Nevada 2023 Regular Session

Nevada Senate Bill SB476 Compare Versions

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33 - 82nd Session (2023)
44 Senate Bill No. 476–Committee on Finance
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66 CHAPTER..........
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88 AN ACT making appropriations to and authorizing the expenditure
99 of money by the Office of the Military for facilities
1010 maintenance projects and the replacement or purchase of
1111 certain equipment and computer hardware and associated
1212 software; and providing other matters properly relating
1313 thereto.
1414 EXPLANATION – Matter in bolded italics is new; matter between brackets [omitted material] is material to be omitted.
1515
1616 THE PEOPLE OF THE STATE OF NEVADA, REPRESENTED IN
1717 SENATE AND ASSEMBLY, DO ENACT AS FOLLOWS:
1818
1919 Section 1. 1. There is hereby appropriated from the State
2020 General Fund to the Office of the Military the sum of $1,018,487 for
2121 facilities maintenance projects for Nevada National Guard facilities.
2222 2. Expenditure of $2,164,630 not appropriated from the State
2323 General Fund or the State Highway Fund is hereby authorized
2424 during Fiscal Year 2023-2024 and Fiscal Year 2024-2025 by the
2525 Office of the Military for the same purpose as set forth in
2626 subsection 1.
2727 Sec. 2. 1. There is hereby appropriated from the State
2828 General Fund to the Office of the Military the sum of $203,798 for
2929 the replacement and purchase of equipment for facilities
3030 maintenance.
3131 2. Expenditure of $212,064 not appropriated from the State
3232 General Fund or the State Highway Fund is hereby authorized
3333 during Fiscal Year 2023-2024 and Fiscal Year 2024-2025 by the
3434 Office of the Military for the same purpose as set forth in
3535 subsection 1.
3636 Sec. 3. There is hereby appropriated from the State General
3737 Fund to the Office of the Military the sum of $22,151 for the
3838 purchase of video conferencing equipment.
3939 Sec. 4. 1. There is hereby appropriated from the State
4040 General Fund to the Division of Emergency Management of the
4141 Office of the Military the sum of $24,496 for the replacement of
4242 computer hardware and associated software and office equipment.
4343 2. Expenditure of $112,276 not appropriated from the State
4444 General Fund or the State Highway Fund is hereby authorized
4545 during Fiscal Year 2023-2024 and Fiscal Year 2024-2025 by the
4646 Division of Emergency Management of the Office of the Military
4747 for the same purpose as set forth in subsection 1.
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5050
5151 - 82nd Session (2023)
5252 Sec. 5. Any remaining balance of the appropriations made by
5353 sections 1 to 4, inclusive, of this act must not be committed for
5454 expenditure after June 30, 2025, by the entity to which the
5555 appropriation is made or any entity to which money from the
5656 appropriation is granted or otherwise transferred in any manner, and
5757 any portion of the appropriated money remaining must not be spent
5858 for any purpose after September 19, 2025, by either the entity to
5959 which the money was appropriated or the entity to which the money
6060 was subsequently granted or transferred, and must be reverted to the
6161 State General Fund on or before September 19, 2025.
6262 Sec. 6. This act becomes effective upon passage and approval.
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