PREPARED BY: Scott Danigole LB 347 DATE PREPARED: January 24, 2025 PHONE: 402-471-0055 Revision: 00 FISCAL NOTE LEGISLATIVE FISCAL ANALYST ESTIMATE ESTIMATE OF FISCAL IMPACT – STATE AGENCIES (See narrative for political subdivision estimates) FY 2025-26 FY 2026-27 EXPENDITURES REVENUE EXPENDITURES REVENUE GENERAL FUNDS CASH FUNDS FEDERAL FUNDS OTHER FUNDS TOTAL FUNDS Any Fiscal Notes received from state agencies and political subdivisions are attached following the Legislative Fiscal Analyst Estimate. LB 347 is an outright repeal of 75-148 . Section 75-148 allows a common car rier to “issue stock, bonds, notes, or other evidence of indebtedness, payable at periods of more than twelve months after the date thereof, when necessary for the acquisition of property, the construction, completion, extension, or improvement of facilities” and similar activities. The provisions of this section do not apply to the security issuances of common carriers who are under the control of a federal regulatory agency. No fiscal impact. ADMINISTRATIVE SERVICES STATE BUDGET DIVISION: REVIEW OF AGENCY & POLT. SUB. RESPONSE LB: 347 AM: AGENCY/POLT. SUB: Nebraska Public Service Commission REVIEWED BY: Joe Massey DATE: 1/24/2025 PHONE: (402) 471-4181 COMMENTS: No basis to disagree with the Nebraska Public Service Commission assessment of no fiscal impact from LB 347 Please complete ALL (5) blanks in the first three lines. 2025 LB (1) 347 FISCAL NOTE State Agency OR Political Subdivision Name: (2) Nebraska Public Service Commission Prepared by: (3) Laurie Casados Date Prepared: (4) 1/23/2025 Phone: (5) 402-471-0252 ESTIMATE PROVIDED BY STATE AGENCY OR POLITICAL SUBDIVISION FY 2025-26 FY 2026-27 EXPENDITURES REVENUE EXPENDITURES REVENUE GENERAL FUNDS CASH FUNDS FEDERAL FUNDS OTHER FUNDS TOTAL FUNDS 0 0 0 0 Explanation of Estimate: LB347 has no fiscal impact for the Public Service Commission. _____________________________________________________________________________________________________ _ BREAKDOWN BY MAJOR OBJECTS OF EXPENDITURE Personal Services: POSITION TITLE NUMBER OF POSITIONS 25-26 26-27 2025-26 EXPENDITURES 2026-27 EXPENDITURES Benefits………………………………...…… Operating…………………………...………. Travel……………………………………….. Capital outlay…………………...………….. Aid…………………………………………... Capital improvements……………………... TOTAL……………………………… .....