Oklahoma 2022 Regular Session

Oklahoma Senate Bill SB1040 Latest Draft

Bill / Enrolled Version Filed 05/20/2022

                             
 
 
An Act 
ENROLLED SENATE 
BILL NO. 1040 	By: Thompson and Hall of the 
Senate 
 
  and 
 
  Wallace and Martinez of the 
House 
 
 
 
 
An Act relating to general appr opriations for the 
expenses of various agencies of the executive, 
legislative, and judicial departme nts of the state; 
making appropriations to the State Board of 
Education, the Oklahoma Arts Council, the State Board 
of Career and Technology Education, the Office of 
Educational Quality and Accountability, the Oklahoma 
Educational Television Authority, the Oklahoma State 
Regents for Higher Education, the Commissioners of 
the Land Office, the Oklahoma Department of 
Libraries, the Physician Manpower Training 
Commission, the Board of Trustees of the Oklahoma 
School of Science and Mathematics, the Oklahoma 
Center for the Advancement of Science and Technology, 
the Oklahoma Board of Private Vocational Schools, the 
Oklahoma Department of Commerce, the Rural Economic 
Action Plan Fund, the Oklahoma Tax Commission, the 
Office of the State Auditor and Inspector, the St ate 
Election Board, the Oklahoma Department of Emergency 
Management and Homeland Security, the Ethic s 
Commission, the Office of the Governor, the Oklahoma 
House of Representatives, the Legislative Service 
Bureau, the Office of the Lieutenant Governor, the 
Office of Management and Enterprise Services, the 
Oklahoma Merit Protection Commission, the Military 
Department of the State of Oklahoma, the Oklahoma 
State Senate, the Office of the State Treasurer, the 
Oklahoma Space Industry Development Authority, the 
Department of Transportation, the Oklahoma 
Aeronautics Commission, the State Department of   
 
ENR. S. B. NO. 1040 	Page 2 
Health, the Oklahoma Health Care Authority, the J.D. 
McCarty Center for Children with Developmental 
Disabilities, the Department of Mental Health and 
Substance Abuse Services, the Oklahoma State 
University Medical Authority, the University 
Hospitals Authority, the O klahoma Department of 
Veterans Affairs, the Oklahoma Comm ission on Children 
and Youth, the Office of Disability Concerns, the 
Department of Human Services, the Office of Juvenile 
Affairs, the State Department of Rehabilitation 
Services, the Oklahoma Depart ment of Agriculture, 
Food, and Forestry, the Oklahoma Con servation 
Commission, the Corporation Commission, the 
Department of Environmental Quality, the Okla homa 
Historical Society, the J.M. Davis Memorial 
Commission, the Department of Labor, the Department 
of Mines, the Oklahoma Tourism and Recreation 
Department, the Oklahoma Water Resources Board, the 
Alcoholic Beverage Laws Enforcement Commission, the 
Department of Corrections, the Oklahoma State Bureau 
of Investigation, the Council on Law Enforcement 
Education and Training, the Board of Medicolegal 
Investigations, the Oklahoma State Bureau of 
Narcotics and Dangerous Drugs Control, the Department 
of Public Safety, the Office of the Attorney General, 
the Court of Criminal Appeals, district attorneys and 
the District Attorneys Council, the Supreme Court, 
the Oklahoma Indigent Defense System, the Pardon and 
Parole Board, the Multiple Injury Trust Fund, the 
Special Cash Fund, The State Emergency Fund , and the 
Emergency Management Assistance Compact and Rescue 
Out of State Deployments Revolving Fund ; stating 
amounts of the appropriations; stating purposes and 
restrictions; authorizing certain expenditures; 
directing certain transfers; and providing an 
effective date. 
 
 
 
SUBJECT:  General appropriations 
 
BE IT ENACTED BY THE PEOPLE OF T HE STATE OF OKLAHOMA:   
 
ENR. S. B. NO. 1040 	Page 3 
 
EDUCATION 
 
SECTION 1.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of One Billion Four Hundred Fifty -
seven Million Sixty-eight Thousand Six Hundred Sixty -eight Dollars 
($1,457,068,668.00) or so much thereof as may be necessary for the 
financial support of public scho ols. 
 
SECTION 2.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from th e 
Education Reform Revolving Fund created in Section 34.89 of Title 62 
of the Oklahoma Statutes, the sum of Eight Hundred Ninety Million 
One Hundred Twenty Thousand Three Hundred Seventy -five Dollars 
($890,120,375.00) or so much thereof as may be necessa ry for the 
financial support of public schoo ls. 
 
SECTION 3.  The State Board of Education is here by authorized to 
expend during the fiscal y ear ending June 30, 2023, fr om the Common 
Education Technology Revolving Fund of the State Treasury, the sum 
of Forty-seven Million Twenty-five Thousand Seven Hundred One 
Dollars ($47,025,701.00) or so much thereo f as may be necessary for 
the financial support of public schools. 
 
SECTION 4.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from the 
Mineral Leasing Fund of the State Treasury for t he fiscal year 
ending June 30, 2023, the su m of Four Million Seven Hundred Fifty 
Thousand Dollars ($4,750,000.00) or so much thereof as may be 
necessary for the financial support of publ ic schools. 
 
SECTION 5. There is hereby appropriated t o the State Board of 
Education from any mon ies not otherwise appropriated from the 
Mineral Leasing Fund of the State Treasury for the fiscal year 
ending June 30, 2021, the sum of Two Hu ndred Forty Thousand Seven 
Hundred Sixty-three Dollars ($240,763.00) or so much thereof as may 
be necessary for the financial support of public schools. 
 
SECTION 6. There is hereby appropriated to the State Board of 
Education from any moni es not otherwise appropriated from the   
 
ENR. S. B. NO. 1040 	Page 4 
Oklahoma Education Lottery Trust Fund of the State Treasury for th e 
fiscal year ending June 30, 2023, the sum of Twenty -five Million Six 
Hundred Fifty Thousand Dollars ($25,650,000.00) or so much thereof 
as may be necessary for the financial support of public schools. 
 
SECTION 7.  There is hereby appropriated to the State Board of 
Education from any monies not otherwi se appropriated from the 
Oklahoma Education Lottery Trust Fund of the State Treasury fo r the 
fiscal year ending June 30, 2021, the sum of Twelve Million Three 
Hundred Ninety-one Thousand One Hundred Nine ty-two Dollars 
($12,391,192.00) or so much thereof as may be necessary for the 
financial support of public schools. 
 
SECTION 8.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of One Hundred Seventeen Million Nine 
Hundred Nineteen Thousand Twenty-six Dollars ($117,919,026.00) or so 
much thereof as may be necessary for the support of pub lic school 
activities. 
 
SECTION 9.  There is hereby appropriated to the State Board of 
Education from any monies not otherw ise appropriated from the 
General Revenue Fund of the State Treasury for th e fiscal year 
ending June 30, 2023, the su m of Forty-five Million One Hundred 
Ninety Thousand Dollars ($45,190,000.00) or so much thereof as may 
be necessary for the purchase of tex tbooks and instructional 
materials. 
 
SECTION 10.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated fro m the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Three Hundred Fifty-nine Million 
One Hundred Ninety-three Thousand Four Hundred Seventy Dollars 
($359,193,470.00) or so much thereof as may be necessary f or the 
Certified Employee Health Benefit Allowance. 
 
SECTION 11.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of One Hundred Ninety -four Million Two 
Hundred Eleven Thousand Three Hundred Fifty-nine Dollars   
 
ENR. S. B. NO. 1040 	Page 5 
($194,211,359.00) or so much there of as may be necessary for the 
Support Personnel Health Benefit Allowance. 
 
SECTION 12.  There is hereby appropriated to the State Board of 
Education from any monie s not otherwise appropriated from the 
General Revenue Fund of the State Treasu ry for the fiscal year 
ending June 30, 2023, the sum of Nineteen Million One Hundred Forty -
five Thousand Three Hundred Sixty-six Dollars ($19,145,366.00) or so 
much thereof as may be necessary for administrative and support 
functions of the State Departmen t of Education. 
 
SECTION 13.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from the 
Oklahoma Education L ottery Trust Fund of the State Treasury for the 
fiscal year ending June 30, 202 3, the sum of Two Million Eight 
Hundred Fifty Thousand Dollars ($2,850,000.00) or so much thereo f as 
may be necessary for transfer to the School Consolidation Assistance 
Fund. 
 
SECTION 14.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise app ropriated from the 
Oklahoma Education Lottery Trust Fu nd of the State Treasury for the 
fiscal year ending June 30, 2021, the sum of On e Million Three 
Hundred Seventy-six Thousand Seven Hundred Ninety-nine Dollars 
($1,376,799.00) or so much thereof as may b e necessary for transfer 
to the School Consolidation A ssistance Fund. 
 
SECTION 15.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated from the 
Oklahoma Education Lottery Trust Fund of the State Treasury for the 
fiscal year ending June 30, 20 23, the sum of Two Million Eight 
Hundred Fifty Thousand Dollars ($2,850,000.00) or so much thereof as 
may be necessary for transfer to the Teachers’ Retirement System 
Dedicated Revenue Revolving Fund. 
 
SECTION 16.  There is hereby appropriated to the State Board of 
Education from any monies not otherwise appropriated fr om the 
Oklahoma Education Lottery Trust Fund of the State Treasury for the 
fiscal year ending June 30, 2021, the sum of One Million Three 
Hundred Seventy-six Thousand Seven Hundr ed Ninety-nine Dollars 
($1,376,799.00) or so much thereof as may be necessary for transfer 
to the Teachers’ Retirement System Dedicated Revenue Revolving Fund.   
 
ENR. S. B. NO. 1040 	Page 6 
 
SECTION 17.  For the fiscal year ending June 30, 2023 , the State 
Board of Education is hereby authorized to transfer from the 
Teachers’ Retirement System Dedi cated Revenue Revolving Fund to the 
Teachers’ Retirement System of Oklahoma the sum of Four Hundred One 
Million Nine Hundred S ix Thousand One Hundred Ninety Dollars 
($401,906,190.00) and from the funds appropriated in Sections 15 and 
16 of this act, in the amounts provided in those section s for the 
purposes prescribed in Section 34.93 of Title 62 of the Oklahoma 
Statutes. 
 
SECTION 18.  There is hereby appropriated to the Oklahoma Arts 
Council from any monies not otherwise appropriated from th e General 
Revenue Fund of the Sta te Treasury for the fiscal year ending June 
30, 2023, the sum of Three Million Two Hundred Forty -three Thousand 
Thirty Dollars ($3,243,030.00) or so much there of as may be 
necessary to perform the duties imposed upon the Oklahoma Arts 
Council by law. 
 
SECTION 19.  There is hereby appropriated to the State Board of 
Career and Technology Education from any monies not otherwise 
appropriated from the G eneral Revenue Fund of the State Treasury fo r 
the fiscal year ending June 30, 2023, the sum of One Hundred Thirty-
seven Million Six Hundred Two Thousand Nine Hundred Thirty -two 
Dollars ($137,602,932.00) or so much thereof as may be necessary to 
perform the duties imposed upon the State Board of Care er and 
Technology Education by law. 
 
SECTION 20.  There is hereby appropriated to the State Board of 
Career and Technology Education fr om any monies not otherwise 
appropriated from the Oklahoma Educ ation Lottery Trust Fund of the 
State Treasury for the fiscal year ending June 30, 2023, the sum of 
Three Million One Hundred Thirty-five Thousand Dollars 
($3,135,000.00) pursuant to paragraph 2 of subsection E of Section 
713 of Title 3A of the Oklahoma St atutes for allocation by the State 
Board of Career and Technology Education for the education and 
general operating budgets of the institutions and for other 
programs, construction, renovations , or repairs administered by the 
State Board of Career and Tech nology Education. 
 
SECTION 21.  There is hereby appropriated to the State Board of 
Career and Technology Education from any monies not otherwise   
 
ENR. S. B. NO. 1040 	Page 7 
appropriated from the Oklahoma Edu cation Lottery Trust Fund of the 
State Treasury for the fiscal year ending June 30, 2021, the sum of 
One Million Five Hundred Fourteen Thousand Four Hundred Eig hty 
Dollars ($1,514,480.00) pursuant to paragraph 2 of subsection E of 
Section 713 of Title 3A o f the Oklahoma Statutes for allocation by 
the State Board of Ca reer and Technology Education for the educati on 
and general operating budgets of the institutions and for other 
programs, construction, renovations , or repairs administered by the 
State Board of Career and Technology Education. 
 
SECTION 22.  There is hereby appropriated to the Office of 
Educational Quality and Accountability from any mon ies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of One Million Sixty -
seven Thousand Two Hundred Nine Dollars ($1,067,209 .00) or so much 
thereof as may be necessary to perf orm the duties imposed upon the 
Office of Educational Quality and Accountability by law.  Of tho se 
funds appropriated, the sum of Sixty Thousand Dollars ($60,0 00.00) 
shall be deposited in the Teacher Certif ication Scholarship 
Revolving Fund created pursuan t to Section 6-187C of Title 70 of the 
Oklahoma Statutes.  Of those funds appropriated , the sum of One 
Hundred Eighty Thousand Dollars ($180,000.00) shall be d eposited in 
the Education Leadership Oklahoma Re volving Fund created pursuant to 
Section 6-204.3 of Title 70 of the Oklahoma Statutes. 
 
SECTION 23.  There is hereby appropriated t o the Office of 
Educational Quality and Accountability from any monies not otherwise 
appropriated from the Cash-flow Reserve Fund (Fund 090) of the State 
Treasury the sum of Five Hundred Thousand Dollars ($500,000.00) or 
so much thereof as may be necessary to perform the duties imposed 
upon the Office of Educational Q uality and Accountability by law. 
 
SECTION 24. There is hereby appropriated to t he Oklahoma 
Educational Television Authority from any monies not otherwise 
appropriated from the G eneral Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Two Million Eigh t 
Hundred Seventy-nine Thousand Four Dollars ($ 2,879,004.00) or so 
much thereof as may be necessary to perform the duties imposed upon 
the Oklahoma Educational Television Authority by law. 
 
SECTION 25.  There is hereby appropriated to the Okl ahoma State 
Regents for Higher Education from any monies not otherwise   
 
ENR. S. B. NO. 1040 	Page 8 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Seven Hundred 
Twenty-five Million Nine Hundred Sixty -four Thousand Eight Hundred 
Ninety-nine Dollars ($725,964,899.0 0) or so much thereof as may be 
necessary for allocation by the Oklahoma State Regents for Highe r 
Education pursuant to the provisions of Article XIII -a of the 
Oklahoma Constitution for the education and gen eral operating 
budgets of the institutions and fo r other programs, construction, 
renovations, or repairs administered by the Oklahoma State Regen ts 
for Higher Education.  Of those funds appropriated, the sum of Three 
Million One Hundred Forty -nine Thousand Eight Hundred Ninety-seven 
Dollars ($3,149,897.0 0) shall be transferred to the Oklahoma Tuition 
Equalization Grant Trust Fund to implement the p rovisions of the 
Oklahoma Tuition Equalization Grant Act. 
 
SECTION 26.  The Oklahoma State Regents for Higher Education are 
hereby authorized to e xpend during the fiscal year ending June 30, 
2023, the sum of Forty -seven Million Twenty-five Thousand Seven 
Hundred One Dollars ($47,025,701.00) from the High er Education 
Capital Revolving Fund of the State Treasury for allocation by the 
Oklahoma State Regents for Higher Education pursuant to the 
provisions of Article XIII -a of the Oklahoma Constitu tion for the 
education and general operating budgets of the ins titutions and for 
other programs, construction, r enovations, or repairs administered 
by the Oklahoma State Regents for Higher Education. 
 
SECTION 27.  The Oklahoma State Regents f or Higher Education are 
hereby authorized to expend during the fiscal year ending June 30, 
2023, the sum of Forty -seven Million Twenty-five Thousand Seven 
Hundred One Dollars ($47,025,701.00) from the Oklahoma Student Aid 
Revolving Fund of the State Treasu ry for allocation by the Oklahoma 
State Regents for Higher Educ ation pursuant to the provisions of 
Article XIII-a of the Oklahoma Constitution for the education and 
general operating budgets of the institutions and for other 
programs, construction, renovat ions, or repairs administered by the 
Oklahoma State Regents for Higher Education. 
 
SECTION 28.  There is hereby appropriated to the Oklahoma State 
Regents for Higher Education from any monies not otherwise 
appropriated from the General Revenu e Fund of the State Treasury f or 
the fiscal year ending June 30 , 2023, the sum of Fifteen Million 
Seven Hundred Sixty-four Thousand Eight Hundred Twenty -three Dollars   
 
ENR. S. B. NO. 1040 	Page 9 
($15,764,823.00) or so much thereof as may be necessary for 
expenditures for concurrent e nrollment pursuant to Section 628.13 of 
Title 70 of the Oklahom a Statutes. 
 
SECTION 29.  There is hereby appropriated to the Oklahoma State 
Regents for Higher Education from any monies not otherwise 
appropriated from the Oklahoma Education Lo ttery Trust Fund of the 
State Treasury for the fiscal year endi ng June 30, 2023, the sum of 
Twenty-two Million Five Hundred Fifteen Thousand Dollars 
($22,515,000.00) pursuant to paragraph 2 of subsection E of Section 
713 of Title 3A of the Oklahoma Statute s for allocation by the 
Oklahoma State Regents for Higher Educa tion pursuant to the 
provisions of Article XIII -a of the Oklahoma Constitution for 
construction, renovations, or repairs administered by the Oklahoma 
State Regents for Higher Education or for a ny other purpose 
authorized by paragraph 2 of subsection E of S ection 713 of Title 3A 
of the Oklahoma Statutes. 
 
SECTION 30.  There is hereby appr opriated to the Oklahoma State 
Regents for Higher Education from any monies not otherwise 
appropriated from the Oklahoma Educat ion Lottery Trust Fund of the 
State Treasury for the fiscal year ending June 30, 202 1, the sum of 
Ten Million Eight Hundred Seven ty-six Thousand Seven Hundred 
Thirteen Dollars ($10,876,713.00) pursuant to paragraph 2 of 
subsection E of Section 713 of Title 3A of the Oklahoma Statutes for 
allocation by the Oklahoma State Regents for Higher Education 
pursuant to the provisions of Arti cle XIII-a of the Oklahoma 
Constitution for construction, renovations , or repairs administered 
by the Oklahoma State Regents for Higher Education or for any ot her 
purpose authorized by paragraph 2 of subsection E of Section 713 of 
Title 3A of the Oklahoma Statutes. 
 
SECTION 31.  Of the funds appropriated in this act the Oklahoma 
State Regents for Higher Education are authorized to expend during 
the fiscal year ending June 30, 2023, the s um of Seventeen Million 
Three Hundred Seventy -eight Thousand Five Hundred Dollars 
($17,378,500.00) for the Teacher Shortage Employment Incentive 
Program, pursuant to subsection A of Section 698.3 of Title 70 of 
the Oklahoma Statutes. 
 
SECTION 32.  Of the funds appropriate d in this act the Oklahoma 
State Regents for Higher Education are authorized to expend during   
 
ENR. S. B. NO. 1040 	Page 10 
the fiscal year ending June 3 0, 2023, the sum of Six Million Eight 
Hundred Fifty Thousand Dollars ($6,850,000.00) for the purpose of 
student enrollment, retention , and graduation assistance. 
 
SECTION 33.  Of the funds appropriated in this act the Oklahoma 
State Regents for Higher Education are authorized to expend d uring 
the fiscal year ending June 30, 2023, the sum of Eleven Mill ion Five 
Hundred Thousand Dollars ($11,500,000.0 0) for the purpose of a STEM 
workforce development initiative. 
 
SECTION 34.  Of the funds appropriated in this act the Oklahoma 
State Regents for Higher Education are authorized to expend durin g 
the fiscal year endi ng June 30, 2023, the sum o f Two Hundred 
Thousand Dollars ($200,000.00) for the purpose of establishing a 
food pantry. 
 
SECTION 35.  Of the funds appropria ted in this act the Oklahoma 
State Regents for Higher Education are authorized to expen d during 
the fiscal year ending June 30, 2023, the sum of One Million Five 
Hundred Thousand Dollars ($1,500,000.00) pursuan t to the provisions 
of Sections 2620 through 2627 of Title 70 of the Oklahoma Statutes. 
 
SECTION 36.  There is hereby appropria ted to the Oklahoma State 
Regents for Higher Education from any monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Four Million Two 
Hundred Thirty-two Thousand Nine Hun dred Seventy-four Dollars 
($4,232,974.00) or so much thereof as may be necessary for the 
general operating budget o f the administrative offices of the 
Oklahoma State Regents for Higher Education. 
 
SECTION 37.  There is hereby appropriated to the Commissioners 
of the Land Office from any monies not otherwise appropriated from 
the Commissioners of the Land Office Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Six Million Seven 
Hundred Three Thousand Four Hundred Twenty-one Dollars 
($6,703,421.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Co mmissioners of the Land Office by law. 
 
SECTION 38.  There is hereby appropriated to the Okla homa 
Department of Libraries from any monies not otherwise appropriated 
from the General Revenue Fund of the State Treasury for the fiscal   
 
ENR. S. B. NO. 1040 	Page 11 
year ending June 30, 2023, the sum of Four Million Five Hundred 
Thirty-six Thousand Three Hundred Fifteen Dollars ($4 ,536,315.00) or 
so much thereof as may be necessary to perform the duties imposed 
upon the Oklahoma Department of Libraries by law. 
 
SECTION 39.  There is hereby appropriated to the Physici an 
Manpower Training Commission from any mon ies not otherwise 
appropriated from the Gen eral Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Six Million Eight 
Hundred Thirty-six Thousand Three Hundred Twenty -nine Dollars 
($6,836,329.00) or so much thereof as ma y be necessary to perform 
the duties imposed upon the Physician Manpower Training Commission 
by law. 
 
SECTION 40.  There is hereby appropriated to the Physician 
Manpower Training Commission from any monies not otherwise 
appropriated from the Cash-flow Reserve Fund (Fund 090) of the State 
Treasury the sum of Four Hundred Thousand Dollars ($400,000.00) or 
so much thereof as may be necessary to perfo rm the duties imposed 
upon the Physician Manpower Training Comm ission by law. 
 
SECTION 41. There is hereby appropriated to the Board of 
Trustees of the Oklahoma School of Science and Mathematics from any 
monies not otherwise appropriated fro m the General Revenue Fund of 
the State Treasury for the fiscal year ending June 30, 2023, the sum 
of Six Million Five Hundred Sixteen Thousand Three Hu ndred Seventy-
three Dollars ($6,516,373.00) or so much thereof as may be necessary 
to perform the duties imposed upon the Board of Trustees of the 
Oklahoma School of S cience and Mathematics by law. 
 
SECTION 42.  There is hereby appr opriated to the Oklahoma Center 
for the Advancement of Science and Technology from any monies not 
otherwise appropriated from the General Revenue Fund of the State 
Treasury for the fiscal year ending June 30, 2023, th e sum of 
Sixteen Million Eight Hundred Forty-six Thousand Five Hundred Forty-
two Dollars ($16,846,542.00) or so much thereof as may be necessary 
to perform the duties imposed upon the Oklahoma Center for the 
Advancement of Science and Technology by law.  O f those funds 
appropriated, the sum of Seven Million Six Hundred Eighteen Thousand 
Six Hundred Seventeen Dollars ($7,618,617.00) shall be deposited in 
the Research Support Revolving Fund, created pursuant to Section 
5060.11 of Title 74 of the Oklahoma Stat utes, provided Two Million   
 
ENR. S. B. NO. 1040 	Page 12 
Two Hundred Fifty Thousand Dollars ($2,250,000.00) shall be 
dedicated to Applied Research and Development for Industry 
Innovation.  Of those funds appropriated, the sum of Two Million 
Seven Hundred Fifty-nine Thousand Three Hundr ed Eight Dollars 
($2,759,308.00) shall be deposited in the Seed-capital Revolving 
Fund, created pursuant to Section 5060.21 of Title 74 of the 
Oklahoma Statutes. 
 
SECTION 43.  There is hereby appropriat ed to the Oklahoma Board 
of Private Vocational Schools from any monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 202 3, the sum of Two Hundred Fifty 
Thousand Dollars ($250,000.00) or so much thereof as may be 
necessary to perform the duties imposed upon the Oklahoma Board of 
Private Vocational Schools by law. 
 
FINANCE 
 
SECTION 44.  There is hereby appropriated t o the Oklahoma 
Department of Commerce f rom any monies not other wise appropriated 
from the General Revenue Fund of the State Treasury for the fiscal 
year ending June 30, 2023, the sum of Twenty-four Million Seven 
Hundred Twenty-nine Thousand Three Hundred Twenty-three Dollars 
($24,729,323.00) or so much thereof as m ay be necessary to perform 
the duties imposed upon the Oklahoma Department of Commerce by l aw. 
 
SECTION 45.  There is hereby appropriated to the Rura l Economic 
Action Plan Fund from any monies not otherwise appropriate d from the 
General Revenue Fund of the State Treasury for the f iscal year 
ending June 30, 2023, the sum of Thirty Million Dollars 
($30,000,000.00) or so much thereof as may be necessary to implement 
the provisions of Sec tions 2006 through 2013 of Title 62 of the 
Oklahoma Statutes. 
 
SECTION 46.  There is hereby appropriated to the Oklahoma Tax 
Commission from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fis cal year 
ending June 30, 2023, the sum of Thirty-nine Million Nine Hundred 
Twenty-four Thousand Four Hundred Seventeen Dollars ($ 39,924,417.00) 
or so much thereof as may be necessary to perform the duties imposed 
upon the Oklahoma Tax Commission by law. 
   
 
ENR. S. B. NO. 1040 	Page 13 
SECTION 47.  Of those funds appropriat ed, the Oklahoma Tax 
Commission shall pay an amount not to exceed Two Hundred Fifty 
Thousand Dollars ($250,000.00) for the personal services and other 
operating expenses of the Office of the State Auditor and Inspector 
in performing audits of the Oklahoma Tax Co mmission and motor 
license agents as required by law. 
 
SECTION 48.  Of those funds appropriated, the Oklahoma Tax 
Commission may transfer to the Capital Account Fund (245 Fund) an 
amount not to exceed Five Million Dollars ($5,000,000.00) for the 
purpose of paying any proportionate share of common area 
maintenance, repair and maintenance of agency units, fixtures and 
appliances contained therein, and all required maintenance and 
repair work pursuant to Section 2-3-110 of Title 27A of the Oklahoma 
Statutes. 
 
GENERAL GOVERNMENT 
 
SECTION 49.  There is hereby appropriated to the Office of the 
State Auditor and Inspector from any monies not otherwise 
appropriated from the G eneral Revenue Fund of the State Treasury for 
the fiscal year ending Ju ne 30, 2023, the sum of Four Million Four 
Hundred Eighty Thousand Three Hundred Fifteen Dollars 
($4,480,315.00) or so much thereof as may be necessary to perform 
the duties imposed upon the O ffice of the State Auditor and 
Inspector by law. 
 
SECTION 50.  There is hereby appropriated to the State Election 
Board from any monies not otherwis e appropriated from the General 
Revenue Fund of the State Treasury for the fiscal year ending June 
30, 2023, the sum of Seven Million Three Hundred Sixty-six Thousand 
Five Hundred Forty-eight Dollars ($7,366,548.00) or so much thereof 
as may be necessary t o perform the duties imposed upon the State 
Election Board by law. 
 
SECTION 51.  There is hereby appropriated to the State Election 
Board from any monies not otherwise appropriated from the Special 
Cash Fund of the State Treasury , the sum of Two Million Five Hundred 
Thousand Dollars ($2,500,000.00) or so much thereof as may be 
necessary to perform the duties impose d upon the State Election 
Board by law. 
   
 
ENR. S. B. NO. 1040 	Page 14 
SECTION 52.  There is hereby appropria ted to the Oklahoma 
Department of Emergency Management and Homeland Security from any 
monies not otherwise appropriated from the Gener al Revenue Fund of 
the State Treasury for the fiscal year endin g June 30, 2023, the sum 
of One Million Four Hundred Sevent y-six Thousand Eight Hundred One 
Dollars ($1,476,801.00) or so much thereof as may be necessary to 
perform the duties imposed upon the Oklahoma Department of Emerg ency 
Management and Homeland Secur ity by law. 
 
SECTION 53.  There is hereby app ropriated to the Ethics 
Commission from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Six Hundred Ei ghty-seven Thousand 
Nine Hundred Fifty-seven Dollars ($687,957.00) or so much thereof as 
may be necessary to perform the duties imposed upon the Ethics 
Commission by law. 
 
SECTION 54.  There is hereby appropr iated to the Office of the 
Governor from any monies not otherwise appropriated from the Gener al 
Revenue Fund of the State Treasury for the fiscal year ending June 
30, 2023, the sum of Three Million Five Hundred Fifty -seven Thousand 
Nine Hundred Forty Dolla rs ($3,557,940.00) or so much ther eof as may 
be necessary to perform the duties imposed upon the Office of the 
Governor by law. 
 
SECTION 55.  There is hereby appropriated to the Oklahoma House 
of Representatives f rom any monies not otherwise appropriated from 
the General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2021, the sum of Twenty-two Million Seven Hundred 
Eighty-six Thousand One Hundred Ninety-eight Dollars 
($22,786,198.00) or so much thereof as may be necessary to pay the 
salaries, per diem and expenses of the members of the Oklahoma House 
of Representatives, the salaries of the employe es of the Oklahoma 
House of Representatives and other necessary expenses.  Claims and 
payrolls filed against the appropriation m ade to the Oklahoma House 
of Representatives for the fiscal year ending June 30, 2023, shall 
be approved by the Speaker of the O klahoma House of Representatives. 
 
SECTION 56.  There is hereby appropriated to th e Legislative 
Service Bureau from any monies not otherwise appr opriated from the 
General Revenue Fund of the State Treasury f or the fiscal year 
ending June 30, 2021, the sum of Thirty Million Five Hundred Fifty -  
 
ENR. S. B. NO. 1040 	Page 15 
seven Thousand Eight Dollars ( $30,557,008.00) or so much thereof as 
may be necessary to perform the duties i mposed upon the Legislat ive 
Service Bureau by law. 
 
SECTION 57.  There is hereby ap propriated to the Office of the 
Lieutenant Governor from any monies not otherwise appropriated from 
the General Revenue Fund of the State Treasury for the fisc al year 
ending June 30, 2021, the sum of Seven Hundred Fourteen Thousand Six 
Hundred Sixty-five Dollars ($714,665.00) or so much thereof as may 
be necessary to perform the duties imposed upon the Office of the 
Lieutenant Governor by law. 
 
SECTION 58.  There is hereby appropriated to the Office of 
Management and Enterprise Services from a ny monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of One Hundred Fifteen 
Million Five Hundred Seventy-five Thousand Seven Hundred Fifty-eight 
Dollars ($115,575,758.00) or so much thereof as may be necessary to 
perform the duties imposed upon the Office of Management and 
Enterprise Services by law. 
 
SECTION 59.  There is hereby appr opriated to the Office of 
Management and Enterprise Serv ices from any monies not otherwise 
appropriated from the Public Building Fund of the State Treasury for 
the fiscal year ending J une 30, 2023, the sum of One Millio n Seven 
Hundred Five Thousand Five Hundred Eight Dollars ($1,705,508.00) to 
be transferred to the Building and Fa cility Revolving Fund, created 
in Section 63.1 of Title 74 of the Oklahoma Statutes, for the 
purpose of maintaining state buildings operated by the Office of 
Management and Enterpr ise Services. 
 
SECTION 60.  There is hereby appropriated to th e Office of 
Management and Enterprise Services from any monies not otherwise 
appropriated from the Public Bu ilding Fund of the State Treasury for 
the fiscal year ending June 30, 2 021, the sum of Five Hundred Fifty-
two Thousand Four Hundred Sixty-seven Dollars ($552,467.00) or so 
much thereof as may be necessary to be transferred to the Building 
and Facility Revolving Fund created in Section 63.1 of Title 74 of 
the Oklahoma Statutes for the purpose of maintaining state buildi ngs 
operated by the Office of Man agement and Enterprise Services. 
   
 
ENR. S. B. NO. 1040 	Page 16 
SECTION 61.  There is hereby appropriated to the Office of 
Management and Enterprise Services from any monies n ot otherwise 
appropriated from the General Revenue Fund of the S tate Treasury for 
the fiscal year ending June 30, 2023, the sum of Five Million Five 
Hundred Twelve Thousand Six Hundred Ninety-three Dollars 
($5,512,693.00) or so much thereof as may be neces sary to perform 
the duties imposed upon the Native American C ultural and Educational 
Authority by law. 
 
SECTION 62.  There is hereby appropriated to the Office of 
Management and Enterprise Se rvices from any monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 202 3, the sum of Twenty-three 
Million Six Hundred Fifty-four Thousand Three Hundred Fifty-four 
Dollars ($23,654,354.00) or so much thereof as may be necessary to 
perform the duties imposed upon the Office of Management and 
Enterprise Services by law. 
 
SECTION 63.  There is hereby appropriated to the Oklahoma Merit 
Protection Commission from any monies not ot herwise appropriated 
from the General Revenue Fund of the State Treasury for the fiscal 
year ending June 30, 2 023, the sum of Two Hundred Twenty-two 
Thousand Eight Hundred Twenty-four Dollars ($222,824.00) or so much 
thereof as may be necessary to perform the duties imposed upon the 
Oklahoma Merit Protecti on Commission by law. 
 
SECTION 64.  There is hereby appropriated to the Military 
Department of the State of Oklahoma from any monies not otherwise 
appropriated from the General Revenue Fund o f the State Treasury for 
the fiscal year ending Jun e 30, 2023, the sum of Eighteen Million 
Nine Hundred Eleven Thousand Five Hundred Eighty -two Dollars 
($18,911,582.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Military Department of the State of 
Oklahoma by law. 
 
SECTION 65.  There is hereby appropriated to the Oklahoma State 
Senate from any monies no t otherwise appropriated from the General 
Revenue Fund of the State Treasury for the fiscal year ending June 
30, 2021, the following amount, or so much thereof as may be 
necessary to pay monthly salaries, per diem, and expenses of the 
members of the Senate and the salaries of the Secretary of the 
Senate and employees, and such contingent expenses as may be order ed   
 
ENR. S. B. NO. 1040 	Page 17 
paid therefrom including the preparation and pri nting of the 
journals and calendars of the Senate, and including the preparation 
and printing of the permanent journals thereof, in accordance with 
the following amount herein set forth: 
 
For expenses of personal services (including retirement and 
insurance costs) including those of members, and employees of the 
Senate, and expenses of maintenance and operation including travel 
expenses, supplies, materials, printing, equipment, and printing of 
permanent journals and for the renovation and modification of th e 
Senate area, Twelve Million Seven Hundred Eighty Thousand Seventy -
five Dollars ($12,780,075.00). 
 
SECTION 66.  There is hereby appropriated to the Office of the 
State Treasurer from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Two Million Nine Hundred Eighty-
four Thousand Eight Hundred Twenty -three Dollars ($2,984,823.00) or 
so much thereof as may be necessary to perform the duties imposed 
upon the Office of the State Treasurer by law. 
 
SECTION 67.  There is hereby appropriate d to the Office of the 
State Treasurer from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2021, the sum of Ninety-five Thousand Dollars 
($95,000.00) or so much thereof as may b e necessary to pay for state 
land reimbursements. 
 
TRANSPORTATION 
 
SECTION 68.  There is hereby appropriated to the Oklahoma S pace 
Industry Development Authority from any monies not otherwise 
appropriated from the Ge neral Revenue Fund of the S tate Treasury for 
the fiscal year ending June 30, 2023, the sum of Five Hundred 
Thousand Dollars ($500,000.00) or so much thereof as may be 
necessary to perform the duties imposed upon the Oklahoma Space 
Industry Development Auth ority by law.  The monies a ppropriated in 
this section shall be transferr ed to the Oklahoma Space Industry 
Development Authority Revolv ing Fund created pursuant to Se ction 
5208.1 of Title 74 of the Oklahoma Statutes. 
   
 
ENR. S. B. NO. 1040 	Page 18 
SECTION 69.  The Department of Transportation is he reby 
authorized to expend during the fiscal ye ar ending June 30, 2023, 
from the State Transportation Fund of the State Treasury, the sum of 
One Hundred Ninety-three Million Eight Hundred Seventy-eight 
Thousand Four Hundred Ninety-nine Dollars ($193,878,499.00) or so 
much thereof as may be necessary to perform t he duties imposed upon 
the Department of Transportat ion by law.  The authorization shall be 
transferred to the State Highway Construction and Maintenance Fund 
and shall be expended in the same manner and for the same purposes 
as provided by law for other m onies accruing to the cr edit of the 
State Highway Construction and Maintenance Fund. 
 
SECTION 70. The Department of Transportation is hereby 
authorized to expend during the fiscal year ending June 30, 2023, 
from the Rebuilding Oklahoma Acces s and Driver Safety Fund of the 
State Treasury, the sum of Five Hundred Ninety Million Dollars 
($590,000,000.00) to be budgeted and expended in accordance with 
law. 
 
SECTION 71.  There is hereby appropriated to the Oklahoma 
Aeronautics Commission from any monies not otherwise appropriated 
from the General Revenue Fund of the Stat e Treasury for the fiscal 
year ending June 30, 202 3, the sum of Four Million Dollars 
($4,000,000.00) so much thereof as may be necessary to perform the 
duties imposed upon the Oklahoma Aeronautics Commission by law. 
 
PUBLIC HEALTH 
 
SECTION 72. There is hereby appropriated to the State 
Department of Health from any monies not otherwise appropriated from 
the General Revenue Fund of the State Treasury fo r the fiscal year 
ending June 30, 2023, the sum of Thirty-nine Million Eight Hundred 
Forty-four Thousand Eight Hundred Sixty Dollars ($39,844,860.00) or 
so much thereof as may be necessary to perform the d uties imposed 
upon the State Department of Hea lth by law. 
 
SECTION 73.  There is hereby approp riated to the State 
Department of Health from any monies not otherwise appropriated from 
the Cash-flow Reserve Fund (Fund 090) of the State Treasury, the sum 
of Twenty-one Million Nine Hundred Ninety -three Thousand One Hundred 
Four Dollars ($21,993,104.00) or so much thereof as may be nec essary   
 
ENR. S. B. NO. 1040 	Page 19 
to perform the duties imposed upon the State Department of Hea lth by 
law. 
 
SECTION 74.  There is hereby appropriated to the Oklahoma Health 
Care Authority from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Eight Hundred Fifty-nine Million 
Eight Hundred Fifty-eight Thousand Sixty-five Dollars 
($859,858,065.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Oklahoma Health Care Authority by law. 
 
SECTION 75.  There is hereby ap propriated to the Oklahoma Health 
Care Authority from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of One Hundred Sixty-four Million One 
Hundred Thirty-eight Thousand Fifty-six Dollars ($164,138,056.00) to 
transfer to the Rate Preservation Fund created pursuant t o Section 
5020A of Title 63 of the Oklaho ma Statutes. 
 
SECTION 76.  There is hereby appropriated to the Oklahoma H ealth 
Care Authority from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fisc al year 
ending June 30, 2021, the sum of Thirty-eight Million Five Hundred 
Eighty-five Thousand Thirty-five Dollars ($38,585,035.00) or so much 
thereof as may be neces sary to perform the duties imposed upon the 
Oklahoma Health Care Authority by law. 
 
SECTION 77.  There is hereby app ropriated to the Oklahoma Health 
Care Authority from any monies not otherwise appropriated from the 
State Health Care Enhancement Fund of the State Treasury for the 
fiscal year ending June 30, 2023, the sum of One Hundred Forty-eight 
Million Eight Hundred Twenty-five Thousand One Hundred Dollars 
($148,825,100.00) or so much thereof as may be necessary to perform 
the duties imposed up on the Oklahoma Health Care Authority by law. 
 
SECTION 78.  There is hereby a ppropriated to the Oklahoma Health 
Care Authority from any monies not otherwise appr opriated from the 
State Health Care Enhancement Fund of the State Treasury for th e 
fiscal year ending June 30, 2021, the sum of Fourteen Million Three 
Hundred Sixty-two Thousand Five Hundred Seventy-six Dollars 
($14,362,576.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Oklahoma Health Care Authority by law.   
 
ENR. S. B. NO. 1040 	Page 20 
 
SECTION 79.  There is hereby appropriated to the Oklahoma Health 
Care Authority from any monies not oth erwise appropriated from the 
Tobacco Settlement F und of the State Treasury, the sum of Twelve 
Million Five Hundred Seventy-two Thousand One Hundred Fifty-two 
Dollars ($12,572,152.00) or so much thereof as may be necessary to 
perform the duties imposed upon the Oklahoma Health Care Authority 
by law. 
 
SECTION 80.  There is hereby appropriated to the Oklahoma Health 
Care Authority from the Rate Preservation Fund (Fund 236), the sum 
of Twenty-four Million Four Hundred Thousand Six Hundred Fifty -eight 
Dollars ($24,400,658.00) or so much thereof as may be necessary to 
perform the duties im posed upon the Oklahoma Health Care Authority 
by law. 
 
SECTION 81.  There is hereby appropriated to the J.D. McCarty 
Center for Children with Developm ental Disabilities from any monies 
not otherwise appropriated from the General Revenue Fund of the 
State Treasury for the fiscal year e nding June 30, 2023, the sum of 
Four Million Seven Hun dred Fifty-five Thousand Five Hundred Forty-
three Dollars ($4,755,543.00) or so much thereof as may be necessary 
to perform the duties imposed upon the J.D. Mc Carty Center for 
Children with Developmental Disab ilities by law. 
 
SECTION 82.  There is hereby appropriated to the Department of 
Mental Health and Su bstance Abuse Services from any monies not 
otherwise appropriated from the General Revenue F und of the State 
Treasury for the fiscal year endi ng June 30, 2023, the sum of Two 
Hundred Seventy-two Million Seven Hundred Ninety Thousand Two 
Hundred Ninety-eight Dollars ($272,790,298.00) or so much thereof as 
may be necessary to perform the duties imp osed upon the Departmen t 
of Mental Health and S ubstance Abuse Services by law. 
 
SECTION 83.  There is hereby appropriated to the Department of 
Mental Health and Substance Abuse Services from any monies not 
otherwise appropriated from the Cash -flow Reserve Fund (Fun d 090) of 
the State Treasury, the sum of Fifty Million Dollars 
($50,000,000.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Department of Mental Health and 
Substance Abuse Services by law. 
   
 
ENR. S. B. NO. 1040 	Page 21 
SECTION 84.  There is hereby appropriated to the Department of 
Mental Health and Substance A buse Services from the Rate 
Preservation Fund (Fund 236), the sum of Two Million Seventeen 
Thousand Five Hundred Seventy-nine Dollars ($2,017,579.00) or so 
much thereof as may be necessary to perform the duties impo sed upon 
the Department of Mental Health a nd Substance Abuse Services by law. 
 
SECTION 85.  There is hereby appropriated to the Departmen t of 
Mental Health and Substance Abuse Services from any monies not 
otherwise appropriated from the Alcoh olic Beverage Control Fund of 
the State Treasury for the fiscal year endin g June 30, 2023, the sum 
of Thirteen Million Four Hundred Seventy-seven Thousand Seven 
Hundred Fifty Dollars ($13,477,750.00), to perform the duties 
imposed upon the Department of Me ntal Health and Substance Abuse 
Services by law. 
 
SECTION 86.  There is hereby appropriated to the Department of 
Mental Health and Subst ance Abuse Services from any monies not 
otherwise appropriated from the Alcoholic Beverage Control Fund of 
the State Treasury for the fiscal year ending June 30, 202 1, the sum 
of One Million Seven Hundred Ninety-two Thousand One Hundred Fifty-
eight Dollars ($1,792,158.00), to perform the duties imposed upon 
the Department of Mental Health and Substance Abuse S ervices by law. 
 
SECTION 87.  There is hereby appropriated to the Oklahoma S tate 
University Medical Authority from any monies not other wise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2 023, the sum of Seventy-seven 
Million Three Hundred Forty-eight Thousand One Hundred Eighty-nine 
Dollars ($77,348,189.00) or so much thereof as may be necessary to 
perform the duties imposed upon the Oklahoma State University 
Medical Authority by law. 
 
SECTION 88.  There is hereby app ropriated to the University 
Hospitals Authority from any monies not otherwise appropriated fr om 
the General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of One Hundred Twenty-three Million 
Five Hundred Sixty-six Thousand Four Hundred Thirty-seven Dollars 
($123,566,437.00) or so much thereof as may be necessary to perform 
the duties imposed upon the University Hospitals Authority by law. 
   
 
ENR. S. B. NO. 1040 	Page 22 
SECTION 89.  There is hereby appropriated to the Oklahoma 
Department of Veterans Af fairs from any monies not other wise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 202 3, the sum of Forty Million Nine 
Hundred Five Thousand Two Hundred Forty-seven Dollars 
($40,905,247.00) or so much thereof as may be necessary to p erform 
the duties imposed upon the Oklahoma Depar tment of Veterans Affairs 
by law. 
 
HUMAN SERVICES 
 
SECTION 90.  There is hereby appropriated to the Okla homa 
Commission on Children and Youth from any monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Two Million Five 
Hundred Nine Thousand Four Hundred Fourteen Dollars ( $2,509,414.00) 
or so much thereof as may be ne cessary to perform the duties imposed 
upon the Oklahoma Commission on Children and Youth by l aw. 
 
SECTION 91.  There is hereby appropriated to the Office of 
Disability Concerns from any monies not otherwise appropriated from 
the General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Three Hund red Twenty-seven Thousand 
Ninety-five Dollars ($327,095.00) or so much thereof as may be 
necessary to perform the dut ies imposed upon the Office of 
Disability Concerns by law. 
 
SECTION 92.  There is hereby appropriated to the Department of 
Human Services from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the f iscal year 
ending June 30, 2023, the sum of Seven Hundred Twenty-nine Million 
Nine Hundred Twelve Thousand Six Hundred Fifty-two Dollars 
($729,912,652.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Department of Human Ser vices by law. 
 
SECTION 93.  There is hereby appropriat ed to the Department o f 
Human Services from any monies not otherwise appropriated from the 
Cash-flow Reserve Fund (Fund 090) of the State Treasury, the sum of 
Twenty Million Dollars ($20,000,000.00) or so much thereof as may be 
necessary to perform the duties imposed upon t he Department of Human 
Services by law. 
   
 
ENR. S. B. NO. 1040 	Page 23 
SECTION 94.  There is hereby appropriated to the Department of 
Human Services from any monies not otherwise appropriated from the 
Rate Preservation Fund (Fund 236), the sum of Three Million Seven 
Hundred Seventy Thousand Three Hundred Twelve Dollars 
($3,770,312.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Department of Human Se rvices by law. 
 
SECTION 95.  There is hereby appropriated to the Office of 
Juvenile Affairs from an y monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of One Hundred One Million Six Hundred 
Twenty-six Thousand Eight Hundred Thirty-seven Dollars 
($101,626,837.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Office of J uvenile Affairs by law. 
 
SECTION 96.  There is hereby appropriated to the State 
Department of Rehabilitation Services from any monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending Ju ne 30, 2023, the sum of Thirty-five Million 
Six Hundred Twenty-three Thousand Two Hundred Ninety-five Dollars 
($35,623,295.00) or so much thereof as may be necessary to perf orm 
the duties imposed upon the State Department of Rehabilitation 
Services by law. 
 
NATURAL RESOURCES AND REGULATORY SERVICES 
 
SECTION 97.  There is hereby appropriated to the Okla homa 
Department of Agriculture, Food, and Forestry from any mo nies not 
otherwise appropriated from the General Revenue Fund of the State 
Treasury for the fiscal ye ar ending June 30, 2023, the sum of 
Thirty-seven Million One Hundred Forty-six Thousand One Hundred 
Ninety-eight Dollars ($37,146,198.00) or so much thereo f as may be 
necessary to perform the duties impos ed upon the Oklahoma Department 
of Agriculture, Food, and Forestry by law. 
 
SECTION 98. There is hereby appropriated to the Okl ahoma 
Department of Agriculture, Food, and Forestry from any moni es not 
otherwise appropriated from the Special Ca sh Fund of the State 
Treasury, the sum of Eight Million Four Hundred Fourteen Thousand 
Five Hundred Fifty Dollars ($8,414,550.00) or so much thereof as may 
be necessary to perform the duties imposed upon the Oklahoma 
Department of Agriculture, Food, and Fo restry by law.   
 
ENR. S. B. NO. 1040 	Page 24 
 
SECTION 99.  There is hereby appropriated to the Oklahoma 
Conservation Commission from any monies not otherwise approp riated 
from the General Revenue Fund of the State Treasury for the fiscal 
year ending June 30, 2023, the sum of Twenty Million One Hundred 
Sixty-two Thousand Nine Hundred Eig hty-eight Dollars 
($20,162,988.00) or so much thereof as may be necessary t o perform 
the duties imposed upon the Oklahoma Conservation Commis sion by law. 
 
SECTION 100.  There is hereby appropriated to the Corporation 
Commission from any monies not otherwise appropriated from the Cash-
flow Reserve Fund (090) of the State Treasury, the sum of Sixteen 
Million Nine Hundred Sixty -four Thousand Two Hundred Fifty-five 
Dollars ($16,964,255.00) or so much thereof as may be n ecessary to 
perform the duties imposed upon the Corporation Co mmission by law. 
 
SECTION 101.  There is hereby appropriated to the Department of 
Environmental Quality from any monies not otherwise appropriat ed 
from the General Revenue Fund of t he State Treasury for the f iscal 
year ending June 30, 202 3, the sum of Twenty Million Three Hundred 
Twenty-two Thousand Six Hundred Forty -three Dollars ($20,322,643.00) 
or so much thereof as may be necessary to perform the duties imposed 
upon the Department of Environmen tal Quality by law. 
 
SECTION 102.  There is hereby appropriated to the Oklahoma 
Historical Society from any monies not otherwise appropriated from 
the General Revenue Fund of the State Treasu ry for the fiscal year 
ending June 30, 2023, the sum of Thirteen Million Nine Hundred 
Sixty-six Thousand Six Hundred Sixty-five Dollars ($13,966,665.00) 
or so much thereof as may be necessary to perform the duties imposed 
upon the Oklahoma Historical Socie ty by law. 
 
SECTION 103.  There is hereby appropriated to the J.M. Davis 
Memorial Commission from any monies not otherwise approp riated from 
the General Revenue Fund of the State Treasury for th e fiscal year 
ending June 30, 2023, the sum of Five Hundred Forty Thousand Dollars 
($540,000.00) or so much thereof as may be necessary to perform t he 
duties imposed upon the J.M. Davis Mem orial Commission by law. 
 
SECTION 104.  There is hereby appropriated to the Department of 
Labor from any monies not otherwise appropriated from the Ge neral 
Revenue Fund of the State Treasury for the fis cal year ending June   
 
ENR. S. B. NO. 1040 	Page 25 
30, 2021, the sum of One Million Eight Hundred Thirty -three Thousand 
Four Hundred Forty-four Dollars ($1,833,444.00) or so much thereof 
as may be necessary to perform the duties imposed upon the 
Department of Labor by law. 
 
SECTION 105.  There is hereby appropriated to the Department of 
Labor from any monies not otherwise approp riated from the Special 
Occupational Health and S afety Fund for the fiscal year ending June 
30, 2023, the sum of One Million One Hundred Eighty -six Thousand 
Eight Hundred Seventy-three Dollars ($1,186,873.00) or so much 
thereof as may be ne cessary to perform the duties imposed upon the 
Department of Labor by law. 
 
SECTION 106.  There is hereby appropriat ed to the Department of 
Labor from any monies not otherwise appropriated from the Speci al 
Occupational Health and Safety Fund f or the fiscal year ending June 
30, 2021, the sum of Five Hundred Fifty-seven Thousand Eight Hundred 
Ninety-six Dollars ($557,896.00) or so much thereof as may be 
necessary to perform the duties imposed upon the Depar tment of Labor 
by law. 
 
SECTION 107.  Of the funds appropriated in Sections 104, 105, 
and 106 of this act, a maximum of One Million Two Hundred Seventy -
five Thousand Dollars ($1,275,000.00) m ay be transferred to the 
Department of Labor Revolvi ng Fund created by Sec tion 141.19 of 
Title 40 of the Oklahoma Statutes, to be expended in accordance with 
law. 
 
SECTION 108.  There is hereby appropriated t o the Department of 
Mines from any monies not otherwise appropriated from the General 
Revenue Fund of the Sta te Treasury for the fisc al year ending June 
30, 2023, the sum of Seven Hundred Sixt y-nine Thousand Nine Hundred 
Thirty-three Dollars ($769,933.00) or so much thereof as may be 
necessary to perform the duties imposed upon the Departmen t of Mines 
by law. 
 
SECTION 109.  There is hereby appropriated to the Oklahoma 
Tourism and Recreation Department from any monies not otherwise 
appropriated from the General Revenue Fund of th e State Treasury for 
the fiscal year ending June 30, 2023, the sum of Twenty-three 
Million Nine Hundred Eigh ty-eight Thousand Seven Hundred Seventy -six 
Dollars ($23,988,776.00) or so much thereof as may be ne cessary to   
 
ENR. S. B. NO. 1040 	Page 26 
perform the duties imposed upon the O klahoma Tourism and Recreation 
Department by law. 
 
SECTION 110.  There is hereby appropriated t o the Oklahoma Water 
Resources Board from any mon ies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal y ear 
ending June 30, 2023, the sum of Eight Million Four Hundred Forty -
five Thousand Three Hundred Twenty -three Dollars ($8,445,323.00) or 
so much thereof as may be necessary to perform the duties imposed 
upon the Oklahoma Water Resources Board by law. 
 
SECTION 111.  The Director of the Office of Management and 
Enterprise Services shall transfer monies from the app ropriation 
made to the Oklahoma Wa ter Resources Board in Section 110 of t his 
act to the Rural Economic Action Plan Water Projects Fun d (225 Fund) 
created pursuant to Section 2002.1 of Title 62 of the Oklahoma 
Statutes in amounts and ratios requested by the agency for the Rural 
Economic Action Plan program except that the cumula tive amounts 
transferred shall not exceed the cumulative amo unts of equal monthly 
allotments of the appropriation made to the Oklahoma Water Resources 
Board. 
 
PUBLIC SAFETY 
 
SECTION 112.  There is hereby appropriated to the Alcoholic 
Beverage Laws Enforcemen t Commission from any monie s not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 2023, the sum of Two Million Seven 
Hundred Fifty-three Thousand Six Hundred Fifty-nine Dollars 
($2,753,659.00) or so much thereof as may b e necessary to perform 
the duties imposed upon the Alcoholic Beverage Laws Enforcement 
Commission by law. 
 
SECTION 113.  There is hereby appropriated t o the Department of 
Corrections from any monies not otherwise appr opriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Five Hundred Twenty-six Million Six 
Hundred Thirty-two Thousand Five Hundred Eigh ty-three Dollars 
($526,632,583.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Department of Corrections by law. 
   
 
ENR. S. B. NO. 1040 	Page 27 
SECTION 114.  There is hereby appro priated to the Department of 
Corrections from any monies not otherwise appropriated from Special 
Cash Fund of the State Treasury, the sum of Twenty-five Million Four 
Hundred Fifty Thousand Three Hundred Seventeen Dollars 
($25,450,317.00) or so much thereof as may be necessary to perfor m 
the duties imposed upon the Department of Corrections by law. 
 
SECTION 115.  There is hereby appropriated to the Oklahoma State 
Bureau of Investigation from any moni es not otherwise appropriated 
from the General Revenue Fund of the St ate Treasury for the fiscal 
year ending June 30, 2023, the sum of Twenty-seven Million Four 
Hundred Forty-two Thousand Three Hundred Seventy-four Dollars 
($27,442,374.00) or so much thereof as m ay be necessary to perform 
the duties imposed upon the Oklahoma Stat e Bureau of Investigation 
by law.  Of the funds appropriated herein, a maximum of One Hundre d 
Thousand Dollars ($100,000.00) may be transf erred to an agency 
special account for the purpose of purchasing evidence items, paying 
fees to informers or special e mployees, paying expenses incurred in 
the prosecution and defense of civil actions, and payi ng other 
expenses as incurred under the Eviden ce Fund activity in trying to 
apprehend and convic t violators of the laws of the state.  The 
Oklahoma State Bureau of Investigation shall repor t income to the 
Evidence Fund annually pursuant to the provisions o f Sections 34.36 
and 34.42 of Title 62 of the Oklahoma Statutes. 
 
SECTION 116.  There is hereby appropriated to the Counci l on Law 
Enforcement Education and Training from any m onies not otherwise 
appropriated from the Cash-flow Reserve Fund (Fund 090) of the State 
Treasury the sum of Four Million Eight Hundred Seven Thousand Eight 
Hundred Eighty Dollars ($4,807,880.00) or so much thereof as may be 
necessary to perform the duties impos ed upon the Council on Law 
Enforcement Education and Training by law. 
 
SECTION 117.  There is hereby appropriated to the Council on Law 
Enforcement Education and Training from a ny monies not otherwise 
appropriated from the C.L.E.E.T. Fund for the fiscal year ending 
June 30, 2023, the sum of Two Million Five Hundred Thirteen Thousand 
Six Hundred Ninety-nine Dollars ($2,513,699.00) or so much thereof 
as may be necessary to perform the d uties imposed upon the C ouncil 
on Law Enforcement Education an d Training by law. 
   
 
ENR. S. B. NO. 1040 	Page 28 
SECTION 118.  There is hereby appropriated to the Boar d of 
Medicolegal Investigations from any monies not otherwise 
appropriated from the General Revenue Fund of the State Treasury for 
the fiscal year ending June 30, 202 3, the sum of Fifteen Million Two 
Hundred Six Thousand One Hund red Forty-four Dollars ($15,206,144.00) 
or so much thereof as may be necessary to perform the duties imposed 
upon the Board of Medicole gal Investigations by law. 
 
SECTION 119.  There is hereby appropriated to the Oklahoma Sta te 
Bureau of Narcotics and Dangerous Drugs Co ntrol from any monies not 
otherwise appropriated from the General Revenue Fund of the State 
Treasury for the fiscal year ending June 30, 2023, the sum of Three 
Million One Hundred Forty-five Thousand Three Hundred Thirty Dollars 
($3,145,330.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Oklahoma State Bureau of Narcotics and 
Dangerous Drugs Control by law. 
 
SECTION 120.  There is hereby appropriated to the Department of 
Public Safety from any monies not otherw ise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Ninety Million Four Hundred Fifty -
eight Thousand Seventy-one Dollars ($90,458,071.00) or so much 
thereof as may be necessary to perform the duties imposed upon the 
Department of Public Safety by law . Of the funds appropriated , the 
Department of Public Safety is authorized to transfer an amount not 
to exceed Four Million Dollars ($4,000,000.00) to the Department of 
Public Safety Patrol Academy Revolving Fund , created by Section 2-
146 of Title 47 of the Oklahoma Statutes. 
 
SECTION 121.  There is hereby appropriated to the Department of 
Public Safety from any monies not otherwise appropriated from the 
State Public Safety Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Fifteen Million Nine Hundred 
Eighty-seven Thousand Fifty-five Dollars ($15,987,055.00) or so much 
thereof as may be necessary to perform the duties imposed upon the 
Department of Public Safety by law. 
 
JUDICIARY 
 
SECTION 122.  There is hereby appropriated to the Office of the 
Attorney General from any monies not otherwise appropri ated from 
General Revenue Fund of the State Treasury for the fis cal year   
 
ENR. S. B. NO. 1040 	Page 29 
ending June 30, 2023, the sum of Twenty-one Million Eight Hundred 
Thirty-nine Thousand One Hundred Thirty -two Dollars ($21,839,132.00) 
or so much thereof as may be necessary to perform the duties imposed 
upon the Office of the Attorney General by law. 
 
SECTION 123.  There is hereby a ppropriated to the Office of the 
Attorney General from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasur y for the fiscal year 
ending June 30, 2021, the sum of Nine Hundred Fifty -nine Thousand 
Three Hundred Seventy-eight Dollars ($959,378.00) to transfer to the 
Legal Services Revolving Fund, created pursuant to subsection G of 
Section 921.1 of Title 12 of the Oklahoma Statutes. 
 
SECTION 124.  There is hereby appropriated to the Office of the 
Attorney General from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fi scal year 
ending June 30, 2023, the sum of Ten Million Dollars 
($10,000,000.00) or so much thereof as may be nece ssary to address 
federal overreach pu rsuant to Enrolled House Bill No. 1236 of the 
1st Session of the 58th Oklahoma Legislature and extraordinary 
litigation costs. 
 
SECTION 125.  For the fiscal year end ing June 30, 2023, the 
Office of the Attorney Gener al is authorized to transfe r an amount 
not to exceed Three Hundred Twenty Thousand Four Hundred Thirty 
Dollars ($320,430.00) from the Office of the Attorney General’s 
Evidence Fund (Fund 700), created by Section 19 of Title 74 of the 
Oklahoma Statutes, to the Office of the Attorney General’s Revolving 
Fund (Fund 200), created by Section 20 of Title 74 of the Oklahom a 
Statutes. 
 
SECTION 126.  There is hereby appropriated to the Court of 
Criminal Appeals from any monies not otherwise appropriated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Four Million One Hundred Thousand 
Two Hundred Ninety-seven Dollars ($4,100,297.00) or so much thereof 
as may be necessary to perform the duties impose d upon the Court of 
Criminal Appeals by law. 
 
SECTION 127.  There is hereby appropriated to the District 
Attorneys Council from any monies not otherwise appropriated from 
the General Revenue Fund of the State Treasury for the fiscal year   
 
ENR. S. B. NO. 1040 	Page 30 
ending June 30, 2023, the sum of Seventy Million Seven Hundred 
Seventy-nine Thousand Seven Hundred Eighty -two Dollars 
($70,779,782.00) or so much thereof as may be necessar y to perform 
the duties imposed upon the district attorneys and the District 
Attorneys Council by law.  Of the funds appropriated herein, the 
District Attorneys Council shall transfer up to the sum of Fo ur 
Hundred Ninety-one Thousand Fourteen Dollars ($491 ,014.00) or so 
much thereof as may be re quired by the district attorneys and 
District Attorneys Council to the Distr ict Attorneys Evidence Fund 
for necessary expenses relative to any case within the offi cial 
responsibility of the offices of the district at torneys as provided 
by Section 215.40 of Title 19 of the Oklahoma Statutes. 
 
SECTION 128.  For the fiscal year ending June 30, 2023, the 
District Attorneys Council is authorized to transfer an amount not 
to exceed One Million Dollars ($1,000,0 00.00), on an as-needed 
basis, from the Crime Victims Compensation Revolving Fund , created 
by Section 142.17 of Titl e 21 of the Oklahoma Statutes, to the 
Sexual Assault Examination Fund, created by Secti on 142.20 of Title 
21 of the Oklahoma Statutes. 
 
SECTION 129.  For the fiscal ye ar ending June 30, 202 3, up to 
Nine Hundred Thousand Dollars ( $900,000.00) is authorized to be 
transferred from the Crime Victims Compensation Revolving Fun d, 
created by Section 142.17 of Title 21 of the Oklahoma St atutes, to 
the District Attorneys Council to support the Crime Victims 
Compensation Board. 
 
SECTION 130. For the fiscal year ending June 30, 2023, up to 
One Million Five Hundred One T housand Three Hundred Seventy-five 
Dollars ($1,501,375.00) is authorized to be transferred from the 
Crime Victims Compensation Revolving F und, created by Section 142.17 
of Title 21 of the Oklahoma Statutes, to the District Attorneys 
Council for duties to s upport victim-witness services. 
 
SECTION 131.  The Supreme Court is hereby authorized to expend 
during the fiscal year ending June 30, 2023, from the State Judicia l 
Revolving Fund of the State Treasury, the sum of Twenty-three 
Million Ninety-seven Thousand Eight Dollars ($23,097,008.00) or so 
much thereof as may be necessary for the financial s upport of the 
District Courts. 
   
 
ENR. S. B. NO. 1040 	Page 31 
SECTION 132.  There is hereby appropriated to the Supreme Court 
from any monies not otherwise approp riated from the General Revenue 
Fund of the State Treasury for the fiscal year ending June 30, 2023, 
the sum of Fifty-three Million Eight Hundred Fourteen Thousand Seven 
Hundred Twenty-five Dollars ($53,814,725.00) or so much thereof as 
may be necessary to perform th e duties imposed upon the District 
Courts by law. 
 
SECTION 133.  There is hereby appropriated to the Oklahoma 
Indigent Defense System from any mon ies not otherwise appropriated 
from the General Revenue Fund of the State Treasury for the fiscal 
year ending June 30, 2023, the sum of Twenty-four Million Seven 
Hundred Thirty-one Thousand Seven Hundred Thirteen Dollars 
($24,731,713.00) or so much thereof as may be necessary to perform 
the duties imposed upon the Oklahoma Indigent Defense Syst em by law. 
 
SECTION 134.  There is hereby a ppropriated to the Pardon and 
Parole Board from any monies not otherwise approp riated from the 
General Revenue Fund of the State Treasury for the fiscal year 
ending June 30, 2023, the sum of Two Million Four Hundred Thirty-
three Thousand Four Hundred Dolla rs ($2,433,400.00) or so much 
thereof as may be necessary to perform the duties imposed upon the 
Pardon and Parole Board by law. 
 
SECTION 135. There is hereby appropriated to the Supr eme Court 
from the General Revenue Fund of the State Treasu ry for the fiscal 
year ending June 30, 2023, the sum of Sixteen Million Five Hu ndred 
Seventy-two Thousand Five Hundred Eight y-two Dollars 
($16,572,582.00) or so much thereof as may be necessary to per form 
the duties imposed upon the Supreme Court or Court of Civil Appeals 
by law. 
 
SECTION 136.  There is hereby appropriated to the Multiple 
Injury Trust Fund from any monies not otherwise appropriated from 
the Special Cash Fund of the State T reasury, the sum of Thirteen 
Million Dollars ($13,000,000.00) or so much thereof as may be 
necessary to pay obligations of the Fund. 
 
SECTION 137.  There is hereby appropriated to the Special Cash 
Fund of the State Treasury from any monies not otherwise 
appropriated from the State Transportation Fund the sum of Twenty-  
 
ENR. S. B. NO. 1040 	Page 32 
two Million Six Hundred Sixty -four Thousand Eight Hundred Sixty -
seven Dollars ($22,664,867.00) for availability of appropriation. 
 
SECTION 138.  There is hereby a ppropriated to the Special Cash 
Fund of the State Treasur y from any monies not otherwise 
appropriated from the Unclaimed Property Fund (711 Fund) the sum of 
Thirty Million Dollars ($30,000,000.00) for availability of 
appropriation. 
 
SECTION 139.  There is hereby appropriated to the Special Cash 
Fund of the State Treasury from any monies not otherwise 
appropriated from the State Insurance Commissioner Revo lving Fund 
(200 Fund) the sum of Seven Million Eight Hundred Thousand Dollars 
($7,800,000.00) for availability of appropriation. 
 
SECTION 140.  There is hereby appropriated to the Special Cash 
Fund of the State Treasury from any monies not oth erwise 
appropriated from the Revolving Fund for the Office of the Secretary 
of State (200 Fund) the sum of Seven Million Eight Hundred Thousand 
Dollars ($7,800,000.00) for availability of appropriation. 
 
SECTION 141.  There is hereby appropria ted to the Special Cash 
Fund of the State Treasury from any monies not otherwise 
appropriated from the Oklahoma Tax Commission Revolving Fund (200 
Fund) the sum of Six Million Dollars ($6,000,000.00) for 
availability of appropriation. 
 
SECTION 142.  There is hereby appropriated to the Special Cash 
Fund of the State Treasury from any mon ies not otherwise 
appropriated from the Weigh Station Improvement Fund (265 Fund) the 
sum of Seven Million Eight Hundred Thousand Dollars ($7,800,000.00) 
for availability of appropriation. 
 
SECTION 143.  There is hereby appropriated t o the State Board of 
Education from the General Revenue Fund o f the State Treasury for 
the fiscal year ending June 30, 202 1, the sum of Ninety-five Million 
Two Hundred Eighty-three Thousand One Hundred Seventy-four Dollars 
($95,283,174.00) to be transferred to the Ad Valorem Reimbursement 
Fund, created pursuant t o Section 193 of Title 62 of the Oklahoma 
Statutes, for the purpose of reimbursing counties for school 
districts that claim a loss of revenue due to a tax exemption   
 
ENR. S. B. NO. 1040 	Page 33 
granted pursuant to the provisions of Section 6B of Article X of the 
Oklahoma Constitution. 
 
SECTION 144.  There is hereby appropriated to the Office of 
Management and Enterprise Services fr om any monies not otherwise 
appropriated from the Special Cash Fund of the State Treasury , the 
sum of Seven Million Five Hundred Thousand Dollars ($7,500,000.00) 
for the implementation of Service Oklahoma. 
 
SECTION 145.  There is hereby approp riated to the Office of 
Management and Enterprise Services from any monies not otherwise 
appropriated from the Special Cash Fund of the State Treasu ry, the 
sum of Three Million Two Hundred Thousand Dollars ( $3,200,000.00) or 
so much thereof as may be neces sary to perform the duties imposed 
upon the Office of Management and Enterprise Services by law. 
 
SECTION 146.  There is hereby appropriated to The State 
Emergency Fund, created pursuant to Section 139.42 of Title 62 of 
the Oklahoma Statutes , from any monies not otherwise appropriated 
from the General Revenue Fund of the State Treasury for the fiscal 
year ending June 30, 202 3, the sum of Four Million Four Hundred 
Thousand Dollars ($4,400,000.00), or so much thereof as may be 
necessary for matching federal disaster funds and for other 
disaster-related assistance. 
 
SECTION 147.  There is hereby appropriated to the Oklahoma Tax 
Commission from any monies not otherwise appropriated from the State 
Public Safety Fund of the State Tre asury for the fiscal year ending 
June 30, 2023, the sum of Four Million Dollars ($4,000,000.00) for 
the purpose of reimbursement of REAL ID expenditures . 
 
SECTION 148.  There is hereby appropriated to the Depar tment of 
Transportation from any monies not otherwise appropriated from the 
Special Cash Fund of the State Treasury , the sum of Twenty-two 
Million Dollars ($22,000,000.00) or so much thereof as may be 
necessary to perform the duties imposed upon the Oklahoma Department 
of Transportation by law. Of the funds appropriated, the Department 
of Transportation is authorized to transfer an amount no t to exceed 
Five Million Dollars ($5,000,000.00) to the Public Transit Revolving 
Fund, created by Section 4031 of Title 69 of the Oklahoma Statutes. 
   
 
ENR. S. B. NO. 1040 	Page 34 
SECTION 149.  There is hereby appropriated to the Emergency 
Management Assistance Compact and Rescue Out of State Deployments 
Revolving Fund, created by Enrolled Hous e Bill No. 4143 of the 2nd 
Session of the 58th Oklahoma Legislature, from any monies not 
otherwise appropriated from the General Revenue Fund of the State 
Treasury for the fiscal year ending June 30, 2023, the sum of One 
Million Dollars ($1,000,000.00) to be expended in accordance with 
law. 
 
SECTION 150.  Sections 1 through 1 35 and Sections 146 through 
149 of this act shall become effective July 1, 202 2. 
   
 
ENR. S. B. NO. 1040 	Page 35 
Passed the Senate the 18th day of May, 2022. 
 
 
  
 	Presiding Officer of the Senate 
 
 
Passed the House of Representatives the 20th day of May, 2022. 
 
 
  
 	Presiding Officer of the House 
 	of Representatives 
 
OFFICE OF THE GOVERNOR 
Received by the Office of the Governor this ____________________ 
day of _________________ __, 20_______, at _______ o'clock _______ M. 
By: _______________________________ __ 
Approved by the Governor of the State of Oklahoma this _____ ____ 
day of _________________ __, 20_______, at _______ o'clock _____ __ M. 
 
 	_________________________________ 
 	Governor of the State of Oklahoma 
 
 
OFFICE OF THE SECRETARY OF STATE 
Received by the Office of the Secretary of State this _______ ___ 
day of __________________, 20 _______, at _______ o'clock _______ M. 
By: _______________________________ __