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3 | + | ENGR. S. A. TO ENGR. H. B. NO. 3037 Page 1 1 | |
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28 | + | ENGROSSED SENATE AMENDMENT | |
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30 | + | ENGROSSED HOUSE | |
3 | 31 | BILL NO. 3037 By: Boles, Conley, Roe, | |
4 | - | Crosswhite Hader, Lowe | |
5 | - | (Dick), Davis, and | |
6 | - | Patzkowsky of the House | |
32 | + | Crosswhite Hader, and Lowe | |
33 | + | (Dick) of the House | |
7 | 34 | ||
8 | 35 | and | |
9 | 36 | ||
10 | - | Allen, Paxton, David, and | |
11 | - | Pederson of the Senate | |
37 | + | Allen of the Senate | |
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39 | + | ||
40 | + | ||
41 | + | ||
42 | + | [ cities and towns - apportionment of sales tax | |
43 | + | revenues - creating the Municipal Road Dri lling | |
44 | + | Activity Revolving Fu nd - prescribing procedures | |
45 | + | for applications by cer tain municipalities - | |
46 | + | effective date – | |
47 | + | emergency ] | |
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52 | + | AUTHOR: Add the following House Coauthors: Davis and Patzkowsky | |
53 | + | ||
54 | + | AUTHOR: Add the following Senate Coauthors: Paxton and David | |
55 | + | ||
56 | + | AMENDMENT NO. 1. Page 1, restore the title and enacting clause | |
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58 | + | ||
59 | + | ENGR. S. A. TO ENGR. H. B. NO. 3037 Page 2 1 | |
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84 | + | Passed the Senate the 20th day of April, 2022. | |
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88 | + | Presiding Officer of the Senate | |
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91 | + | Passed the House of Representatives the ____ day of __________, | |
92 | + | 2022. | |
93 | + | ||
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96 | + | Presiding Officer of the House | |
97 | + | of Representatives | |
98 | + | ||
99 | + | ENGR. H. B. NO. 3037 Page 1 1 | |
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124 | + | ENGROSSED HOUSE | |
125 | + | BILL NO. 3037 By: Boles, Conley, Roe, | |
126 | + | Crosswhite Hader, and Lowe | |
127 | + | (Dick) of the House | |
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129 | + | and | |
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131 | + | Allen of the Senate | |
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18 | - | An Act relating to cities and towns; amending 68 O.S. | |
19 | - | 2021, Section 1353, which relates to apportionment of | |
20 | - | sales tax revenues; modifying apportionment of sales | |
21 | - | tax revenue; providing for apportionment to Municipal | |
22 | - | Road Drilling Activity Revolving Fund; creating the | |
23 | - | Municipal Road Drilling Activity Revolving Fund ; | |
24 | - | providing for expenditures; pr escribing procedures | |
25 | - | for applications by cer tain municipalities; requiring | |
26 | - | matching funds amount; prescribing purpose of | |
27 | - | allocated funds; providing for review of applications | |
28 | - | by Oklahoma Department of Transportation; providing | |
29 | - | for codification; providing an effective date; and | |
30 | - | declaring an emergen cy. | |
138 | + | [ cities and towns - apportionment of sales tax | |
139 | + | revenues - creating the Municipal Road D rilling | |
140 | + | Activity Revolving Fu nd - prescribing procedures | |
141 | + | for applications by cer tain municipalities - | |
142 | + | effective date – | |
143 | + | emergency ] | |
31 | 144 | ||
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35 | - | SUBJECT: Cities and towns | |
36 | - | ||
37 | 148 | BE IT ENACTED BY THE PEOPL E OF THE STATE OF OKLAHOMA: | |
38 | - | ||
39 | 149 | SECTION 1. AMENDATORY 68 O.S. 2021, Section 1353, is | |
40 | 150 | amended to read as follows: | |
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42 | 151 | Section 1353. A. It is hereby declared to be the purpose of | |
43 | 152 | the Oklahoma Sales Tax Code to p rovide funds for the financin g of | |
44 | 153 | the program provided for by the Oklahoma S ocial Security Act and to | |
45 | 154 | provide revenues for the support of the functions of the state | |
46 | - | government of Oklahoma, and for this purp ose it is hereby expressly | |
155 | + | government of Oklahoma, and for this purp ose it is hereby expressly | |
47 | 156 | provided that, revenues derived pursuant to the prov isions of the | |
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158 | + | ENGR. H. B. NO. 3037 Page 2 1 | |
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48 | 183 | Oklahoma Sales Tax Code, subject to the apportionment requirements | |
49 | 184 | for the Oklahoma Tax Commission and Office of Management and | |
50 | 185 | Enterprise Services Joint Computer Enhancement Fund provided by | |
51 | 186 | Section 265 of this t itle, shall be apportioned as follows: | |
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53 | 187 | 1. Except as provided in subsections C and, D, and E of this | |
54 | 188 | section, the following amounts shall be paid to the State Treasurer | |
55 | 189 | to be placed to the credit of the General Revenue Fund to be paid | |
56 | 190 | out pursuant to direc t appropriation by the Legisl ature: | |
57 | - | ||
58 | 191 | Fiscal Year Amount | |
59 | - | ||
60 | 192 | FY 2003 and FY 2004 86.04% | |
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62 | 193 | FY 2005 85.83% | |
63 | - | ||
64 | 194 | FY 2006 85.54% | |
65 | - | ||
66 | 195 | FY 2007 85.04% | |
67 | - | ||
68 | 196 | FY 2008 through FY 2022 83.61% | |
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70 | 197 | FY 2023 through FY 2027 83.36% | |
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72 | 198 | FY 2028 and each fiscal year thereafter 83.61%; | |
73 | - | ||
74 | 199 | 2. The following amounts shall be paid to the S tate Treasurer | |
75 | 200 | to be placed to the credit of the Education Reform Revolving Fund of | |
76 | 201 | the State Department of Education: | |
77 | - | ||
78 | 202 | a. for FY 2003, FY 2004 and FY 2005, ten and forty -two | |
79 | 203 | one-hundredths percent (10.42%), | |
80 | - | ||
81 | 204 | b. for FY 2006 through FY 2020, ten and forty -six one- | |
82 | 205 | hundredths percent (10.46%), | |
206 | + | c. for FY 2021: | |
83 | 207 | ||
84 | - | c. for FY 2021: | |
208 | + | ENGR. H. B. NO. 3037 Page 3 1 | |
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85 | 232 | ||
86 | 233 | (1) for the month beginning July 1, 2020, through the | |
87 | 234 | month ending August 31, 2020, ten and forty-six | |
88 | 235 | one-hundredths percent (10.46%), and | |
89 | - | ENR. H. B. NO. 3037 Page 3 | |
90 | 236 | (2) for the month beginning September 1, 2020, | |
91 | 237 | through the month en ding June 30, 2021, eleven | |
92 | 238 | and ninety-six one-hundredths percent (11.96%), | |
93 | - | ||
94 | 239 | d. for FY 2022 and each fiscal year thereafter, ten and | |
95 | 240 | forty-six one-hundredths percent (10.46%); | |
96 | - | ||
97 | 241 | 3. The following amou nts shall be paid to the Sta te Treasurer | |
98 | 242 | to be placed to the credit of the Teachers' Retirement System | |
99 | 243 | Dedicated Revenue Revolving Fund: | |
100 | - | ||
101 | 244 | Fiscal Year Amount | |
102 | - | ||
103 | 245 | FY 2003 and FY 2004 3.54% | |
104 | - | ||
105 | 246 | FY 2005 3.75% | |
106 | - | ||
107 | 247 | FY 2006 4.0% | |
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109 | 248 | FY 2007 4.5% | |
110 | - | ||
111 | 249 | FY 2008 through FY 2020 5.0% | |
112 | - | ||
113 | 250 | FY 2021: | |
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115 | 251 | a. for the month beginni ng July | |
116 | 252 | 1, 2020, through the month | |
117 | 253 | ending August 31, 2020 5.0% | |
118 | - | ||
119 | 254 | b. for the month beginning | |
120 | 255 | September 1, 2020, through | |
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121 | 282 | the month ending June 30, | |
122 | 283 | 2021 3.5% | |
123 | - | ||
124 | 284 | FY 2022 5.0% | |
125 | - | ||
126 | 285 | FY 2023 through FY 2027 5.25% | |
127 | - | ||
128 | 286 | FY 2028 and each fiscal year the reafter 5.0%; | |
129 | - | ||
130 | 287 | 4. a. except as otherwise provided in subparagraph b of this | |
131 | 288 | paragraph, for the f iscal year beginning July 1, 2015, | |
132 | 289 | and for each fiscal year thereafter, eighty-seven one- | |
133 | 290 | hundredths percent (0.87%) shall be paid to the State | |
134 | - | Treasurer to be further apportioned as follows: ENR. H. B. NO. 3037 Page 4 | |
135 | - | ||
291 | + | Treasurer to be further apportioned as follows: | |
136 | 292 | (1) thirty-six percent (36%) shall be placed to the | |
137 | 293 | credit of the Oklahoma Tourism Promotion | |
138 | 294 | Revolving Fund, but in no event shall such | |
139 | 295 | apportionment exceed Five Million Dollars | |
140 | 296 | ($5,000,000.00) in any fiscal year, and | |
141 | - | ||
142 | 297 | (2) sixty-four percent (64%) shall be placed to the | |
143 | 298 | credit of the Oklahoma Tourism Capital | |
144 | 299 | Improvement Revolving Fund, but in no event shall | |
145 | 300 | such apportionment exceed Nine Million Dollars | |
146 | 301 | ($9,000,000.00) in any fiscal year, and | |
147 | - | ||
148 | 302 | b. any amounts which exceed the limi tations of | |
149 | 303 | subparagraph a of this paragraph shall be placed to | |
150 | 304 | the credit of the General Rev enue Fund; and | |
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306 | + | ENGR. H. B. NO. 3037 Page 5 1 | |
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152 | 331 | 5. For the fiscal year beginning July 1, 2015, and for each | |
153 | 332 | fiscal year thereafter, six one-hundredths percent (0.06%) shall be | |
154 | 333 | placed to the credit of the Oklahoma Historical S ociety Capital | |
155 | 334 | Improvement and Operations Revolving Fund, but in no event shall | |
156 | 335 | such apportionment exceed the total amount apportioned pursuant to | |
157 | 336 | this paragraph for the fiscal year ending on June 30, 2015. Any | |
158 | 337 | amounts which exceed the limitations of this paragraph shall be | |
159 | 338 | placed to the credit of the General Revenu e Fund. | |
160 | - | ||
161 | 339 | B. Provided, for the fiscal year beginning July 1, 2007, and | |
162 | 340 | every fiscal year thereafter, an amount of revenue shall be | |
163 | 341 | apportioned to each municipality or county which levies a sales tax | |
164 | 342 | subject to the provisions of Section 1357.10 of this titl e and | |
165 | 343 | subsection F of Section 2701 of this title equal to the amount of | |
166 | 344 | sales tax revenue of such municipality or county exempted by the | |
167 | 345 | provisions of Section 1357.10 of this title and subsection F of | |
168 | 346 | Section 2701 of this title. The Oklahoma Tax Commissio n shall | |
169 | 347 | promulgate and adopt rules necessary to implement the provisions of | |
170 | 348 | this subsection. | |
171 | - | ||
172 | 349 | C. From the monies that would otherwise be apportioned to the | |
173 | 350 | General Revenue Fund pursuant to subsec tion A of this section, there | |
174 | 351 | shall be apportioned the follo wing amounts: | |
352 | + | 1. For the month ending August 31, 2019: | |
353 | + | a. Nine Million Six Hundred Thousand Dollars | |
354 | + | ($9,600,000.00) to the credit of the State Highway | |
175 | 355 | ||
176 | - | 1. For the month ending August 31, 2019: | |
356 | + | ENGR. H. B. NO. 3037 Page 6 1 | |
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178 | - | a. Nine Million Six Hundred Thousand Dollars | |
179 | - | ($9,600,000.00) to the credit of the State Highway ENR. H. B. NO. 3037 Page 5 | |
180 | 381 | Construction and Maintenance Fund created in Section | |
181 | 382 | 1501 of Title 69 of the Oklahoma Statutes, and | |
182 | - | ||
383 | + | b. Two Million Dollars ($2,000,000.00) to the credit of | |
384 | + | the Oklahoma Railroad Maintenance Revolving Fund | |
385 | + | created in Section 309 of Title 66 of the Oklahoma | |
386 | + | Statutes; | |
387 | + | 2. For the month ending September 30, 2019: | |
388 | + | a. Twenty Million Dollars ($20,000,000.00) to the credit | |
389 | + | of the State Highway Construction and Maintenance Fund | |
390 | + | created in Section 1501 of Title 69 of the Oklahoma | |
391 | + | Statutes, and | |
392 | + | b. Two Million Dollars ($2,000,000.00) to the credit of | |
393 | + | the Oklahoma Railroad Maintenance Revolving Fund | |
394 | + | created in Section 309 of Title 66 of the Oklahoma | |
395 | + | Statutes; | |
396 | + | 3. For the month ending October 31, 2019: | |
397 | + | a. Twenty Million Dollars ($20,000,000.00) to the credit | |
398 | + | of the State Highway Constru ction and Maintenance Fund | |
399 | + | created in Section 1501 of Title 69 of the Oklahoma | |
400 | + | Statutes, and | |
183 | 401 | b. Two Million Dollars ($2,000,000.00) to the credit of | |
184 | 402 | the Oklahoma Railroad Maintenance Revolving Fund | |
185 | 403 | created in Section 309 of Title 66 of the Oklahoma | |
186 | 404 | Statutes; | |
187 | 405 | ||
188 | - | 2. For the month ending September 30, 2019: | |
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431 | + | 4. For the month ending N ovember 30, 2019: | |
190 | 432 | a. Twenty Million Dollars ($20,000,000.00) to the credi t | |
191 | 433 | of the State Highway Construction and Maintenance Fund | |
192 | 434 | created in Section 1501 of Title 69 of the Oklahoma | |
193 | 435 | Statutes, and | |
194 | - | ||
195 | 436 | b. Two Million Dollars ($2,000, 000.00) to the credit of | |
196 | 437 | the Oklahoma Railroad Maintenance Revolving Fund | |
197 | 438 | created in Section 309 of Ti tle 66 of the Oklahoma | |
198 | - | Statutes; | |
199 | - | ||
200 | - | 3. For the month ending October 31, 2019: | |
201 | - | ||
439 | + | Statutes; and | |
440 | + | 5. For the month ending December 31, 2019: | |
202 | 441 | a. Twenty Million Dollars ($20,000,000.00) to the credit | |
203 | 442 | of the State Highway Construction and Mainten ance Fund | |
204 | 443 | created in Section 1501 of Title 69 of the Oklahoma | |
205 | 444 | Statutes, and | |
206 | - | ||
207 | - | b. Two Million Dollars ($2,000,000.00) to the credit of | |
208 | - | the Oklahoma Railroad Maintenance Revolving Fund | |
209 | - | created in Section 309 of Title 66 of the Oklahoma | |
210 | - | Statutes; | |
211 | - | ||
212 | - | 4. For the month ending N ovember 30, 2019: | |
213 | - | ||
214 | - | a. Twenty Million Dollars ($20,000,000.00) to the credi t | |
215 | - | of the State Highway Construction and Maintenance Fund | |
216 | - | created in Section 1501 of Title 69 of the Oklahoma | |
217 | - | Statutes, and | |
218 | - | ||
219 | - | b. Two Million Dollars ($2,000, 000.00) to the credit of | |
220 | - | the Oklahoma Railroad Maintenance Revolving Fund | |
221 | - | created in Section 309 of Ti tle 66 of the Oklahoma | |
222 | - | Statutes; and | |
223 | - | ||
224 | - | 5. For the month ending December 31, 2019: ENR. H. B. NO. 3037 Page 6 | |
225 | - | ||
226 | - | a. Twenty Million Dollars ($20,000,000.00) to the credit | |
227 | - | of the State Highway Construction and Mainten ance Fund | |
228 | - | created in Section 1501 of Title 69 of the Oklahoma | |
229 | - | Statutes, and | |
230 | - | ||
231 | 445 | b. Two Million Dollars ($2,000,000.00) to the credit of | |
232 | 446 | the Oklahoma Railroad Maintenance Revolving Fund | |
233 | 447 | created in Section 309 of Title 66 of the Okla homa | |
234 | 448 | Statutes. | |
235 | - | ||
236 | 449 | D. For fiscal year 2023, and each subsequent fiscal year, | |
237 | 450 | before any other apportionment otherwise required by this section is | |
238 | 451 | made to the General Revenue Fund, there shall be apportioned to the | |
239 | 452 | State Public Common School Building Equalizat ion Fund an amount, if | |
240 | 453 | any, as required pursuant to Section 3-104 of Title 70 of the | |
241 | 454 | Oklahoma Statutes, not to exceed the state sales tax generated by | |
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242 | 481 | medical marijuana sales in the preceding fiscal year as reported by | |
243 | 482 | the Oklahoma Tax Commission . | |
244 | - | ||
245 | 483 | E. For the fiscal year ending June 30, 2023, and for each | |
246 | 484 | fiscal year thereafter, after the apportionment required by | |
247 | 485 | subsection D of this section, but before any other apportionment to | |
248 | 486 | the General Revenue Fund is made, there shall be apportioned to the | |
249 | 487 | Municipal Road Drilling Activity Revolvi ng Fund created pursuant to | |
250 | 488 | Section 2 of this act the amount of Five Million Dollars | |
251 | 489 | ($5,000,000.00) for use by municipalities to repair roads as | |
252 | 490 | prescribed pursuant to the requirements of Section 2 of this act. | |
253 | - | ||
254 | 491 | SECTION 2. NEW LAW A new section of law to be codified | |
255 | 492 | in the Oklahoma Statutes as Section 37-501 of Title 11, unless there | |
256 | 493 | is created a duplication in numbering, reads as follows: | |
257 | - | ||
258 | 494 | There is hereby created in the State Treasury a rev olving fund | |
259 | 495 | for the Oklahoma Department of Transportation to be designated the | |
260 | 496 | "Municipal Road Drilling Activity Revolving Fund". The fund shall | |
261 | 497 | be a continuing fund, not subject to fiscal ye ar limitations, and | |
262 | 498 | shall consist of all monies received by the Oklahoma Department of | |
263 | 499 | Transportation from the apportionment of sales tax prescribed by | |
264 | 500 | subsection E of Section 1353 of Title 68 of the Oklahoma Statutes. | |
265 | 501 | All monies accruing to the credit of sa id fund are hereby | |
266 | 502 | appropriated and may be budgeted and expen ded by the Oklahoma | |
267 | 503 | Department of Transportation for the purposes prescribed by and | |
268 | 504 | according to the requirements of Section 3 of this act. | |
269 | - | Expenditures from said fund shall be made upon warrant s issued by ENR. H. B. NO. 3037 Page 7 | |
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531 | + | Expenditures from said fund shall be made upon warrant s issued by | |
270 | 532 | the State Treasurer against claims filed as presc ribed by law with | |
271 | 533 | the Director of the Office of Management and Enterprise Services for | |
272 | 534 | approval and payment . | |
273 | - | ||
274 | 535 | SECTION 3. NEW LAW A new section of law to be codified | |
275 | 536 | in the Oklahoma Statutes as Section 37-502 of Title 11, unless there | |
276 | 537 | is created a duplication in nu mbering, reads as follows: | |
277 | - | ||
278 | 538 | A. The monies in the Municipal Road Drilling Activity Revolving | |
279 | 539 | Fund shall be allocated by the Oklahoma Dep artment of Transportation | |
280 | 540 | only to municipalities having a population of less than fifteen | |
281 | 541 | thousand (15,000) persons according to the Federal Decennial Census | |
282 | 542 | or most recent population estimate to repair damage to municipal | |
283 | 543 | roads caused by or reasonably c aused by increased use of such roads | |
284 | 544 | resulting from oil or gas drilling activity. The damage may be | |
285 | 545 | attributable to traffic associated with exploration and drilling | |
286 | 546 | activity, completion of an oil or gas well, production from an o il | |
287 | 547 | or gas well, servicing during the period of production , repairs or | |
288 | 548 | other necessary activity associated with the drilling or production | |
289 | 549 | activity, and other actions necessary for the operation or cessation | |
290 | 550 | of drilling or production activities. | |
291 | - | ||
292 | 551 | B. A municipality seeking funds for di stribution pursuant to | |
293 | 552 | the provisions of Section 2 of this act and this section shall make | |
294 | 553 | application to the Oklahoma Department of Transportation on such | |
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295 | 580 | forms as may be prescribed by the Department for such purpose. The | |
296 | 581 | initial application shall be filed not later than May 1, 2023. | |
297 | - | ||
298 | 582 | C. A municipality shall be required to provide twenty-five | |
299 | 583 | percent (25%) of the total project costs in order to be eligible for | |
300 | 584 | distribution of funds from the Municipal Road Drilling Activity | |
301 | 585 | Revolving Fund. | |
302 | - | ||
303 | 586 | D. The Department shall review applications in the order in | |
304 | 587 | which they are recei ved and shall make distribution of f unds based | |
305 | 588 | on analysis of consid erations of public safety, volume of tr affic | |
306 | 589 | which contributes to the need for repairs, and such other factors as | |
307 | 590 | the Department may determine to be rel evant. The initial | |
308 | 591 | distribution of funds shall take place not later tha n October 1, | |
309 | 592 | 2023. | |
310 | - | ||
311 | 593 | E. If the Department determines that the damage to a road has | |
312 | 594 | been caused or reasonably has been caused by increased traffic | |
313 | 595 | related to oil and gas drilling or production activity as provided | |
314 | - | by this section, the Department shall transfer the eligible amount | |
596 | + | by this section, the Department shall transfer the eligible amount | |
315 | 597 | of funds to the municipality for deposit into the municipal genera l | |
316 | 598 | fund or such other public fund as the municipality shall specify in | |
317 | 599 | its application. | |
318 | - | ||
319 | 600 | F. Funds distributed pursuant to the provisions of this section | |
320 | 601 | shall only be used by a municipality for the repair of roads | |
321 | 602 | according to the requirements of this act and shall not be used to | |
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322 | 629 | construct a new road unless the damage to an existing road has | |
323 | 630 | become extensive enough to require such replacement. | |
324 | - | ||
325 | 631 | SECTION 4. This act shall become effective July 1, 2022. | |
326 | - | ||
327 | 632 | SECTION 5. It being immediately n ecessary for the preservation | |
328 | 633 | of the public peace, health or safety, an emergency is hereby | |
329 | 634 | declared to exist, by reason whereof thi s act shall take effect and | |
330 | 635 | be in full force from and after its passage and approval. | |
331 | - | ENR. H. B. NO. 3037 Page 9 | |
332 | - | Passed the House of Representatives the 9th day of May, 2022. | |
636 | + | Passed the House of Representatives the 8th day of March, 2022. | |
333 | 637 | ||
334 | 638 | ||
335 | 639 | ||
336 | 640 | ||
337 | 641 | Presiding Officer of the H ouse | |
338 | 642 | of Representatives | |
339 | 643 | ||
340 | 644 | ||
341 | - | Passed the Senate the | |
645 | + | Passed the Senate the ___ day of __________, 2022. | |
342 | 646 | ||
343 | 647 | ||
344 | 648 | ||
345 | 649 | ||
346 | 650 | Presiding Officer of the Senate | |
347 | 651 | ||
348 | 652 | ||
349 | 653 | ||
350 | - | OFFICE OF THE GOVERNOR | |
351 | - | Received by the Office of the Governor this ____________________ | |
352 | - | day of ___________________, 20_______, at _______ o'clock _______ M. | |
353 | - | By: _________________________________ | |
354 | - | Approved by the Governor of the State of Oklahoma this _____ ____ | |
355 | - | day of ___________________, 20_______, at _______ o'clock _______ M. | |
356 | - | ||
357 | - | ||
358 | - | _________________________________ | |
359 | - | Governor of the State of Oklahoma | |
360 | - | ||
361 | - | OFFICE OF THE SECRETARY OF STATE | |
362 | - | Received by the Office of the Secretary of State this __________ | |
363 | - | day of ___________________, 20_______, at __ _____ o'clock _______ M. | |
364 | - | By: _________________________________ | |
365 | - |