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3 | + | SB1040 HFLR Page 1 | |
4 | + | BOLD FACE denotes Committee Amendments. 1 | |
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29 | + | HOUSE OF REPRESENTATIVES - FLOOR VERSION | |
30 | + | ||
31 | + | STATE OF OKLAHOMA | |
32 | + | ||
33 | + | 2nd Session of the 58th Legislature (2022) | |
34 | + | ||
35 | + | ENGROSSED SENATE | |
6 | 36 | BILL NO. 1040 By: Thompson and Hall of the | |
7 | 37 | Senate | |
8 | 38 | ||
9 | 39 | and | |
10 | 40 | ||
11 | 41 | Wallace and Martinez of the | |
12 | 42 | House | |
13 | 43 | ||
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15 | 45 | ||
16 | 46 | ||
17 | 47 | An Act relating to general appr opriations for the | |
18 | 48 | expenses of various agencies of the executive, | |
19 | 49 | legislative, and judicial departme nts of the state; | |
20 | 50 | making appropriations to the State Board of | |
21 | 51 | Education, the Oklahoma Arts Council, the State Board | |
22 | 52 | of Career and Technology Education, the Office of | |
23 | 53 | Educational Quality and Accountability, the Oklahoma | |
24 | 54 | Educational Television Authority, the Oklahoma State | |
25 | 55 | Regents for Higher Education, the Commissioners of | |
26 | 56 | the Land Office, the Oklahoma Department of | |
27 | 57 | Libraries, the Physician Manpower Training | |
28 | 58 | Commission, the Board of Trustees of the Oklahoma | |
29 | 59 | School of Science and Mathematics, the Oklahoma | |
30 | 60 | Center for the Advancement of Science and Technology, | |
31 | 61 | the Oklahoma Board of Private Vocational Schools, the | |
32 | 62 | Oklahoma Department of Commerce, the Rural Economic | |
33 | 63 | Action Plan Fund, the Oklahoma Tax Commission, the | |
34 | 64 | Office of the State Auditor and Inspector, the St ate | |
35 | 65 | Election Board, the Oklahoma Department of Emergency | |
36 | 66 | Management and Homeland Security, the Ethic s | |
37 | 67 | Commission, the Office of the Governor, the Oklahoma | |
38 | 68 | House of Representatives, the Legislative Service | |
39 | 69 | Bureau, the Office of the Lieutenant Governor, the | |
40 | 70 | Office of Management and Enterprise Services, the | |
41 | 71 | Oklahoma Merit Protection Commission, the Military | |
42 | 72 | Department of the State of Oklahoma, the Oklahoma | |
43 | 73 | State Senate, the Office of the State Treasurer, the | |
44 | 74 | Oklahoma Space Industry Development Authority, the | |
45 | 75 | Department of Transportation, the Oklahoma | |
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77 | + | SB1040 HFLR Page 2 | |
78 | + | BOLD FACE denotes Committee Amendments. 1 | |
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46 | 103 | Aeronautics Commission, the State Department of | |
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48 | - | ENR. S. B. NO. 1040 Page 2 | |
49 | 104 | Health, the Oklahoma Health Care Authority, the J.D. | |
50 | 105 | McCarty Center for Children with Developmental | |
51 | 106 | Disabilities, the Department of Mental Health and | |
52 | 107 | Substance Abuse Services, the Oklahoma State | |
53 | 108 | University Medical Authority, the University | |
54 | 109 | Hospitals Authority, the O klahoma Department of | |
55 | 110 | Veterans Affairs, the Oklahoma Comm ission on Children | |
56 | 111 | and Youth, the Office of Disability Concerns, the | |
57 | 112 | Department of Human Services, the Office of Juvenile | |
58 | 113 | Affairs, the State Department of Rehabilitation | |
59 | 114 | Services, the Oklahoma Depart ment of Agriculture, | |
60 | 115 | Food, and Forestry, the Oklahoma Con servation | |
61 | 116 | Commission, the Corporation Commission, the | |
62 | 117 | Department of Environmental Quality, the Okla homa | |
63 | 118 | Historical Society, the J.M. Davis Memorial | |
64 | 119 | Commission, the Department of Labor, the Department | |
65 | 120 | of Mines, the Oklahoma Tourism and Recreation | |
66 | 121 | Department, the Oklahoma Water Resources Board, the | |
67 | 122 | Alcoholic Beverage Laws Enforcement Commission, the | |
68 | 123 | Department of Corrections, the Oklahoma State Bureau | |
69 | 124 | of Investigation, the Council on Law Enforcement | |
70 | 125 | Education and Training, the Board of Medicolegal | |
71 | 126 | Investigations, the Oklahoma State Bureau of | |
72 | 127 | Narcotics and Dangerous Drugs Control, the Department | |
73 | 128 | of Public Safety, the Office of the Attorney General, | |
74 | 129 | the Court of Criminal Appeals, district attorneys and | |
75 | 130 | the District Attorneys Council, the Supreme Court, | |
76 | 131 | the Oklahoma Indigent Defense System, the Pardon and | |
77 | 132 | Parole Board, the Multiple Injury Trust Fund, the | |
78 | 133 | Special Cash Fund, The State Emergency Fund , and the | |
79 | 134 | Emergency Management Assistance Compact and Rescue | |
80 | 135 | Out of State Deployments Revolving Fund ; stating | |
81 | 136 | amounts of the appropriations; stating purposes and | |
82 | 137 | restrictions; authorizing certain expenditures; | |
83 | 138 | directing certain transfers; and providing an | |
84 | 139 | effective date. | |
85 | 140 | ||
86 | 141 | ||
87 | 142 | ||
88 | - | SUBJECT: General appropriations | |
89 | - | ||
90 | 143 | BE IT ENACTED BY THE PEOPLE OF T HE STATE OF OKLAHOMA: | |
91 | - | ||
92 | - | ENR. S. B. NO. 1040 Page 3 | |
93 | - | ||
94 | 144 | EDUCATION | |
95 | - | ||
96 | 145 | SECTION 1. There is hereby appropriated to the State Board of | |
97 | 146 | Education from any monies not otherwise appro priated from the | |
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148 | + | SB1040 HFLR Page 3 | |
149 | + | BOLD FACE denotes Committee Amendments. 1 | |
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98 | 174 | General Revenue Fund of the State Treasury for the fiscal year | |
99 | 175 | ending June 30, 2023, the sum of One Billion Four Hundred Fifty - | |
100 | 176 | seven Million Sixty-eight Thousand Six Hundred Sixty -eight Dollars | |
101 | 177 | ($1,457,068,668.00) or so much thereof as may be necessary for the | |
102 | 178 | financial support of public scho ols. | |
103 | - | ||
104 | 179 | SECTION 2. There is hereby appropriated to the State Board of | |
105 | 180 | Education from any monies not otherwise appropriated from th e | |
106 | 181 | Education Reform Revolving Fund created in Sec tion 34.89 of Title 62 | |
107 | 182 | of the Oklahoma Statutes, the sum of Eight Hundred Ninety Million | |
108 | 183 | One Hundred Twenty Thousand Three Hundred Seventy -five Dollars | |
109 | 184 | ($890,120,375.00) or so much thereof as may be necessa ry for the | |
110 | 185 | financial support of public schools. | |
111 | - | ||
112 | 186 | SECTION 3. The State Board of Education is here by authorized to | |
113 | 187 | expend during the fiscal y ear ending June 30, 2023, fr om the Common | |
114 | 188 | Education Technology Revolving Fund of the State Treasury, the sum | |
115 | 189 | of Forty-seven Million Twenty-five Thousand Seven Hundred One | |
116 | 190 | Dollars ($47,025,701.00) or so much thereo f as may be necessary for | |
117 | 191 | the financial support of public schools. | |
118 | - | ||
119 | 192 | SECTION 4. There is hereby appropriated to the State Board of | |
120 | 193 | Education from any monies not otherwise approp riated from the | |
121 | 194 | Mineral Leasing Fund of the State Treasury for t he fiscal year | |
122 | 195 | ending June 30, 2023, the su m of Four Million Seven Hundred Fifty | |
123 | 196 | Thousand Dollars ($4,750,000.00) or so much thereof as may be | |
124 | 197 | necessary for the financial support of public sch ools. | |
125 | 198 | ||
199 | + | SB1040 HFLR Page 4 | |
200 | + | BOLD FACE denotes Committee Amendments. 1 | |
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126 | 225 | SECTION 5. There is hereby appropriated t o the State Board of | |
127 | 226 | Education from any mon ies not otherwise appropriated from the | |
128 | 227 | Mineral Leasing Fund of the State Treasury for the fiscal year | |
129 | 228 | ending June 30, 2021, the sum of Two Hundred F orty Thousand Seven | |
130 | 229 | Hundred Sixty-three Dollars ($240,763.00) or so much thereof as may | |
131 | 230 | be necessary for the financial support of public schools. | |
132 | - | ||
133 | 231 | SECTION 6. There is hereby appropriated to the State Board of | |
134 | 232 | Education from any monies not o therwise appropriated from the | |
135 | - | ||
136 | - | ENR. S. B. NO. 1040 Page 4 | |
137 | 233 | Oklahoma Education Lottery Trust Fund of the State Treasury for th e | |
138 | 234 | fiscal year ending June 30, 2023, the sum of Twenty -five Million Six | |
139 | 235 | Hundred Fifty Thousand Dollars ($25,650,000.00) or so much thereof | |
140 | 236 | as may be necessary f or the financial support of public schools. | |
141 | - | ||
142 | 237 | SECTION 7. There is hereby appropriated to the State Board of | |
143 | 238 | Education from any monies not otherwi se appropriated from the | |
144 | 239 | Oklahoma Education Lottery Trust Fund of the State Treasury for the | |
145 | 240 | fiscal year ending June 30, 2021, the sum of Twelve Million Three | |
146 | 241 | Hundred Ninety-one Thousand One Hundred Nine ty-two Dollars | |
147 | 242 | ($12,391,192.00) or so much thereof as may be necessary for the | |
148 | 243 | financial support of public schools. | |
149 | - | ||
150 | 244 | SECTION 8. There is hereby appropriated to the State Board of | |
151 | 245 | Education from any monies not otherwise appropriated from the | |
152 | 246 | General Revenue Fund of the State Treasury for the fiscal year | |
153 | 247 | ending June 30, 2023, the sum of One Hundred Seventeen Million Nine | |
154 | 248 | Hundred Nineteen Thousand Twenty-six Dollars ($117,919,026.00) or so | |
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250 | + | SB1040 HFLR Page 5 | |
251 | + | BOLD FACE denotes Committee Amendments. 1 | |
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155 | 276 | much thereof as may be necessary for the support of pub lic school | |
156 | 277 | activities. | |
157 | - | ||
158 | 278 | SECTION 9. There is hereby appropriated to the State Board of | |
159 | 279 | Education from any monies not otherwise appropr iated from the | |
160 | 280 | General Revenue Fund of the State Treasury for th e fiscal year | |
161 | 281 | ending June 30, 2023, the su m of Forty-five Million One Hundred | |
162 | 282 | Ninety Thousand Dollars ($45,190,000.00) or so much thereof as may | |
163 | 283 | be necessary for the purchase of textbooks and instructional | |
164 | 284 | materials. | |
165 | - | ||
166 | 285 | SECTION 10. There is hereby appropriated to the State Board of | |
167 | 286 | Education from any monies not otherwise appropriated fro m the | |
168 | 287 | General Revenue Fund of the State Treasury for the fiscal year | |
169 | 288 | ending June 30, 2023, the s um of Three Hundred Fifty-nine Million | |
170 | 289 | One Hundred Ninety-three Thousand Four Hundred Seventy Dollars | |
171 | 290 | ($359,193,470.00) or so much thereof as may be necessary f or the | |
172 | 291 | Certified Employee Health Benefit Allowance. | |
173 | - | ||
174 | 292 | SECTION 11. There is hereby appropriated to the State Board of | |
175 | 293 | Education from any monies not otherwise appropriated from the | |
176 | 294 | General Revenue Fund of the State Treasury for the fiscal year | |
177 | 295 | ending June 30, 2023, the sum of One Hundred Ninety -four Million Two | |
178 | 296 | Hundred Eleven Thousand Three Hundred Fifty-nine Dollars | |
179 | - | ||
180 | - | ENR. S. B. NO. 1040 Page 5 | |
181 | 297 | ($194,211,359.00) or so much there of as may be necessary for the | |
182 | 298 | Support Personnel Health Benefit Allowance. | |
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300 | + | SB1040 HFLR Page 6 | |
301 | + | BOLD FACE denotes Committee Amendments. 1 | |
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183 | 325 | ||
184 | 326 | SECTION 12. There is hereby appropriated to the State Board of | |
185 | 327 | Education from any monies not otherwis e appropriated from the | |
186 | 328 | General Revenue Fund of the State Treasu ry for the fiscal year | |
187 | 329 | ending June 30, 2023, the sum of Nineteen Million One Hundred Forty - | |
188 | 330 | five Thousand Three Hundred Sixty-six Dollars ($19,145,366.00) or so | |
189 | 331 | much thereof as may be necessary for administrative and support | |
190 | 332 | functions of the State Departmen t of Education. | |
191 | - | ||
192 | 333 | SECTION 13. There is hereby appropriated to the State Board of | |
193 | 334 | Education from any monies not otherwise appropriated from the | |
194 | 335 | Oklahoma Education Lottery Trust Fu nd of the State Treasury for the | |
195 | 336 | fiscal year ending June 30, 202 3, the sum of Two Million Eight | |
196 | 337 | Hundred Fifty Thousand Dollars ($2,850,000.00) or so much thereo f as | |
197 | 338 | may be necessary for transfer to the School Consolidation Assistance | |
198 | 339 | Fund. | |
199 | - | ||
200 | 340 | SECTION 14. There is hereby appropriated to the State Board of | |
201 | 341 | Education from any monies not otherwise app ropriated from the | |
202 | 342 | Oklahoma Education Lottery Trust Fu nd of the State Treasury for the | |
203 | 343 | fiscal year ending June 30, 2021, the sum of One Million Three | |
204 | 344 | Hundred Seventy-six Thousand Seven Hundred Ninety-nine Dollars | |
205 | 345 | ($1,376,799.00) or so much thereof as may b e necessary for transfer | |
206 | 346 | to the School Consolidation A ssistance Fund. | |
207 | - | ||
208 | 347 | SECTION 15. There is hereby appropriated to the State Board of | |
209 | 348 | Education from any monies not otherwise appropriated from the | |
210 | 349 | Oklahoma Education Lottery Trust Fund of the State Treasury for the | |
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351 | + | SB1040 HFLR Page 7 | |
352 | + | BOLD FACE denotes Committee Amendments. 1 | |
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211 | 377 | fiscal year ending June 30, 20 23, the sum of Two Million Eight | |
212 | 378 | Hundred Fifty Thousand Dollars ($2,850,000.00) or so much thereo f as | |
213 | 379 | may be necessary for transfer to the Teachers’ Retirement System | |
214 | 380 | Dedicated Revenue Revolving Fund. | |
215 | - | ||
216 | 381 | SECTION 16. There is hereby appropriated to the State Board of | |
217 | 382 | Education from any monies not otherwise appropriated from the | |
218 | 383 | Oklahoma Education Lottery Trust Fund of the State Treasury for the | |
219 | 384 | fiscal year ending June 30, 2021, the sum of One Million Three | |
220 | 385 | Hundred Seventy-six Thousand Seven Hundr ed Ninety-nine Dollars | |
221 | 386 | ($1,376,799.00) or so much thereof as may be necessary for transfer | |
222 | 387 | to the Teachers’ Retirement System Dedicated Revenue Revolving Fund. | |
223 | - | ||
224 | - | ENR. S. B. NO. 1040 Page 6 | |
225 | - | ||
226 | 388 | SECTION 17. For the fiscal year ending June 30, 2023 , the State | |
227 | 389 | Board of Education is hereby authorized to transfer from the | |
228 | 390 | Teachers’ Retirement System Dedicated Revenue Revol ving Fund to the | |
229 | 391 | Teachers’ Retirement System of Oklahoma the sum of Four Hundred One | |
230 | 392 | Million Nine Hundred S ix Thousand One Hundred Ninety Dollars | |
231 | 393 | ($401,906,190.00) and from the funds appropriated in Sections 15 and | |
232 | 394 | 16 of this act, in the amounts provided in those section s for the | |
233 | 395 | purposes prescribed in Section 34.93 of Title 62 of the Oklahoma | |
234 | 396 | Statutes. | |
235 | - | ||
236 | 397 | SECTION 18. There is hereby appropriated to the Oklahoma Arts | |
237 | 398 | Council from any monies not otherwise appropriated from the General | |
238 | 399 | Revenue Fund of the Sta te Treasury for the fiscal year ending June | |
239 | 400 | 30, 2023, the sum of Three Million Two Hundred Forty -three Thousand | |
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402 | + | SB1040 HFLR Page 8 | |
403 | + | BOLD FACE denotes Committee Amendments. 1 | |
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240 | 428 | Thirty Dollars ($3,243,030.00) or so much there of as may be | |
241 | 429 | necessary to perform the duties imposed upon the Oklahoma Arts | |
242 | 430 | Council by law. | |
243 | - | ||
244 | 431 | SECTION 19. There is hereby appropriated to the State Board of | |
245 | 432 | Career and Technology Education from any monies not otherwise | |
246 | 433 | appropriated from the G eneral Revenue Fund of the State Treasury fo r | |
247 | 434 | the fiscal year ending June 30, 2023, the sum of One Hundred Thirty- | |
248 | 435 | seven Million Six Hundred Two Thousand Nine Hundred Thirty -two | |
249 | 436 | Dollars ($137,602,932.00) or so much thereof as may be necessary to | |
250 | 437 | perform the duties imposed upon the State Board of Care er and | |
251 | 438 | Technology Education by law. | |
252 | - | ||
253 | 439 | SECTION 20. There is hereby appropriated to the State Board of | |
254 | 440 | Career and Technology Education fr om any monies not otherwise | |
255 | 441 | appropriated from the Oklahoma Educ ation Lottery Trust Fund of the | |
256 | 442 | State Treasury for the fiscal year ending June 30, 2023, the sum of | |
257 | 443 | Three Million One Hundred Thirty-five Thousand Dollars | |
258 | 444 | ($3,135,000.00) pursuant to paragraph 2 of subsection E of Section | |
259 | 445 | 713 of Title 3A of the Oklahoma St atutes for allocation by the State | |
260 | 446 | Board of Career and Technology Education for the education and | |
261 | 447 | general operating budgets of the institutions and for other | |
262 | 448 | programs, construction, renovations , or repairs administered by the | |
263 | 449 | State Board of Career and Tech nology Education. | |
264 | - | ||
265 | 450 | SECTION 21. There is hereby appropriated to the State Board of | |
266 | 451 | Career and Technology Education from any monies not otherwise | |
267 | 452 | ||
268 | - | ENR. S. B. NO. 1040 Page 7 | |
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269 | 479 | appropriated from the Oklahoma Edu cation Lottery Trust Fund of the | |
270 | 480 | State Treasury for the fiscal year ending June 30, 2021, the sum of | |
271 | 481 | One Million Five Hundred Fourteen Thousand Four Hundred Eig hty | |
272 | 482 | Dollars ($1,514,480.00) pursuant to paragraph 2 of subsection E of | |
273 | 483 | Section 713 of Title 3A o f the Oklahoma Statutes for allocation by | |
274 | 484 | the State Board of Ca reer and Technology Education for the educati on | |
275 | 485 | and general operating budgets of the institutions and for other | |
276 | 486 | programs, construction, renovations , or repairs administered by the | |
277 | 487 | State Board of Career and Technology Education. | |
278 | - | ||
279 | 488 | SECTION 22. There is hereby appropriated to the Office of | |
280 | 489 | Educational Quality and Accountability from any mon ies not otherwise | |
281 | 490 | appropriated from the General Revenue Fund of the State Treasury for | |
282 | 491 | the fiscal year ending June 30, 2023, the sum of One Million Sixty - | |
283 | 492 | seven Thousand Two Hundred Nine Dollars ($1,067,209 .00) or so much | |
284 | 493 | thereof as may be necessary to perf orm the duties imposed upon the | |
285 | 494 | Office of Educational Quality and Accountability by law. Of tho se | |
286 | 495 | funds appropriated, the sum of Sixty Thousand Dollars ($60,0 00.00) | |
287 | 496 | shall be deposited in the Teacher Certif ication Scholarship | |
288 | 497 | Revolving Fund created pursuan t to Section 6-187C of Title 70 of the | |
289 | 498 | Oklahoma Statutes. Of those funds appropriated , the sum of One | |
290 | 499 | Hundred Eighty Thousand Dollars ($180,000.00) shall be d eposited in | |
291 | 500 | the Education Leadership Oklahoma Re volving Fund created pursuant to | |
292 | 501 | Section 6-204.3 of Title 70 of the Oklahoma Statutes. | |
293 | 502 | ||
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294 | 529 | SECTION 23. There is hereby appropriated t o the Office of | |
295 | 530 | Educational Quality and Accountability from any monies not otherwise | |
296 | 531 | appropriated from the Cash-flow Reserve Fund (Fun d 090) of the State | |
297 | 532 | Treasury the sum of Five Hundred Thousand Dollars ($500,000.00) or | |
298 | 533 | so much thereof as may be necessary to perform the duties imposed | |
299 | 534 | upon the Office of Educational Q uality and Accountability by law. | |
300 | - | ||
301 | 535 | SECTION 24. There is hereby appropriated to t he Oklahoma | |
302 | 536 | Educational Television Authority from any monies not otherwise | |
303 | 537 | appropriated from the G eneral Revenue Fund of the State Treasury for | |
304 | 538 | the fiscal year ending June 30, 2023, the sum of Two Million Eigh t | |
305 | 539 | Hundred Seventy-nine Thousand Four Dollars ($ 2,879,004.00) or so | |
306 | 540 | much thereof as may be necessary to perform the duties imposed upon | |
307 | 541 | the Oklahoma Educational Television Authority by law. | |
308 | - | ||
309 | 542 | SECTION 25. There is hereby appropriated to the Okl ahoma State | |
310 | 543 | Regents for Higher Education from any monies not otherwise | |
311 | - | ||
312 | - | ENR. S. B. NO. 1040 Page 8 | |
313 | 544 | appropriated from the General Revenue Fund of the State Treasury for | |
314 | 545 | the fiscal year ending June 30, 2023, the sum of Seven Hundred | |
315 | 546 | Twenty-five Million Nine Hundred Sixty -four Thousand Eight Hundred | |
316 | 547 | Ninety-nine Dollars ($725,964,899.0 0) or so much thereof as may be | |
317 | 548 | necessary for allocation by the Oklahoma State Regents for Highe r | |
318 | 549 | Education pursuant to the provisions of Article XIII -a of the | |
319 | 550 | Oklahoma Constitution for the education and gen eral operating | |
320 | 551 | budgets of the institutions and fo r other programs, construction, | |
321 | 552 | renovations, or repairs administered by the Oklahoma State Regen ts | |
553 | + | ||
554 | + | SB1040 HFLR Page 11 | |
555 | + | BOLD FACE denotes Committee Amendments. 1 | |
556 | + | 2 | |
557 | + | 3 | |
558 | + | 4 | |
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579 | + | ||
322 | 580 | for Higher Education. Of those funds appropriated, the sum of Three | |
323 | 581 | Million One Hundred Forty -nine Thousand Eight Hundred Ninety -seven | |
324 | 582 | Dollars ($3,149,897.0 0) shall be transferred to the Oklahoma Tuition | |
325 | 583 | Equalization Grant Trust Fund to implement the p rovisions of the | |
326 | 584 | Oklahoma Tuition Equalization Grant Act. | |
327 | - | ||
328 | 585 | SECTION 26. The Oklahoma State Regents for Higher Education are | |
329 | 586 | hereby authorized to e xpend during the fiscal year ending June 30, | |
330 | 587 | 2023, the sum of Forty -seven Million Twenty-five Thousand Seven | |
331 | 588 | Hundred One Dollars ($47,025,701.00) from the High er Education | |
332 | 589 | Capital Revolving Fund of the State Treasury for allocation by the | |
333 | 590 | Oklahoma State Regents for Higher Education pursuant to the | |
334 | 591 | provisions of Article XIII -a of the Oklahoma Constitu tion for the | |
335 | 592 | education and general operating budgets of the ins titutions and for | |
336 | 593 | other programs, construction, r enovations, or repairs administered | |
337 | 594 | by the Oklahoma State Regents for Higher Education. | |
338 | - | ||
339 | 595 | SECTION 27. The Oklahoma State Regents f or Higher Education are | |
340 | 596 | hereby authorized to expend during the fiscal year ending June 30, | |
341 | 597 | 2023, the sum of Forty -seven Million Twenty-five Thousand Seven | |
342 | 598 | Hundred One Dollars ($47,025,701.00) from the Oklahoma Student Aid | |
343 | 599 | Revolving Fund of the State Treasu ry for allocation by the Oklahoma | |
344 | 600 | State Regents for Higher Educ ation pursuant to the provisions of | |
345 | 601 | Article XIII-a of the Oklahoma Constitution for the education and | |
346 | 602 | general operating budgets of the institutions and for other | |
603 | + | ||
604 | + | SB1040 HFLR Page 12 | |
605 | + | BOLD FACE denotes Committee Amendments. 1 | |
606 | + | 2 | |
607 | + | 3 | |
608 | + | 4 | |
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629 | + | ||
347 | 630 | programs, construction, renovat ions, or repairs administered by the | |
348 | 631 | Oklahoma State Regents for Higher Education. | |
349 | - | ||
350 | 632 | SECTION 28. There is hereby appropriated to the Oklahoma State | |
351 | 633 | Regents for Higher Education from any monies not otherwise | |
352 | 634 | appropriated from the General Revenu e Fund of the State Treasury f or | |
353 | 635 | the fiscal year ending June 30 , 2023, the sum of Fifteen Million | |
354 | 636 | Seven Hundred Sixty-four Thousand Eight Hundred Twenty -three Dollars | |
355 | - | ||
356 | - | ENR. S. B. NO. 1040 Page 9 | |
357 | 637 | ($15,764,823.00) or so much thereof as may be necessary for | |
358 | 638 | expenditures for concurrent e nrollment pursuant to Section 628.13 of | |
359 | 639 | Title 70 of the Oklahom a Statutes. | |
360 | - | ||
361 | 640 | SECTION 29. There is hereby appropriated to the Oklahoma State | |
362 | 641 | Regents for Higher Education from any monies not otherwise | |
363 | 642 | appropriated from the Oklahoma Education Lo ttery Trust Fund of the | |
364 | 643 | State Treasury for the fiscal year endi ng June 30, 2023, the sum of | |
365 | 644 | Twenty-two Million Five Hundred Fifteen Thousand Dollars | |
366 | 645 | ($22,515,000.00) pursuant to paragraph 2 of subsection E of Section | |
367 | 646 | 713 of Title 3A of the Oklahoma Statute s for allocation by the | |
368 | 647 | Oklahoma State Regents for Higher Educa tion pursuant to the | |
369 | 648 | provisions of Article XIII -a of the Oklahoma Constitution for | |
370 | 649 | construction, renovations, or repairs administered by the Oklahoma | |
371 | 650 | State Regents for Higher Education or for a ny other purpose | |
372 | 651 | authorized by paragraph 2 of subsection E of S ection 713 of Title 3A | |
373 | 652 | of the Oklahoma Statutes. | |
374 | 653 | ||
654 | + | SB1040 HFLR Page 13 | |
655 | + | BOLD FACE denotes Committee Amendments. 1 | |
656 | + | 2 | |
657 | + | 3 | |
658 | + | 4 | |
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679 | + | ||
375 | 680 | SECTION 30. There is hereby appr opriated to the Oklahoma State | |
376 | 681 | Regents for Higher Education from any monies not otherwise | |
377 | 682 | appropriated from the Oklahoma Educat ion Lottery Trust Fund of the | |
378 | 683 | State Treasury for the fiscal year ending June 30, 2021, the sum of | |
379 | 684 | Ten Million Eight Hundred Seven ty-six Thousand Seven Hundred | |
380 | 685 | Thirteen Dollars ($10,876,713.00) pursuant to paragraph 2 of | |
381 | 686 | subsection E of Section 713 of Title 3A of the Oklahoma Statutes for | |
382 | 687 | allocation by the Oklahoma State Regents for Higher Ed ucation | |
383 | 688 | pursuant to the provisions of Arti cle XIII-a of the Oklahoma | |
384 | 689 | Constitution for construction, renovations , or repairs administered | |
385 | 690 | by the Oklahoma State Regents for Higher Education or for any ot her | |
386 | 691 | purpose authorized by paragraph 2 of subsection E of Section 713 of | |
387 | 692 | Title 3A of the Oklahoma Statutes. | |
388 | - | ||
389 | 693 | SECTION 31. Of the funds appropriated in this act the Oklahoma | |
390 | 694 | State Regents for Higher Education are authorized to expend during | |
391 | 695 | the fiscal year ending June 30, 2023, the s um of Seventeen Million | |
392 | 696 | Three Hundred Seventy -eight Thousand Five Hundred Dollars | |
393 | 697 | ($17,378,500.00) for the Teacher Shortage Employment Incentive | |
394 | 698 | Program, pursuant to subsection A of Section 698.3 of Title 70 of | |
395 | 699 | the Oklahoma Statutes. | |
396 | - | ||
397 | 700 | SECTION 32. Of the funds appropriate d in this act the Oklahoma | |
398 | 701 | State Regents for Higher Education are authorized to expend during | |
399 | - | ||
400 | - | ENR. S. B. NO. 1040 Page 10 | |
401 | 702 | the fiscal year ending June 3 0, 2023, the sum of Six Million Eight | |
703 | + | ||
704 | + | SB1040 HFLR Page 14 | |
705 | + | BOLD FACE denotes Committee Amendments. 1 | |
706 | + | 2 | |
707 | + | 3 | |
708 | + | 4 | |
709 | + | 5 | |
710 | + | 6 | |
711 | + | 7 | |
712 | + | 8 | |
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714 | + | 10 | |
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722 | + | 18 | |
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724 | + | 20 | |
725 | + | 21 | |
726 | + | 22 | |
727 | + | 23 | |
728 | + | 24 | |
729 | + | ||
402 | 730 | Hundred Fifty Thousand Dollars ($6,850,000.00) for the purpose of | |
403 | 731 | student enrollment, retention , and graduation assistance. | |
404 | - | ||
405 | 732 | SECTION 33. Of the funds appropriated in this act the Oklahoma | |
406 | 733 | State Regents for Higher Education are authorized to expend d uring | |
407 | 734 | the fiscal year ending June 30, 2023, the sum of Eleven Million Five | |
408 | 735 | Hundred Thousand Dollars ($11,500,000.0 0) for the purpose of a STEM | |
409 | 736 | workforce development initiative. | |
410 | - | ||
411 | 737 | SECTION 34. Of the funds appropriated in this act the Oklahoma | |
412 | 738 | State Regents for Higher Education are authorized to expend during | |
413 | 739 | the fiscal year endi ng June 30, 2023, the sum o f Two Hundred | |
414 | 740 | Thousand Dollars ($200,000.00) for the purpose of establishing a | |
415 | 741 | food pantry. | |
416 | - | ||
417 | 742 | SECTION 35. Of the funds appropria ted in this act the Oklahoma | |
418 | 743 | State Regents for Higher Education are authorized to expen d during | |
419 | 744 | the fiscal year ending June 30, 2023, the sum of One Million Five | |
420 | 745 | Hundred Thousand Dollars ($1,500,000.00) pursuan t to the provisions | |
421 | 746 | of Sections 2620 through 2627 of Title 70 of the Oklahoma Statutes. | |
422 | - | ||
423 | 747 | SECTION 36. There is hereby appropria ted to the Oklahoma State | |
424 | 748 | Regents for Higher Education from any monies not otherwise | |
425 | 749 | appropriated from the General Revenue Fund of the State Treasury for | |
426 | 750 | the fiscal year ending June 30, 2023, the sum of Four Million Two | |
427 | 751 | Hundred Thirty-two Thousand Nine Hun dred Seventy-four Dollars | |
428 | 752 | ($4,232,974.00) or so much thereof as may be necessary for the | |
753 | + | ||
754 | + | SB1040 HFLR Page 15 | |
755 | + | BOLD FACE denotes Committee Amendments. 1 | |
756 | + | 2 | |
757 | + | 3 | |
758 | + | 4 | |
759 | + | 5 | |
760 | + | 6 | |
761 | + | 7 | |
762 | + | 8 | |
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768 | + | 14 | |
769 | + | 15 | |
770 | + | 16 | |
771 | + | 17 | |
772 | + | 18 | |
773 | + | 19 | |
774 | + | 20 | |
775 | + | 21 | |
776 | + | 22 | |
777 | + | 23 | |
778 | + | 24 | |
779 | + | ||
429 | 780 | general operating budget o f the administrative offices of the | |
430 | 781 | Oklahoma State Regents for Higher Education. | |
431 | - | ||
432 | 782 | SECTION 37. There is hereby appropriated to the Commissioners | |
433 | 783 | of the Land Office from any monies not otherwise appropriated from | |
434 | 784 | the Commissioners of the Land Office Fund of the State Treasury for | |
435 | 785 | the fiscal year ending June 30, 2023, the sum of Six Million Seven | |
436 | 786 | Hundred Three Thousand Four Hundred Twenty-one Dollars | |
437 | 787 | ($6,703,421.00) or so much thereof as may be necessary to perform | |
438 | 788 | the duties imposed upon the Co mmissioners of the Land Office by law. | |
439 | - | ||
440 | 789 | SECTION 38. There is hereby appropriated to the Oklahoma | |
441 | 790 | Department of Libraries from any monies not otherwise appropriated | |
442 | 791 | from the General Revenue Fund of the State Treasury for the fiscal | |
443 | - | ||
444 | - | ENR. S. B. NO. 1040 Page 11 | |
445 | 792 | year ending June 30, 2023, the sum of Four Million Five Hundred | |
446 | 793 | Thirty-six Thousand Three Hundred Fifteen Dollars ($4,536,315.00) or | |
447 | 794 | so much thereof as may be necessary to perform the duties imposed | |
448 | 795 | upon the Oklahoma Department of Libraries by law. | |
449 | - | ||
450 | 796 | SECTION 39. There is hereby appropriated to the Physici an | |
451 | 797 | Manpower Training Commission from any mon ies not otherwise | |
452 | 798 | appropriated from the Gen eral Revenue Fund of the State Treasury for | |
453 | 799 | the fiscal year ending June 30, 2023, the sum of Six Million Eight | |
454 | 800 | Hundred Thirty-six Thousand Three Hundred Twenty -nine Dollars | |
455 | 801 | ($6,836,329.00) or so much thereof as ma y be necessary to perform | |
456 | 802 | the duties imposed upon the Physician Manpower Training Commission | |
457 | 803 | by law. | |
458 | 804 | ||
805 | + | SB1040 HFLR Page 16 | |
806 | + | BOLD FACE denotes Committee Amendments. 1 | |
807 | + | 2 | |
808 | + | 3 | |
809 | + | 4 | |
810 | + | 5 | |
811 | + | 6 | |
812 | + | 7 | |
813 | + | 8 | |
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829 | + | 24 | |
830 | + | ||
459 | 831 | SECTION 40. There is hereby appropriated to the Physician | |
460 | 832 | Manpower Training Commission from any monies not otherwise | |
461 | 833 | appropriated from the Cash-flow Reserve Fund (Fund 090) of the State | |
462 | 834 | Treasury the sum of Four Hundred Thousand Dollars ($400,000.00) or | |
463 | 835 | so much thereof as may be necessary to perfo rm the duties imposed | |
464 | 836 | upon the Physician Manpower Training Comm ission by law. | |
465 | - | ||
466 | 837 | SECTION 41. There is hereby appropriated to the Board of | |
467 | 838 | Trustees of the Oklahoma School of Science and Mathematics from any | |
468 | 839 | monies not otherwise appropriated fro m the General Revenue Fund of | |
469 | 840 | the State Treasury for the fiscal year ending June 30, 2023, the sum | |
470 | 841 | of Six Million Five Hundred Sixteen Thousand Three Hu ndred Seventy- | |
471 | 842 | three Dollars ($6,516,373.00) or so much thereof as may be necessary | |
472 | 843 | to perform the duties imposed upon the Board of Trustees of the | |
473 | 844 | Oklahoma School of S cience and Mathematics by law. | |
474 | - | ||
475 | 845 | SECTION 42. There is hereby appr opriated to the Oklahoma Center | |
476 | 846 | for the Advancement of Science and Technology from any monies not | |
477 | 847 | otherwise appropriated from the General Revenue Fund of the State | |
478 | 848 | Treasury for the fiscal year ending June 30, 2023, the sum of | |
479 | 849 | Sixteen Million Eight Hundred Forty-six Thousand Five Hundred Forty- | |
480 | 850 | two Dollars ($16,846,542.00) or so much thereof as may be necessary | |
481 | 851 | to perform the duties imposed upon the Oklahoma Center for the | |
482 | 852 | Advancement of Science and Technology by law. Of those funds | |
483 | 853 | appropriated, the sum of Seven Million Six Hundred Eighteen Thousand | |
484 | 854 | Six Hundred Seventeen Dollars ($7,618,617.00) shall be deposited in | |
855 | + | ||
856 | + | SB1040 HFLR Page 17 | |
857 | + | BOLD FACE denotes Committee Amendments. 1 | |
858 | + | 2 | |
859 | + | 3 | |
860 | + | 4 | |
861 | + | 5 | |
862 | + | 6 | |
863 | + | 7 | |
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880 | + | 24 | |
881 | + | ||
485 | 882 | the Research Support Revolving Fund, created pursuant to Section | |
486 | 883 | 5060.11 of Title 74 of the Oklahoma Statutes, provided Two Million | |
487 | - | ||
488 | - | ENR. S. B. NO. 1040 Page 12 | |
489 | 884 | Two Hundred Fifty Thousand Dollars ($2,250,000.00) shall be | |
490 | 885 | dedicated to Applied Research and Development for Industry | |
491 | 886 | Innovation. Of those funds appropriated, the sum of Two Million | |
492 | 887 | Seven Hundred Fifty-nine Thousand Three Hundred Eight Dollars | |
493 | 888 | ($2,759,308.00) shall be deposited in the Seed-capital Revolving | |
494 | 889 | Fund, created pursuant to Section 5060.21 of Title 74 of the | |
495 | 890 | Oklahoma Statutes. | |
496 | - | ||
497 | 891 | SECTION 43. There is hereby appropriat ed to the Oklahoma Board | |
498 | 892 | of Private Vocational Schools from any monies not otherwise | |
499 | 893 | appropriated from the General Revenue Fund of the State Treasury for | |
500 | 894 | the fiscal year ending June 30, 202 3, the sum of Two Hundred Fifty | |
501 | 895 | Thousand Dollars ($250,000.00) or so much thereof as may be | |
502 | 896 | necessary to perform the duties imposed upon the Oklahoma Board of | |
503 | 897 | Private Vocational Schools by law. | |
504 | - | ||
505 | 898 | FINANCE | |
506 | - | ||
507 | 899 | SECTION 44. There is hereby appropriated t o the Oklahoma | |
508 | 900 | Department of Commerce f rom any monies not other wise appropriated | |
509 | 901 | from the General Revenue Fund of the State Treasury for the fiscal | |
510 | 902 | year ending June 30, 2023, the sum of Twenty-four Million Seven | |
511 | 903 | Hundred Twenty-nine Thousand Three Hundred Twenty-three Dollars | |
512 | 904 | ($24,729,323.00) or so much thereof as m ay be necessary to perform | |
513 | 905 | the duties imposed upon the Oklahoma Department of Commerce by l aw. | |
514 | 906 | ||
907 | + | SB1040 HFLR Page 18 | |
908 | + | BOLD FACE denotes Committee Amendments. 1 | |
909 | + | 2 | |
910 | + | 3 | |
911 | + | 4 | |
912 | + | 5 | |
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931 | + | 24 | |
932 | + | ||
515 | 933 | SECTION 45. There is hereby appropriated to the Rura l Economic | |
516 | 934 | Action Plan Fund from any monies not otherwise appropriate d from the | |
517 | 935 | General Revenue Fund of the State Treasury for the fiscal year | |
518 | 936 | ending June 30, 2023, the sum of Thirty Million Dollars | |
519 | 937 | ($30,000,000.00) or so much thereof as may be necessary to implement | |
520 | 938 | the provisions of Sec tions 2006 through 2013 of Title 62 of the | |
521 | 939 | Oklahoma Statutes. | |
522 | - | ||
523 | 940 | SECTION 46. There is hereby appropriated to the Oklahoma Tax | |
524 | 941 | Commission from any monies not otherwise appropriated from the | |
525 | 942 | General Revenue Fund of the State Treasury for the fis cal year | |
526 | 943 | ending June 30, 2023, the sum of Thirty-nine Million Nine Hundred | |
527 | 944 | Twenty-four Thousand Four Hundred Seventeen Dollars ($ 39,924,417.00) | |
528 | 945 | or so much thereof as may be necessary to perform the duties imposed | |
529 | 946 | upon the Oklahoma Tax Commission by law. | |
530 | - | ||
531 | - | ||
532 | - | ENR. S. B. NO. 1040 Page 13 | |
533 | 947 | SECTION 47. Of those funds appropriat ed, the Oklahoma Tax | |
534 | 948 | Commission shall pay an amount not to exceed Two Hundred Fifty | |
535 | 949 | Thousand Dollars ($250,000.00) for the personal services and other | |
536 | 950 | operating expenses of the Office of the State Auditor and Inspector | |
537 | 951 | in performing audits of the Oklahoma Tax Co mmission and motor | |
538 | 952 | license agents as required by law. | |
539 | - | ||
540 | 953 | SECTION 48. Of those funds appropriated, the Oklahoma Tax | |
541 | 954 | Commission may transfer to the Capital Account Fund (245 Fund) an | |
542 | 955 | amount not to exceed Five Million Dollars ($5,000,000.00) for the | |
543 | 956 | purpose of paying any proportionate share of common area | |
957 | + | ||
958 | + | SB1040 HFLR Page 19 | |
959 | + | BOLD FACE denotes Committee Amendments. 1 | |
960 | + | 2 | |
961 | + | 3 | |
962 | + | 4 | |
963 | + | 5 | |
964 | + | 6 | |
965 | + | 7 | |
966 | + | 8 | |
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968 | + | 10 | |
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970 | + | 12 | |
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977 | + | 19 | |
978 | + | 20 | |
979 | + | 21 | |
980 | + | 22 | |
981 | + | 23 | |
982 | + | 24 | |
983 | + | ||
544 | 984 | maintenance, repair and maintenance of agency units, fixtures and | |
545 | 985 | appliances contained therein, and all required maintenance and | |
546 | 986 | repair work pursuant to Section 2-3-110 of Title 27A of the Oklahoma | |
547 | 987 | Statutes. | |
548 | - | ||
549 | 988 | GENERAL GOVERNMENT | |
550 | - | ||
551 | 989 | SECTION 49. There is hereby appropriated to the Office of the | |
552 | 990 | State Auditor and Inspector from any monies not otherwise | |
553 | 991 | appropriated from the G eneral Revenue Fund of the State Treasury for | |
554 | 992 | the fiscal year ending Ju ne 30, 2023, the sum of Four Million Four | |
555 | 993 | Hundred Eighty Thousand Three Hundred Fifteen Dollars | |
556 | 994 | ($4,480,315.00) or so much thereof as may be necessary to perform | |
557 | 995 | the duties imposed upon the O ffice of the State Auditor and | |
558 | 996 | Inspector by law. | |
559 | - | ||
560 | 997 | SECTION 50. There is hereby appropriated to the State Election | |
561 | 998 | Board from any monies not otherwis e appropriated from the General | |
562 | 999 | Revenue Fund of the State Treasury for the fiscal year ending June | |
563 | 1000 | 30, 2023, the sum of Seven Million Three Hundred Sixty-six Thousand | |
564 | 1001 | Five Hundred Forty-eight Dollars ($7,366,548.00) or so much thereof | |
565 | 1002 | as may be necessary t o perform the duties imposed upon the State | |
566 | 1003 | Election Board by law. | |
567 | - | ||
568 | 1004 | SECTION 51. There is hereby appropriated to the State Election | |
569 | 1005 | Board from any monies not otherwise appropriated from the Special | |
570 | 1006 | Cash Fund of the State Treasury , the sum of Two Million Five Hundred | |
571 | 1007 | Thousand Dollars ($2,500,000.00) or so much thereof as may be | |
1008 | + | ||
1009 | + | SB1040 HFLR Page 20 | |
1010 | + | BOLD FACE denotes Committee Amendments. 1 | |
1011 | + | 2 | |
1012 | + | 3 | |
1013 | + | 4 | |
1014 | + | 5 | |
1015 | + | 6 | |
1016 | + | 7 | |
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1018 | + | 9 | |
1019 | + | 10 | |
1020 | + | 11 | |
1021 | + | 12 | |
1022 | + | 13 | |
1023 | + | 14 | |
1024 | + | 15 | |
1025 | + | 16 | |
1026 | + | 17 | |
1027 | + | 18 | |
1028 | + | 19 | |
1029 | + | 20 | |
1030 | + | 21 | |
1031 | + | 22 | |
1032 | + | 23 | |
1033 | + | 24 | |
1034 | + | ||
572 | 1035 | necessary to perform the duties impose d upon the State Election | |
573 | 1036 | Board by law. | |
574 | - | ||
575 | - | ||
576 | - | ENR. S. B. NO. 1040 Page 14 | |
577 | 1037 | SECTION 52. There is hereby appropria ted to the Oklahoma | |
578 | 1038 | Department of Emergency Management and Homeland Security from any | |
579 | 1039 | monies not otherwise appropriated from the Gener al Revenue Fund of | |
580 | 1040 | the State Treasury for the fiscal year endin g June 30, 2023, the sum | |
581 | 1041 | of One Million Four Hundred Sevent y-six Thousand Eight Hundred One | |
582 | 1042 | Dollars ($1,476,801.00) or so much thereof as may be necessary to | |
583 | 1043 | perform the duties imposed upon the Oklahoma Department of Emerg ency | |
584 | 1044 | Management and Homeland Secur ity by law. | |
585 | - | ||
586 | 1045 | SECTION 53. There is hereby app ropriated to the Ethics | |
587 | 1046 | Commission from any monies not otherwise appropriated from the | |
588 | 1047 | General Revenue Fund of the State Treasury for the fiscal year | |
589 | 1048 | ending June 30, 2023, the sum of Six Hundred Ei ghty-seven Thousand | |
590 | 1049 | Nine Hundred Fifty-seven Dollars ($687,957.00) or so much thereof as | |
591 | 1050 | may be necessary to perform the duties imposed upon the Ethics | |
592 | 1051 | Commission by law. | |
593 | - | ||
594 | 1052 | SECTION 54. There is hereby appropr iated to the Office of the | |
595 | 1053 | Governor from any monies not otherwise appropriated from the Gener al | |
596 | 1054 | Revenue Fund of the State Treasury for the fiscal year ending June | |
597 | 1055 | 30, 2023, the sum of Three Million Five Hundred Fifty -seven Thousand | |
598 | 1056 | Nine Hundred Forty Dolla rs ($3,557,940.00) or so much ther eof as may | |
599 | 1057 | be necessary to perform the duties imposed upon the Office of the | |
600 | 1058 | Governor by law. | |
1059 | + | ||
1060 | + | SB1040 HFLR Page 21 | |
1061 | + | BOLD FACE denotes Committee Amendments. 1 | |
1062 | + | 2 | |
1063 | + | 3 | |
1064 | + | 4 | |
1065 | + | 5 | |
1066 | + | 6 | |
1067 | + | 7 | |
1068 | + | 8 | |
1069 | + | 9 | |
1070 | + | 10 | |
1071 | + | 11 | |
1072 | + | 12 | |
1073 | + | 13 | |
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1075 | + | 15 | |
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1077 | + | 17 | |
1078 | + | 18 | |
1079 | + | 19 | |
1080 | + | 20 | |
1081 | + | 21 | |
1082 | + | 22 | |
1083 | + | 23 | |
1084 | + | 24 | |
601 | 1085 | ||
602 | 1086 | SECTION 55. There is hereby appropriated to the Oklahoma House | |
603 | 1087 | of Representatives f rom any monies not otherwise appropriated from | |
604 | 1088 | the General Revenue Fund of the State Treasury for the fiscal year | |
605 | 1089 | ending June 30, 2021, the sum of Twenty-two Million Seven Hundred | |
606 | 1090 | Eighty-six Thousand One Hundred Ninety-eight Dollars | |
607 | 1091 | ($22,786,198.00) or so much thereof as may be necessary to pay the | |
608 | 1092 | salaries, per diem and expenses of the members of the Oklahoma House | |
609 | 1093 | of Representatives, the salaries of the employe es of the Oklahoma | |
610 | 1094 | House of Representatives and other necessary expenses. Claims and | |
611 | 1095 | payrolls filed against the appropriation m ade to the Oklahoma House | |
612 | 1096 | of Representatives for the fiscal year ending June 30, 2023, shall | |
613 | 1097 | be approved by the Speaker of the O klahoma House of Representatives. | |
614 | - | ||
615 | 1098 | SECTION 56. There is hereby appropriated to th e Legislative | |
616 | 1099 | Service Bureau from any monies not otherwise appr opriated from the | |
617 | 1100 | General Revenue Fund of the State Treasury f or the fiscal year | |
618 | 1101 | ending June 30, 2021, the sum of Thirty Million Five Hundred Fifty - | |
619 | - | ||
620 | - | ENR. S. B. NO. 1040 Page 15 | |
621 | 1102 | seven Thousand Eight Dollars ( $30,557,008.00) or so much thereof as | |
622 | 1103 | may be necessary to perform the duties i mposed upon the Legislative | |
623 | 1104 | Service Bureau by law. | |
624 | - | ||
625 | 1105 | SECTION 57. There is hereby ap propriated to the Office of the | |
626 | 1106 | Lieutenant Governor from any monies not otherwise appropriated from | |
627 | 1107 | the General Revenue Fund of the State Treasury for the fisc al year | |
628 | 1108 | ending June 30, 2021, the sum of Seven Hundred Fourteen Thousand Six | |
629 | 1109 | Hundred Sixty-five Dollars ($714,665.00) or so much thereof as may | |
1110 | + | ||
1111 | + | SB1040 HFLR Page 22 | |
1112 | + | BOLD FACE denotes Committee Amendments. 1 | |
1113 | + | 2 | |
1114 | + | 3 | |
1115 | + | 4 | |
1116 | + | 5 | |
1117 | + | 6 | |
1118 | + | 7 | |
1119 | + | 8 | |
1120 | + | 9 | |
1121 | + | 10 | |
1122 | + | 11 | |
1123 | + | 12 | |
1124 | + | 13 | |
1125 | + | 14 | |
1126 | + | 15 | |
1127 | + | 16 | |
1128 | + | 17 | |
1129 | + | 18 | |
1130 | + | 19 | |
1131 | + | 20 | |
1132 | + | 21 | |
1133 | + | 22 | |
1134 | + | 23 | |
1135 | + | 24 | |
1136 | + | ||
630 | 1137 | be necessary to perform the duties imposed upon the Office of the | |
631 | 1138 | Lieutenant Governor by law. | |
632 | - | ||
633 | 1139 | SECTION 58. There is hereby appropriated to the Office of | |
634 | 1140 | Management and Enterprise Services from a ny monies not otherwise | |
635 | 1141 | appropriated from the General Revenue Fund of the State Treasury for | |
636 | 1142 | the fiscal year ending June 30, 2023, the sum of One Hundred Fifteen | |
637 | 1143 | Million Five Hundred Seventy-five Thousand Seven Hundred Fifty-eight | |
638 | 1144 | Dollars ($115,575,758.00) or so much thereof as may be necessary to | |
639 | 1145 | perform the duties imposed upon the Office of Management and | |
640 | 1146 | Enterprise Services by law. | |
641 | - | ||
642 | 1147 | SECTION 59. There is hereby appropriated to the Office of | |
643 | 1148 | Management and Enterprise Serv ices from any monies not otherwise | |
644 | 1149 | appropriated from the Public Building Fund of the State Treasury for | |
645 | 1150 | the fiscal year ending J une 30, 2023, the sum of One Millio n Seven | |
646 | 1151 | Hundred Five Thousand Five Hundred Eight Dollars ($1,705,508.00) to | |
647 | 1152 | be transferred to the Building and Fa cility Revolving Fund, created | |
648 | 1153 | in Section 63.1 of Title 74 of the Oklahoma Statutes, for the | |
649 | 1154 | purpose of maintaining state buildings operated by the Office of | |
650 | 1155 | Management and Enterprise Services. | |
651 | - | ||
652 | 1156 | SECTION 60. There is hereby appropriated to th e Office of | |
653 | 1157 | Management and Enterprise Services from any monies not otherwise | |
654 | 1158 | appropriated from the Public Bu ilding Fund of the State Treasury for | |
655 | 1159 | the fiscal year ending June 30, 2021, the sum of Five Hundred Fifty- | |
656 | 1160 | two Thousand Four Hundred Sixty-seven Dollars ($552,467.00) or so | |
1161 | + | ||
1162 | + | SB1040 HFLR Page 23 | |
1163 | + | BOLD FACE denotes Committee Amendments. 1 | |
1164 | + | 2 | |
1165 | + | 3 | |
1166 | + | 4 | |
1167 | + | 5 | |
1168 | + | 6 | |
1169 | + | 7 | |
1170 | + | 8 | |
1171 | + | 9 | |
1172 | + | 10 | |
1173 | + | 11 | |
1174 | + | 12 | |
1175 | + | 13 | |
1176 | + | 14 | |
1177 | + | 15 | |
1178 | + | 16 | |
1179 | + | 17 | |
1180 | + | 18 | |
1181 | + | 19 | |
1182 | + | 20 | |
1183 | + | 21 | |
1184 | + | 22 | |
1185 | + | 23 | |
1186 | + | 24 | |
1187 | + | ||
657 | 1188 | much thereof as may be necessary to be transferred to the Building | |
658 | 1189 | and Facility Revolving Fund created in Section 63.1 of Title 74 of | |
659 | 1190 | the Oklahoma Statutes for the purpose of maintaining state buildi ngs | |
660 | 1191 | operated by the Office of Man agement and Enterprise Services. | |
661 | - | ||
662 | - | ||
663 | - | ENR. S. B. NO. 1040 Page 16 | |
664 | 1192 | SECTION 61. There is hereby appropriated to the Office of | |
665 | 1193 | Management and Enterprise Services from any monies n ot otherwise | |
666 | 1194 | appropriated from the General Revenue Fund of the S tate Treasury for | |
667 | 1195 | the fiscal year ending June 30, 2023, the sum of Five Million Five | |
668 | 1196 | Hundred Twelve Thousand Six Hundred Ninety-three Dollars | |
669 | 1197 | ($5,512,693.00) or so much thereof as may be neces sary to perform | |
670 | 1198 | the duties imposed upon the Native American C ultural and Educational | |
671 | 1199 | Authority by law. | |
672 | - | ||
673 | 1200 | SECTION 62. There is hereby appropriated to the Office of | |
674 | 1201 | Management and Enterprise Se rvices from any monies not otherwise | |
675 | 1202 | appropriated from the General Revenue Fund of the State Treasury for | |
676 | 1203 | the fiscal year ending June 30, 202 3, the sum of Twenty-three | |
677 | 1204 | Million Six Hundred Fifty-four Thousand Three Hundred Fifty-four | |
678 | 1205 | Dollars ($23,654,354.00) or so much thereof as may be necessary to | |
679 | 1206 | perform the duties imposed upon the Office of Management and | |
680 | 1207 | Enterprise Services by law. | |
681 | - | ||
682 | 1208 | SECTION 63. There is hereby appropriated to the Oklahoma Merit | |
683 | 1209 | Protection Commission from any monies not ot herwise appropriated | |
684 | 1210 | from the General Revenue Fund of the State Treasury for the fiscal | |
685 | 1211 | year ending June 30, 2 023, the sum of Two Hundred Twenty-two | |
1212 | + | ||
1213 | + | SB1040 HFLR Page 24 | |
1214 | + | BOLD FACE denotes Committee Amendments. 1 | |
1215 | + | 2 | |
1216 | + | 3 | |
1217 | + | 4 | |
1218 | + | 5 | |
1219 | + | 6 | |
1220 | + | 7 | |
1221 | + | 8 | |
1222 | + | 9 | |
1223 | + | 10 | |
1224 | + | 11 | |
1225 | + | 12 | |
1226 | + | 13 | |
1227 | + | 14 | |
1228 | + | 15 | |
1229 | + | 16 | |
1230 | + | 17 | |
1231 | + | 18 | |
1232 | + | 19 | |
1233 | + | 20 | |
1234 | + | 21 | |
1235 | + | 22 | |
1236 | + | 23 | |
1237 | + | 24 | |
1238 | + | ||
686 | 1239 | Thousand Eight Hundred Twenty-four Dollars ($222,824.00) or so much | |
687 | 1240 | thereof as may be necessary to perform the duties imposed upon the | |
688 | 1241 | Oklahoma Merit Protecti on Commission by law. | |
689 | - | ||
690 | 1242 | SECTION 64. There is hereby appropriated to the Military | |
691 | 1243 | Department of the State of Oklahoma from any monies not otherwise | |
692 | 1244 | appropriated from the General Revenue Fund o f the State Treasury for | |
693 | 1245 | the fiscal year ending Jun e 30, 2023, the sum of Eighteen Million | |
694 | 1246 | Nine Hundred Eleven Thousand Five Hundred Eighty -two Dollars | |
695 | 1247 | ($18,911,582.00) or so much thereof as may be necessary to perform | |
696 | 1248 | the duties imposed upon the Military Department of the State of | |
697 | 1249 | Oklahoma by law. | |
698 | - | ||
699 | 1250 | SECTION 65. There is hereby appropriated to the Oklahoma State | |
700 | 1251 | Senate from any monies no t otherwise appropriated from the General | |
701 | 1252 | Revenue Fund of the State Treasury for the fiscal year ending June | |
702 | 1253 | 30, 2021, the following amount, or so much thereof as may be | |
703 | 1254 | necessary to pay monthly salaries, per diem, and expenses of the | |
704 | 1255 | members of the Senate and the salaries of the Secretary of the | |
705 | 1256 | Senate and employees, and such contingent expenses as may be order ed | |
706 | - | ||
707 | - | ENR. S. B. NO. 1040 Page 17 | |
708 | 1257 | paid therefrom including the preparation and pri nting of the | |
709 | 1258 | journals and calendars of the Senate, and including the preparation | |
710 | 1259 | and printing of the permanent journals thereof, in accordance with | |
711 | 1260 | the following amount herein set forth: | |
712 | - | ||
713 | 1261 | For expenses of personal services (including retirement and | |
714 | 1262 | insurance costs) including those of members, and employees of the | |
1263 | + | ||
1264 | + | SB1040 HFLR Page 25 | |
1265 | + | BOLD FACE denotes Committee Amendments. 1 | |
1266 | + | 2 | |
1267 | + | 3 | |
1268 | + | 4 | |
1269 | + | 5 | |
1270 | + | 6 | |
1271 | + | 7 | |
1272 | + | 8 | |
1273 | + | 9 | |
1274 | + | 10 | |
1275 | + | 11 | |
1276 | + | 12 | |
1277 | + | 13 | |
1278 | + | 14 | |
1279 | + | 15 | |
1280 | + | 16 | |
1281 | + | 17 | |
1282 | + | 18 | |
1283 | + | 19 | |
1284 | + | 20 | |
1285 | + | 21 | |
1286 | + | 22 | |
1287 | + | 23 | |
1288 | + | 24 | |
1289 | + | ||
715 | 1290 | Senate, and expenses of maintenance and operation including travel | |
716 | 1291 | expenses, supplies, materials, printing, equipment, and printing of | |
717 | 1292 | permanent journals and for the renovation and modification of th e | |
718 | 1293 | Senate area, Twelve Million Seven Hundred Eighty Thousand Seventy - | |
719 | 1294 | five Dollars ($12,780,075.00). | |
720 | - | ||
721 | 1295 | SECTION 66. There is hereby appropriated to the Office of the | |
722 | 1296 | State Treasurer from any monies not otherwise appropriated from the | |
723 | 1297 | General Revenue Fund of the State Treasury for the fiscal year | |
724 | 1298 | ending June 30, 2023, the sum of Two Million Nine Hundred Eighty- | |
725 | 1299 | four Thousand Eight Hundred Twenty -three Dollars ($2,984,823.00) or | |
726 | 1300 | so much thereof as may be necessary to perform the duties imposed | |
727 | 1301 | upon the Office of the State Treasurer by law. | |
728 | - | ||
729 | 1302 | SECTION 67. There is hereby appropriate d to the Office of the | |
730 | 1303 | State Treasurer from any monies not otherwise appropriated from the | |
731 | 1304 | General Revenue Fund of the State Treasury for the fiscal year | |
732 | 1305 | ending June 30, 2021, the sum of Ninety-five Thousand Dollars | |
733 | 1306 | ($95,000.00) or so much thereof as may b e necessary to pay for state | |
734 | 1307 | land reimbursements. | |
735 | - | ||
736 | 1308 | TRANSPORTATION | |
737 | - | ||
738 | 1309 | SECTION 68. There is hereby appropriated to the Oklahoma S pace | |
739 | 1310 | Industry Development Authority from any monies not otherwise | |
740 | 1311 | appropriated from the Ge neral Revenue Fund of the S tate Treasury for | |
741 | 1312 | the fiscal year ending June 30, 2023, the sum of Five Hundred | |
742 | 1313 | Thousand Dollars ($500,000.00) or so much thereof as may be | |
1314 | + | ||
1315 | + | SB1040 HFLR Page 26 | |
1316 | + | BOLD FACE denotes Committee Amendments. 1 | |
1317 | + | 2 | |
1318 | + | 3 | |
1319 | + | 4 | |
1320 | + | 5 | |
1321 | + | 6 | |
1322 | + | 7 | |
1323 | + | 8 | |
1324 | + | 9 | |
1325 | + | 10 | |
1326 | + | 11 | |
1327 | + | 12 | |
1328 | + | 13 | |
1329 | + | 14 | |
1330 | + | 15 | |
1331 | + | 16 | |
1332 | + | 17 | |
1333 | + | 18 | |
1334 | + | 19 | |
1335 | + | 20 | |
1336 | + | 21 | |
1337 | + | 22 | |
1338 | + | 23 | |
1339 | + | 24 | |
1340 | + | ||
743 | 1341 | necessary to perform the duties imposed upon the Oklahoma Space | |
744 | 1342 | Industry Development Auth ority by law. The monies a ppropriated in | |
745 | 1343 | this section shall be transferr ed to the Oklahoma Space Industry | |
746 | 1344 | Development Authority Revolv ing Fund created pursuant to Se ction | |
747 | 1345 | 5208.1 of Title 74 of the Oklahoma Statutes. | |
748 | - | ||
749 | - | ||
750 | - | ENR. S. B. NO. 1040 Page 18 | |
751 | 1346 | SECTION 69. The Department of Transportation is he reby | |
752 | 1347 | authorized to expend during the fiscal ye ar ending June 30, 2023, | |
753 | 1348 | from the State Transportation Fund of the State Treasury, the sum of | |
754 | 1349 | One Hundred Ninety-three Million Eight Hundred Seventy-eight | |
755 | 1350 | Thousand Four Hundred Ninety-nine Dollars ($193,878,499.00) or so | |
756 | 1351 | much thereof as may be necessary to perform t he duties imposed upon | |
757 | 1352 | the Department of Transportat ion by law. The authorization shall be | |
758 | 1353 | transferred to the State Highway Construction and Maintenance Fund | |
759 | 1354 | and shall be expended in the same manner and for the same purposes | |
760 | 1355 | as provided by law for other m onies accruing to the cr edit of the | |
761 | 1356 | State Highway Construction and Maintenance Fund. | |
762 | - | ||
763 | 1357 | SECTION 70. The Department of Transportation is hereby | |
764 | 1358 | authorized to expend during the fiscal year ending June 30, 2023, | |
765 | 1359 | from the Rebuilding Oklahoma Acces s and Driver Safety Fund of the | |
766 | 1360 | State Treasury, the sum of Five Hundred Ninety Million Dollars | |
767 | 1361 | ($590,000,000.00) to be budgeted and expended in accordance with | |
768 | 1362 | law. | |
769 | - | ||
770 | 1363 | SECTION 71. There is hereby appropriated to the Oklahoma | |
771 | 1364 | Aeronautics Commission from any monies not otherwise appropriated | |
1365 | + | ||
1366 | + | SB1040 HFLR Page 27 | |
1367 | + | BOLD FACE denotes Committee Amendments. 1 | |
1368 | + | 2 | |
1369 | + | 3 | |
1370 | + | 4 | |
1371 | + | 5 | |
1372 | + | 6 | |
1373 | + | 7 | |
1374 | + | 8 | |
1375 | + | 9 | |
1376 | + | 10 | |
1377 | + | 11 | |
1378 | + | 12 | |
1379 | + | 13 | |
1380 | + | 14 | |
1381 | + | 15 | |
1382 | + | 16 | |
1383 | + | 17 | |
1384 | + | 18 | |
1385 | + | 19 | |
1386 | + | 20 | |
1387 | + | 21 | |
1388 | + | 22 | |
1389 | + | 23 | |
1390 | + | 24 | |
1391 | + | ||
772 | 1392 | from the General Revenue Fund of the Stat e Treasury for the fiscal | |
773 | 1393 | year ending June 30, 202 3, the sum of Four Million Dollars | |
774 | 1394 | ($4,000,000.00) so much thereof as may be necessary to perform the | |
775 | 1395 | duties imposed upon the Oklahoma Aeronautics Commission by law. | |
776 | - | ||
777 | 1396 | PUBLIC HEALTH | |
778 | - | ||
779 | 1397 | SECTION 72. There is hereby appropriated to the State | |
780 | 1398 | Department of Health from any monies not otherwise appropriated from | |
781 | 1399 | the General Revenue Fund of the State Treasury fo r the fiscal year | |
782 | 1400 | ending June 30, 2023, the sum of Thirty-nine Million Eight Hundred | |
783 | 1401 | Forty-four Thousand Eight Hundred Sixty Dollars ($39,844,860.00) or | |
784 | 1402 | so much thereof as may be necessary to perform the d uties imposed | |
785 | 1403 | upon the State Department of Hea lth by law. | |
786 | - | ||
787 | 1404 | SECTION 73. There is hereby approp riated to the State | |
788 | 1405 | Department of Health from any monies not otherwise appropriated from | |
789 | 1406 | the Cash-flow Reserve Fund (Fund 090) of the State Treasury, the sum | |
790 | 1407 | of Twenty-one Million Nine Hundred Ninety -three Thousand One Hundred | |
791 | 1408 | Four Dollars ($21,993,104.00) or so much thereof as may be nec essary | |
792 | - | ||
793 | - | ENR. S. B. NO. 1040 Page 19 | |
794 | 1409 | to perform the duties imposed upon the State Department of Hea lth by | |
795 | 1410 | law. | |
796 | - | ||
797 | 1411 | SECTION 74. There is hereby appropriated to the Oklahoma Health | |
798 | 1412 | Care Authority from any monies not otherwise appropriated from the | |
799 | 1413 | General Revenue Fund of the State Treasury for the fiscal year | |
800 | 1414 | ending June 30, 2023, the sum of Eight Hundred Fifty-nine Million | |
801 | 1415 | Eight Hundred Fifty-eight Thousand Sixty-five Dollars | |
1416 | + | ||
1417 | + | SB1040 HFLR Page 28 | |
1418 | + | BOLD FACE denotes Committee Amendments. 1 | |
1419 | + | 2 | |
1420 | + | 3 | |
1421 | + | 4 | |
1422 | + | 5 | |
1423 | + | 6 | |
1424 | + | 7 | |
1425 | + | 8 | |
1426 | + | 9 | |
1427 | + | 10 | |
1428 | + | 11 | |
1429 | + | 12 | |
1430 | + | 13 | |
1431 | + | 14 | |
1432 | + | 15 | |
1433 | + | 16 | |
1434 | + | 17 | |
1435 | + | 18 | |
1436 | + | 19 | |
1437 | + | 20 | |
1438 | + | 21 | |
1439 | + | 22 | |
1440 | + | 23 | |
1441 | + | 24 | |
1442 | + | ||
802 | 1443 | ($859,858,065.00) or so much thereof as may be necessary to perform | |
803 | 1444 | the duties imposed upon the Oklahoma Health Care Authority by law. | |
804 | - | ||
805 | 1445 | SECTION 75. There is hereby ap propriated to the Oklahoma Health | |
806 | 1446 | Care Authority from any monies not otherwise appropriated from the | |
807 | 1447 | General Revenue Fund of the State Treasury for the fiscal year | |
808 | 1448 | ending June 30, 2023, the sum of One Hundred Sixty-four Million One | |
809 | 1449 | Hundred Thirty-eight Thousand Fifty-six Dollars ($164,138,056.00) to | |
810 | 1450 | transfer to the Rate Preservation Fund created pursuant t o Section | |
811 | 1451 | 5020A of Title 63 of the Oklaho ma Statutes. | |
812 | - | ||
813 | 1452 | SECTION 76. There is hereby appropriated to the Oklahoma H ealth | |
814 | 1453 | Care Authority from any monies not otherwise appropriated from the | |
815 | 1454 | General Revenue Fund of the State Treasury for the fisc al year | |
816 | 1455 | ending June 30, 2021, the sum of Thirty-eight Million Five Hundred | |
817 | 1456 | Eighty-five Thousand Thirty-five Dollars ($38,585,035.00) or so much | |
818 | 1457 | thereof as may be neces sary to perform the duties imposed upon the | |
819 | 1458 | Oklahoma Health Care Authority by law. | |
820 | - | ||
821 | 1459 | SECTION 77. There is hereby app ropriated to the Oklahoma Health | |
822 | 1460 | Care Authority from any monies not otherwise appropriated from the | |
823 | 1461 | State Health Care Enhancement Fund of the State Treasury for the | |
824 | 1462 | fiscal year ending June 30, 2023, the sum of One Hundred Forty-eight | |
825 | 1463 | Million Eight Hundred Twenty-five Thousand One Hundred Dollars | |
826 | 1464 | ($148,825,100.00) or so much thereof as may be necessary to perform | |
827 | 1465 | the duties imposed up on the Oklahoma Health Care Authority by law. | |
828 | 1466 | ||
1467 | + | SB1040 HFLR Page 29 | |
1468 | + | BOLD FACE denotes Committee Amendments. 1 | |
1469 | + | 2 | |
1470 | + | 3 | |
1471 | + | 4 | |
1472 | + | 5 | |
1473 | + | 6 | |
1474 | + | 7 | |
1475 | + | 8 | |
1476 | + | 9 | |
1477 | + | 10 | |
1478 | + | 11 | |
1479 | + | 12 | |
1480 | + | 13 | |
1481 | + | 14 | |
1482 | + | 15 | |
1483 | + | 16 | |
1484 | + | 17 | |
1485 | + | 18 | |
1486 | + | 19 | |
1487 | + | 20 | |
1488 | + | 21 | |
1489 | + | 22 | |
1490 | + | 23 | |
1491 | + | 24 | |
1492 | + | ||
829 | 1493 | SECTION 78. There is hereby a ppropriated to the Oklahoma Health | |
830 | 1494 | Care Authority from any monies not otherwise appr opriated from the | |
831 | 1495 | State Health Care Enhancement Fund of the State Treasury for th e | |
832 | 1496 | fiscal year ending June 30, 2021, the sum of Fourteen Million Three | |
833 | 1497 | Hundred Sixty-two Thousand Five Hundred Seventy-six Dollars | |
834 | 1498 | ($14,362,576.00) or so much thereof as may be necessary to perform | |
835 | 1499 | the duties imposed upon the Oklahoma Health Care Authority by law. | |
836 | - | ||
837 | - | ENR. S. B. NO. 1040 Page 20 | |
838 | - | ||
839 | 1500 | SECTION 79. There is hereby appropriated to the Oklahoma Health | |
840 | 1501 | Care Authority from any monies not oth erwise appropriated from the | |
841 | 1502 | Tobacco Settlement F und of the State Treasury, the sum of Twelve | |
842 | 1503 | Million Five Hundred Seventy-two Thousand One Hundred Fifty-two | |
843 | 1504 | Dollars ($12,572,152.00) or so much thereof as may be necessary to | |
844 | 1505 | perform the duties imposed upon the Oklahoma Health Care Authority | |
845 | 1506 | by law. | |
846 | - | ||
847 | 1507 | SECTION 80. There is hereby appropriated to the Oklahoma Health | |
848 | 1508 | Care Authority from the Rate Preservation Fund (Fund 236), the sum | |
849 | 1509 | of Twenty-four Million Four Hundred Thousand Six Hundred Fifty -eight | |
850 | 1510 | Dollars ($24,400,658.00) or so much thereof a s may be necessary to | |
851 | 1511 | perform the duties im posed upon the Oklahoma Health Care Authority | |
852 | 1512 | by law. | |
853 | - | ||
854 | 1513 | SECTION 81. There is hereby appropriated to the J.D. McCarty | |
855 | 1514 | Center for Children with Developm ental Disabilities from any monies | |
856 | 1515 | not otherwise appropriated from the General Revenue Fund of the | |
857 | 1516 | State Treasury for the fiscal year e nding June 30, 2023, the sum of | |
1517 | + | ||
1518 | + | SB1040 HFLR Page 30 | |
1519 | + | BOLD FACE denotes Committee Amendments. 1 | |
1520 | + | 2 | |
1521 | + | 3 | |
1522 | + | 4 | |
1523 | + | 5 | |
1524 | + | 6 | |
1525 | + | 7 | |
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1537 | + | 19 | |
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1539 | + | 21 | |
1540 | + | 22 | |
1541 | + | 23 | |
1542 | + | 24 | |
1543 | + | ||
858 | 1544 | Four Million Seven Hun dred Fifty-five Thousand Five Hundred Forty- | |
859 | 1545 | three Dollars ($4,755,543.00) or so much thereof as may be necessary | |
860 | 1546 | to perform the duties imposed upon the J.D. Mc Carty Center for | |
861 | 1547 | Children with Developmental Disab ilities by law. | |
862 | - | ||
863 | 1548 | SECTION 82. There is hereby appropriated to the Department of | |
864 | 1549 | Mental Health and Su bstance Abuse Services from any monies not | |
865 | 1550 | otherwise appropriated from the General Revenue F und of the State | |
866 | 1551 | Treasury for the fiscal year endi ng June 30, 2023, the sum of Two | |
867 | 1552 | Hundred Seventy-two Million Seven Hundred Ninety Thousand Two | |
868 | 1553 | Hundred Ninety-eight Dollars ($272,790,298.00) or so much thereof as | |
869 | 1554 | may be necessary to perform the duties imp osed upon the Departmen t | |
870 | 1555 | of Mental Health and S ubstance Abuse Services by law. | |
871 | - | ||
872 | 1556 | SECTION 83. There is hereby appropriated to the Department of | |
873 | 1557 | Mental Health and Substance Abuse Services from any m onies not | |
874 | 1558 | otherwise appropriated from the Cash -flow Reserve Fund (Fun d 090) of | |
875 | 1559 | the State Treasury, the sum of Fifty Million Dollars | |
876 | 1560 | ($50,000,000.00) or so much thereof as may be necessary to perform | |
877 | 1561 | the duties imposed upon the Department of Mental Health a nd | |
878 | 1562 | Substance Abuse Services by law. | |
879 | - | ||
880 | - | ||
881 | - | ENR. S. B. NO. 1040 Page 21 | |
882 | 1563 | SECTION 84. There is hereby appropriated to the Department of | |
883 | 1564 | Mental Health and Substance A buse Services from the Rate | |
884 | 1565 | Preservation Fund (Fund 236), the sum of Two Million Seventeen | |
885 | 1566 | Thousand Five Hundred Seventy-nine Dollars ($2,017,579.00) or so | |
1567 | + | ||
1568 | + | SB1040 HFLR Page 31 | |
1569 | + | BOLD FACE denotes Committee Amendments. 1 | |
1570 | + | 2 | |
1571 | + | 3 | |
1572 | + | 4 | |
1573 | + | 5 | |
1574 | + | 6 | |
1575 | + | 7 | |
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1589 | + | 21 | |
1590 | + | 22 | |
1591 | + | 23 | |
1592 | + | 24 | |
1593 | + | ||
886 | 1594 | much thereof as may be necessary to perform the duties impo sed upon | |
887 | 1595 | the Department of Mental Health a nd Substance Abuse Services by law. | |
888 | - | ||
889 | 1596 | SECTION 85. There is hereby appropriated to the Department of | |
890 | 1597 | Mental Health and Substance Abuse Services from any monies not | |
891 | 1598 | otherwise appropriated from the Alcoh olic Beverage Control Fund of | |
892 | 1599 | the State Treasury for the fiscal year endin g June 30, 2023, the sum | |
893 | 1600 | of Thirteen Million Four Hundred Seventy-seven Thousand Seven | |
894 | 1601 | Hundred Fifty Dollars ($13,477,750.00), to perform the duties | |
895 | 1602 | imposed upon the Department of Me ntal Health and Substance Abuse | |
896 | 1603 | Services by law. | |
897 | - | ||
898 | 1604 | SECTION 86. There is hereby appropriated to the Department of | |
899 | 1605 | Mental Health and Substance Ab use Services from any monies not | |
900 | 1606 | otherwise appropriated from the Alcoholic Beverage Control Fund of | |
901 | 1607 | the State Treasury for the fiscal year ending June 30, 202 1, the sum | |
902 | 1608 | of One Million Seven Hundred Ninety-two Thousand One Hundred Fifty- | |
903 | 1609 | eight Dollars ($1,792,158.00), to perform the duties imposed upon | |
904 | 1610 | the Department of Mental Health and Substance Abuse S ervices by law. | |
905 | - | ||
906 | 1611 | SECTION 87. There is hereby appropriated to the Oklahoma S tate | |
907 | 1612 | University Medical Authority from any monies not otherwise | |
908 | 1613 | appropriated from the General Revenue Fund of the State Treasury for | |
909 | 1614 | the fiscal year ending June 30, 2 023, the sum of Seventy-seven | |
910 | 1615 | Million Three Hundred Forty-eight Thousand One Hundred Eighty-nine | |
911 | 1616 | Dollars ($77,348,189.00) or so much thereof as may be necess ary to | |
1617 | + | ||
1618 | + | SB1040 HFLR Page 32 | |
1619 | + | BOLD FACE denotes Committee Amendments. 1 | |
1620 | + | 2 | |
1621 | + | 3 | |
1622 | + | 4 | |
1623 | + | 5 | |
1624 | + | 6 | |
1625 | + | 7 | |
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1627 | + | 9 | |
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1633 | + | 15 | |
1634 | + | 16 | |
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1636 | + | 18 | |
1637 | + | 19 | |
1638 | + | 20 | |
1639 | + | 21 | |
1640 | + | 22 | |
1641 | + | 23 | |
1642 | + | 24 | |
1643 | + | ||
912 | 1644 | perform the duties imposed upon the Oklahoma State University | |
913 | 1645 | Medical Authority by law. | |
914 | - | ||
915 | 1646 | SECTION 88. There is hereby app ropriated to the University | |
916 | 1647 | Hospitals Authority from any monies not otherwise appropriated fr om | |
917 | 1648 | the General Revenue Fund of the State Treasury for the fiscal year | |
918 | 1649 | ending June 30, 2023, the sum of One Hundred Twenty-three Million | |
919 | 1650 | Five Hundred Sixty-six Thousand Four Hundred Thirty-seven Dollars | |
920 | 1651 | ($123,566,437.00) or so much thereof as may be necessary to perform | |
921 | 1652 | the duties imposed upon the University Hospitals Authority by law. | |
922 | - | ||
923 | - | ||
924 | - | ENR. S. B. NO. 1040 Page 22 | |
925 | 1653 | SECTION 89. There is hereby appropriated to the Oklahoma | |
926 | 1654 | Department of Veterans Af fairs from any monies not other wise | |
927 | 1655 | appropriated from the General Revenue Fund of the State T reasury for | |
928 | 1656 | the fiscal year ending June 30, 202 3, the sum of Forty Million Nine | |
929 | 1657 | Hundred Five Thousand Two Hundred Forty-seven Dollars | |
930 | 1658 | ($40,905,247.00) or so much thereof as may be necessary to p erform | |
931 | 1659 | the duties imposed upon the Oklahoma Depar tment of Veterans Affairs | |
932 | 1660 | by law. | |
933 | - | ||
934 | 1661 | HUMAN SERVICES | |
935 | - | ||
936 | 1662 | SECTION 90. There is hereby appropriated to the Okla homa | |
937 | 1663 | Commission on Children and Youth from any monies not otherwise | |
938 | 1664 | appropriated from the General Revenue Fund of the State Treasury for | |
939 | 1665 | the fiscal year ending June 30, 2023, the sum of Two Million Five | |
940 | 1666 | Hundred Nine Thousand Four Hundred Fourteen Dollars ( $2,509,414.00) | |
1667 | + | ||
1668 | + | SB1040 HFLR Page 33 | |
1669 | + | BOLD FACE denotes Committee Amendments. 1 | |
1670 | + | 2 | |
1671 | + | 3 | |
1672 | + | 4 | |
1673 | + | 5 | |
1674 | + | 6 | |
1675 | + | 7 | |
1676 | + | 8 | |
1677 | + | 9 | |
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1680 | + | 12 | |
1681 | + | 13 | |
1682 | + | 14 | |
1683 | + | 15 | |
1684 | + | 16 | |
1685 | + | 17 | |
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1687 | + | 19 | |
1688 | + | 20 | |
1689 | + | 21 | |
1690 | + | 22 | |
1691 | + | 23 | |
1692 | + | 24 | |
1693 | + | ||
941 | 1694 | or so much thereof as may be ne cessary to perform the duties imposed | |
942 | 1695 | upon the Oklahoma Commission on Children and Youth by l aw. | |
943 | - | ||
944 | 1696 | SECTION 91. There is hereby appropriated to the Office of | |
945 | 1697 | Disability Concerns from any monies not otherwise appropriated from | |
946 | 1698 | the General Revenue Fund of the State Treasury for the fiscal year | |
947 | 1699 | ending June 30, 2023, the sum of Three Hund red Twenty-seven Thousand | |
948 | 1700 | Ninety-five Dollars ($327,095.00) or so much thereof as may be | |
949 | 1701 | necessary to perform the dut ies imposed upon the Office of | |
950 | 1702 | Disability Concerns by law. | |
951 | - | ||
952 | 1703 | SECTION 92. There is hereby appropriated to the Department of | |
953 | 1704 | Human Services from any monies not otherwise appropriated from the | |
954 | 1705 | General Revenue Fund of the State Treasury for the f iscal year | |
955 | 1706 | ending June 30, 2023, the sum of Seven Hundred Twenty-nine Million | |
956 | 1707 | Nine Hundred Twelve Thousand Six Hundred Fifty-two Dollars | |
957 | 1708 | ($729,912,652.00) or so much thereof as may be necessary to perform | |
958 | 1709 | the duties imposed upon the Department of Human Ser vices by law. | |
959 | - | ||
960 | 1710 | SECTION 93. There is hereby appropriat ed to the Department o f | |
961 | 1711 | Human Services from any monies not otherwise appropriated from th e | |
962 | 1712 | Cash-flow Reserve Fund (Fund 090) of the State Treasury, the sum of | |
963 | 1713 | Twenty Million Dollars ($20,000,000.00) or so much thereof as may be | |
964 | 1714 | necessary to perform the duties imposed upon t he Department of Human | |
965 | 1715 | Services by law. | |
966 | - | ||
967 | - | ||
968 | - | ENR. S. B. NO. 1040 Page 23 | |
969 | 1716 | SECTION 94. There is hereby appropriated to the Department of | |
970 | 1717 | Human Services from any monies not otherwise appropriated from the | |
1718 | + | ||
1719 | + | SB1040 HFLR Page 34 | |
1720 | + | BOLD FACE denotes Committee Amendments. 1 | |
1721 | + | 2 | |
1722 | + | 3 | |
1723 | + | 4 | |
1724 | + | 5 | |
1725 | + | 6 | |
1726 | + | 7 | |
1727 | + | 8 | |
1728 | + | 9 | |
1729 | + | 10 | |
1730 | + | 11 | |
1731 | + | 12 | |
1732 | + | 13 | |
1733 | + | 14 | |
1734 | + | 15 | |
1735 | + | 16 | |
1736 | + | 17 | |
1737 | + | 18 | |
1738 | + | 19 | |
1739 | + | 20 | |
1740 | + | 21 | |
1741 | + | 22 | |
1742 | + | 23 | |
1743 | + | 24 | |
1744 | + | ||
971 | 1745 | Rate Preservation Fund (Fund 236), the sum of Three Million Seven | |
972 | 1746 | Hundred Seventy Thousand Three Hundred Twelve Dollars | |
973 | 1747 | ($3,770,312.00) or so much thereof as may be necessary to perform | |
974 | 1748 | the duties imposed upon the Department of Human Se rvices by law. | |
975 | - | ||
976 | 1749 | SECTION 95. There is hereby appropriated to the Office of | |
977 | 1750 | Juvenile Affairs from an y monies not otherwise appropriated from the | |
978 | 1751 | General Revenue Fund of the State Treasury for the fiscal year | |
979 | 1752 | ending June 30, 2023, the sum of One Hundred One Million Six Hundred | |
980 | 1753 | Twenty-six Thousand Eight Hundred Thirty-seven Dollars | |
981 | 1754 | ($101,626,837.00) or so much thereof as may be necessary to perform | |
982 | 1755 | the duties imposed upon the Office of J uvenile Affairs by law. | |
983 | - | ||
984 | 1756 | SECTION 96. There is hereby appropriated to the State | |
985 | 1757 | Department of Rehabilitation Services from any monies not otherwise | |
986 | 1758 | appropriated from the General Revenue Fund of the State Trea sury for | |
987 | 1759 | the fiscal year ending Ju ne 30, 2023, the sum of Thirty-five Million | |
988 | 1760 | Six Hundred Twenty-three Thousand Two Hundred Ninety-five Dollars | |
989 | 1761 | ($35,623,295.00) or so much thereof as may be necessary to perf orm | |
990 | 1762 | the duties imposed upon the State Department of Rehabilitation | |
991 | 1763 | Services by law. | |
992 | - | ||
993 | 1764 | NATURAL RESOURCES AND REGULATORY SERVICES | |
994 | - | ||
995 | 1765 | SECTION 97. There is hereby appropriated to the Okla homa | |
996 | 1766 | Department of Agriculture, Food, and Forestry from any mo nies not | |
997 | 1767 | otherwise appropriated from the General Revenue Fund of the State | |
998 | 1768 | Treasury for the fiscal ye ar ending June 30, 2023, the sum of | |
1769 | + | ||
1770 | + | SB1040 HFLR Page 35 | |
1771 | + | BOLD FACE denotes Committee Amendments. 1 | |
1772 | + | 2 | |
1773 | + | 3 | |
1774 | + | 4 | |
1775 | + | 5 | |
1776 | + | 6 | |
1777 | + | 7 | |
1778 | + | 8 | |
1779 | + | 9 | |
1780 | + | 10 | |
1781 | + | 11 | |
1782 | + | 12 | |
1783 | + | 13 | |
1784 | + | 14 | |
1785 | + | 15 | |
1786 | + | 16 | |
1787 | + | 17 | |
1788 | + | 18 | |
1789 | + | 19 | |
1790 | + | 20 | |
1791 | + | 21 | |
1792 | + | 22 | |
1793 | + | 23 | |
1794 | + | 24 | |
1795 | + | ||
999 | 1796 | Thirty-seven Million One Hundred Forty-six Thousand One Hundred | |
1000 | 1797 | Ninety-eight Dollars ($37,146,198.00) or so much thereo f as may be | |
1001 | 1798 | necessary to perform the duties impos ed upon the Oklahoma Department | |
1002 | 1799 | of Agriculture, Food, and Forestry by law. | |
1003 | - | ||
1004 | 1800 | SECTION 98. There is hereby appropriated to the Okl ahoma | |
1005 | 1801 | Department of Agriculture, Food, and Forestry from any moni es not | |
1006 | 1802 | otherwise appropriated from the Special Ca sh Fund of the State | |
1007 | 1803 | Treasury, the sum of Eight Million Four Hundred Fourteen Thousand | |
1008 | 1804 | Five Hundred Fifty Dollars ($8,414,550.00) or so much thereof as may | |
1009 | 1805 | be necessary to perform the duties imposed upon the Oklahoma | |
1010 | 1806 | Department of Agriculture, Food, and Fo restry by law. | |
1011 | - | ||
1012 | - | ENR. S. B. NO. 1040 Page 24 | |
1013 | - | ||
1014 | 1807 | SECTION 99. There is hereby appropriated to the Oklahoma | |
1015 | 1808 | Conservation Commission from any monies not otherwise approp riated | |
1016 | 1809 | from the General Revenue Fund of the State Treasury for the fiscal | |
1017 | 1810 | year ending June 30, 202 3, the sum of Twenty Million One Hundred | |
1018 | 1811 | Sixty-two Thousand Nine Hundred Eig hty-eight Dollars | |
1019 | 1812 | ($20,162,988.00) or so much thereof as may be necessary t o perform | |
1020 | 1813 | the duties imposed upon the Oklahoma Conservation Commis sion by law. | |
1021 | - | ||
1022 | 1814 | SECTION 100. There is hereby appropriated to the Corporation | |
1023 | 1815 | Commission from any monies not otherwise appropriated from the Cash- | |
1024 | 1816 | flow Reserve Fund (090) of the State Treasury, the sum of Sixteen | |
1025 | 1817 | Million Nine Hundred Sixty -four Thousand Two Hundred Fifty-five | |
1026 | 1818 | Dollars ($16,964,255.00) or so much thereof as may be n ecessary to | |
1027 | 1819 | perform the duties imposed upon the Corporation Co mmission by law. | |
1820 | + | ||
1821 | + | SB1040 HFLR Page 36 | |
1822 | + | BOLD FACE denotes Committee Amendments. 1 | |
1823 | + | 2 | |
1824 | + | 3 | |
1825 | + | 4 | |
1826 | + | 5 | |
1827 | + | 6 | |
1828 | + | 7 | |
1829 | + | 8 | |
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1840 | + | 19 | |
1841 | + | 20 | |
1842 | + | 21 | |
1843 | + | 22 | |
1844 | + | 23 | |
1845 | + | 24 | |
1028 | 1846 | ||
1029 | 1847 | SECTION 101. There is hereby appropriated to the Department of | |
1030 | 1848 | Environmental Quality from any monies not otherwise appropriat ed | |
1031 | 1849 | from the General Revenue Fund of t he State Treasury for the f iscal | |
1032 | 1850 | year ending June 30, 202 3, the sum of Twenty Million Three Hundred | |
1033 | 1851 | Twenty-two Thousand Six Hundred Forty -three Dollars ($20,322,643.00) | |
1034 | 1852 | or so much thereof as may be necessary to perform the duties imposed | |
1035 | 1853 | upon the Department of Environmen tal Quality by law. | |
1036 | - | ||
1037 | 1854 | SECTION 102. There is hereby appropriated to the Oklahoma | |
1038 | 1855 | Historical Society from any monies not otherwise appropriated from | |
1039 | 1856 | the General Revenue Fund of the State Treasu ry for the fiscal year | |
1040 | 1857 | ending June 30, 2023, the sum of Thirteen Million Nine Hundred | |
1041 | 1858 | Sixty-six Thousand Six Hundred Sixty-five Dollars ($13,966,665.00) | |
1042 | 1859 | or so much thereof as may be necessary to perform the duties imposed | |
1043 | 1860 | upon the Oklahoma Historical Socie ty by law. | |
1044 | - | ||
1045 | 1861 | SECTION 103. There is hereby appropriated to the J.M. Davis | |
1046 | 1862 | Memorial Commission from any monies not otherwise approp riated from | |
1047 | 1863 | the General Revenue Fund of the State Treasury for th e fiscal year | |
1048 | 1864 | ending June 30, 2023, the sum of Five Hundred Forty Thousand Dollars | |
1049 | 1865 | ($540,000.00) or so much thereof as may be necessary to perform t he | |
1050 | 1866 | duties imposed upon the J.M. Davis Mem orial Commission by law. | |
1051 | - | ||
1052 | 1867 | SECTION 104. There is hereby appropriated to the Department of | |
1053 | 1868 | Labor from any monies not otherwise appropriated from the Ge neral | |
1054 | 1869 | Revenue Fund of the State Treasury for the fis cal year ending June | |
1055 | - | ||
1056 | - | ENR. S. B. NO. 1040 Page 25 | |
1057 | 1870 | 30, 2021, the sum of One Million Eight Hundred Thirty -three Thousand | |
1871 | + | ||
1872 | + | SB1040 HFLR Page 37 | |
1873 | + | BOLD FACE denotes Committee Amendments. 1 | |
1874 | + | 2 | |
1875 | + | 3 | |
1876 | + | 4 | |
1877 | + | 5 | |
1878 | + | 6 | |
1879 | + | 7 | |
1880 | + | 8 | |
1881 | + | 9 | |
1882 | + | 10 | |
1883 | + | 11 | |
1884 | + | 12 | |
1885 | + | 13 | |
1886 | + | 14 | |
1887 | + | 15 | |
1888 | + | 16 | |
1889 | + | 17 | |
1890 | + | 18 | |
1891 | + | 19 | |
1892 | + | 20 | |
1893 | + | 21 | |
1894 | + | 22 | |
1895 | + | 23 | |
1896 | + | 24 | |
1897 | + | ||
1058 | 1898 | Four Hundred Forty-four Dollars ($1,833,444.00) or so much thereof | |
1059 | 1899 | as may be necessary to perform the duties imposed upon the | |
1060 | 1900 | Department of Labor by law. | |
1061 | - | ||
1062 | 1901 | SECTION 105. There is hereby appropriated to the Department of | |
1063 | 1902 | Labor from any monies not otherwise approp riated from the Special | |
1064 | 1903 | Occupational Health and S afety Fund for the fiscal year ending June | |
1065 | 1904 | 30, 2023, the sum of One Million One Hundred Eighty -six Thousand | |
1066 | 1905 | Eight Hundred Seventy-three Dollars ($1,186,873.00) or so much | |
1067 | 1906 | thereof as may be ne cessary to perform the duties imposed upon the | |
1068 | 1907 | Department of Labor by law. | |
1069 | - | ||
1070 | 1908 | SECTION 106. There is hereby appropriat ed to the Department of | |
1071 | 1909 | Labor from any monies not otherwise appropriated from the Speci al | |
1072 | 1910 | Occupational Health and Safety Fund f or the fiscal year ending June | |
1073 | 1911 | 30, 2021, the sum of Five Hundred Fifty-seven Thousand Eight Hundred | |
1074 | 1912 | Ninety-six Dollars ($557,896.00) or so much thereof as may be | |
1075 | 1913 | necessary to perform the duties imposed upon the Depar tment of Labor | |
1076 | 1914 | by law. | |
1077 | - | ||
1078 | 1915 | SECTION 107. Of the funds appropriated in Sections 104, 105, | |
1079 | 1916 | and 106 of this act, a maximum of One Million Two Hundred Seventy - | |
1080 | 1917 | five Thousand Dollars ($1,275,000.00) m ay be transferred to the | |
1081 | 1918 | Department of Labor Revolvi ng Fund created by Sec tion 141.19 of | |
1082 | 1919 | Title 40 of the Oklahoma Statutes, to be expended in accordance with | |
1083 | 1920 | law. | |
1921 | + | ||
1922 | + | SB1040 HFLR Page 38 | |
1923 | + | BOLD FACE denotes Committee Amendments. 1 | |
1924 | + | 2 | |
1925 | + | 3 | |
1926 | + | 4 | |
1927 | + | 5 | |
1928 | + | 6 | |
1929 | + | 7 | |
1930 | + | 8 | |
1931 | + | 9 | |
1932 | + | 10 | |
1933 | + | 11 | |
1934 | + | 12 | |
1935 | + | 13 | |
1936 | + | 14 | |
1937 | + | 15 | |
1938 | + | 16 | |
1939 | + | 17 | |
1940 | + | 18 | |
1941 | + | 19 | |
1942 | + | 20 | |
1943 | + | 21 | |
1944 | + | 22 | |
1945 | + | 23 | |
1946 | + | 24 | |
1084 | 1947 | ||
1085 | 1948 | SECTION 108. There is hereby appropriated t o the Department of | |
1086 | 1949 | Mines from any monies not otherwise appropriated from the General | |
1087 | 1950 | Revenue Fund of the Sta te Treasury for the fisc al year ending June | |
1088 | 1951 | 30, 2023, the sum of Seven Hundred Sixt y-nine Thousand Nine Hundred | |
1089 | 1952 | Thirty-three Dollars ($769,933.00) or so much thereof as may be | |
1090 | 1953 | necessary to perform the duties imposed upon the Departmen t of Mines | |
1091 | 1954 | by law. | |
1092 | - | ||
1093 | 1955 | SECTION 109. There is hereby appropriated to the Oklahoma | |
1094 | 1956 | Tourism and Recreation Department from any monies not otherwise | |
1095 | 1957 | appropriated from the General Revenue Fund of th e State Treasury for | |
1096 | 1958 | the fiscal year ending June 30, 2023, the sum of Twenty-three | |
1097 | 1959 | Million Nine Hundred Eigh ty-eight Thousand Seven Hundred Seventy -six | |
1098 | 1960 | Dollars ($23,988,776.00) or so much thereof as may be ne cessary to | |
1099 | - | ||
1100 | - | ENR. S. B. NO. 1040 Page 26 | |
1101 | 1961 | perform the duties imposed upon the O klahoma Tourism and Recreation | |
1102 | 1962 | Department by law. | |
1103 | - | ||
1104 | 1963 | SECTION 110. There is hereby appropriated t o the Oklahoma Water | |
1105 | 1964 | Resources Board from any mon ies not otherwise appropriated from the | |
1106 | 1965 | General Revenue Fund of the State Treasury for the fiscal y ear | |
1107 | 1966 | ending June 30, 2023, the sum of Eight Million Four Hundred Forty - | |
1108 | 1967 | five Thousand Three Hundred Twenty -three Dollars ($8,445,323.00) or | |
1109 | 1968 | so much thereof as may be necessary to perform the duties imposed | |
1110 | 1969 | upon the Oklahoma Water Resources Board by law. | |
1111 | - | ||
1112 | 1970 | SECTION 111. The Director of the Office of Management and | |
1113 | 1971 | Enterprise Services shall transfer monies from the appropriation | |
1972 | + | ||
1973 | + | SB1040 HFLR Page 39 | |
1974 | + | BOLD FACE denotes Committee Amendments. 1 | |
1975 | + | 2 | |
1976 | + | 3 | |
1977 | + | 4 | |
1978 | + | 5 | |
1979 | + | 6 | |
1980 | + | 7 | |
1981 | + | 8 | |
1982 | + | 9 | |
1983 | + | 10 | |
1984 | + | 11 | |
1985 | + | 12 | |
1986 | + | 13 | |
1987 | + | 14 | |
1988 | + | 15 | |
1989 | + | 16 | |
1990 | + | 17 | |
1991 | + | 18 | |
1992 | + | 19 | |
1993 | + | 20 | |
1994 | + | 21 | |
1995 | + | 22 | |
1996 | + | 23 | |
1997 | + | 24 | |
1998 | + | ||
1114 | 1999 | made to the Oklahoma Wa ter Resources Board in Section 110 of t his | |
1115 | 2000 | act to the Rural Economic Action Plan Water Projects Fun d (225 Fund) | |
1116 | 2001 | created pursuant to Section 2002.1 of Title 62 of the Oklahoma | |
1117 | 2002 | Statutes in amounts and ratios requested by the agency for the Rural | |
1118 | 2003 | Economic Action Plan program except that the cumula tive amounts | |
1119 | 2004 | transferred shall not exceed the cumulative amo unts of equal monthly | |
1120 | 2005 | allotments of the appropriation made to the Oklahoma Water Resources | |
1121 | 2006 | Board. | |
1122 | - | ||
1123 | 2007 | PUBLIC SAFETY | |
1124 | - | ||
1125 | 2008 | SECTION 112. There is hereby appropriated to the Alcoholic | |
1126 | 2009 | Beverage Laws Enforcemen t Commission from any monie s not otherwise | |
1127 | 2010 | appropriated from the General Revenue Fund of the State Treasury for | |
1128 | 2011 | the fiscal year ending June 30, 2023, the sum of Two Million Seven | |
1129 | 2012 | Hundred Fifty-three Thousand Six Hundred Fifty-nine Dollars | |
1130 | 2013 | ($2,753,659.00) or so much thereof as may b e necessary to perform | |
1131 | 2014 | the duties imposed upon the Alcoholic Beverage Laws Enforcement | |
1132 | 2015 | Commission by law. | |
1133 | - | ||
1134 | 2016 | SECTION 113. There is hereby appropriated t o the Department of | |
1135 | 2017 | Corrections from any monies not otherwise appr opriated from the | |
1136 | 2018 | General Revenue Fund of the State Treasury for the fiscal year | |
1137 | 2019 | ending June 30, 2023, the sum of Five Hundred Twenty-six Million Six | |
1138 | 2020 | Hundred Thirty-two Thousand Five Hundred Eigh ty-three Dollars | |
1139 | 2021 | ($526,632,583.00) or so much thereof as may be necessary to perform | |
1140 | 2022 | the duties imposed upon the Department of Corrections by law. | |
1141 | 2023 | ||
1142 | - | ||
1143 | - | ENR. S. B. NO. 1040 Page 27 | |
2024 | + | SB1040 HFLR Page 40 | |
2025 | + | BOLD FACE denotes Committee Amendments. 1 | |
2026 | + | 2 | |
2027 | + | 3 | |
2028 | + | 4 | |
2029 | + | 5 | |
2030 | + | 6 | |
2031 | + | 7 | |
2032 | + | 8 | |
2033 | + | 9 | |
2034 | + | 10 | |
2035 | + | 11 | |
2036 | + | 12 | |
2037 | + | 13 | |
2038 | + | 14 | |
2039 | + | 15 | |
2040 | + | 16 | |
2041 | + | 17 | |
2042 | + | 18 | |
2043 | + | 19 | |
2044 | + | 20 | |
2045 | + | 21 | |
2046 | + | 22 | |
2047 | + | 23 | |
2048 | + | 24 | |
2049 | + | ||
1144 | 2050 | SECTION 114. There is hereby appro priated to the Department of | |
1145 | 2051 | Corrections from any monies not otherwise appropriated from Special | |
1146 | 2052 | Cash Fund of the State Treasury, the sum of Twenty-five Million Four | |
1147 | 2053 | Hundred Fifty Thousand Three Hundred Seventeen Dollars | |
1148 | 2054 | ($25,450,317.00) or so much thereof as may be necessary to perform | |
1149 | 2055 | the duties imposed upon the Department of Corrections by law. | |
1150 | - | ||
1151 | 2056 | SECTION 115. There is hereby appropriated to the Oklahoma State | |
1152 | 2057 | Bureau of Investigation from any moni es not otherwise appropriated | |
1153 | 2058 | from the General Revenue Fund of the St ate Treasury for the fis cal | |
1154 | 2059 | year ending June 30, 2023, the sum of Twenty-seven Million Four | |
1155 | 2060 | Hundred Forty-two Thousand Three Hundred Seventy-four Dollars | |
1156 | 2061 | ($27,442,374.00) or so much thereof as m ay be necessary to perform | |
1157 | 2062 | the duties imposed upon the Oklahoma State Bureau of Investigation | |
1158 | 2063 | by law. Of the funds appropriated herein, a maximum of One Hundre d | |
1159 | 2064 | Thousand Dollars ($100,000.00) may be transf erred to an agency | |
1160 | 2065 | special account for the purpose of purchasing evidence items, paying | |
1161 | 2066 | fees to informers or special em ployees, paying expenses incurred in | |
1162 | 2067 | the prosecution and defense of civil actions, and payi ng other | |
1163 | 2068 | expenses as incurred under the Eviden ce Fund activity in trying to | |
1164 | 2069 | apprehend and convic t violators of the laws of the state. The | |
1165 | 2070 | Oklahoma State Bureau of I nvestigation shall repor t income to the | |
1166 | 2071 | Evidence Fund annually pursuant to the provisions o f Sections 34.36 | |
1167 | 2072 | and 34.42 of Title 62 of the Oklahoma Statutes. | |
1168 | 2073 | ||
2074 | + | SB1040 HFLR Page 41 | |
2075 | + | BOLD FACE denotes Committee Amendments. 1 | |
2076 | + | 2 | |
2077 | + | 3 | |
2078 | + | 4 | |
2079 | + | 5 | |
2080 | + | 6 | |
2081 | + | 7 | |
2082 | + | 8 | |
2083 | + | 9 | |
2084 | + | 10 | |
2085 | + | 11 | |
2086 | + | 12 | |
2087 | + | 13 | |
2088 | + | 14 | |
2089 | + | 15 | |
2090 | + | 16 | |
2091 | + | 17 | |
2092 | + | 18 | |
2093 | + | 19 | |
2094 | + | 20 | |
2095 | + | 21 | |
2096 | + | 22 | |
2097 | + | 23 | |
2098 | + | 24 | |
2099 | + | ||
1169 | 2100 | SECTION 116. There is hereby appropriated to the Counci l on Law | |
1170 | 2101 | Enforcement Education and Training from any m onies not otherwise | |
1171 | 2102 | appropriated from the Cash-flow Reserve Fund (Fund 090) of the State | |
1172 | 2103 | Treasury the sum of Four Million Eight Hundred Seven Thousand Eight | |
1173 | 2104 | Hundred Eighty Dollars ($4,807,880.00) or so much thereof as may be | |
1174 | 2105 | necessary to perform the duties impos ed upon the Council on Law | |
1175 | 2106 | Enforcement Education and Training by law. | |
1176 | - | ||
1177 | 2107 | SECTION 117. There is hereby appropriated to the Council on Law | |
1178 | 2108 | Enforcement Education and Training from a ny monies not otherwise | |
1179 | 2109 | appropriated from the C.L.E.E.T. Fund for the fiscal year ending | |
1180 | 2110 | June 30, 2023, the sum of Two Million Five Hundred Thirteen Thousand | |
1181 | 2111 | Six Hundred Ninety-nine Dollars ($2,513,699.00) or so much thereof | |
1182 | 2112 | as may be necessary to perform the d uties imposed upon the C ouncil | |
1183 | 2113 | on Law Enforcement Education an d Training by law. | |
1184 | - | ||
1185 | - | ||
1186 | - | ENR. S. B. NO. 1040 Page 28 | |
1187 | 2114 | SECTION 118. There is hereby appropriated to the Boar d of | |
1188 | 2115 | Medicolegal Investigations from any monies not otherwise | |
1189 | 2116 | appropriated from the General Revenue Fund of the State Treasury for | |
1190 | 2117 | the fiscal year ending June 30, 202 3, the sum of Fifteen Million Two | |
1191 | 2118 | Hundred Six Thousand One Hund red Forty-four Dollars ($15,206,144.00) | |
1192 | 2119 | or so much thereof as may be necessary to perform the duties imposed | |
1193 | 2120 | upon the Board of Medicole gal Investigations by law. | |
1194 | - | ||
1195 | 2121 | SECTION 119. There is hereby appropriated to the Oklahoma Sta te | |
1196 | 2122 | Bureau of Narcotics and Dangerous Drugs Co ntrol from any monies not | |
1197 | 2123 | otherwise appropriated from the General Revenue Fund of the State | |
2124 | + | ||
2125 | + | SB1040 HFLR Page 42 | |
2126 | + | BOLD FACE denotes Committee Amendments. 1 | |
2127 | + | 2 | |
2128 | + | 3 | |
2129 | + | 4 | |
2130 | + | 5 | |
2131 | + | 6 | |
2132 | + | 7 | |
2133 | + | 8 | |
2134 | + | 9 | |
2135 | + | 10 | |
2136 | + | 11 | |
2137 | + | 12 | |
2138 | + | 13 | |
2139 | + | 14 | |
2140 | + | 15 | |
2141 | + | 16 | |
2142 | + | 17 | |
2143 | + | 18 | |
2144 | + | 19 | |
2145 | + | 20 | |
2146 | + | 21 | |
2147 | + | 22 | |
2148 | + | 23 | |
2149 | + | 24 | |
2150 | + | ||
1198 | 2151 | Treasury for the fiscal year ending June 30, 202 3, the sum of Three | |
1199 | 2152 | Million One Hundred Forty-five Thousand Three Hundred Thirty Dollars | |
1200 | 2153 | ($3,145,330.00) or so much thereof as may be necessary to perform | |
1201 | 2154 | the duties imposed upon the Oklahoma State Bureau of Narcotics and | |
1202 | 2155 | Dangerous Drugs Control by law. | |
1203 | - | ||
1204 | 2156 | SECTION 120. There is hereby appropriated to the Department of | |
1205 | 2157 | Public Safety from any monies not otherw ise appropriated from the | |
1206 | 2158 | General Revenue Fund of the State Treasury for the fiscal year | |
1207 | 2159 | ending June 30, 2023, the sum of Ninety Million Four Hundred Fifty - | |
1208 | 2160 | eight Thousand Seventy-one Dollars ($90,458,071.00) or so much | |
1209 | 2161 | thereof as may be necessary to perform the duties imposed upon the | |
1210 | 2162 | Department of Public Safety by law . Of the funds appropriated , the | |
1211 | 2163 | Department of Public Safety is authorized to transfer an amount not | |
1212 | 2164 | to exceed Four Million Dollars ($4,000,000.00) to the Department of | |
1213 | 2165 | Public Safety Patrol Academy Revolving Fund , created by Section 2- | |
1214 | 2166 | 146 of Title 47 of the Oklahoma Statutes. | |
1215 | - | ||
1216 | 2167 | SECTION 121. There is hereby appropriated to the Department of | |
1217 | 2168 | Public Safety from any monies not otherwise appropriated from the | |
1218 | 2169 | State Public Safety Fund of the State Treasury for the fiscal year | |
1219 | 2170 | ending June 30, 2023, the sum of Fifteen Million Nine Hundred | |
1220 | 2171 | Eighty-seven Thousand Fifty-five Dollars ($15,987,055.00) or so much | |
1221 | 2172 | thereof as may be necessary to perform the duties imposed upon the | |
1222 | 2173 | Department of Public Safety by law. | |
1223 | - | ||
1224 | 2174 | JUDICIARY | |
2175 | + | ||
2176 | + | SB1040 HFLR Page 43 | |
2177 | + | BOLD FACE denotes Committee Amendments. 1 | |
2178 | + | 2 | |
2179 | + | 3 | |
2180 | + | 4 | |
2181 | + | 5 | |
2182 | + | 6 | |
2183 | + | 7 | |
2184 | + | 8 | |
2185 | + | 9 | |
2186 | + | 10 | |
2187 | + | 11 | |
2188 | + | 12 | |
2189 | + | 13 | |
2190 | + | 14 | |
2191 | + | 15 | |
2192 | + | 16 | |
2193 | + | 17 | |
2194 | + | 18 | |
2195 | + | 19 | |
2196 | + | 20 | |
2197 | + | 21 | |
2198 | + | 22 | |
2199 | + | 23 | |
2200 | + | 24 | |
1225 | 2201 | ||
1226 | 2202 | SECTION 122. There is hereby appropriated to the Office of the | |
1227 | 2203 | Attorney General from any monies not otherwise appropri ated from | |
1228 | 2204 | General Revenue Fund of the State Treasury for the fis cal year | |
1229 | - | ||
1230 | - | ENR. S. B. NO. 1040 Page 29 | |
1231 | 2205 | ending June 30, 2023, the sum of Twenty-one Million Eight Hundred | |
1232 | 2206 | Thirty-nine Thousand One Hundred Thirty -two Dollars ($21,839,132.00) | |
1233 | 2207 | or so much thereof as may be necessary to perform the duties imposed | |
1234 | 2208 | upon the Office of the Attorney General by law. | |
1235 | - | ||
1236 | 2209 | SECTION 123. There is hereby a ppropriated to the Office of the | |
1237 | 2210 | Attorney General from any monies not otherwise appropriated from the | |
1238 | 2211 | General Revenue Fund of the State Treasur y for the fiscal year | |
1239 | 2212 | ending June 30, 2021, the sum of Nine Hundred Fifty -nine Thousand | |
1240 | 2213 | Three Hundred Seventy-eight Dollars ($959,378.00) to transfer to the | |
1241 | 2214 | Legal Services Revolving Fund, created pursuant to subsection G of | |
1242 | 2215 | Section 921.1 of Title 12 of the Oklahoma Statutes. | |
1243 | - | ||
1244 | 2216 | SECTION 124. There is hereby appropriated to the Office of the | |
1245 | 2217 | Attorney General from any monies not otherwise appropriated from the | |
1246 | 2218 | General Revenue Fund of the State Treasury for the fis cal year | |
1247 | 2219 | ending June 30, 2023, the sum of Ten Million Dollars | |
1248 | 2220 | ($10,000,000.00) or so much thereof as may be nece ssary to address | |
1249 | 2221 | federal overreach pu rsuant to Enrolled House Bill No. 1236 of the | |
1250 | 2222 | 1st Session of the 58th Oklahoma Legislature and extraordinary | |
1251 | 2223 | litigation costs. | |
1252 | - | ||
1253 | 2224 | SECTION 125. For the fiscal year ending June 30, 2023, the | |
1254 | 2225 | Office of the Attorney Gener al is authorized to transfe r an amount | |
2226 | + | ||
2227 | + | SB1040 HFLR Page 44 | |
2228 | + | BOLD FACE denotes Committee Amendments. 1 | |
2229 | + | 2 | |
2230 | + | 3 | |
2231 | + | 4 | |
2232 | + | 5 | |
2233 | + | 6 | |
2234 | + | 7 | |
2235 | + | 8 | |
2236 | + | 9 | |
2237 | + | 10 | |
2238 | + | 11 | |
2239 | + | 12 | |
2240 | + | 13 | |
2241 | + | 14 | |
2242 | + | 15 | |
2243 | + | 16 | |
2244 | + | 17 | |
2245 | + | 18 | |
2246 | + | 19 | |
2247 | + | 20 | |
2248 | + | 21 | |
2249 | + | 22 | |
2250 | + | 23 | |
2251 | + | 24 | |
2252 | + | ||
1255 | 2253 | not to exceed Three Hundred Twenty Thousand Four Hundred Thirty | |
1256 | 2254 | Dollars ($320,430.00) from the Office of the Attorney General’s | |
1257 | 2255 | Evidence Fund (Fund 700), created by Section 19 of Title 74 of the | |
1258 | 2256 | Oklahoma Statutes, to the Office of the Attorney General’s Revolving | |
1259 | 2257 | Fund (Fund 200), created by Section 20 of Title 74 of the Oklahom a | |
1260 | 2258 | Statutes. | |
1261 | - | ||
1262 | 2259 | SECTION 126. There is hereby appropriated to the Court of | |
1263 | 2260 | Criminal Appeals from any monies not otherwise appropriated from the | |
1264 | 2261 | General Revenue Fund of the State Treasury for the fiscal year | |
1265 | 2262 | ending June 30, 2023, the sum of Four Million One Hundred Thousand | |
1266 | 2263 | Two Hundred Ninety-seven Dollars ($4,100,297.00) or so much thereof | |
1267 | 2264 | as may be necessary to perform the duties impose d upon the Court of | |
1268 | 2265 | Criminal Appeals by law. | |
1269 | - | ||
1270 | 2266 | SECTION 127. There is hereby appropriated to the District | |
1271 | 2267 | Attorneys Council from any mon ies not otherwise appropriated from | |
1272 | 2268 | the General Revenue Fund of the State Treasury for the fiscal year | |
1273 | - | ||
1274 | - | ENR. S. B. NO. 1040 Page 30 | |
1275 | 2269 | ending June 30, 2023, the sum of Seventy Million Seven Hundred | |
1276 | 2270 | Seventy-nine Thousand Seven Hundred Eighty -two Dollars | |
1277 | 2271 | ($70,779,782.00) or so much thereof as may be necessar y to perform | |
1278 | 2272 | the duties imposed upon the district attorneys and the District | |
1279 | 2273 | Attorneys Council by law. Of the funds appropriated herein, the | |
1280 | 2274 | District Attorneys Council shall transfer up to the sum of Fo ur | |
1281 | 2275 | Hundred Ninety-one Thousand Fourteen Dollars ($491 ,014.00) or so | |
1282 | 2276 | much thereof as may be required by the district attorneys and | |
2277 | + | ||
2278 | + | SB1040 HFLR Page 45 | |
2279 | + | BOLD FACE denotes Committee Amendments. 1 | |
2280 | + | 2 | |
2281 | + | 3 | |
2282 | + | 4 | |
2283 | + | 5 | |
2284 | + | 6 | |
2285 | + | 7 | |
2286 | + | 8 | |
2287 | + | 9 | |
2288 | + | 10 | |
2289 | + | 11 | |
2290 | + | 12 | |
2291 | + | 13 | |
2292 | + | 14 | |
2293 | + | 15 | |
2294 | + | 16 | |
2295 | + | 17 | |
2296 | + | 18 | |
2297 | + | 19 | |
2298 | + | 20 | |
2299 | + | 21 | |
2300 | + | 22 | |
2301 | + | 23 | |
2302 | + | 24 | |
2303 | + | ||
1283 | 2304 | District Attorneys Council to the Distr ict Attorneys Evidence Fund | |
1284 | 2305 | for necessary expenses relative to any case within the offi cial | |
1285 | 2306 | responsibility of the off ices of the district at torneys as provided | |
1286 | 2307 | by Section 215.40 of Title 19 of the Oklahoma Statutes. | |
1287 | - | ||
1288 | 2308 | SECTION 128. For the fiscal year ending June 30, 2023, the | |
1289 | 2309 | District Attorneys Council is authorized to transfer an amount not | |
1290 | 2310 | to exceed One Million Dollars ($1,000,0 00.00), on an as-needed | |
1291 | 2311 | basis, from the Crime Victims Compensation Revolving Fund , created | |
1292 | 2312 | by Section 142.17 of Titl e 21 of the Oklahoma Statutes, to the | |
1293 | 2313 | Sexual Assault Examination Fund, created by Secti on 142.20 of Title | |
1294 | 2314 | 21 of the Oklahoma Statutes. | |
1295 | - | ||
1296 | 2315 | SECTION 129. For the fiscal year ending June 30, 202 3, up to | |
1297 | 2316 | Nine Hundred Thousand Dollars ( $900,000.00) is authorized to be | |
1298 | 2317 | transferred from the Crime Victims Compensation Revolving Fun d, | |
1299 | 2318 | created by Section 142.17 o f Title 21 of the Oklahoma St atutes, to | |
1300 | 2319 | the District Attorneys Council to support the Crime Victims | |
1301 | 2320 | Compensation Board. | |
1302 | - | ||
1303 | 2321 | SECTION 130. For the fiscal year ending June 30, 2023, up to | |
1304 | 2322 | One Million Five Hundred One T housand Three Hundred Seventy -five | |
1305 | 2323 | Dollars ($1,501,375.00) is authorized to be transferred from the | |
1306 | 2324 | Crime Victims Compensation Revolving F und, created by Section 142.17 | |
1307 | 2325 | of Title 21 of the Oklahoma Statutes, to the District Attorneys | |
1308 | 2326 | Council for duties to s upport victim-witness services. | |
1309 | 2327 | ||
2328 | + | SB1040 HFLR Page 46 | |
2329 | + | BOLD FACE denotes Committee Amendments. 1 | |
2330 | + | 2 | |
2331 | + | 3 | |
2332 | + | 4 | |
2333 | + | 5 | |
2334 | + | 6 | |
2335 | + | 7 | |
2336 | + | 8 | |
2337 | + | 9 | |
2338 | + | 10 | |
2339 | + | 11 | |
2340 | + | 12 | |
2341 | + | 13 | |
2342 | + | 14 | |
2343 | + | 15 | |
2344 | + | 16 | |
2345 | + | 17 | |
2346 | + | 18 | |
2347 | + | 19 | |
2348 | + | 20 | |
2349 | + | 21 | |
2350 | + | 22 | |
2351 | + | 23 | |
2352 | + | 24 | |
2353 | + | ||
1310 | 2354 | SECTION 131. The Supreme Court is hereby authorized to expend | |
1311 | 2355 | during the fiscal year ending June 30, 2023, from the State Judicia l | |
1312 | 2356 | Revolving Fund of the State Treasury, the sum of Twenty-three | |
1313 | 2357 | Million Ninety-seven Thousand Eight Dollars ($23,097,008.00) or so | |
1314 | 2358 | much thereof as may be necessary for the financial support of the | |
1315 | 2359 | District Courts. | |
1316 | - | ||
1317 | - | ||
1318 | - | ENR. S. B. NO. 1040 Page 31 | |
1319 | 2360 | SECTION 132. There is hereby appropriated to the Supreme Court | |
1320 | 2361 | from any monies not otherwise approp riated from the General Revenue | |
1321 | 2362 | Fund of the State Treasury for the fiscal year ending June 30, 2023, | |
1322 | 2363 | the sum of Fifty-three Million Eight Hundred Fourteen Thousand Seven | |
1323 | 2364 | Hundred Twenty-five Dollars ($53,814,725.00) or so much thereof as | |
1324 | 2365 | may be necessary to perform th e duties imposed upon the D istrict | |
1325 | 2366 | Courts by law. | |
1326 | - | ||
1327 | 2367 | SECTION 133. There is hereby appropriated to the Oklahoma | |
1328 | 2368 | Indigent Defense System from any mon ies not otherwise appropriated | |
1329 | 2369 | from the General Revenue Fund of the State Treasury for the fiscal | |
1330 | 2370 | year ending June 30, 2023, the sum of Twenty-four Million Seven | |
1331 | 2371 | Hundred Thirty-one Thousand Seven Hundred Thirteen Dollars | |
1332 | 2372 | ($24,731,713.00) or so much thereof as may be necessary to perform | |
1333 | 2373 | the duties imposed upon the Oklahoma Indigent Defense Syst em by law. | |
1334 | - | ||
1335 | 2374 | SECTION 134. There is hereby a ppropriated to the Pardon and | |
1336 | 2375 | Parole Board from any monies not otherwise approp riated from the | |
1337 | 2376 | General Revenue Fund of the State Treasury for the fiscal year | |
1338 | 2377 | ending June 30, 2023, the sum of Two Million Four Hundred Thirty- | |
2378 | + | ||
2379 | + | SB1040 HFLR Page 47 | |
2380 | + | BOLD FACE denotes Committee Amendments. 1 | |
2381 | + | 2 | |
2382 | + | 3 | |
2383 | + | 4 | |
2384 | + | 5 | |
2385 | + | 6 | |
2386 | + | 7 | |
2387 | + | 8 | |
2388 | + | 9 | |
2389 | + | 10 | |
2390 | + | 11 | |
2391 | + | 12 | |
2392 | + | 13 | |
2393 | + | 14 | |
2394 | + | 15 | |
2395 | + | 16 | |
2396 | + | 17 | |
2397 | + | 18 | |
2398 | + | 19 | |
2399 | + | 20 | |
2400 | + | 21 | |
2401 | + | 22 | |
2402 | + | 23 | |
2403 | + | 24 | |
2404 | + | ||
1339 | 2405 | three Thousand Four Hundred Dolla rs ($2,433,400.00) or so much | |
1340 | 2406 | thereof as may be necessary to perform the duties imposed upon the | |
1341 | 2407 | Pardon and Parole Board by law. | |
1342 | - | ||
1343 | 2408 | SECTION 135. There is hereby appropriated to the Supr eme Court | |
1344 | 2409 | from the General Revenue Fund of the State Treasu ry for the fiscal | |
1345 | 2410 | year ending June 30, 2023, the sum of Sixteen Million Five Hu ndred | |
1346 | 2411 | Seventy-two Thousand Five Hundred Eight y-two Dollars | |
1347 | 2412 | ($16,572,582.00) or so much thereof as may be necessary to per form | |
1348 | 2413 | the duties imposed upon the Supreme Court or Court of Civil Appeals | |
1349 | 2414 | by law. | |
1350 | - | ||
1351 | 2415 | SECTION 136. There is hereby appropriated to the Multiple | |
1352 | 2416 | Injury Trust Fund from any monies not otherwise appropriated from | |
1353 | 2417 | the Special Cash Fund of the State T reasury, the sum of Thirteen | |
1354 | 2418 | Million Dollars ($13,000,000.00) or so much thereof as may be | |
1355 | 2419 | necessary to pay obligations of the Fund. | |
1356 | - | ||
1357 | 2420 | SECTION 137. There is hereby appropriated to the Special Cash | |
1358 | 2421 | Fund of the State Treasury from any monies not otherwise | |
1359 | 2422 | appropriated from the State Transportation Fund the sum of Twenty- | |
1360 | - | ||
1361 | - | ENR. S. B. NO. 1040 Page 32 | |
1362 | 2423 | two Million Six Hundred Sixty-four Thousand Eight Hundred Sixty - | |
1363 | 2424 | seven Dollars ($22,664,867.00) for availability of appropriation. | |
1364 | - | ||
1365 | 2425 | SECTION 138. There is hereby a ppropriated to the Special Cash | |
1366 | 2426 | Fund of the State Treasur y from any monies not otherwise | |
1367 | 2427 | appropriated from the Unclaimed Property Fund (711 Fund) the sum of | |
2428 | + | ||
2429 | + | SB1040 HFLR Page 48 | |
2430 | + | BOLD FACE denotes Committee Amendments. 1 | |
2431 | + | 2 | |
2432 | + | 3 | |
2433 | + | 4 | |
2434 | + | 5 | |
2435 | + | 6 | |
2436 | + | 7 | |
2437 | + | 8 | |
2438 | + | 9 | |
2439 | + | 10 | |
2440 | + | 11 | |
2441 | + | 12 | |
2442 | + | 13 | |
2443 | + | 14 | |
2444 | + | 15 | |
2445 | + | 16 | |
2446 | + | 17 | |
2447 | + | 18 | |
2448 | + | 19 | |
2449 | + | 20 | |
2450 | + | 21 | |
2451 | + | 22 | |
2452 | + | 23 | |
2453 | + | 24 | |
2454 | + | ||
1368 | 2455 | Thirty Million Dollars ($30,000,000.00) for availability of | |
1369 | 2456 | appropriation. | |
1370 | - | ||
1371 | 2457 | SECTION 139. There is hereby appropriated to the Special Cash | |
1372 | 2458 | Fund of the State Treasury from any monies not otherwise | |
1373 | 2459 | appropriated from the State Insurance Commissioner Revo lving Fund | |
1374 | 2460 | (200 Fund) the sum of Seven Million Eight Hundred Thousand Dollars | |
1375 | 2461 | ($7,800,000.00) for availability of appropriation. | |
1376 | - | ||
1377 | 2462 | SECTION 140. There is hereby appropriated to the Special Cash | |
1378 | 2463 | Fund of the State Treasury from any monies not oth erwise | |
1379 | 2464 | appropriated from the Revolving Fund for the Office of the Secretary | |
1380 | 2465 | of State (200 Fund) the sum of Seven Million Eight Hundred Thousand | |
1381 | 2466 | Dollars ($7,800,000.00) for availability of appropriation. | |
1382 | - | ||
1383 | 2467 | SECTION 141. There is hereby appropria ted to the Special Cash | |
1384 | 2468 | Fund of the State Treasury from any monies not otherwise | |
1385 | 2469 | appropriated from the Oklahoma Tax Commission Revolving Fund (200 | |
1386 | 2470 | Fund) the sum of Six Million Dollars ($6,000,000.00) for | |
1387 | 2471 | availability of appropriation. | |
1388 | - | ||
1389 | 2472 | SECTION 142. There is hereby appropriated to the Special Cash | |
1390 | 2473 | Fund of the State Treasury from any mon ies not otherwise | |
1391 | 2474 | appropriated from the Weigh Station Improvement Fund (265 Fund) the | |
1392 | 2475 | sum of Seven Million Eight Hundred Thousand Dollars ($7,800,000.00) | |
1393 | 2476 | for availability of appropriation. | |
1394 | - | ||
1395 | 2477 | SECTION 143. There is hereby appropriated t o the State Board of | |
1396 | 2478 | Education from the General Revenue Fund o f the State Treasury for | |
2479 | + | ||
2480 | + | SB1040 HFLR Page 49 | |
2481 | + | BOLD FACE denotes Committee Amendments. 1 | |
2482 | + | 2 | |
2483 | + | 3 | |
2484 | + | 4 | |
2485 | + | 5 | |
2486 | + | 6 | |
2487 | + | 7 | |
2488 | + | 8 | |
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2490 | + | 10 | |
2491 | + | 11 | |
2492 | + | 12 | |
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2495 | + | 15 | |
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2498 | + | 18 | |
2499 | + | 19 | |
2500 | + | 20 | |
2501 | + | 21 | |
2502 | + | 22 | |
2503 | + | 23 | |
2504 | + | 24 | |
2505 | + | ||
1397 | 2506 | the fiscal year ending June 30, 202 1, the sum of Ninety-five Million | |
1398 | 2507 | Two Hundred Eighty-three Thousand One Hundred Seventy-four Dollars | |
1399 | 2508 | ($95,283,174.00) to be transferred to the Ad Valorem Reimbursement | |
1400 | 2509 | Fund, created pursuant t o Section 193 of Title 62 of the Oklahoma | |
1401 | 2510 | Statutes, for the purpose of reimbursing counties for school | |
1402 | 2511 | districts that claim a loss of revenue due to a tax exemption | |
1403 | - | ||
1404 | - | ENR. S. B. NO. 1040 Page 33 | |
1405 | 2512 | granted pursuant to the provisions of Section 6B of Article X of the | |
1406 | 2513 | Oklahoma Constitution. | |
1407 | - | ||
1408 | 2514 | SECTION 144. There is hereby appropriated to the Office of | |
1409 | 2515 | Management and Enterprise Services fr om any monies not otherwise | |
1410 | 2516 | appropriated from the Special Cash Fund of the State Treasury , the | |
1411 | 2517 | sum of Seven Million Five Hundred Thousand Dollars ($7,500,000.00) | |
1412 | 2518 | for the implementation of Service Oklahoma. | |
1413 | - | ||
1414 | 2519 | SECTION 145. There is hereby approp riated to the Office of | |
1415 | 2520 | Management and Enterprise Services from any monies not otherwise | |
1416 | 2521 | appropriated from the Special Cash Fund of the State Treasu ry, the | |
1417 | 2522 | sum of Three Million Two Hundred Thousand Dollars ( $3,200,000.00) or | |
1418 | 2523 | so much thereof as may be neces sary to perform the duties imposed | |
1419 | 2524 | upon the Office of Management and Enterprise Services by law. | |
1420 | - | ||
1421 | 2525 | SECTION 146. There is hereby appropriated to The State | |
1422 | 2526 | Emergency Fund, created pursuant to Section 139.42 of Title 62 of | |
1423 | 2527 | the Oklahoma Statutes , from any monies not otherwise appropriated | |
1424 | 2528 | from the General Revenue Fund of the State Treasury for the fiscal | |
1425 | 2529 | year ending June 30, 202 3, the sum of Four Million Four Hundred | |
2530 | + | ||
2531 | + | SB1040 HFLR Page 50 | |
2532 | + | BOLD FACE denotes Committee Amendments. 1 | |
2533 | + | 2 | |
2534 | + | 3 | |
2535 | + | 4 | |
2536 | + | 5 | |
2537 | + | 6 | |
2538 | + | 7 | |
2539 | + | 8 | |
2540 | + | 9 | |
2541 | + | 10 | |
2542 | + | 11 | |
2543 | + | 12 | |
2544 | + | 13 | |
2545 | + | 14 | |
2546 | + | 15 | |
2547 | + | 16 | |
2548 | + | 17 | |
2549 | + | 18 | |
2550 | + | 19 | |
2551 | + | 20 | |
2552 | + | 21 | |
2553 | + | 22 | |
2554 | + | 23 | |
2555 | + | 24 | |
2556 | + | ||
1426 | 2557 | Thousand Dollars ($4,400,000.00), or so much thereof as may be | |
1427 | 2558 | necessary for matching federal disaster funds and for other | |
1428 | 2559 | disaster-related assistance. | |
1429 | - | ||
1430 | 2560 | SECTION 147. There is hereby appropriated to the Oklahoma Tax | |
1431 | 2561 | Commission from any monies not otherwise appropriated from the State | |
1432 | 2562 | Public Safety Fund of the State Tre asury for the fiscal year ending | |
1433 | 2563 | June 30, 2023, the sum of Four Million Dollars ($4,000,000.00) for | |
1434 | 2564 | the purpose of reimbursement of REAL ID expenditures . | |
1435 | - | ||
1436 | 2565 | SECTION 148. There is hereby appropriated to the Depar tment of | |
1437 | 2566 | Transportation from any monies not otherwise appropriated from the | |
1438 | 2567 | Special Cash Fund of the State Treasury , the sum of Twenty-two | |
1439 | 2568 | Million Dollars ($22,000,000.00) or so much thereof as may be | |
1440 | 2569 | necessary to perform the duties imposed upon the Oklahoma Department | |
1441 | 2570 | of Transportation by law. Of the funds appropriated, the Department | |
1442 | 2571 | of Transportation is authorized to transfer an amount not to exceed | |
1443 | 2572 | Five Million Dollars ($5,000,000.00) to the Public Transit Revolving | |
1444 | 2573 | Fund, created by Section 4031 of Title 69 of the Oklahoma Statutes. | |
1445 | - | ||
1446 | - | ||
1447 | - | ENR. S. B. NO. 1040 Page 34 | |
1448 | 2574 | SECTION 149. There is hereby appropriated to the Emergency | |
1449 | 2575 | Management Assistance Compact and Rescue Out of State Deployments | |
1450 | 2576 | Revolving Fund, created by Enrolled Hous e Bill No. 4143 of the 2nd | |
1451 | 2577 | Session of the 58th Oklahoma Legislature, from any monies not | |
1452 | 2578 | otherwise appropriated from the General Revenue Fund of the State | |
1453 | 2579 | Treasury for the fiscal year ending June 30 , 2023, the sum of One | |
2580 | + | ||
2581 | + | SB1040 HFLR Page 51 | |
2582 | + | BOLD FACE denotes Committee Amendments. 1 | |
2583 | + | 2 | |
2584 | + | 3 | |
2585 | + | 4 | |
2586 | + | 5 | |
2587 | + | 6 | |
2588 | + | 7 | |
2589 | + | 8 | |
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2591 | + | 10 | |
2592 | + | 11 | |
2593 | + | 12 | |
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2600 | + | 19 | |
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2602 | + | 21 | |
2603 | + | 22 | |
2604 | + | 23 | |
2605 | + | 24 | |
2606 | + | ||
1454 | 2607 | Million Dollars ($1,000,000.00) to be expended in accordance with | |
1455 | 2608 | law. | |
1456 | - | ||
1457 | 2609 | SECTION 150. Sections 1 through 1 35 and Sections 146 through | |
1458 | 2610 | 149 of this act shall become effective July 1, 202 2. | |
1459 | 2611 | ||
1460 | - | ||
1461 | - | ENR. S. B. NO. 1040 Page 35 | |
1462 | - | Passed the Senate the 18th day of May, 2022. | |
1463 | - | ||
1464 | - | ||
1465 | - | ||
1466 | - | Presiding Officer of the Senate | |
1467 | - | ||
1468 | - | ||
1469 | - | Passed the House of Representatives the 20th day of May, 2022. | |
1470 | - | ||
1471 | - | ||
1472 | - | ||
1473 | - | Presiding Officer of the House | |
1474 | - | of Representatives | |
1475 | - | ||
1476 | - | OFFICE OF THE GOVERNOR | |
1477 | - | Received by the Office of the Governor this ____________________ | |
1478 | - | day of _________________ __, 20_______, at _______ o'clock _______ M. | |
1479 | - | By: _______________________________ __ | |
1480 | - | Approved by the Governor of the State of Oklahoma this _____ ____ | |
1481 | - | day of _________________ __, 20_______, at _______ o'clock _____ __ M. | |
1482 | - | ||
1483 | - | _________________________________ | |
1484 | - | Governor of the State of Oklahoma | |
1485 | - | ||
1486 | - | ||
1487 | - | OFFICE OF THE SECRETARY OF STATE | |
1488 | - | Received by the Office of the Secretary of State this _______ ___ | |
1489 | - | day of __________________, 20 _______, at _______ o'clock _______ M. | |
1490 | - | By: _______________________________ __ | |
2612 | + | DIRECT TO CALENDAR. |