Art Program and not to exceed $450,000 for an individual, qualifying project, may be 14transferred from the qualifying project budgets, to the Department of Culture, Recreation and 15Tourism for costs of acquiring art and administering the program. For all Percent for Art 16Program projects in this or any previous capital outlay, up to ten percent (10%) of the 17aforementioned one percent (1%) may be used for the costs of administering the projects. 18 Section 6. No later than February 1, 2022, agencies administering capital outlay projects 19will submit reports identifying completed projects and cash balances to the Joint Legislative 20Committee on Capital Outlay pursuant to the reporting requirements of R.S. 39:105 and R.S. 2139:116. 22 Section 7. The commissioner of administration, with the approval of the Joint 23Legislative Committee on the Budget, is authorized to supplement or substitute the 24appropriations specified in this or previous capital outlay acts with any federal or other funds 25which are or may become available and such funds shall be deemed appropriated in specific 26amounts necessary for the purposes of this Act. Any funds received by the State Bond 27Commission as a result of a prepayment of reimbursement contracts as authorized by law 28and the policy and procedure for reimbursement contracts of the Department of Treasury, 29office of State Bond Commission, shall be deposited as set forth in such policy and Page 88 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1procedure and shall be deemed available and appropriated in specific amounts necessary for 2the purposes of this Act pursuant to the procedure set forth in this section. 3 Section 8.(A) All projects herein authorized and funded shall be subject to the 4provisions of R.S. 39:101 through 128. With the exception of appropriations made to the 5Department of Military Affairs, the Legislature, the Louisiana Stadium and Exposition 6District, the Department of Economic Development, the Coastal Protection and Restoration 7Authority, the Division of Administration for Supplemental State Funds for Local 8Government Assistance Program, the Division of Administration for the Community Water 9Enrichment Program or the Department of Transportation and Development, all funds herein 10appropriated shall be considered as having been appropriated directly to the Office of 11Facility Planning and Control, Division of Administration. All cooperative endeavor 12agreements for non-state entities shall be prepared by the appropriate administering agency. 13and submitted to the office of State Procurement for review and approval. As part of its 14review, the office of State Procurement shall consult with bond counsel to the State relative 15to any federal tax issues. 16 (1) Notwithstanding anything contained in this act to the contrary or any other provision 17of law, the appropriations made for the Louisiana Stadium and Exposition District shall be 18appropriated directly to the Louisiana Stadium and Exposition District, and are public 19purposes pursuant to the provisions of Article VII, Section 14 of the Constitution of 20Louisiana primarily for economic development, including the generation of tax revenue, 21creation of jobs, and the generation of tourism, and may be used to reimburse any 22expenditure made prior to the granting of a line of credit or the sale of bonds by the State 23Bond Commission, determination by the State Treasurer that cash funding has been 24deposited in the Comprehensive Capital Outlay Escrow Account for the project. 25 (2) Further, with respect to appropriations to the Louisiana Stadium and Exposition 26District for the TPC Louisiana, Planning and Construction project, the Louisiana Stadium 27and Exposition District shall be permitted to use alternative competitive procurement and 28delivery methods for the award of any contracts to be funded through such appropriation. 29 (3) The Louisiana Stadium and Exposition District shall have the authority to directly 30appoint a design professional from a list of a minimum of three architectural firms or joint Page 89 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1ventures with professional sports facility design experience acceptable to the Commissioner 2of Administration and shall be exempt from other state requirements for selection of 3designers. The design professional fee shall be in accordance with state guidelines 4administered by the Office of Facility Planning and Control, Division of Administration. 5 (B)(1)(a) Funds appropriated in the Capital Outlay Act under the name of non-state 6entities shall be administered by the Office of Facility Planning and Control, Division of 7Administration under cooperative endeavor agreements; however, projects involving state 8or federal highways may be administered by the Department of Transportation and 9Development, if appropriate. Except as provided in Section 8(A), cooperative endeavor 10agreements entered into pursuant to appropriations in this Act shall not be required to be 11submitted to the Division of Administration, Office of State Procurement. 12 (b) Further, for all projects in the Capital Outlay Act or a previous Capital Outlay Act 13which are appropriated to the Office of Facility Planning and Control, Division of 14Administration, including those administered by cooperative endeavor agreements, up to six 15percent of each line-item may be used for costs of administering the projects. 16 (c) For all projects in Capital Outlay Act or a previous Capital Outlay Act appropriated 17to the Department of Transportation and Development, up to six percent of each line-item 18may be used for costs of administering the projects, or for field engineering/construction 19supervision. 20 (2) Notwithstanding anything in this Act, or a previous Capital Outlay Act, the Office 21of Facility Planning and Control may enter into a cooperative endeavor agreement with the 22Archdiocese of New Orleans and Jefferson Parish for the Preservation and Restoration of 23Historic Structure for Hope Haven/Madonna Manor Campus, Planning and Construction 24project. 25 (C) Line-item general obligation bond projects appropriated to the Department of 26Transportation and Development in the Capital Outlay Act or a previous Capital Outlay Act 27shall be authorized to draw Transportation Trust Funds from the Highway Program 28appropriation, for supplemental funding on overruns in excess of the original estimated 29project cost as determined by the Department of Transportation and Development, provided 30however that said projects are in the state or federal highway system and in the priority Page 90 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1program, and the overrun is less than $50,000. Any such overrun of $50,000 or more must 2be approved by the Joint Legislative Committee on the Budget. 3 (D) All ports, levee districts and other non-state entities must have a fully executed 4cooperative endeavor agreement, from the administering agency or the State Treasurer, 5whichever is appropriate, before entering into any contracts which obligate state funding and 6must follow all laws pertaining to public bidding. If a port, levee district or other non-state 7entity enters into a contract prior to receipt of funding, or prior to execution of a cooperative 8endeavor agreement, then payments under such contracts are prohibited from capital outlay 9appropriations, and are the sole responsibility of the port, levee district, or other non-state 10entity. 11 (E) Pursuant to R.S. 39:122(B)(2), funds to be reimbursed by the state which a non-state 12entity attempts to obligate prior to the receipt of funding shall not be eligible for 13reimbursement or payment by the state; however, notwithstanding anything in this Act or 14any previous Capital Outlay Acts to the contrary, contracts may be entered into for the 15Lafayette Economic Development Authority, Lafayette Innovation Center (Lafayette) prior 16to the receipt of funding and the State is authorized to financially participate in obligations 17created by such contracts. 18 (F) Pursuant to R.S. 39:112(E)(2), non-state entity projects shall require a match of not 19less than twenty-five percent of the total requested amount of funding; however, 20 (1) Notwithstanding anything contained in this Act, any prior Capital Outlay Act, any 21other provision of law, or the provisions of R.S. 39:112(E)(2) to the contrary, the project for 22the Village of Doyline Wastewater Treatment Facility shall be exempt from all local match 23requirements. 24 (2) Notwithstanding anything contained in this Act, any prior Capital Outlay Act, any 25other provision of law, or the provisions of R.S. 39:112(E)(2) to the contrary, the project for 26Westwego, Emergency Preparedness Building, Planning and Construction, local match 27requirement shall be twenty-five percent of the amount appropriated by the state. 28 (G) Notwithstanding anything contained in this Act or the Capital Outlay Act to the 29contrary or any other Act or provision of law, the appropriations made for the Executive 30Department for facilities which promote economic development included in the Repair, Page 91 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Restoration, and Replacement for Declared Disasters, Planning, Construction, Renovation, 2and Acquisition project, and the Department of Economic Development projects are for 3public purposes pursuant to the provisions of Article VII, Section 14 of the Constitution of 4Louisiana primarily for economic development, including the generation of tax revenues, 5creation of jobs, promotion of tourism, and creation of facilities for charitable, cultural, 6artistic, educational, social, civic, research, service, economic development activities, or 7provide facilities for professional golf events, pursuant to the terms of cooperative endeavor 8agreements, including leases and all expenditures of these appropriations and may be 9exempted, by the Commissioner of Administration, from all statutes relative to public 10bidding, contractual review and the provisions of R.S. 33:9029.2(D) and in lieu thereof be 11allowed to use alternative competitive contracting arrangements where the appropriate 12administering entity submits documentation to the Commissioner of Administration 13substantiating that it is in the best interest of the citizens of the state, due to economic and/or 14operational benefits, and the necessity to complete the projects in a timely manner; and, the 15appropriate administering entity shall have the authority to directly appoint the design 16professional from a list of a minimum of three design firms or joint ventures with the 17appropriate specialized facility design experience submitted to and acceptable to the 18Commissioner of Administration and shall be exempt from other state requirements for 19selection of designers, and may include expenditures for computers, fixtures, furniture, and 20other equipment as such is deemed to be capital outlay in nature, and unless the 21Commissioner of Administration is advised by bond counsel to the State that such may 22violate federal tax law, may be used to reimburse any expenditure made prior to the granting 23of a line of credit or the sale of bonds by the State Bond Commission, determination by the 24State Treasurer that cash funding has been deposited in the Comprehensive Capital Outlay 25Escrow Account for the project or the execution of a cooperative endeavor agreement from 26the Office of Facility Planning and Control, and may be used to acquire land or real property, 27the title to which is held in the name of an entity exempt from taxation under the provisions 28of 26 U.S.C. 501(c)(3). 29 (H) Notwithstanding any other provision of this Act or the Capital Outlay Act or any 30other provision of law to the contrary, all of the funds herein appropriated to the Department Page 92 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1of Economic Development in connection with projects or programs for which the 2Department of Economic Development utilizes a cooperative endeavor agreement to further 3economic development as permitted under Article VII, Section 14 of the Louisiana 4Constitution, including the generation of tax revenues and creation of jobs, shall be 5considered as having been appropriated to the Department of Economic Development, may 6be used to reimburse any expenditure made prior to the granting of a line of credit and made 7prior to the execution of a cooperative endeavor agreement and shall be administered solely 8by the Department of Economic Development pursuant to, in compliance with, and on the 9terms contained in such cooperative endeavor agreements without compliance with any other 10law, including, but not limited to, the provisions of R.S. 39:101 through 128. Additionally, 11all expenditures of these appropriations may be exempted by the Commissioner of 12Administration, from all statutes relative to public bidding, contractual review and the 13provisions of R.S. 33:9029.2(D). 14 (I)(1) Notwithstanding any other provision of this Act or the Capital Outlay Act or any 15other provision of law to the contrary, funds appropriated for the Economic Development 16Award Program project for the Office of Business Development are to be used solely for 17capital and infrastructure improvements subject to verification by the Division of 18Administration, Office of Facility Planning and Control. 19 (2) Eligible expenses for Economic Development Award Program funds may include 20documented project expenses beginning on the date of LEDC Board approval of the project 21and may be reimbursed upon execution of the cooperative endeavor agreement for the 22project. 23 (J)(1) Due to the state's current investment in TPC Louisiana and the financial support 24it provides to the PGA TOUR event currently played at said facility, said PGA TOUR event 25shall not be played at New Orleans City Park Golf Complex without the prior agreement of 26the Commissioner of Administration and the Chairman of the Jefferson Parish Council. 27 (2) Notwithstanding the foregoing, the City Park Golf Complex may host any other golf 28tournament or event, including but not limited to any other PGA-affiliated or sponsored 29tournament or event. Page 93 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 (K)(1) For all projects administered by the Office of Facility Planning and Control and 2payable from proceeds of self-generated revenues, funds shall be remitted to the Office of 3Facility Planning and Control for deposit in the state treasury at such time as may be deemed 4necessary by the Office of Facility Planning and Control in order to cover the amount of 5contracts or other project expenses. 6 (2) Notwithstanding any provisions contained herein or any other law to the contrary, 7for projects with other means of financing provided to the administering agency by 8interagency transfer, the authority to draw these funds shall remain with the user agency. 9 (3) Any revenue bonds appropriated in Section 1 or Section 1.(A) of the Capital Outlay 10Act shall not be secured by the full faith and credit of the state. 11 (4) The State Treasurer shall refund to the appropriate source any surplus self-generated 12funds, advanced insurance funds received by the Office of Facility Planning and Control as 13Interagency Transfer from Office of Risk Management associated with hurricane damage 14recovery, and interest earned on these funds, provided the Treasurer's Office is notified, 15when these funds are deposited in the state treasury, that the user agency or Office of Risk 16Management intends to request a refund of this interest. 17 (L) Notwithstanding any provisions contained in this Act, the Capital Outlay Act, or any 18other provision of law to the contrary, any funds expended by the parish of St. Mary for the 19purpose of securing a federal grant, for the Infrastructure Improvements and Construction 20of a Welding Training Center Facility at the Charenton Canal Industrial Park, shall be 21eligible for reimbursement from any cash line of credit approved for the project. 22 (M) Notwithstanding anything contained in this Act to the contrary or any other 23provision of law, the resolution adopted by the Joint Legislative Committee on the Budget 24(the committee) on March 19, 2019 approving State of Louisiana Grant Anticipation 25Revenue Bonds, in one or more series, not exceeding $650,000,000, and approving the 26related projects and providing for other matters in connection therewith, contains the 27following approvals: 28 (1) The first series of bonds in the original principal amount of not exceeding 29$185,000,000 in order to fund the following projects in the following estimated amounts: 30Barksdale Project ($61,600,000) and portions of the Loyola Project ($77,600,000) and the Page 94 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1I-10 Project ($30,601,000) with the understanding that the Department has the ability to 2manage the actual application of bond proceeds in order to appropriately fund the Projects 3and meet expenditure requirements of the Internal Revenue Service. 4 (2) The second series of bonds for the express purpose of granting the required contracts 5in the principal amount of approximately $142,000,000 in order to fund the following 6projects in the following estimated amounts: the balance of the Barksdale Project 7($16,518,000), the balance of the Loyola Project ($87,500,000), portions of the I-10 Project 8($37,982,000) and the Belle Chasse Project ($12,500,000) with the understanding that the 9Department has the ability to manage the actual application of Bond proceeds in order to 10appropriately fund the Projects and meet expenditure requirements of the Internal Revenue 11Service provided, however, the Department of Transportation and Development seeks 12approval from the Committee for the issuance of the second series of bonds and all 13subsequent series of bonds. 14 (N) Notwithstanding anything contained in this Act to the contrary or any other 15provision of law, the appropriations included herein identified as "Payable from State 16General Fund (Direct) Non-Recurring Revenues" are appropriated for the purpose of 17making supplemental capital outlay appropriations for Fiscal Year 2020-2021. 18 (O) Notwithstanding anything contained in this Act to the contrary or any other 19provision of law, the Research Vessel (R/V) Pelican Replacement is deemed to be a capital 20asset and the appropriation to Louisiana Universities Marine Consortium (LUMCON) to 21replace the R/V Pelican is for a public purpose and has a significant economic impact 22providing a variety of oceanographic research missions. Further, LUMCON shall be 23permitted to use an alternative delivery method to award contracts for design of the proposed 24replacement vessel. LUMCON shall have the authority to select the design professional 25from a list of a minimum of two engineering firms or joint ventures with ship design 26experience acceptable to the Commissioner of Administration and the selection shall be 27exempt from other state requirements for the selection of designers. The design professional 28fee shall be in accordance with state guidelines administered by the Office of Facility 29Planning and Control, Division of Administration. LUMCON shall follow the public bid 30law for the procurement of the replacement vessel. Page 95 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 (P) Notwithstanding anything contained in this Act to the contrary or any other 2provision of law, the appropriations for Major Repairs for Higher Education Facilities - 3Infrastructure, and Buildings Based on Statewide Condition Assessment, Planning and 4Construction, in Act 7 of 2008 identifying specific projects for higher education is deemed 5to be complete, and any remaining residual funds are hereby authorized to be combined and 6accumulated to accomplish additional major repair projects within the higher education 7systems, as deemed necessary and approved by the Board of Regents and Facility Planning 8and Control. At the completion of the program, Facility Planning and Control shall submit 9a report to the Joint Legislative Committee on the Budget concerning the use of the 10remaining residual funds. 11 (Q) Notwithstanding anything contained in this Act or any other provision of law, LSU 12Real Estate and Facilities Foundation (LRFF) is authorized to execute contracts for the 13University Lakes Restoration Project to Address Flood Control, Environmental, Safety, 14Health and Other Issues project prior to execution of a cooperative endeavor agreement, the 15granting of a line of credit or the sale of bonds. The appropriation for this project may be 16used to pay any obligation incurred or to reimburse any expenditure made pursuant to such 17contracts unless the Commissioner of Administration is advised by bond counsel to the state 18that such may violate federal tax law, after execution of a cooperative endeavor agreement. 19The Office of Facility Planning and Control shall consult with bond counsel to the State 20relative to any federal tax issues. Further, LRFF may use alternative competitive contracting 21arrangements with the prior approval of the Commissioner of Administration. 22 (R) Pursuant to R.S. 39:102, each capital outlay budget request submitted as required 23by R.S. 39:101 shall include a detailed project description and justification for each new 24project requested; however, 25 (1) Notwithstanding anything contained in this Act or the Capital Outlay Act to the 26contrary or any other provision of law, the scope of the appropriations made in this or any 27other Capital Outlay Act for the New Orleans West Bank Park Improvements, New Soccer 28and Recreational Facilities project shall be deemed to include the George W. Carver 29Playground, Renovations and Upgrades project for the West Bank Park project. Page 96 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 (2) Notwithstanding anything contained in this Act or the Capital Outlay Act to the 2contrary or any other provision of law, the scope of the appropriations made in this or any 3other Capital Outlay Act for the Pointe Coupee Parish School Board Office Relocation, Due 4to Flooding Caused by Hurricane Gustav, Planning and Construction project shall be deemed 5to include that the School Board Office is to be Located at 8777 Morganza Highway. 6 (S)(1) Notwithstanding anything contained in this Act or the provisions of R.S. 39:101, 7102, and 112(C), the Lafayette Parish Bayou Vermilion Flood Control, Planning and 8Construction project is deemed to have complied with the late approval requirements of R.S. 939:112(C). 10 (2) Notwithstanding anything contained in this Act or the provisions of R.S. 39:101, 11102, and 112(C), the Department of Transportation and Development Highway 70 12Restoration, Planning and Construction project in St. James Parish is deemed to have 13complied with the late approval requirements of R.S. 39:112(C). 14 (3) Notwithstanding anything contained in this Act or the provisions of R.S. 39:101, 15102, and 112(C), the Department of Transportation and Development Highway 30 16Roundabout West of LA 44, Planning and Construction, project in Ascension Parish is 17deemed to have complied with the late approval requirements of R.S. 39:112(C). 18 (4) Notwithstanding anything contained in this Act or the provisions of R.S. 39:101, 19102, and 112(C), the Livingston Parish School Board Restoration and Lighting, Planning and 20Construction project is deemed to have complied with the late approval requirements of R.S. 2139:112(C). 22 (5) Notwithstanding anything contained in this Act or the provisions of R.S. 39:101, 23102, and 112(C), the Terrebonne Parish Maintenance of Levees, Planning and Construction 24project is deemed to have complied with the late approval requirements of R.S. 39:112(C). 25 (6) Notwithstanding anything contained in this Act or the provisions of R.S. 39:101, 26102, and 112(C), the Department of Transportation and Development Overlay of LA 27Highway 3125 From LA Highway 3213 to LA Highway 642, Planning and Construction 28project is deemed to have complied with the late approval requirements of R.S. 39:112(C). 29 Section 9. Notwithstanding any provisions contained herein or any other law to the 30contrary, the provisions of Chapter 16 of Subtitle III of Title 39 of the Louisiana Revised Page 97 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1Statutes of 1950 as amended, shall not apply to architectural and engineering contracts, 2administered by the office of facility planning and control, division of administration 3pursuant to this or any other capital outlay act. 4 Section 10. All funds appropriated herein to agencies administering capital outlay 5projects, on behalf of non-state entities, by cooperative endeavor agreements pursuant to this 6Act shall be expended within two (2) years from the date of the issuance of the bonds. 7Agencies administering capital outlay projects pursuant to a cooperative endeavor agreement 8shall notify the non-state entity of the date the bonds are issued within three (3) months from 9the issuance thereof. If the funds appropriated herein and administered under cooperative 10endeavor agreements pursuant to this Act are not totally expended within two (2) years from 11the issuance of the bonds, the administering agency can close the project and recommend 12that the reallocation of any unexpended proceeds to any project contained in this Act or any 13previous Capital Outlay Acts. 14 Section 11. Notwithstanding any provisions contained herein or law to the contrary, the 15proceeds of revenue bonds to be utilized to fund certain projects authorized in Section 1. and 16Section 1.(A) hereof may, in accordance with Article VII, Section 9 of the Louisiana 17Constitution of 1974, be deposited in special accounts held outside the state treasury in 18accordance with the provisions of any bond resolution, indenture, reimbursement contract, 19or other bond or financing covenant which provides for the pledge of such funds in 20connection with the issuance of revenue bonds. For all projects administered by the office 21of facility planning and control, division of administration, authorized in Section 1. and 22Section 1.(A) hereof which are payable from the proceeds of revenue bonds, only the office 23of facility planning and control, division of administration, will be authorized to requisition 24funds from the special accounts described immediately above, at such time or times as may 25be deemed necessary by the office of facility planning and control, division of 26administration, in order to cover contract amounts or other project expenses. 27 Section 12. The governor shall have the power to veto any line-item in this Act. 28 Section 13. Except as otherwise provided herein, no funds shall be expended on any 29highway projects on highways within the state highway system as established in R.S. 48:191 30under the jurisdiction of the Department of Transportation and Development unless and until Page 98 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1such project is in the Highway Program, R.S. 48:228 through 232, approved by the Joint 2Legislative Committee on Transportation, Highways and Public Works. Pursuant to R.S. 349:214.6.2(B), no integrated coastal protection construction project shall be undertaken with 4funds included in this bill except those included in an annual plan finally approved by the 5legislature in accordance with the provisions of R.S. 49:214.5.3. No funds appropriated to 6the Coastal Protection and Restoration Authority in this Act as a contribution for a project 7cost-share or otherwise, for the national economic development and national ecosystem 8restoration components of the Southwest Coastal Louisiana Study shall be used or provided 9for the expropriation of property or use of eminent domain, except where such funds are to 10be used to obtain property voluntarily offered for project purposes, where at least seventy- 11five percent of the owners have voluntarily offered the property, or where the record or 12apparent owners have voluntarily offered the property but do not have clear title. 13 Section 14. The word "statewide" used in place of the specific parish designation for 14projects contained in this Act indicates that the project or program is applicable to all sixty- 15four parishes in the state. The description of any project in this Act shall be deemed to 16include planning, design, master planning, studies, permits, surveys, testing, construction, 17land and/or building/improvement acquisition, reconstruction, renovation, repair, right-of- 18way and utilities, site and other improvements, miscellaneous/contingencies, lease hold 19improvements ultimately owned by the state or a political subdivision of the state, equipment 20and other acquisitions, and any other component of the project if such are included or 21indicated in the capital outlay request for such projects required by R. S. 39:101 subject to 22the provisions of Title 39 of the Louisiana Revised Statutes of 1950. For new construction 23or renovation projects, equipment or other acquisitions, which can reasonably be considered 24necessary for the facility to be functional, may be deemed to be included in the project, even 25if such equipment or other acquisitions are not included or indicated in the project name or 26the capital outlay request. When local or federal match is referenced in a project title, but 27only a portion of the state appropriation is granted a line of credit or otherwise funded, then 28the amount of local or federal match, required to be made available, may be prorated relative 29to the amount of state appropriation made available through lines of credit. Page 99 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 1 Section 15. The provisions, items, and projects contained in this Act are severable and 2if any provision, item, or project contained herein, or the application of any such provision, 3item, or project, is held invalid, such invalidity shall not affect other provisions, items, 4projects, or applications of the Act which can be given effect without the invalid provision, 5project, item, or application. 6 Section 16. Notwithstanding any other provisions of law to the contrary, the state shall 7not grant cash lines of credit, or authorize or issue general obligation bonds in a principal 8amount in excess of $979,267,160 for Fiscal Year 2021-2022. 9 Section 17. Notwithstanding any contrary provision of this Act or any contrary provision 10of law, no funds appropriated by this Act shall be released or provided to any recipient of 11an appropriation made in this Act if, when, and for as long as, the recipient fails or refuses 12to comply with the provisions of R.S. 24:513. No recipient shall be considered to fail or 13refuse to comply with the provisions of R.S. 24:513 pursuant to this Section during any 14extension of time granted by the legislative auditor to the recipient to comply. 15 Section 18. This Act shall become effective upon signature by the governor or, if not 16signed by the governor, upon expiration of the time for bills to become law without signature 17by the governor, as provided in Article III, Section 18 of the Constitution of Louisiana. If 18vetoed by the governor and subsequently approved by the legislature, this Act shall become 19effective 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 2 Re-Reengrossed 2021 Regular Session Bishop Provides for the capital outlay budget and program for FY 2021-2022; provides for the funding of the capital outlays from the specified sources of monies in the specified amounts as follows: State General Fund (Direct) Non-Recurring Revenues $145,523,533 Federal Funds $282,802,185 Federal Funds via Interagency Transfer $ 4,750,500 Coastal Protection and Restoration Fund $46,204,703 Natural Resources Restoration Trust Fund $162,035,577 Transportation Trust Fund (TTF) - Federal $682,920,224 Transportation Trust Fund (TTF) - Regular $164,556,483 Transportation Trust Fund (TTF) - Construction Subfund$31,333,333 Interagency Transfers $111,347,320 Page 100 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 Misc. Statutory Dedications $35,575,000 Fees and Self-Generated Revenues $70,527,500 Reappropriated Cash $ 419,730 Interest Earnings $ 5,000,000 Revenue Bonds $69,890,000 TOTAL CASH PORTION $1,812,886,088 Authorizes the funding of certain capital outlay projects from the sale of general obligation bonds for the projects delineated as follows: Priority 1 $ 853,321,268 Priority 2 $102,001,600 Priority 5 $ 2,293,859,970 TOTAL GENERAL OBLIGATIONS BONDS $ 3,249,182,838 BONDS NRP $ 6,170,953 GRAND TOTAL ALL MEANS OF FINANCING $ 5,068,239,879 Summary of Amendments Adopted by House The Committee Amendments Proposed by House Committee on Ways and Means to the original bill: 1. Changes General Obligation Bond funding as follows: Priority 1 $ 22,866,142 Priority 2 $ 7,789,500 Priority 5 $ (197,795,050) The Committee Amendments Proposed by House Committee on Appropriations to the engrossed bill: 1. Changes funding to the cash portion as follows: State General Fund (Direct) Non-Recurring Revenues $ (34,083,849) Fees and Self-Generated Revenues $ 2,000,000 Interagency Transfers $ 94,468,000 Federal Funds $ (12,260,093) Federal Funds via Interagency Transfer $ 600,000 Revenue Bonds $ 6,000,000 Coastal Protection and Restoration Fund $ 25,868,227 Natural Resources Restoration Trust Fund $ 2,600,000 Page 101 of 102 HLS 21RS-704 RE-REENGROSSED HB NO. 2 The House Floor Amendments to the reengrossed bill: 1. Changes General Obligation Bond funding as follows: Priority 1 $ (16,236,730) Priority 2 $ (1,240,000) Priority 5 $ 187,315,120 2. Changes funding to the cash portion as follows: State General Fund (Direct) Non-Recurring Revenues $ 3,825,000 Page 102 of 102