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90_SB1770
Makes appropriations and reappropriations to the Capital
Development Board for permanent improvements, minor capital
improvements, repair and maintenance, and related purposes
for the fiscal year beginning July 1, 1998. Makes
reappropriations to various state agencies for continuing
Build Illinois projects for the fiscal year beginning July 1,
1998.
CAPITAL PROJECTS - TO CDB
FUND NEW APPROPS. REAPPROPS. TOTAL
General Revenue $20,000.0 $41,524.6 $61,524.6
School
Construction 200,000.0 .0 200,000.0
School
Infrastructure 38,000.0 30,000.0 68,000.0
Capital
Development 370,508.9 938,144.7 1,308,757.4
Asbestos
Abatement 0 272.2 272.2
TOTAL 628,508.9 1,009,941.5 1,638,554.2
CAPITAL PROJECTS - TO AGENCIES
CAPITAL DEVELOPMENT FUND
Sec. of St. $0 $4.6 $4.6
Space Needs
Comm. 0 4.8 4.8
EIU 0 37.9 37.9
ISU 0 1,534.7 1,534.7
NEIU 0 4,000.0 4,000.0
NIU 0 65.5 65.5
SIU-Carbondale 0 38.8 38.8
UofI-Urbana-Cham. 0 154.4 154.4
TOTAL 0 5,840.7 5,840.7
GENERAL REVENUE FUND
Historic Preservation 0 400.0 400.0
TOTAL GRF 20,000.0 41,924.6 61,924.6
TOTAL CDF 370,508.9 943,985.5 1,314,598.1
BUILD ILLINOIS PROJECTS
FUND REAPPROPRIATIONS
Build Illinois Purposes $5,306.8
Build Illinois Bond 144,072.8
TOTAL $149,379.6
BOB-CAPITAL99
BOB-CAPITAL99
1 AN ACT making appropriations and reappropriations.
2 Be it enacted by the People of the State of Illinois,
3 represented in the General Assembly:
4 ARTICLE 1
5 Section 1. The following named amounts, or so much
6 thereof as may be necessary, are appropriated from the
7 Capital Development Fund to the Capital Development Board for
8 the Department of Agriculture for the projects hereinafter
9 enumerated:
10 DUQUOIN
11 For constructing four livestock barns
12 (Phase II) ................................... $ 688,000
13 SPRINGFIELD
14 For replacing and renovating
15 racehorse barns (Phase II) ................... 1,000,000
16 For rehabilitating sidewalks, curbs,
17 streets, and gutters, in addition to funds
18 previously appropriated ...................... 1,421,000
19 For replacing and rehabilitating roofs ......... 1,279,000
20 For renovating #26 Barn ........................ 736,000
21 Total, Section 1 $5,124,000
22 Section 1a. The following named amount, or so much
23 thereof as may be necessary, is appropriated from the General
24 Revenue Fund to the Capital Development Board for the
25 Department of Agriculture for the project hereinafter
26 enumerated:
27 SPRINGFIELD
28 For surveying the electrical system ............ $ 195,000
29 Total, Section 1a $195,000
-2- BOB-CAPITAL99
1 Section 2. The following named amounts, or so much
2 thereof as may be necessary, are appropriated from the
3 Capital Development Fund to the Capital Development Board for
4 the Department of Central Management Services for the
5 projects hereinafter enumerated:
6 ILLINOIS CENTER FOR REHABILITATION
7 AND EDUCATION (ROOSEVELT) - CHICAGO
8 For converting and renovating tub rooms ........ $ 425,000
9 JAMES R. THOMPSON CENTER - CHICAGO
10 For replacing roofing system and
11 insulation, in addition to funds
12 previously appropriated ...................... 950,000
13 MARION REGIONAL OFFICE BUILDING
14 For replacing HVAC system and interior
15 lighting ..................................... 1,600,000
16 OTTAWA STATE GARAGE
17 For replacing state garage ..................... 1,400,000
18 SUBURBAN NORTH REGIONAL OFFICE
19 BUILDING - DES PLAINES
20 For renovating offices for Environmental
21 Protection Agency, in addition to funds
22 previously appropriated ...................... 1,635,000
23 Total, Section 2 $6,010,000
24 Section 2a. The following named amount, or so much
25 thereof as may be necessary, is appropriated from the General
26 Revenue Fund to the Capital Development Board for the
27 Department of Central Management Services for the project
28 hereinafter enumerated:
29 CHICAGO MEDICAL CENTER - OFFICE AND LABORATORY
30 For rehabilitating exterior .................... $ 390,000
31 Total, Section 2a $390,000
32 Section 3. The following named amounts, or so much
-3- BOB-CAPITAL99
1 thereof as may be necessary, are appropriated from the
2 Capital Development Fund to the Capital Development Board for
3 the Department of Corrections for the projects hereinafter
4 enumerated:
5 HANNA CITY WORK CAMP
6 For upgrading electrical system ................ $ 600,000
7 HILL CORRECTIONAL CENTER - GALESBURG
8 For upgrading and expanding freezer
9 capacity, in addition to funds
10 previously appropriated ...................... 950,000
11 For replacing domestic water lines ............. 410,000
12 IYC - ST. CHARLES
13 For planning upgrade of existing
14 facility ..................................... 600,000
15 IYC - VALLEY VIEW - ST. CHARLES
16 For completing upgrade of restrooms, in
17 addition to funds previously appropriated .... 300,000
18 LOGAN CORRECTIONAL CENTER - LINCOLN
19 For planning replacement of the Dietary
20 and Medical Buildings ........................ 400,000
21 MENARD CORRECTIONAL CENTER - CHESTER
22 For completing upgrade of North Cellhouse
23 plumbing system, in addition to funds
24 previously appropriated ...................... 400,000
25 For planning upgrade of the storm tunnel ....... 100,000
26 For replacing toilets and waste lines
27 at E/W Cellhouse ............................. 2,600,000
28 PONTIAC CORRECTIONAL CENTER
29 For completing replacement of hot water
30 lines, in addition to funds previously
31 appropriated ................................. 1,100,000
32 STATEVILLE CORRECTIONAL CENTER - JOLIET
33 For replacing power plant ...................... 10,000,000
34 For planning, design, construction,
-4- BOB-CAPITAL99
1 equipment and all other necessary costs
2 for an Adult Reception and Classification
3 Center ....................................... 44,000,000
4 For upgrading storm drainage and
5 wastewater systems ........................... 1,200,000
6 For upgrading electrical system and elevator
7 and installing HVAC system ................... 1,200,000
8 VIENNA CORRECTIONAL CENTER
9 For completing upgrade of the steam
10 distribution system, in addition to
11 funds previously appropriated ................ 940,000
12 For upgrading electrical system and
13 installing emergency generator ............... 1,200,000
14 STATEWIDE
15 For planning, design, construction,
16 equipment and all other necessary costs
17 for a juvenile facility ...................... 20,000,000
18 For replacing locks and doors at the
19 following locations at the approximate
20 cost set forth below ......................... 1,090,000
21 Dwight Correctional Center ......... 275,000
22 Illinois River Correctional
23 Center - Canton ................... 150,000
24 IYC - Joliet ....................... 500,000
25 IYC - Pere Marquette - Grafton ..... 165,000
26 For replacing roofing systems at the following
27 locations at the approximate cost set forth
28 below ........................................ 2,875,000
29 Dixon Correctional Center,
30 four buildings .................... 900,000
31 IYC - St. Charles, two buildings ... 455,000
32 Joliet Correctional Center,
33 six buildings ..................... 875,000
34 Logan Correctional Center - Lincoln
-5- BOB-CAPITAL99
1 three buildings ................... 115,000
2 Menard Correctional Center - Chester
3 six buildings ..................... 275,000
4 Pontiac Correctional Center,
5 one building ...................... 255,000
6 For inspecting and upgrading water towers
7 at the following locations at the approximate
8 costs set forth below ........................ 3,590,000
9 Dixon Correctional Center,
10 Upgrade Water Tower ............. 1,000,000
11 Graham Correctional Center - Hillsboro
12 Upgrade Water Tower .............. 215,000
13 Joliet Correctional Center,
14 Upgrade Water Tower ............... 150,000
15 Logan Correctional Center - Lincoln
16 Complete Water Tower Upgrade ..... 600,000
17 Menard Correctional Center - Chester
18 Upgrade Water Tower .............. 325,000
19 Stateville Correctional Center - Joliet
20 Upgrade Water Tower ............ 1,000,000
21 Statewide, Inspect and Upgrade
22 Water Towers ...................... 300,000
23 For upgrading fire and safety systems at
24 the following locations at the approximate
25 costs set forth below, in addition to
26 funds previously appropriated ................ 3,370,000
27 Menard Correctional Center -
28 Chester ......................... 2,200,000
29 Sheridan Correctional Center ....... 320,000
30 Vienna Correctional Center ......... 850,000 ____________
31 Total, Section 3 $96,925,000
32 Section 4. The following named amounts, or so much
33 thereof as may be necessary, are appropriated from the
-6- BOB-CAPITAL99
1 Capital Development Fund to the Capital Development Board for
2 the Historic Preservation Agency for the projects hereinafter
3 enumerated:
4 BEISMAN HOUSE - GALENA HISTORIC SITE
5 For rehabilitating Beisman House ............... $ 427,000
6 BISHOP HILL HISTORIC SITE -
7 HENRY COUNTY
8 For rehabilitating Bjorkland Hotel ............. 1,010,000
9 LEWIS AND CLARK STATE MEMORIAL -
10 MADISON COUNTY
11 For constructing interpretive center,
12 in addition to funds previously
13 appropriated ................................. 1,700,000
14 LINCOLN LOG CABIN HISTORIC SITE -
15 COLES COUNTY
16 For constructing visitors center, Phase II,
17 and developing day use area .................. 1,669,000
18 LINCOLN'S NEW SALEM HISTORIC SITE - PETERSBURG
19 For renovating village entrance and
20 completing visitors center ................... 735,000
21 LINCOLN PRESIDENTIAL CENTER -
22 SPRINGFIELD
23 For planning Lincoln Presidential Center,
24 in addition to funds previously
25 appropriated ................................. 2,200,000
26 OLD STATE CAPITOL - SPRINGFIELD
27 For rehabilitating Old State Capitol ........... 1,159,000
28 POSTVILLE COURTHOUSE HISTORIC SITE -
29 LINCOLN
30 For rehabilitating Courthouse and site ......... 368,000
31 VACHEL LINDSAY HOME - SPRINGFIELD
32 For rehabilitating home ........................ 762,000
33 VANDALIA STATE HOUSE HISTORIC SITE
34 For replacing roof and rehabilitating
-7- BOB-CAPITAL99
1 exterior ..................................... 508,000
2 Total, Section 4 $10,538,000
3 Section 4a. The following named amounts, or so much
4 thereof as may be necessary, are appropriated from the
5 General Revenue Fund to the Capital Development Board for the
6 Historic Preservation Agency for the projects hereinafter
7 enumerated:
8 FORT DE CHARTRES HISTORIC SITE -
9 RANDOLPH COUNTY
10 For planning restoration of powder magazine .... $ 100,000
11 LINCOLN'S NEW SALEM HISTORIC SITE -
12 PETERSBURG
13 For removing sewage lagoon and treatment
14 plant ........................................ 407,000
15 For rehabilitating saw mill and grist
16 mill ......................................... 219,000
17 METAMORA COURTHOUSE HISTORIC SITE
18 For rehabilitating courthouse .................. 474,000
19 Total, Section 4a $1,200,000
20 Section 5. The following named amounts, or so much
21 thereof as may be necessary, are appropriated from the
22 Capital Development Fund to the Capital Development Board for
23 the Department of Human Services (formerly Department of
24 Mental Health and Developmental Disabilities) for the
25 projects hereinafter enumerated:
26 CHESTER MENTAL HEALTH CENTER
27 For renovating kitchen area .................... $ 967,000
28 CHICAGO-READ MENTAL HEALTH CENTER
29 For upgrading fire/life safety systems,
30 in addition to funds previously appropriated . 235,000
31 CHOATE MENTAL HEALTH CENTER - ANNA
32 For rehabilitating Cypress Building ............ 1,546,000
-8- BOB-CAPITAL99
1 ELGIN MENTAL HEALTH CENTER
2 For replacing power plant and engineering
3 building ..................................... 8,029,000
4 FOX DEVELOPMENTAL CENTER - DWIGHT
5 For renovating dietary, in addition to funds
6 previously appropriated ...................... 857,000
7 HOWE DEVELOPMENTAL CENTER -
8 TINLEY PARK
9 For replacing roofs ............................ 81,000
10 For planning access to water supply from
11 village ...................................... 78,000
12 For planning and rehabilitation of
13 utility tunnels .............................. 250,000
14 LINCOLN DEVELOPMENTAL CENTER
15 For upgrading power plant and installing
16 EMS, in addition to funds previously
17 appropriated ................................. 1,795,000
18 For renovating Elmhurst Cottage ................ 1,905,000
19 LUDEMAN DEVELOPMENTAL CENTER -
20 PARK FOREST
21 For replacing plumbing, HVAC and boiler
22 systems ...................................... 796,000
23 MCFARLAND MENTAL HEALTH CENTER -
24 SPRINGFIELD
25 For renovating Stevenson Hall .................. 984,000
26 SHAPIRO DEVELOPMENTAL CENTER -
27 KANKAKEE
28 For planning upgrade of steam and
29 condensate lines ............................. 320,000
30 For rehabilitating HVAC systems ................ 1,166,000
31 SINGER MENTAL HEALTH CENTER - ROCKFORD
32 For replacing roofs ............................ 248,000
33 TINLEY PARK MENTAL HEALTH CENTER
34 For upgrading fire/life safety systems
-9- BOB-CAPITAL99
1 and bedroom lighting, in addition to
2 funds previously appropriated ................ 236,000
3 Total, Section 5 $19,493,000
4 Section 5a. The following named amounts, or so much
5 thereof as may be necessary, are appropriated from the
6 General Revenue Fund to the Capital Development Board for the
7 Department of Human Services (formerly Department of Mental
8 Health and Developmental Disabilities) for the projects
9 hereinafter enumerated:
10 FOX DEVELOPMENTAL CENTER - DWIGHT
11 For replacing windows .......................... $ 578,000
12 JACKSONVILLE DEVELOPMENTAL CENTER
13 For replacing stoker and controls .............. 206,000
14 For planning the rehabilitation of
15 smokestack ................................... 80,000
16 STATEWIDE
17 For resurfacing roads at Chicago-Read,
18 Tinley Park and Murray ....................... 2,000,000
19 Total, Section 5a $2,864,000
20 Section 5.1. The following named amounts, or so much
21 thereof as may be necessary, are appropriated from the
22 Capital Development Fund to the Capital Development Board for
23 the Department of Human Services (formerly Department of
24 Rehabilitation Services) for the projects hereinafter
25 enumerated:
26 ILLINOIS SCHOOL FOR THE DEAF -
27 JACKSONVILLE
28 For installing HVAC and upgrading electrical
29 and replacing doors .......................... $ 1,400,000
30 ILLINOIS SCHOOL FOR THE VISUALLY
31 IMPAIRED - JACKSONVILLE
32 For installing sewers .......................... 1,200,000
-10- BOB-CAPITAL99
1 For constructing a new building to
2 replace buildings 2, 3 and 4,
3 in addition to funds previously
4 appropriated ................................. 3,300,000
5 Total, Section 5.1 $5,900,000
6 Section 5a.1. The following named amounts, or so much
7 thereof as may be necessary, are appropriated from the
8 General Revenue Fund to the Capital Development Board for the
9 Department of Human Services (formerly Department of
10 Rehabilitation Services) for the projects hereinafter
11 enumerated:
12 ILLINOIS SCHOOL FOR THE DEAF -
13 JACKSONVILLE
14 For installing humidity controls ............... $ 155,000
15 For installing an all-weather
16 running track ................................ 190,000
17 Total, Section 5a.1 $345,000
18 Section 6. The following named amounts, or so much
19 thereof as may be necessary, are appropriated from the
20 Capital Development Fund to the Capital Development Board for
21 the Department of Military Affairs for the projects
22 hereinafter enumerated:
23 CRESTWOOD ARMORY
24 For replacing roofing system and
25 rehabilitating exterior ...................... $ 1,228,000
26 SPRINGFIELD CAMP LINCOLN
27 For renovating heating system and
28 replacing windows ............................ 908,000
29 DIXON ARMORY
30 For upgrading mechanical and electrical
31 systems ...................................... 1,866,000
32 WEST FRANKFORT ARMORY
-11- BOB-CAPITAL99
1 For replacing roofs and rehabilitating
2 exterior ..................................... 1,197,000
3 WAUKEGAN ARMORY
4 For replacing roofing system ................... 415,000
5 Total, Section 6 $5,614,000
6 Section 7. The following named amounts, or so much
7 thereof as may be necessary, are appropriated from the
8 Capital Development Fund to the Capital Development Board for
9 the Department of Natural Resources for the projects
10 hereinafter enumerated:
11 BABE WOODYARD STATE NATURAL AREA -
12 VERMILION COUNTY
13 For developing the site and associated
14 land acquisition ............................. $ 3,300,000
15 BEALL WOODS STATE CONSERVATION AREA -
16 WABASH COUNTY
17 For replacing a visitors center ................ 488,000
18 CAVE-IN-ROCK STATE PARK -
19 HARDIN COUNTY
20 For constructing a shower building
21 and upgrading the campground ................. 650,000
22 FERNE CLYFFE STATE PARK -
23 JOHNSON COUNTY
24 For rehabilitating shower building ............. 215,000
25 FOX RIDGE STATE PARK - COLES COUNTY
26 For upgrading campground ....................... 340,000
27 HORSESHOE LAKE CONSERVATION AREA -
28 ALEXANDER COUNTY
29 For replacing the hunter check station ......... 150,000
30 ILLINOIS BEACH STATE PARK -
31 LAKE COUNTY
32 For constructing an office building ............ 650,000
33 For replacing sanitary sewer lines ............. 505,000
-12- BOB-CAPITAL99
1 LINCOLN TRAIL STATE RECREATION AREA -
2 CLARK COUNTY
3 For rehabilitating the day use area
4 and site ..................................... 1,281,000
5 NAUVOO STATE PARK - HANCOCK COUNTY
6 For replacing water distribution
7 system ....................................... 241,000
8 PERE MARQUETTE STATE PARK -
9 JERSEY COUNTY
10 For replacing the lodge HVAC condensing unit, in
11 addition to funds previously appropriated .... 334,000
12 RAMSEY LAKE STATE PARK -
13 FAYETTE COUNTY
14 For rehabilitating shower building ............. 188,000
15 SPRINGFIELD
16 For constructing an office building and
17 interpretive center .......................... 30,000,000
18 STATE MUSEUM - SPRINGFIELD
19 For renovating or replacing exhibits in,
20 addition to funds previously appropriated .... 5,500,000
21 For planning replacement of the state
22 museum ....................................... 800,000
23 STARVED ROCK STATE PARK - LASALLE COUNTY
24 For rehabilitating the sewer system ............ 1,055,000
25 For rehabilitating trails, in addition
26 to funds previously appropriated ............. 500,000
27 For upgrading the HVAC system .................. 445,000
28 TUNNEL HILL-CACHE RIVER STATE NATURAL AREA
29 For constructing a visitor center and
30 purchasing land .............................. 4,000,000
31 WATER SURVEY - CHAMPAIGN
32 For upgrading and replacing the mechanical
33 system, in addition to funds
34 previously appropriated ...................... 2,200,000
-13- BOB-CAPITAL99
1 STATEWIDE
2 For replacing roofing systems at the
3 following locations at the approximate
4 costs set forth below ........................ 370,000
5 Lincoln Trail Homestead State
6 Park, Four buildings ............... 38,000
7 Silver Springs State Park, Three
8 Buildings ......................... 278,000
9 Weldon Springs State Park, Nine
10 Buildings .......................... 54,000
11 For constructing vault toilets at the following
12 locations at the approximate costs set forth
13 below ........................................ 852,000
14 Cave-In-Rock State Park ............ 192,000
15 Frank Holten State Park ............ 285,000
16 Golconda/Rauchfuss Hill ............. 79,000
17 I&M Canal - Gebhard Woods State
18 Park ............................... 35,000
19 Prophetstown State Park ............ 155,000
20 William W. Powers State Park ....... 106,000
21 For constructing hazardous material storage
22 buildings .................................... 275,000
23 Total, Section 7 $54,339,000
24 Section 7a. The following named amounts, or so much
25 thereof as may be necessary, are appropriated from the
26 General Revenue Fund to the Capital Development Board for the
27 Department of Natural Resources for the projects hereinafter
28 enumerated:
29 APPLE RIVER CANYON STATE PARK -
30 JO DAVIESS COUNTY
31 For stabilizing the river bank ................. $ 150,000
32 GOLCONDA MARINA - POPE COUNTY
33 For constructing a sewage lift station ......... 50,000
-14- BOB-CAPITAL99
1 ILLINOIS BEACH STATE PARK -
2 LAKE COUNTY
3 For stabilizing the shoreline .................. 400,000
4 STARVED ROCK STATE PARK -
5 LASALLE COUNTY
6 For constructing erosion controls .............. 300,000
7 STATEWIDE
8 For maintaining lodge and concession
9 facilities ................................... 400,000
10 For rehabilitating or replacing playground
11 equipment .................................... 300,000
12 Total, Section 7a $1,600,000
13 Section 8a. The following named amount, or so much
14 thereof as may be necessary, is appropriated from the General
15 Revenue Fund to the Capital Development Board for the
16 Department of Revenue for the project hereinafter enumerated:
17 WILLARD ICE BUILDING - SPRINGFIELD
18 For resealing and replacing atrium windows ..... $ 1,208,000
19 Total, Section 8a $1,208,000
20 Section 9. The following named amounts, or so much
21 thereof as may be necessary, are appropriated from the
22 Capital Development Fund to the Capital Development Board for
23 the Department of State Police for the projects hereinafter
24 enumerated:
25 SPRINGFIELD ARMORY
26 For planning and design of the rehabilitation
27 and site improvements of the Springfield
28 Armory, in addition to funds previously
29 appropriated ................................. 1,500,000
30 STATEWIDE
31 For replacing the roofing systems at various
32 facilities at the approximate costs set
-15- BOB-CAPITAL99
1 forth below .................................. 167,000
2 District 17 - LaSalle ............... 41,000
3 Springfield, Radio Repair
4 Laboratory ......................... 36,000
5 Springfield, Communications
6 Building ........................... 90,000
7 For replacing radio communication towers,
8 equipment buildings and installing emergency
9 power generators at the following locations:
10 Pecatonica, Elwood, Kingston, Mason
11 City ......................................... 2,000,000
12 Total, Section 9 $3,667,000
13 Section 9a. The following named amount, or so much
14 thereof as may be necessary, is appropriated from the General
15 Revenue Fund to the Capital Development Board for the
16 Department of State Police for the project hereinafter
17 enumerated:
18 TRAINING FACILITY - PAWNEE
19 For rehabilitating the driving track ........... $ 513,000
20 Total, Section 9a $513,000
21 Section 10. The following named amounts, or so much
22 thereof as may be necessary, are appropriated from the
23 Capital Development Fund to the Capital Development Board for
24 the Department of Veterans' Affairs for the projects
25 hereinafter enumerated:
26 MANTENO VETERANS' HOME
27 For constructing a multi-purpose
28 building ..................................... $ 439,000
29 QUINCY VETERANS' HOME
30 For improvements to meet licensure
31 standards .................................... 9,000,000
32 Total, Section 10 $9,439,000
-16- BOB-CAPITAL99
1 Section 10a. The following named amounts, or so much
2 thereof as may be necessary, are appropriated from the
3 General Revenue Fund to the Capital Development Board for the
4 Department of Veterans' Affairs for the projects hereinafter
5 enumerated:
6 ILLINOIS VETERANS' HOME - ANNA
7 Complete visitors center, in addition
8 to funds previously appropriated ............. $ 100,000
9 For installing lighting, benches,
10 landscaping and ADA improvements ............. 934,000
11 ILLINOIS VETERANS' HOME - LASALLE
12 For installing wall protection ................. 107,000
13 ILLINOIS VETERANS' HOME - QUINCY
14 For resurfacing Schapers Hospital
15 parking lot .................................. 91,000
16 ILLINOIS VETERANS' HOME - MANTENO
17 For tuckpointing and repairing masonry ......... 1,026,000
18 Total, Section 10a $2,258,000
19 Section 11.01. The following named amounts, or so much
20 thereof as may be necessary, are appropriated from the
21 Capital Development Fund to the Capital Development Board for
22 projects hereinafter enumerated:
23 FIFTH DISTRICT APPELLATE COURT -
24 MT. VERNON
25 For expanding the courthouse ................... $ 1,625,000
26 SUPREME COURT BUILDING - SPRINGFIELD
27 For replacing plumbing system .................. 1,000,000
28 ATTORNEY GENERAL'S OFFICE -
29 SPRINGFIELD
30 For planning an annex or addition and
31 parking facilities ........................... 200,000
32 Total, Section 11.01 $2,825,000
-17- BOB-CAPITAL99
1 Section 11.01a. The following named amounts, or so much
2 thereof as may be necessary, are appropriated from the
3 General Revenue Fund to the Capital Development Board for
4 projects hereinafter enumerated:
5 SECOND DISTRICT APPELLATE COURT - ELGIN
6 For upgrading mechanical systems
7 and building exterior ........................ 190,000
8 EXECUTIVE MANSION - SPRINGFIELD
9 For renovating interior, exterior and site,
10 in addition to funds previously appropriated . 190,000
11 Total, Section 11.01a $380,000
12 Section 11.02. The following named amounts, or so much
13 thereof as may be necessary, are appropriated from the
14 Capital Development Fund to the Capital Development Board for
15 projects hereinafter enumerated:
16 CAPITOL COMPLEX
17 For upgrading HVAC system at the Archives
18 Building, in addition to funds previously
19 appropriated ................................. $ 375,000
20 For renovating 222 South College
21 Building ..................................... 2,500,000
22 Total, Section 11.02 $2,875,000
23 Section 11.03. The following named amounts, or so much
24 thereof as may be necessary, are appropriated from the
25 Capital Development Fund to the Capital Development Board for
26 projects hereinafter enumerated:
27 For surveys and modifications to buildings
28 to meets requirements of the federal
29 Americans With Disabilities Act .............. $ 5,000,000
30 For retrofitting or upgrading mechanized
31 refrigeration equipment (CFCs) ............... 7,000,000
32 For abating hazardous materials ................ 5,000,000
-18- BOB-CAPITAL99
1 For upgrading and remediating underground
2 storage tanks ................................ 7,500,000
3 Total, Section 11.03 $24,500,000
4 Section 11.03a. The following named amounts, or so much
5 thereof as may be necessary, are appropriated from the
6 General Revenue Fund to the Capital Development Board for
7 projects hereinafter enumerated:
8 STATEWIDE
9 For surveying and abating asbestos-
10 containing materials ......................... $ 1,000,000
11 For remediating minor problems
12 and emergencies .............................. 3,002,000
13 For conducting construction site
14 archeological studies ........................ 245,000
15 For demolishing buildings ...................... 4,800,000
16 Total, Section 11.03a $9,047,000
17 Section 12. The following named amounts, or so much
18 thereof as may be necessary, are appropriated from the
19 Capital Development Fund to the Capital Development Board for
20 the Illinois Community College Board for the projects
21 hereinafter enumerated:
22 CITY COLLEGES OF CHICAGO/KENNEDY KING
23 For remodeling for a culinary arts
24 educational facility ......................... $ 10,875,000
25 JOHN WOOD COMMUNITY COLLEGE - QUINCY
26 For planning campus buildings and site
27 improvements ................................. 1,871,800
28 JOLIET JUNIOR COLLEGE
29 For remodeling campus buildings ................ 220,900
30 LAKE LAND COLLEGE - MATTOON
31 For constructing a classroom/administration
32 building and purchasing equipment, in addition
-19- BOB-CAPITAL99
1 to funds previously appropriated ............. 5,336,800
2 LEWIS AND CLARK COMMUNITY COLLEGE - GODFREY
3 For constructing a classroom/administration
4 building ..................................... 10,125,000
5 LINCOLN LAND COMMUNITY COLLEGE - SPRINGFIELD
6 For constructing an addition and remodeling
7 Sangamon and Menard Halls .................... 3,777,700
8 MORAINE VALLEY COMMUNITY COLLEGE - PALOS HILLS
9 For constructing a classroom/administration
10 building, providing site improvements and
11 purchasing equipment, in addition to
12 funds previously appropriated ................ 8,309,200
13 REND LAKE COLLEGE - INA
14 For replacing utility piping ................... 1,546,400
15 Total, Section 12 $42,062,800
16 Section 13. The following named amounts, or so much
17 thereof as may be necessary, are appropriated from the
18 Capital Development Fund to the Capital Development Board for
19 the Board of Higher Education for the projects hereinafter
20 enumerated:
21 MATH AND SCIENCE ACADEMY - AURORA
22 For replacing carpeting, constructing storage
23 building and various site improvements,
24 including extending communications
25 conduit system ............................... $ 1,310,000
26 CHICAGO STATE UNIVERSITY - COOK COUNTY
27 For upgrading campus infrastructure, in
28 addition to the funds previously appropriated . 2,700,000
29 EASTERN ILLINOIS UNIVERSITY - CHARLESTON
30 For upgrading campus buildings for health,
31 safety and environmental improvements ........ 1,302,100
32 GOVERNORS STATE UNIVERSITY - PARK FOREST
33 For planning main building renovations,
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1 a child development center, and
2 faculty offices .............................. 1,500,000
3 ILLINOIS STATE UNIVERSITY - NORMAL
4 For remodeling Julian and Moulton Halls ........ 7,050,000
5 NORTHEASTERN ILLINOIS UNIVERSITY - CHICAGO
6 For replacing fire alarm systems, lighting
7 and ceilings ................................. 2,561,800
8 NORTHERN ILLINOIS UNIVERSITY - DEKALB
9 For upgrading storm waterway controls in
10 addition to funds previously appropriated .... 6,716,000
11 SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE
12 For upgrading and remodeling Anthony
13 Hall ......................................... 3,131,100
14 SOUTHERN ILLINOIS UNIVERSITY - EDWARDSVILLE
15 For purchasing equipment for the Engineering
16 Building ..................................... 6,000,000
17 SOUTHERN ILLINOIS UNIVERSITY -
18 EDWARDSVILLE/E. ST. LOUIS
19 For planning a classroom/administration
20 facility in addition to funds previously
21 appropriated ................................. 1,179,600
22 UNIVERSITY OF ILLINOIS - CHICAGO
23 For remodeling the Clinical
24 Sciences Building ............................ 15,000,000
25 UNIVERSITY OF ILLINOIS -
26 URBANA/CHAMPAIGN
27 For remodeling the Mechanical Engineering
28 Laboratory Building .......................... 7,365,000
29 UNIVERSITY OF ILLINOIS - SPRINGFIELD
30 For constructing and improving campus
31 roadways, in addition to funds previously
32 appropriated ................................. 2,412,700
33 WESTERN ILLINOIS UNIVERSITY - MACOMB
34 For constructing a utility tunnel and
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1 installing piping, lines and cables .......... 6,313,400
2 For remodeling Horrabin and Simpkins
3 Halls, in addition to funds
4 previously appropriated....................... 1,655,400
5 Total, Section 13 $66,197,100
6 Section 14. The sum of $11,244,000, or so much thereof
7 as may be necessary, is appropriated from the Capital
8 Development Fund to the Capital Development Board for the
9 Board of Higher Education for miscellaneous capital
10 improvements including construction, capital facilities, cost
11 of planning, various universities set forth below. This
12 appropriation shall be in addition to any other appropriated
13 amounts which can be expended for these purposes.
14 For Chicago State University ........... 226,000
15 For Eastern Illinois University ........ 423,100
16 For Governors State University ......... 136,200
17 For Illinois State University .......... 863,000
18 For Northeastern Illinois University ... 317,800
19 For Northern Illinois University ....... 965,800
20 For Western Illinois University ........ 646,800
21 For Southern Illinois University -
22 Carbondale ......................... 1,493,600
23 For Southern Illinois University -
24 Edwardsville ......................... 563,600
25 For University of Illinois - Chicago . 2,460,300
26 For University of Illinois -
27 Springfield .......................... 162,600
28 For University of Illinois -
29 Urbana-Champaign ................... 2,985,200
30 Section 15. The sum of $3,756,000, or so much thereof as
31 may be necessary, is appropriated from the Capital
32 Development Fund to the Capital Development Board for the
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1 Illinois Community College Board for miscellaneous capital
2 improvements including construction, capital facilities, cost
3 of planning, supplies, equipment, materials, services and all
4 other expenses required to complete the work at the various
5 universities set forth below. This appropriation shall be in
6 addition to any other appropriated amounts which can be
7 expended for these purposes.
8 Section 16. The sum of $38,000,000, or so much thereof
9 as may be necessary, is appropriated from the School
10 Infrastructure Fund to the Capital Development Board for
11 school construction grants pursuant to the School
12 Construction Law.
13 Section 17. The sum of $200,000,000, or so much thereof
14 as may be necessary, is appropriated from the School
15 Construction Fund to the Capital Development Board for school
16 construction grants pursuant to the School Construction Law.
17 Section 95. No contract shall be entered into or
18 obligation incurred for any expenditures from appropriations
19 made in this Article until after the purposes and amounts
20 have been approved in writing by the Governor.
21 ARTICLE 2
22 Section 1. The following named amounts, or so much
23 thereof as may be necessary and remain unexpended at the
24 close of business on June 30, 1998, from appropriations and
25 reappropriations heretofore made for such purposes in Section
26 52 of Public Act 90-0550 and Article 94, Sections 1 and 1A of
27 Public Act 90-0010, are reappropriated from the Capital
28 Development Fund to the Capital Development Board for the
29 Department of Agriculture for the projects hereinafter
-23- BOB-CAPITAL99
1 enumerated:
2 ANIMAL DISEASE LABORATORY - CENTRALIA
3 (From Article 94, Section 1A of Public Act 90-0010)
4 For upgrading the diagnostic laboratory
5 facility, in addition to funds previously
6 appropriated ................................. $ 200,000
7 (From Article 94, Section 1 of Public Act 90-0010)
8 For purchasing and upgrading
9 diagnostic laboratory ........................ 506,979
10 DUQUOIN STATE FAIRGROUNDS
11 (From Section 52 of Public Act 90-0550)
12 For planning the renovation of the
13 Round Houses ................................. 40,000
14 (From Article 94, Section 1 of Public Act 90-0010):
15 For replacement of the grandstand
16 bleachers .................................... 759,335
17 For planning and construction of
18 a livestock complex .......................... 6,837
19 For rehabilitation of the Grandstand ........... 13,403
20 For upgrading the racetrack, including the
21 racetrack walls .............................. 2,621,797
22 ILLINOIS STATE FAIRGROUNDS - SPRINGFIELD
23 (From Section 52 of Public Act 90-0550)
24 For replacing the HVAC system in the
25 Administration Building ...................... 929,000
26 (From Article 94, Section 1A of Public Act 90-0010)
27 For replacing and/or repairing sidewalks,
28 curbs, gutters and streets, in addition
29 to funds previously appropriated ............. 726,766
30 For upgrading the storm/sanitary and water
31 systems, in addition to funds previously
32 appropriated ................................. 1,569,538
33 For renovation or replacement of
34 comfort stations, in addition
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1 to funds previously appropriated ............. 1,273,000
2 For upgrading Building 13, in addition to
3 funds previously appropriated ................ 354,035
4 (From Article 94, Section 1 of Public Act 90-0010)
5 For renovation of the comfort stations-
6 Phase I ...................................... 74,803
7 For upgrading Building #13 ..................... 19,844
8 For renovation of the Coliseum ................. 17,122
9 For renovation of the Jr. Livestock Building,
10 including the cover over the outdoor
11 arena, roof, HVAC, plumbing and electrical
12 systems and installation of an elevator
13 for accessibility, and for upgrading
14 the sewer system ............................. 71,858
15 For rehabilitation of the Administration
16 Building, including planning & upgrading
17 laboratories ................................. 49,869
18 For planning the renovation of the show
19 horse barns .................................. 257,229
20 For rehabilitation of six racehorse barns-
21 Phase I ...................................... 165,046
22 For planning the rehabilitation of sidewalks,
23 curbs, gutters and streets ................... 108,724
24 Total, Section 1 $9,765,185
25 Section 2. The following named amounts, or so much
26 thereof as may be necessary and remain unexpended at the
27 close of business on June 30, 1998, from appropriations and
28 reappropriations heretofore made for such purposes in Section
29 61 of Public Act 90-0550; Article 93, Section 11.01 of Public
30 Act 90-0010; and Article 94, Section 2, of Public Act 90-0010
31 are reappropriated from the Capital Development Fund to the
32 Capital Development Board for the Courts of Illinois for the
33 projects hereinafter enumerated:
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1 SECOND DISTRICT APPELLATE COURT BUILDING - ELGIN
2 (From Article 93, Section 11.01 of Public Act 90-0010)
3 For replacing the roof ......................... $ 104,000
4 SPRINGFIELD - SUPREME COURT BUILDING
5 (From Section 61 of Public Act 90-0550)
6 For planning the library upgrade ............... 127,000
7 (From Article 94, Section 2 of Public Act 90-0010)
8 For installation of an elevator and
9 replacement of the exterior lights ........... 29,564
10 For repairing the ramp, drainage system,
11 retaining wall and landscaping ............... 19,767
12 Total, Section 2 $280,331
13 Section 2.1. The following named amount, or so much
14 thereof as may be necessary and remains unexpended at the
15 close of business on June 30, 1998, from an appropriation
16 heretofore made for such purposes in Article 93, Section
17 11.01a of Public Act 90-0010, is reappropriated from the
18 General Revenue Fund to the Capital Development Board for the
19 project hereinafter enumerated:
20 SUPREME COURT BUILDING - SPRINGFIELD
21 For tuckpointing and cleaning exterior ...........$ 220,000
22 Section 3. The following named amounts, or so much
23 thereof as may be necessary and remain unexpended at the
24 close of business on June 30, 1998, from appropriations and
25 reappropriations heretofore made for such purposes in Section
26 53 of Public Act 90-0550; Article 93, Section 2 of Public Act
27 90-0010; Article 94, Section 3, of Public Act 90-0010; and
28 Section 3A of Public Act 90-0010, are reappropriated from the
29 Capital Development Fund to the Capital Development Board for
30 the Department of Central Management Services for the
31 projects hereinafter enumerated:
32 ELGIN REGIONAL OFFICE BUILDING
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1 (From Section 53 of Public Act 90-0550)
2 For replacing the utility system ............... $ 2,625,000
3 ILLINOIS CENTER FOR REHABILITATION AND
4 EDUCATION (WOOD) - CHICAGO
5 (From Article 93, Section 2 of Public Act 90-0010)
6 For replacing the skylight system
7 and roof flashing ............................ 45,000
8 For installing security system and
9 perimeter lighting ........................... 375,000
10 ILLINOIS CENTER FOR REHABILITATION AND
11 EDUCATION (ROOSEVELT) - CHICAGO
12 (From Article 94, Section 3a of Public Act 90-0010)
13 For upgrading the HVAC system .................. 2,250,000
14 CENTRAL STATE GARAGE - SPRINGFIELD
15 (From Article 93, Section 2 of Public Act 90-0010)
16 For replacing the roof and drainage system ..... 425,000
17 CHICAGO - STATE OF ILLINOIS CENTER
18 (From Article 94, Section 3 of Public Act 90-0010)
19 For completing the installation of elevators, in
20 addition to funds previously appropriated .... 650,760
21 For the correction of design/construction
22 deficiencies, including remedial work in
23 the heating, refrigeration, temperature
24 control and ventilation systems at the
25 State of Illinois Center at Chicago .......... 269,259
26 CHICAGO - STATE OF ILLINOIS BUILDING
27 For planning, renovation, equipment and all
28 other costs associated with the renovation
29 of the State of Illinois Building located
30 at 160 North LaSalle in Chicago, in addition
31 to any other amounts heretofore
32 appropriated for such purpose ................ 16,879
33 For planning for renovation of the building
34 at 160 North LaSalle ......................... 46,367
-27- BOB-CAPITAL99
1 CHICAGO MEDICAL CENTER
2 ILLINOIS CENTER FOR REHABILITATION AND EDUCATION
3 For completing the upgrade of HVAC system, in
4 addition to funds previously appropriated .... 81,448
5 For construction of an independent living
6 apartment building ........................... 104,140
7 For rehabilitation of the air conditioning
8 system, installation of a sprinkler system
9 and improvements for handicapped
10 accessibility ................................ 105,913
11 CHICAGO MEDICAL CENTER
12 EVELYN EDWARDS CENTER
13 For replacement of the heating system .......... 25,274
14 CHICAGO MEDICAL CENTER
15 OFFICE AND LABORATORY FACILITY
16 For replacement of the electric autoclave
17 boilers ...................................... 13,222
18 CHICAGO MEDICAL CENTER
19 VISUALLY HANDICAPPED INSTITUTE
20 For renovation of the loading dock ............. 46,058
21 REGIONAL OFFICE BUILDING - CHAMPAIGN
22 For replacement of roofing system and
23 rooftop heating and cooling unit ............. 88,451
24 (From Article 94, Section 3A of Public Act 90-0010)
25 SUBURBAN NORTH REGIONAL OFFICE BUILDING -
26 DES PLAINES
27 For renovation of Suburban North Regional
28 Office Building (formerly Maine Township
29 North High School building), in addition
30 to funds previously appropriated for such
31 purpose, Phase III ........................... 5,400,000
32 For renovation and expansion of garage ......... 375,000
33 (From Article 94, Section 3 of Public Act 90-0010)
34 For designing the renovation, phase III ........ 562,615
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1 For the purchase and renovation of the high
2 school ....................................... 17,210
3 OTTAWA STATE GARAGE
4 For rehabilitation of the lighting and
5 electrical systems ........................... 106,694
6 SPRINGFIELD - CAPITOL COMPLEX
7 For construction of a day care center, in
8 addition to funds previously appropriated
9 for such purpose ............................. 950,000
10 For construction of a day care center in the
11 Capitol Complex in Springfield ............... 244,348
12 COMPUTER FACILITY - SPRINGFIELD
13 (From Article 94, Section 3A of Public Act 90-0010)
14 For replacement of the halon fire
15 suppression system ........................... 861,030
16 (From Article 94, Section 3 of Public Act 90-0010)
17 ASH STREET COMPLEX -
18 MUSEUM AND COLLECTION CENTER -
19 SPRINGFIELD
20 For replacement of the roofing system .......... 667,928
21 (From Article 94, Section 3A of Public Act 90-0010)
22 MARION REGIONAL OFFICE BUILDING
23 For construction of a Regional Office
24 Building Addition ............................ 2,000,000
25 Total, Section 3 $18,352,596
26 Section 3.1. The following named amounts, or so much
27 thereof as may be necessary and remain unexpended at the
28 close of business on June 30, 1998, from appropriations and
29 reappropriations heretofore made for such purposes in Article
30 93, Section 2a of Public Act 90-0010, and Article 94, Section
31 3.1 of Public Act 90-0010, are reappropriated from the
32 General Revenue Fund to the Capital Development Board for the
33 Department of Central Management Services for the projects
-29- BOB-CAPITAL99
1 hereinafter enumerated:
2 JAMES R. THOMPSON CENTER - CHICAGO
3 (From Article 93, Section 2a of Public Act 90-0010)
4 For restoring the exterior plaza ............... $ 890,000
5 EAST ST. LOUIS - REGIONAL OFFICE
6 For replacing windows .......................... 65,000
7 CHICAGO MEDICAL CENTER
8 ILLINOIS CENTER FOR REHABILITATION AND EDUCATION
9 (From Article 94, Section 3.1 of Public Act 90-0010)
10 For rehabilitation for fire safety and
11 accessibility ................................ 11,086
12 CHICAGO MEDICAL CENTER
13 JUVENILE RESEARCH INSTITUTE
14 For rehabilitation of the interior and
15 exterior walls, planning the rehabilitation
16 of the HVAC system and renovation of
17 the elevator ................................. 23,433
18 Total, Section 3.1 $989,519
19 Section 4. The following named amounts, or so much
20 thereof as may be necessary, and remain unexpended at the
21 close of business on June 30, 1998, from appropriations and
22 reappropriations heretofore made for such purposes in Section
23 58 of Public Act 90-0550; Article 93, Section 7 of Public Act
24 90-0010; Article 94, Section 4 of Public Act 90-0010; and
25 Article 4A of Public Act 90-0010, are reappropriated from the
26 Capital Development Fund to the Capital Development Board for
27 the Department of Natural Resources for the projects
28 hereinafter enumerated:
29 CHAIN O' LAKES STATE PARK - MCHENRY COUNTY
30 (From Article 94, Section 4A of Public Act 90-0010)
31 For construction of a concession building
32 and upgrading the horse concession, in
33 addition to funds previously appropriated .... $ 500,000
-30- BOB-CAPITAL99
1 (From Article 94, Section 4 of Public Act 90-0010)
2 For Chain O'Lakes State Park for replacement
3 of overhead power lines ...................... 21,036
4 For Chain O'Lakes State Park for planning
5 the replacement of concession buildings ...... 37,734
6 (From Article 94, Section 4A of Public Act 90-0010)
7 DELABAR STATE PARK - HENDERSON COUNTY
8 For replacement of waterlines and
9 fountains .................................... 99,925
10 (From Article 94, Section 4A of Public Act 90-0010)
11 FOR EAGLE CREEK STATE PARK - SHELBY COUNTY
12 For rehabilitation of the sewage treatment
13 system, in addition to funds previously
14 appropriated ................................. 312,000
15 (From Article 94, Section 4 of Public Act 90-0010)
16 For Eagle Creek State Park for planning and
17 rehabilitation of the sewage treatment
18 system ....................................... 269,450
19 For Fort Massac State Park for planning the
20 reconstruction of the fort ................... 141,700
21 (From Article 93, Section 7 of Public Act 90-0010)
22 HENNEPIN CANAL PARKWAY STATE PARK AND ACCESS AREA
23 For stabilizing the feeder canal bank .......... 500,000
24 (From Article 94, Section 4A of Public Act 90-0010)
25 For replacement and rehabilitation
26 of arch culverts and canal ................... 575,148
27 (From Article 94, Section 4 of Public Act 90-0010)
28 For Heron Pond-Little Black Slough for
29 improvements for erosion control ............. 213,537
30 For Horseshoe Lake Conservation Area for
31 dam rehabilitation and land acquisition ...... 858,655
32 For Horseshoe Lake State Fish and Wildlife
33 Area for construction of a pole building
34 and hunter check station ..................... 83,816
-31- BOB-CAPITAL99
1 For Illinois Beach State Park for
2 stabilization of shoreline ................... 177,565
3 For Illinois-Michigan Canal State Park for
4 stabilization of the aqueduct ................ 504,341
5 (From Article 94, Section 4A of Public Act 90-0010)
6 FOR JOHNSON SAUK TRAIL STATE PARK - HENRY COUNTY
7 For rehabilitation of the concession
8 building, in addition to funds
9 previously appropriated ...................... 140,000
10 (From Article 94, Section 4 of Public Act 90-0010)
11 For Johnson Sauk Trail State Park for
12 rehabilitation of the concession building .... 87,975
13 (From Section 58 of Public Act 90-0550)
14 FOR KANKAKEE STATE PARK - KANKAKEE COUNTY
15 For planning and constructing a
16 sanitary sewer system ........................ 200,000
17 (From Article 94, Section 4A of Public Act 90-0010)
18 FOR KICKAPOO STATE PARK - VERMILION COUNTY
19 For construction of a sewage treatment
20 plant, in addition to funds
21 previously appropriated ...................... 918,194
22 (From Article 94, Section 4 of Public Act 90-0010)
23 For Mason State Forest Tree Nursery for
24 installation of an emergency power system
25 and upgrading the irrigation system .......... 5,155
26 (From Section 58 of Public Act 90-0550)
27 FOR MERMET LAKE CONSERVATION AREA - MASSAC COUNTY
28 For rehabilitating the levee system ............ 225,000
29 (From Article 94, Section 4A of Public Act 90-0010)
30 FOR MORAINE HILLS STATE PARK - MCHENRY COUNTY
31 For renovation of the trail .................... 338,496
32 (From Article 94, Section 4 of Public Act 90-0010)
33 For Moraine Hills State Park for replacement
34 of restrooms and upgrading the
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1 water system ................................. 839,952
2 (From Article 94, Section 4A of Public Act 90-0010)
3 FOR MORAINE VIEW STATE PARK - MCLEAN COUNTY
4 For construction of a sewage treatment
5 system and plant ............................. 1,609,600
6 (From Article 94, Section 4 of Public Act 90-0010)
7 For North Point Marina for construction of
8 a breakwater structure ....................... 2,714,211
9 For North Point Marina for modifying
10 the marina's docking system .................. 2,122,839
11 (From Article 94, Section 4A of Public Act 90-0010)
12 FOR PERE MARQUETTE STATE PARK - JERSEY COUNTY
13 For renovation of two buildings and
14 replacement of a storage building ............ 180,000
15 (From Section 58 of Public Act 90-0550)
16 FOR RED HILLS STATE PARK - LAWRENCE COUNTY
17 For replacing the sewage treatment system,
18 in addition to funds previously appropriated . 510,000
19 For rehabilitating the dam ..................... 90,000
20 (From Article 94, Section 4 of Public Act 90-0010)
21 For Sam Dale Lake Conservation Area for
22 construction of a sewage disposal system ..... 29,162
23 (From Section 58 of Public Act 90-0550)
24 FOR SANGANOIS CONSERVATION AREA -
25 CASS, MASON AND SCHUYLER COUNTIES
26 For rehabilitating the levee system ............ 315,000
27 (From Article 94, Section 4 of Public Act 90-0010)
28 For Springfield Illinois State Fairgrounds
29 for the upgrade of access roads,
30 parking lots, and visitor trails at
31 Conservation World and the Conservation
32 Service Center ............................... 55,173
33 (From Article 94, Section 4A of Public Act 90-0010)
34 STARVED ROCK STATE PARK - LASALLE COUNTY
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1 For construction of a Visitors'
2 Center, in addition to funds
3 previously appropriated ...................... 365,000
4 For rehabilitation of trails, in addition
5 to funds previously appropriated ............. 1,000,000
6 For reconstruction of the seawall, in
7 addition to funds previously
8 appropriated ................................. 149,726
9 For rehabilitation of the sewer
10 system - Phase I ............................. 171,500
11 (From Article 94, Section 4 of Public Act 90-0010)
12 For Starved Rock State Park for planning the
13 rehabilitation of the trails ................. 71,900
14 For Starved Rock State Park for planning the
15 reconstruction of the seawall ................ 57,340
16 For Stephen A. Forbes State Park for extending
17 water and electrical services ................ 99,656
18 For Tri-County Park for planning
19 a park ....................................... 104,040
20 For Volo Bog Natural Area for rehabilitation
21 of the visitors' center ...................... 13,008
22 For Wayne Fitzgerrell State Park for
23 rehabilitation of the sewage treatment
24 plant ........................................ 214,249
25 For Wayne Fitzgerrell State Park for
26 planning and construction of a marina,
27 installation of additional sewage lines,
28 recreational development and overnight
29 accommodations to be located on Rend
30 Lake ......................................... 14,599
31 NATURAL HISTORY SURVEY - NATURAL HISTORY RESEARCH CENTER
32 (FORMERLY BURNHAM HOSPITAL)
33 (From Article 94, Section 4A of Public Act 90-0010)
34 For renovation of Natural History
-34- BOB-CAPITAL99
1 Research Center (formerly Burnham
2 Hospital) in Champaign ....................... 6,000,000
3 (From Article 94, Section 4 of Public Act 90-0010)
4 For planning and initiating the renovation of the
5 Natural History Research Center (formerly
6 Burnham Hospital) ............................ 3,112,305
7 For acquisition, planning, construction,
8 reconstruction, rehabilitation, and all
9 costs for the conversion of the Natural
10 History Research Center (formerly Burnham
11 Hospital) to a laboratory facility
12 for the Natural History Survey ............... 46,527
13 NATURAL HISTORY SURVEY - CHAMPAIGN
14 For upgrading laboratories and installation
15 of storage units ............................. 725,491
16 STATE WATER SURVEY - CHAMPAIGN
17 (From Article 94, Section 4A of Public Act 90-0010)
18 For renovation of office and
19 laboratory buildings ......................... 751,538
20 For replacement and upgrade of the
21 exterior lighting system ..................... 140,283
22 (From Article 94, Section 4 of Public Act 90-0010)
23 For planning and replacement of vehicle
24 storage/shop facilities ...................... 21,150
25 (From Section 58 of Public Act 90-0550)
26 DICKSON MOUNDS - LEWISTOWN
27 For renovating Canton Liverpool
28 Toll Booth ................................... 73,000
29 (From Article 94, Section 4 of Public Act 90-0010)
30 DICKSON MOUNDS - LEWISTOWN
31 For renovation and expansion of the building,
32 including exhibits ........................... 81,340
33 (From Article 94, Section 4A of Public Act 90-0010)
34 STATE MUSEUM RESEARCH AND COLLECTION CENTER - SPRINGFIELD
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1 For the completion of site improvements ........ 559,000
2 STATE MUSEUM - SPRINGFIELD
3 For planning and replacement of the main
4 museum exhibits, in addition to funds
5 previously appropriated ...................... 700,000
6 (From Article 94, Section 4 of Public Act 90-0010)
7 For planning renovation of main museum
8 exhibits and for renovation of basement
9 galleries .................................... 36,266
10 BENTON - SOUTHERN ILLINOIS MINING OFFICE
11 (FORMERLY MINE RESCUE STATION)
12 For upgrading the roofing and HVAC systems
13 and replacing exterior doors ................. 25,524
14 STATEWIDE
15 (From Section 58 of Public Act 90-0550)
16 For replacing concession buildings and
17 upgrading support facilities at the following
18 locations at the approximate costs set
19 forth below: ................................. 2,895,000
20 Kickapoo State Park ..................538,000
21 Rock Cut State Park ..................525,000
22 Stephen A. Forbes State Park .......1,832,000
23 STATEWIDE
24 For constructing vault toilets at the
25 following locations at the approximate
26 cost set forth below: ........................ 1,593,000
27 Apple River Canyon State Park ........285,000
28 Des Plaines Conservation Area ........240,000
29 Kankakee River State Park ............410,000
30 Lake Le-Aqua-Na State Park ...........295,000
31 Marshall County Conservation Area .....83,000
32 Morrison-Rockwood State Park .........195,000
33 Rice Lake Conservation Area ...........85,000
34 (From Article 93, Section 7 of Public Act 90-0010)
-36- BOB-CAPITAL99
1 STATEWIDE
2 For replacing roofing systems and structural
3 repairs at the following locations at the
4 approximate costs set forth below: ........... 452,000
5 Mine Rescue Station, One building .....36,000
6 Castle Rock State Park,
7 One building .........................37,000
8 Dixon Springs State Park,
9 Three buildings ......................49,000
10 Cave-In-Rock State Park,
11 One building .........................30,000
12 Ferne Clyffe State Park,
13 One building .........................30,000
14 Hamilton County Conservation
15 Area, One building ...................30,000
16 Lake Murphysboro State Park
17 Two buildings ........................54,000
18 Red Hills State Park, Two
19 buildings ............................34,000
20 Fox Ridge State Park, Six
21 buildings ............................73,000
22 Shelbyville Fish and Wildlife
23 Area, Two buildings ..................49,000
24 Newton Lake Fish and Wildlife
25 Area, One building ...................30,000
26 (From Article 94, Section 4 of Public Act 90-0010)
27 For repair or replacement of roofs and
28 parapet walls and reconstruction of
29 chimneys at the following locations
30 at the approximate costs set forth below ..... 599,198
31 Geological Survey - Applied Lab ......234,000
32 Water Survey - Eight Buildings .......125,000
33 Natural History Survey - Natural
34 Resources Studies Annex ..............70,000
-37- BOB-CAPITAL99
1 Geological Survey - Natural
2 Resources Building ...................10,000
3 Water Survey - Parapet walls at
4 Buildings No. 4, 5 and 6 .............10,000
5 Dickson Mounds - Exterior restroom
6 and picnic shelter ...................14,530
7 Jake Wolf Fish Hatchery -
8 one building ........................135,668
9 For land acquisition ........................... 915,505
10 For maintaining the lodge and concession
11 facilities ................................... 130,476
12 For repairing and maintaining facilities ....... 55,065
13 For construction of hazardous material
14 storage buildings ............................ 316,662
15 For abating hazards caused by the presence
16 of asbestos-containing materials ............. 51,622
17 For planning, construction, reconstruction,
18 land acquisition and related costs,
19 utilities, site improvements, and all other
20 expenses necessary for various capital
21 improvements at parks, conservation areas,
22 and other facilities under the jurisdiction
23 of the Department of Natural Resources ....... 14,134,450
24 For rehabilitation of the recreational
25 vehicle campground electrical systems at
26 the following locations at the approximate
27 costs set forth below: ....................... 68,550
28 Kankakee River State Park .............68,550
29 For construction and development of
30 multiple use facilities on lands owned
31 or managed by the Department of
32 Natural Resources, including all costs
33 for supplies, materials, labor, and
34 services required for the completion
-38- BOB-CAPITAL99
1 of the following projects at the
2 approximate costs set forth below: ........... 25,786
3 For Volo Bog Natural Area
4 for replacement of a roof
5 and rehabilitation of the
6 emergency exit stairs at the
7 visitor center ........................5,786
8 For Volo Bog Natural Area for
9 the upgrading of the
10 Interpretive Center, including
11 the heating, ventilation, and
12 air conditioning system ..............20,000 ____________
13 Total, Section 4 $50,446,420
14 Section 4.1. The following named amounts, or so much
15 thereof as may be necessary, from appropriations and
16 reappropriations heretofore made for such purposes in Article
17 93, Section 7A of Public Act 90-0010, and Article 94, Section
18 4.1 of Public Act 90-0010, are reappropriated from the
19 General Revenue Fund to the Capital Development Board for the
20 Department of Natural Resources for the projects hereinafter
21 enumerated:
22 (From Article 93, Section 7A of Public Act 90-0010)
23 ILLINOIS BEACH STATE PARK
24 For stabilizing the shoreline .................. $ 400,000
25 (From Article 94, Section 4.1 of Public Act 90-0010)
26 For stabilization of the shoreline ............. 371,052
27 STATEWIDE
28 (From Article 93, Section 7A of Public Act 90-0010)
29 For maintaining lodge and concession
30 facilities at various DNR locations .......... 400,000
31 For rehabilitating or replacing
32 playground equipment, in addition
33 to funds previously appropriated ............. 300,000
-39- BOB-CAPITAL99
1 (From Article 94, Section 4.1 of Public Act 90-0010)
2 For maintenance of lodge and
3 concession facilities ........................ 133,387
4 For rehabilitation or replacement
5 of playground equipment ...................... 250,000
6 For rehabilitation of trail systems ............ 140,000
7 For maintenance of the lodge and
8 concession facilities ........................ 10,231
9 For rehabilitation and replacement of
10 playground equipment ......................... 323,000
11 For Chain O'Lakes State Park for replacement
12 of windows and floor tile in Region 2
13 headquarters ................................. 87,000
14 For Illinois Beach State Park for
15 stabilization of the shoreline ............... 57,840
16 For Spring Grove Hatchery for upgrading the
17 septic system ................................ 30,000
18 Total, Section 4.1 $2,502,510
19 Section 5. The following named amounts, or so much
20 thereof as may be necessary and remain unexpended at the
21 close of business on June 30, 1998, from appropriations and
22 reappropriations heretofore made for such purposes in Section
23 54 of Public Act 90-0550; Article 93, Section 3 of Public Act
24 90-0010; and Article 94, Sections 5 and 5A of Public Act
25 90-0010, are reappropriated from the Capital Development Fund
26 to the Capital Development Board for the Department of
27 Corrections for the projects hereinafter enumerated:
28 (From Section 54 of Public Act 90-0550)
29 For planning, design, construction,
30 equipment and other necessary costs
31 for a Maximum Security Correctional
32 Center, in addition to funds previously
33 appropriated ................................. $ 95,000,000
-40- BOB-CAPITAL99
1 (From Article 94, Section 5A of Public Act 90-0010)
2 DANVILLE CORRECTIONAL CENTER
3 For renovation of interior and
4 exterior walls, in addition to
5 funds previously appropriated ................ 3,898,027
6 (From Article 94, Section 5 of Public Act 90-0010)
7 For renovation of interior walls and
8 exterior masonry walls ....................... 26,591
9 For correction of construction defects ......... 263,178
10 For planning, utilities, site improvements,
11 and other expenses necessary for the
12 construction of a correctional facility ...... 32,511
13 (From Article 94, Section 5A of Public Act 90-0010)
14 DECATUR WOMEN'S CORRECTIONAL CENTER
15 For the planning and conversion of
16 Meyer Mental Health Center into a
17 correctional facility ........................ 22,448,629
18 DIXON CORRECTIONAL CENTER
19 For renovation of the groundwater
20 storage tank and abatement of crawl-
21 space pipes in Bldgs. 26, 27 and 29 .......... 671,564
22 (From Article 94, Section 5 of Public 90-0010)
23 For upgrading the steam distribution system
24 and replacement of the boiler system
25 including asbestos abatement ................. 87,937
26 DWIGHT CORRECTIONAL CENTER
27 (From Article 93, Section 3 of Public Act 90-0010)
28 For upgrading water and sewer systems .......... 1,000,000
29 For renovating buildings, in addition
30 funds previously appropriated ................ 600,000
31 For constructing a gatehouse and
32 sallyport and upgrading the
33 security system .............................. 2,375,000
34 (From Article 94, Section 5A of Public Act 90-0010)
-41- BOB-CAPITAL99
1 For completion of medical unit,
2 in addition to funds previously
3 appropriated ................................. 2,771,159
4 For expansion of the Education Building
5 and Dietary and construction of
6 a warehouse .................................. 4,514,821
7 (From Article 94, Section 5 of Public Act 90-0010)
8 For renovation of buildings .................... 68,958
9 EAST MOLINE CORRECTIONAL CENTER
10 (From Article 93, Section 3 of Public Act 90-0010)
11 For upgrading the electrical
12 system ....................................... 2,300,000
13 (From Article 94, Section 5A of Public Act 90-0010)
14 For upgrading locking system, in addition
15 to funds previously appropriated ............. 800,000
16 (From Article 94, Section 5 of Public Act 90-0010)
17 For planning the upgrade of locking
18 systems in nine buildings .................... 32,815
19 ILLINOIS YOUTH CENTER - HARRISBURG
20 (From Article 94, Section 5A of Public Act 90-0010)
21 For upgrading the domestic water system ........ 675,000
22 For upgrading the HVAC system .................. 532,000
23 ILLINOIS YOUTH CENTER - JOLIET
24 (From Article 94, Section 5A of Public Act 90-0010)
25 For planning, site improvements,
26 utility upgrade, equipment and all
27 costs necessary to construct a
28 housing unit and dietary facility ............ 6,374,770
29 (From Article 94, Section 5 of Public Act 90-0010)
30 For completing the upgrade of electrical
31 systems, in addition to funds
32 previously appropriated ...................... 327,692
33 For upgrading the fire alarm system ............ 191,768
34 For completing the upgrade of the utilities, in
-42- BOB-CAPITAL99
1 addition to funds previously appropriated .... 40,647
2 ILLINOIS YOUTH CENTER - PERE MARQUETTE
3 (From Article 94, Section 5A of Public Act 90-0010)
4 For upgrading the electrical
5 distribution system .......................... 215,000
6 (From Article 94, Section 5 of Public Act 90-0010)
7 ILLINOIS YOUTH CENTER - ST. CHARLES
8 For completing the upgrade of the water
9 distribution system, in addition to funds
10 previously appropriated ...................... 131,555
11 ILLINOIS YOUTH CENTER - VALLEY VIEW
12 (From Article 94, Section 5A of Public Act 90-0010)
13 For upgrading dormitory restrooms
14 and fixtures, in addition to
15 funds previously appropriated ................ 550,000
16 (From Article 94, Section 5 of Public Act 90-0010)
17 For planning the upgrade of dormitory restrooms
18 and fixtures ................................. 68,560
19 JOLIET CORRECTIONAL CENTER
20 (From Article 93, Section 3 of Public Act 90-0010)
21 For correcting erosion and
22 stabilizing the masonry wall ................. 1,800,000
23 (From Article 94, Section 5A of Public Act 90-0010)
24 For upgrading the power house and
25 installation of a generator .................. 398,400
26 (From Article 94, Section 5 of Public Act 90-0010)
27 For completing the west cellhouse renovation,
28 including asbestos abatement, in addition
29 to funds previously appropriated ............. 1,654,475
30 For renovation of the west cellhouse, in
31 addition to funds previously appropriated .... 19,405
32 For planning the rehabilitation of the
33 West Cellhouse ............................... 4,924
34 LINCOLN CORRECTIONAL CENTER
-43- BOB-CAPITAL99
1 (From Article 94, Section 5A of Public Act 90-0010)
2 For upgrading the water softener system ........ 150,000
3 (From Article 94, Section 5 of Public Act 90-0010)
4 For upgrading the locking systems and doors .... 77,700
5 For upgrading the water supply ................. 356,077
6 For renovation of the Dietary, construction
7 of a cooler addition and installation
8 of blast chillers ............................ 487,520
9 LOGAN CORRECTIONAL CENTER
10 For renovation of sewer system ................. 826,383
11 For renovation of the water tower .............. 124,144
12 For rehabilitation of the roof ventilation
13 systems ...................................... 77,948
14 MENARD CORRECTIONAL CENTER - CHESTER
15 (From Article 93, Section 3 of Public Act 90-0010)
16 For renovating the Old Hospital
17 Building, in addition to funds
18 previously appropriated ...................... 4,700,000
19 For replacing and installing
20 water storage tank ........................... 1,200,000
21 For replacing Boiler #2, in addition
22 to funds previously appropriated ............. 800,000
23 For converting a room into a shower room ....... 395,000
24 (From Article 94, Section 5A of Public Act 90-0010)
25 For upgrading roads and sidewalks .............. 276,632
26 For upgrading the plumbing systems in
27 two buildings ................................ 292,524
28 For upgrading the coal handling system
29 and repair or replace boiler system .......... 646,253
30 For conversion of the Maintenance Building
31 to an inmate dormitory ....................... 250,000
32 For conversion of the Administration
33 Building basement to a courtroom and
34 attorney offices ............................. 100,000
-44- BOB-CAPITAL99
1 For upgrading the steam and water distribution
2 systems, in addition to funds previously
3 appropriated ................................. 2,341,716
4 (From Article 94, Section 5 of Public Act 90-0010)
5 For replacement of East and West
6 Cellhouse windows and boilers ................ 91,662
7 For improving the south yard for outdoor
8 recreation ................................... 32,606
9 For repairs due to the Great Flood of
10 1993 and projects to protect the facility
11 from future floods ........................... 62,559
12 For upgrading the steam and water distribution
13 systems and replacement of the MSU
14 "C" Building ................................. 146,107
15 For replacement of the chimney stack and
16 boilers, in addition to funds previously
17 appropriated ................................. 107,664
18 For replacement of hot water heaters and
19 deairing tanks ............................... 110,000
20 For planning the renovation of the old
21 hospital building ............................ 207,540
22 For renovation of elements of the power
23 plants, including the main generator ......... 22,982
24 For planning for renovation of the
25 Administration Building ...................... 15,604
26 PONTIAC CORRECTIONAL CENTER
27 (From Article 94, Section 5A of Public Act 90-0010)
28 For renovation of main sally port .............. 300,000
29 (From Article 94, Section 5 of Public Act 90-0010)
30 SHAWNEE CORRECTIONAL CENTER
31 For upgrading the heating and hot
32 water system ................................. 498,563
33 STATEVILLE CORRECTIONAL CENTER - JOLIET
34 (From Article 94, Section 5A of Public Act 90-0010)
-45- BOB-CAPITAL99
1 For replacement of the MSU ..................... 6,500,000
2 (From Article 94, Section 5 of Public Act 90-0010)
3 For upgrading the doors, locks and hardware
4 in B Cellhouse ............................... 58,700
5 For upgrading the water supply to B house ..... 187,633
6 SOUTHWESTERN ILLINOIS CORRECTIONAL FACILITY
7 For providing equipment and telecomm,
8 constructing a warehouse and upgrading
9 a parking lot, in addition to funds
10 previously appropriated ...................... 27,876
11 For completing the conversion of existing
12 buildings into a minimum security
13 correctional facility, in addition to
14 funds previously appropriated ................ 15,001
15 VANDALIA CORRECTIONAL CENTER
16 (From Article 94, Section 5A of Public Act 90-0010)
17 For renovation of dormitory shower rooms ....... 450,000
18 VIENNA CORRECTIONAL CENTER
19 (From Article 93, Section 3 of Public Act 90-0010)
20 For renovating the kitchen ..................... 2,000,000
21 (From Article 94, Section 5A of Public Act 90-0010)
22 For upgrading the steam distribution system
23 and renovation of Powerhouse, in addition
24 to funds previously appropriated ............. 3,979,634
25 For installation of security fencing ........... 959,796
26 For upgrading air conditioning system
27 and replacement of cooling tower ............. 1,100,000
28 For upgrading the electrical, plumbing and
29 HVAC systems in four buildings ............... 850,000
30 (From Article 94, Section 5 of Public Act 90-0010)
31 For completing the rehabilitation of duct
32 systems and walls, in addition to funds
33 previously appropriated ...................... 806,456
34 For planning the upgrade of the steam
-46- BOB-CAPITAL99
1 distribution system .......................... 190,881
2 For planning the replacement of the
3 absorption chiller and cooling tower ......... 40,848
4 For upgrading the water and sewer
5 utilities .................................... 141,688
6 STATEWIDE
7 (From Article 93, Section 3 of Public Act 90-0010)
8 For replacing roofing systems at the
9 following locations at the approximate
10 costs set forth below: ....................... 2,100,000
11 Big Muddy Correctional Center, Ina
12 Two buildings ...................... 425,000
13 East Moline Correctional Center,
14 Three buildings .................... 500,000
15 Graham Correctional Center, Hillsboro
16 Seven buildings .................... 600,000
17 Sheridan Correctional Center, LaSalle
18 Three buildings .................... 410,000
19 Stateville Correctional Center, Joliet
20 One building ....................... 165,000
21 For replacing doors and locks at the
22 following locations at the approximate
23 costs set forth below: ....................... 2,575,000
24 IYC - St. Charles ................... 585,000
25 Lincoln Correctional Center .......... 50,000
26 Jacksonville Correctional Center .... 975,000
27 Sheridan Correctional Center ........ 965,000
28 For upgrading fire safety systems at the
29 following locations at the approximate
30 costs set forth below, in addition to
31 funds previously appropriated: ............... 6,500,000
32 Menard Correctional Center ........ 2,000,000
33 Pontiac Correctional Center ....... 3,000,000
34 Stateville Correctional Center .... 1,500,000
-47- BOB-CAPITAL99
1 For upgrading water and wastewater
2 systems at the following locations
3 at the approximate costs set forth below: .... 4,465,000
4 Big Muddy Correctional Center
5 for installing mechanical
6 bar screen ......................... 300,000
7 Centralia Correctional Center
8 for upgrading water
9 treatment plant .................. 1,500,000
10 East Moline Correctional Center
11 for upgrading sewer system ......... 655,000
12 Ed Jenison Work Camp (Paris)
13 for installing mechanical
14 bar screen ......................... 120,000
15 IYC - Harrisburg for upgrading
16 water distribution system .......... 500,000
17 Kankakee MSU for constructing
18 well #2 ............................ 300,000
19 IYC - St. Charles for upgrading
20 sewage/storm system ................ 850,000
21 IYC - Valley View for installing
22 mechanical bar screen .............. 240,000
23 (From Article 94, Section 5A of Public Act 90-0010)
24 For correction of deficiencies in
25 water systems at three correctional
26 facilities ................................... 100,000
27 For replacement of locks, windows and
28 doors at the following locations
29 as set forth below: .......................... 3,951,402
30 Dwight .............................. 291,400
31 IYC Harrisburg ...................... 291,400
32 IYC Joliet .......................... 367,500
33 Menard ............................ 1,350,000
34 Pontiac ............................. 680,102
-48- BOB-CAPITAL99
1 IYC Valley View ..................... 500,000
2 Vienna .............................. 471,000
3 For planning, design, construction,
4 equipment and other necessary costs
5 for a Correctional Facility for
6 juveniles .................................... 42,750,000
7 For planning, design, construction,
8 equipment and other necessary costs
9 for a Medium Security Correctional
10 Facility ..................................... 68,574,985
11 (From Article 94, Section 5 of Public Act 90-0010)
12 For planning, design, construction,
13 equipment and all other necessary
14 costs for a youth boot camp at a
15 site to be chosen from the list of
16 finalists not selected for the
17 super maximum security prison ............... 27,649
18 For completion of planning, site improvements,
19 utility upgrade, equipment and construction
20 of three housing units to add 672 cells
21 to the adult correctional system ............. 22,310
22 For planning, construction, utilities, site
23 improvements, equipment and other expenses
24 necessary for the construction of a close
25 supervision super maximum security prison .... 3,246,135
26 For upgrading for fire safety at five
27 locations and replacing boilers............... 418,088
28 For correcting defects in the food preparation
29 areas, including roofs ....................... 128,591
30 For planning, construction, utilities,
31 site improvements, and other expenses
32 necessary for the construction of two
33 minimum and one medium security
34 prisons ...................................... 29,224
-49- BOB-CAPITAL99
1 For renovation and improvements at various
2 correctional facilities at the approximate
3 costs set forth below: ....................... 117,693
4 Roof Replacement ......................70,000
5 Road Repavement .......................47,693
6 For replacement of cell doors and locks
7 and rehabilitation of locking systems at
8 the following locations at the approximate
9 costs set forth below: ....................... 118,902
10 Kankakee MSU
11 For rehabilitation of locking
12 systems .............................118,902
13 For renovation of roads and parking lots
14 and replacement of boilers at the
15 following locations at the approximate
16 costs set forth below ........................ 107,551
17 Dixon Correctional Center
18 For roads and parking .................6,000
19 Logan Correctional Center
20 For roads and parking .................5,656
21 Menard Correctional Center
22 For roads and parking and
23 replacement of boilers...............87,695
24 Vienna Correctional Center
25 For roads .............................8,200
26 For replacement of roofs at various Department of
27 Corrections locations ........................ 269,592
28 For roof replacement at the following
29 locations at the approximate costs
30 set forth below: ............................. 578,422
31 Dixon Correctional Center
32 Five Buildings .......................25,000
33 Dwight Correctional Center
34 Three buildings ......................10,425
-50- BOB-CAPITAL99
1 Graham Correctional Center
2 Five buildings ........................6,268
3 Graham Correctional Center
4 Thirty-two buildings .................14,512
5 Hanna City Work Camp
6 Thirteen buildings ...................2,500
7 Joliet Correctional Center
8 Five buildings .......................14,512
9 Logan Correctional Center
10 Two buildings .........................9,920
11 Menard Psychiatric Center
12 Six buildings ........................33,624
13 Menard Correctional Center
14 Warehouse Building ...................55,093
15 Menard Correctional Center
16 Five buildings ......................269,508
17 Pontiac Correctional Center
18 Nine buildings .......................23,222
19 Pontiac Correctional Center
20 Eight buildings ......................10,686
21 Illinois Youth Center-St. Charles
22 Three buildings .......................3,580
23 Sheridan Correctional Center
24 Six buildings ........................15,482
25 Stateville Correctional Center
26 Seven buildings ......................38,000
27 Ill Youth Center-Valley View
28 Administration Building and
29 Kitchen Addition ....................23,954
30 Illinois Youth Center-Warrenville
31 One residential building .............22,136 ____________
32 Total, Section 5 $317,961,627
33 Section 5.1. The following named amounts, or so much
-51- BOB-CAPITAL99
1 thereof as may be necessary and remain unexpended at the
2 close of business on June 30, 1998, from appropriations and
3 reappropriations heretofore made for such purposes in Article
4 93, Section 3A of Public Act 90-0010, and Article 94, Section
5 5.1 of Public Act 90-0010, are reappropriated from the
6 General Revenue Fund to the Capital Development Board for the
7 Department of Corrections for the projects hereinafter
8 enumerated:
9 DIXON CORRECTIONAL CENTER
10 (From Article 94, Section 5.1 of Public Act 90-0010)
11 For replacement of two freezer compressors
12 and motors ................................... $ 24,579
13 EAST MOLINE CORRECTIONAL CENTER
14 For retubing boiler #3 ......................... 132,683
15 MENARD CORRECTIONAL CENTER - CHESTER
16 (From Article 93, Section 3A of Public Act 90-0010)
17 For stabilizing dams ........................... 100,000
18 For repairing masonry and
19 waterproofing exterior ....................... 245,000
20 STATEVILLE CORRECTIONAL CENTER - JOLIET
21 For tuckpointing buildings ..................... 200,000
22 VANDALIA CORRECTIONAL CENTER
23 (From Article 93, Section 3A of Public Act 90-0010)
24 For tuckpointing, waterproofing and
25 replacing facade ............................. 165,000
26 STATEWIDE
27 (From Article 94, Section 5.1 of Public Act 90-0010)
28 For energy conservation improvements at the
29 following locations at the approximate
30 costs set forth below: ....................... 56,018
31 Dwight Correctional Center ............ 7,000
32 Joliet Correctional Center
33 School Building ...................... 4,500
34 Menard Psychiatric Center
-52- BOB-CAPITAL99
1 Randolph Hall ........................ 7,500
2 Stateville Correctional Center
3 Law Library .......................... 7,400
4 Pontiac Correctional Center .......... 27,893
5 Vienna Correctional Center ............ 1,725
6 For upgrading doors and locking systems at
7 the following locations at the approximate
8 costs set forth below: ....................... 577,182
9 Illinois Youth Center-Warrenville
10 For replacement of doors
11 and locking systems ............... 577,182 ____________
12 Total, Section 5.1 $1,500,462
13 Section 5.2. The sum of $2,666,667, or so much thereof
14 as may be necessary and remains unexpended at the close of
15 business on June 30, 1998, from a reappropriation heretofore
16 made for such purposes in Article 94, Section 5.2 of Public
17 Act 90-0010, is reappropriated from the Capital Development
18 Fund to the Capital Development Board for the State's
19 one-third share of land acquisition, equipment and
20 construction of a boot camp in the Cook County area.
21 Section 5.3. The amount of $21,874, or so much thereof
22 as may be necessary and remains unexpended at the close of
23 business on June 30, 1998, from a reappropriation heretofore
24 made for such purposes in Article 94, Section 5.3 of Public
25 Act 90-0010, is reappropriated from the Capital Development
26 Fund to the Capital Development Board for the Department of
27 Corrections for planning and other expenses necessary for a
28 medical unit facility at Dwight Correctional Center.
29 Section 5.4. The amount of $2,876,193, or so much
30 thereof as may be necessary and remains unexpended from the
31 General Revenue Fund at the close of business on June 30,
-53- BOB-CAPITAL99
1 1998, from a reappropriation heretofore made for such
2 purposes in Article 94, Section 5.4 of Public Act 90-0010, is
3 reappropriated to the Capital Development Board for the
4 Department of Corrections for all costs associated with the
5 completion of the super maximum security prison at Tamms,
6 Illinois.
7 Section 5.5. The amount of $6,108,093, or so much
8 thereof as may be necessary and remains unexpended at the
9 close of business on June 30, 1998, from a reappropriation
10 heretofore made for such purposes in Article 94, Section 5.5
11 of Public Act 90-0010, is reappropriated from the General
12 Revenue Fund to the Capital Development Board for the
13 Department of Corrections for the projects hereinafter
14 enumerated at the approximate costs set forth below:
15 Danville Correctional Center -
16 For upgrading the hot water
17 distribution system ..................$514,393
18 Joliet Correctional Center -
19 For replacement of the deep well ........270,046
20 Stateville Correctional Center-
21 For upgrading the plumbing systems in
22 four buildings ......................3,790,252
23 Menard Correctional Center -
24 For planning and to begin upgrading
25 the plumbing systems in two
26 buildings .............................144,440
27 Pontiac Correctional Center -
28 For upgrading the mechanical systems
29 and renovation of shower rooms ........339,166
30 Shawnee Correctional Center -
31 For upgrading the hot water
32 distribution system .................1,049,796
-54- BOB-CAPITAL99
1 Section 5.6. The following named amounts, or so much
2 thereof as may be necessary and remain unexpended at the
3 close of business on June 30, 1998, from appropriations
4 heretofore made for such purposes in Article 94, Section 5.6
5 of Public Act 90-0010, are reappropriated from the General
6 Revenue Fund to the Capital Development Board for the
7 Department of Corrections for the projects hereinafter
8 enumerated:
9 DIXON CORRECTIONAL CENTER
10 For tuckpointing two buildings ................. $ 65,000
11 STATEVILLE CORRECTIONAL CENTER - JOLIET
12 For tuckpointing seven buildings ............... 268,592
13 Total $333,592
14 Section 6. The following named amounts, or so much
15 thereof as may be necessary and remains unexpended at the
16 close of business on June 30, 1998, from appropriations and
17 reappropriations heretofore made for such purposes in Section
18 55 of Public Act 90-0550; Article 93, Section 4 of Public Act
19 90-0010; and Article 94, Sections 6 and 6A of Public Act
20 90-0010 are reappropriated from the Capital Development Fund
21 to the Capital Development Board for the Historic
22 Preservation Agency for the projects hereinafter enumerated:
23 (From Article 94, Section 6A of Public Act 90-0010)
24 CAHOKIA COURTHOUSE STATE MEMORIAL - CAHOKIA
25 For renovation of the Cahokia Courthouse
26 and the Jarrot House ......................... $ 387,000
27 CAHOKIA MOUNDS HISTORIC SITE - COLLINSVILLE
28 For replacement of Monk's Mounds stairs ........ 465,000
29 For restoration of Monk's Mound ................ 1,380,220
30 (From Article 94, Section 6 of Public Act 90-0010)
31 To extend a water line for providing
32 reliable water service ....................... 145,288
33 For purchasing private land within historic
-55- BOB-CAPITAL99
1 site boundary ................................ 210,245
2 For replacement of Monk's Mounds stairs ........ 207,252
3 DAVID DAVIS MANSION - BLOOMINGTON
4 (From Article 94, Section 6A of Public Act 90-0010)
5 For renovation of the David Davis Mansion
6 to eliminate basement leakage ................ 231,000
7 DAVID DAVIS HOME
8 (From Article 94, Section 6 of Public Act 90-0010)
9 To acquire a residence to be
10 converted to a Visitors Center ............... 250,000
11 (From Section 55 of Public Act 90-0550)
12 FORT DE CHARTRES - RANDOLPH COUNTY
13 For replacing Maintenance Building ............. 264,000
14 FT. KASKASKIA HISTORIC SITE
15 (From Article 94, Section 6 of Public Act 90-0010)
16 For providing a new water supply ............... 138,463
17 LEWIS AND CLARK STATE HISTORIC SITE
18 For the construction of an interpretive
19 center ....................................... 440,000
20 LINCOLN LOG CABIN HISTORIC SITE - CAMPBELL
21 (From Article 94, Section 6A of Public Act 90-0010)
22 For construction of a visitors center .......... 1,373,611
23 For replacement of bridges ..................... 180,000
24 (From Article 94, Section 6 of Public Act 90-0010)
25 For rehabilitation of historic structures ...... 16,424
26 For construction of a visitor center and
27 museum, Phase I .............................. 90,783
28 LINCOLN NEW SALEM HISTORIC SITE - PETERSBURG
29 (From Article 94, Section 6A of Public Act 90-0010)
30 For renovation of the River Ridge
31 Restaurant and improvements to the
32 domestic water system ........................ 248,726
33 (From Article 94, Section 6 of Public Act 90-0010)
34 For rehabilitation of the sewage treatment
-56- BOB-CAPITAL99
1 plant ........................................ 92,450
2 PULLMAN FACTORY HISTORIC SITE - CHICAGO
3 For stabilization of the structure and for planning
4 and beginning restoration .................... 793,764
5 OLD STATE CAPITOL - SPRINGFIELD
6 (From Article 93, Section 4 of Public Act 90-0010)
7 For renovating garage ramp ..................... 419,000
8 (From Article 94, Section 6A of Public Act 90-0010)
9 For renovation of the Old State
10 Capitol to eliminate basement
11 leakage ...................................... 598,626
12 (From Article 94, Section 6 of Public Act 90-0010)
13 VACHEL LINDSAY HOME
14 For mechanical/system replacement,
15 restoration of the foundation and other
16 structural improvements ...................... 22,340
17 VANDALIA STATE HOUSE
18 (From Section 55 of Public Act 90-0550)
19 For rehabilitating HVAC and electrical
20 systems and interior ......................... 378,000
21 STATEWIDE
22 (From Article 93, Section 4 of Public Act 90-0010)
23 For replacing roofing systems at the
24 following locations at the approximate
25 costs set forth below: ....................... 462,000
26 Fort De Chartres, Randolph County .... 93,000
27 Washburne House, Galena .............. 50,000
28 David Davis Mansion, Bloomington ..... 25,000
29 Bishop Hill House, Henry County ..... 294,000
30 (From Article 94, Section 6A of Public Act 90-0010)
31 For matching ISTEA federal grant funds ......... 500,000
32 (From Article 94, Section 6 of Public Act 90-0010)
33 For land acquisition and related costs ......... 19,411
34 Total, Section 6 $9,313,603
-57- BOB-CAPITAL99
1 Section 6.1. The amount of $54,510, or so much thereof
2 as may be necessary and remains unexpended at the close of
3 business on June 30, 1998, from a reappropriation heretofore
4 made for such purpose in Article 94, Section 6.1 of Public
5 Act 90-0010, is reappropriated from the Capital Development
6 Fund to the Capital Development Board for the Historic
7 Preservation Agency for the purchase and rehabilitation of
8 the State Journal Register Building in Springfield.
9 Section 6.2. The amount of $52,326, or so much thereof
10 as may be necessary and remains unexpended at the close of
11 business on June 30, 1998, from a reappropriation heretofore
12 made for such purpose in Article 94, Section 6.2 of Public
13 Act 90-0010, is reappropriated from the Capital Development
14 Fund to the Capital Development Board for the Historic
15 Preservation Agency for acquiring the Zimmerman
16 archaeological site in LaSalle County and for associated
17 costs, planning, stabilization, restoration and all other
18 expenses necessary to comply with the intent of this
19 appropriation.
20 Section 6.3. The amount of $2,300,000, or so much
21 thereof as may be necessary and remains unexpended at the
22 close of business on June 30, 1998, from a reappropriation
23 heretofore made for such purposes in Article 94, Section 6.3
24 of Public Act 90-0010, is reappropriated from the Capital
25 Development Fund to the Capital Development Board for
26 planning a new historical library and Lincoln Center.
27 Section 6.4. The amount of $400,000, or so much thereof
28 as may be necessary and remains unexpended from the General
29 Revenue Fund, from the reappropriations heretofore made for
30 such purposes in Article 94, Section 6.4 of Public Act
31 90-0010, is reappropriated to the Historic Preservation
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1 Agency (formerly to Capital Development Board for Historic
2 Preservation Agency) for planning a new historical library
3 and Lincoln Center.
4 Section 6.5. The following named amounts, or so much
5 thereof as may be necessary and remain unexpended at the
6 close of business on June 30, 1998, from appropriations
7 heretofore made for such purposes in Article 93, Section 4A
8 of Public Act 90-0010, are reappropriated from the General
9 Revenue Fund to the Capital Development Board for the
10 Historic Preservation Agency for the projects hereinafter
11 enumerated:
12 JOURNAL REGISTER BUILDING - SPRINGFIELD
13 For renovating building ........................ $ 702,000
14 DANA THOMAS HOUSE - SPRINGFIELD
15 For restoring the exterior and interior ........ 417,000
16 Total, Section 6.5 $1,119,000
17 Section 7. The sum of $103,997, or so much thereof as
18 may be necessary and remains unexpended at the close of
19 business on June 30, 1998, from a reappropriation heretofore
20 made for such purposes in Article 94, Section 8 of Public Act
21 90-0010, is reappropriated from the Capital Development Fund
22 to the Capital Development Board for the Legislative Space
23 Needs Commission for architectural/engineering fees,
24 planning, construction, reconstruction, rehabilitation, and
25 all other necessary costs for remodeling and relocation of
26 various legislative services agencies located in the Capitol
27 and Stratton Office buildings at the approximate costs set
28 forth below:
29 For the Joint Committee on
30 Administrative Rules .......................$ 103,997
31 Section 8. The following named amounts, or so much
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1 thereof as may be necessary and remain unexpended at the
2 close of business on June 30, 1997, from appropriations and
3 reappropriations heretofore made for such purposes in Section
4 56 of Public Act 90-0550; Article 93, Section 5 of Public Act
5 90-0010; and Article 94, Sections 9 and 9A of Public Act
6 90-0010, are reappropriated from the Capital Development Fund
7 to the Capital Development Board for the Department of Human
8 Services (formerly the Department of Mental Health and
9 Developmental Disabilities) for the projects hereinafter
10 enumerated:
11 ALTON MENTAL HEALTH CENTER - MADISON COUNTY
12 (From Section 56 of Public Act 90-0550)
13 For constructing two building additions
14 at the Forensic Complex ...................... 11,924,000
15 (From Article 94, Section 9A of Public Act 90-0010)
16 For rehabilitation of the central dietary ...... 1,950,000
17 For replacement of life/safety and
18 security system in a residential
19 building ..................................... 234,550
20 (From Article 94, Section 9 of Public Act 90-0010)
21 For replacement of domestic hot water
22 lines in seven buildings ..................... 4,859
23 For upgrading fire safety systems in
24 eight buildings ............................ 5,708
25 For replacement of the chiller and
26 connection of the HVAC to the energy
27 management system ............................ 14,911
28 For replacement of two cooling towers in
29 the Willow Building .......................... 35,169
30 CHESTER MENTAL HEALTH CENTER - CHESTER
31 (From Article 93, Section 5 of Public Act 90-0010)
32 For replacing fencing and upgrading
33 recreational yard ............................ 1,400,000
34 For renovating support and residential
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1 area ......................................... 3,910,000
2 (From Article 94, Section 9A of Public Act 90-0010)
3 For installation of emergency generator
4 and upgrading EMS system ..................... 350,000
5 (From Article 94, Section 9 of Public Act 90-0010)
6 For construction of a storage building ........ 76,610
7 For construction of a Rehabilitative
8 Services building ............................ 54,775
9 For replacement of the emergency generator ..... 61,354
10 CHICAGO METRO C&A
11 For planning and renovation of residential
12 and program units for children and
13 adolescent services .......................... 794,770
14 CHICAGO READ MENTAL HEALTH CENTER - CHICAGO
15 (From Article 94, Section 9A of Public Act 90-0010)
16 For renovating residential units, in
17 addition to funds previously
18 appropriated ................................. 2,171,000
19 (From Article 94, Section 9 of Public Act 90-0010)
20 For renovation of utility rooms and installation
21 of drinking fountains ........................ 218,000
22 For renovation of the West Campus Nurses'
23 Stations ..................................... 619,788
24 For renovation of Henry Horner Children's
25 Center and West Campus for fire and
26 life safety codes ............................ 1,365,057
27 For renovation of the West Campus shower
28 and toilet rooms ............................. 385,908
29 For rehabilitation of the bathroom shower
30 walls in ten buildings ....................... 58,147
31 CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER - ANNA
32 (From Article 93, Section 5 of Public Act 90-0010)
33 For completing HVAC system upgrade,
34 in addition to funds previously
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1 appropriated ................................. 1,433,000
2 (From Article 94, Section 9A of Public Act 90-0010)
3 For upgrading the mechanical equipment,
4 in addition to funds previously
5 appropriated ................................. 837,000
6 For renovating a residential building,
7 in addition to funds previously
8 appropriated ................................. 2,334,000
9 (From Article 94, Section 9 of Public Act 90-0010)
10 For upgrading the mechanical equipment,
11 in addition to funds previously
12 appropriated ................................. 367,430
13 For planning and beginning the renovation of a
14 residential building ......................... 70,714
15 For renovation of the kitchen and residential
16 units for rethermalization and air
17 condition the kitchen, in addition to
18 funds previously appropriated ............... 17,051
19 For separating and upgrading of the combined
20 sewer system, in addition to funds
21 previously appropriated ...................... 154,660
22 For rehabilitation of resident buildings
23 and upgrading of temperature controls ........ 81,260
24 ELGIN MENTAL HEALTH CENTER - KANE COUNTY
25 (From Article 93, Section 5 of Public Act 90-0010):
26 For renovating the central dietary
27 and kitchen .................................. 3,994,000
28 (From Article 94, Section 9A of Public Act 90-0010)
29 For construction of an Adult Psychiatric
30 Building, in addition to funds previously
31 appropriated ................................. 3,681,000
32 For construction of roads, parking lots
33 and street lights ............................ 2,500,000
34 For upgrading and expanding the mechanical
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1 infrastructure, in addition to funds
2 previously appropriated ...................... 4,005,100
3 For construction of a forensic services complex
4 at Elgin Mental Health Center, in addition
5 to funds previously appropriated ............. 4,815,500
6 (From Article 94, Section 9 of Public Act 90-0010)
7 For construction of a forensic services
8 complex, in addition to funds previously
9 appropriated ................................. 1,784,500
10 For upgrading and expanding the mechanical
11 infrastructure, in addition to funds
12 previously appropriated ...................... 105,305
13 For renovation of the HVAC systems,
14 replacement of windows and installation
15 of security screens, in addition
16 to funds previously appropriated ............. 2,092,543
17 For construction of a Forensic Services
18 Facility, in addition to funds
19 previously appropriated ..................... 2,787,866
20 For upgrading and expanding mechanical
21 infrastructure, in addition to funds
22 previously appropriated ...................... 142,140
23 For upgrading for fire and life safety ......... 880,849
24 For planning the renovation of the Forensic
25 Building and abating asbestos ................ 251,946
26 For renovation of the Central Stores
27 Building ..................................... 85,679
28 For upgrading the security systems and
29 constructing a multi-purpose building
30 for the Forensic Complex ..................... 64,550
31 For the demolition of the Old Main Building
32 and construction of an Adult
33 Psychiatric Center ........................... 836,748
34 FOX DEVELOPMENTAL CENTER
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1 (From Article 94, Section 9A of Public Act 90-0010)
2 For replacement of absorbers and
3 upgrading HVAC system ........................ 738,000
4 For renovation of dietary ...................... 826,400
5 (From Article 94, Section 9 of Public Act 90-0010)
6 For renovation of Building #8 and
7 window replacement of Building
8 #1, in addition to funds
9 previously appropriated ...................... 323,575
10 HOWE DEVELOPMENTAL CENTER - TINLEY PARK
11 (From Article 94, Section 9A of Public Act 90-0010)
12 For renovation of residential buildings ........ 2,557,600
13 (From Article 94, Section 9 of Public Act 90-0010)
14 For replacement of steam and
15 condensate lines ............................. 113,418
16 For renovation of the boilers in the power
17 plant ........................................ 29,856
18 JACKSONVILLE DEVELOPMENTAL CENTER - MORGAN COUNTY
19 (From Article 93, Section 5 of Public Act 90-0010)
20 For extending chilled water line ............... 327,000
21 (From Article 94, Section 9A of Public Act 90-0010)
22 For rehabilitation of bathrooms and
23 replacing doors .............................. 1,286,023
24 For rehabilitation of the electrical
25 distributions system, in addition to
26 Funds previously appropriated ................ 1,257,000
27 (From Article 94, Section 9 of Public Act 90-0010)
28 For replacement of code compliance
29 generators ................................... 8,833
30 For planning and beginning electrical
31 distribution renovation ...................... 21,950
32 For replacement of piping and heating units .... 56,809
33 For rehabilitation of bathrooms and replacement
34 of doors ..................................... 75,048
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1 For installation of fire safety systems in
2 four buildings and replacement of a
3 code compliance generator .................... 235,941
4 KILEY DEVELOPMENTAL CENTER - WAUKEGAN
5 (From Article 93, Section 5 of Public Act 90-0010)
6 For renovating homes ........................... 741,000
7 (From Article 94, Section 9 of Public Act 90-0010)
8 For renovation of homes ........................ 79,434
9 LINCOLN DEVELOPMENTAL CENTER - LOGAN COUNTY
10 (From Article 94, Section 9A of Public Act 90-0010)
11 For installation of a rethermalization food
12 service system, in addition to funds
13 previously appropriated ...................... 732,000
14 (From Article 94, Section 9 of Public Act 90-0010)
15 For upgrading the architectural and mechanical
16 systems, in addition to funds
17 previously appropriated ...................... 1,339,313
18 For installation of a code compliance
19 generator .................................... 99,238
20 For rehabilitation of the coal bunker
21 in the Powerhouse ............................ 33,640
22 For installation of rethermalization food
23 service system ............................... 83,274
24 For expansion of the sprinkler system in
25 four buildings ............................... 185,080
26 For renovation of the boilers, replacement of
27 controls and tuckpointing the exterior ....... 106,984
28 For installation of air conditioning in
29 Coty and Dietary Buildings ................... 44,883
30 For upgrading the HVAC systems, including
31 chillers ..................................... 25,157
32 LUDEMAN DEVELOPMENTAL CENTER - PARK FOREST
33 (From Article 94, Section 9A of Public Act 90-0010)
34 For renovation of residential buildings,
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1 in addition to funds previously
2 appropriated ................................. 1,888,500
3 For rehabilitation of the roads and parking
4 areas and constructing walks ................. 800,000
5 (From Article 94, Section 9 of Public Act 90-0010)
6 For renovation of residences ................... 460,189
7 For renovation of residences ................... 156,005
8 For renovation of restrooms for accessibility
9 in two buildings ............................. 19,460
10 For renovation of bathrooms in 15 residences ... 94,368
11 MADDEN MENTAL HEALTH CENTER - HINES
12 (From Article 93, Section 5 of Public Act 90-0010)
13 For renovating dietary ......................... 930,000
14 (From Article 94, Section 9A of Public Act 90-0010)
15 For renovation of pavilions, in addition
16 to funds previously appropriated ............. 844,000
17 (From Article 94, Section 9 of Public Act 90-0010)
18 For renovation of pavilions .................... 347,956
19 For upgrading residences for safety and
20 security ..................................... 279,521
21 For replacement of a cooling tower and
22 chiller ...................................... 225,987
23 For replacement of hot water heaters ........... 86,160
24 MCFARLAND MENTAL HEALTH CENTER - SPRINGFIELD
25 (From Article 94, Section 9A of Public Act 90-0010)
26 For replacement of the HVAC management
27 control panel, in addition to funds
28 previously appropriated ...................... 150,000
29 For rehabilitation of the dietary facility ..... 398,120
30 (From Article 94, Section 9 of Public Act 90-0010)
31 For renovation of a residential building ....... 49,591
32 For replacement of the HVAC control panel ...... 86,105
33 MURRAY DEVELOPMENTAL CENTER - CENTRALIA
34 (From Article 93, Section 5 of Public Act 90-0010)
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1 For rehabilitating the emergency
2 electrical system ............................ 314,000
3 For renovating Elm Cottage ..................... 3,082,000
4 (From Article 94, Section 9A of Public Act 90-0010)
5 For replacement of the boiler
6 shells and controls, in addition
7 to funds previously appropriated ............. 85,067
8 For rehabilitation of the hot water
9 distribution system, in addition to
10 funds previously appropriated ................ 189,713
11 For replacement of cooling towers and
12 support beams, in addition to funds
13 previously appropriated ...................... 228,082
14 (From Article 94, Section 9 of Public Act 90-0010)
15 For installation of fire safety systems ........ 582,763
16 For replacement of the boiler shell and
17 controls ..................................... 5,747
18 For rehabilitation of the hot water
19 distribution system .......................... 30,968
20 SHAPIRO DEVELOPMENTAL CENTER - KANKAKEE
21 (From Article 93, Section 5 of Public Act 90-0010)
22 For replacing cooling towers and
23 rehabilitating absorbers ..................... 1,040,000
24 (From Article 94, Section 9A of Public Act 90-0010)
25 For completion of the HVAC system, in
26 addition to funds previously
27 appropriated ................................. 598,000
28 For replacement of boiler, in
29 addition to funds previously
30 appropriated ................................. 765,000
31 For replacement of electrical feeder
32 cable, in addition to the funds
33 previously appropriated ...................... 586,000
34 For rehabilitation of sewers and
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1 manholes, in addition to funds
2 previously appropriated ...................... 756,707
3 For replacement of water mains
4 and valves ................................... 1,826,000
5 (From Article 94, Section 9 of Public Act 90-0010)
6 For replacement of valves in the powerhouse .... 9,451
7 For replacement of electrical feeder cable ..... 102,461
8 For planning and beginning sewer and
9 manhole renovation ........................... 53,183
10 For rehabilitation of the boilers .............. 231,521
11 For planning and replacement of windows ........ 234,721
12 For installation of an emergency generator ..... 115,703
13 For upgrading fire safety systems in the
14 support buildings ............................ 169,663
15 For installation of air conditioning in
16 Building #704, in addition to funds
17 previously appropriated ...................... 104,551
18 For replacement of hot water tanks in the
19 Laundry Building ............................. 38,476
20 For replacement of cooling towers in
21 Buildings #100A and #100B .................... 97,836
22 For planning the installation of an air
23 conditioning system for Building #704 ........ 45,376
24 For installation of air conditioning in
25 Buildings #502 and #514 ...................... 167,543
26 For upgrading the electrical system ............ 15,706
27 SINGER MENTAL HEALTH CENTER - ROCKFORD
28 (From Article 93, Section 5 of Public Act 90-0010)
29 For renovating mechanicals and
30 residential areas ............................ 2,736,000
31 (From Article 94, Section 9A of Public Act 90-0010)
32 For replacement of absorbers ................... 711,769
33 TINLEY PARK MENTAL HEALTH CENTER/
34 HOWE DEVELOPMENTAL CENTER
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1 (From Article 94, Section 9A of Public Act 90-0010)
2 For replacement of the bar screen and
3 renovating the sewer system, in
4 addition to funds previously appropriated .... 439,450
5 For rehabilitation of the electrical
6 distribution system, in addition to
7 funds previously appropriated ................ 2,250,000
8 (From Article 94, Section 9 of Public Act 90-0010)
9 For renovating and making mechanical
10 improvements to Spruce Hall and Maple Hall ... 169,802
11 For planning the rehabilitation of the
12 electrical distribution system ............... 30,132
13 For renovation for accessibility in four
14 buildings .................................... 175,591
15 For planning the sewer system renovation and
16 replacement of the rag catcher ............... 263,742
17 For renovation for fire and life safety in
18 three residences ............................. 267,054
19 For renovation of nursing stations and
20 medication rooms in three residences ......... 20,019
21 For replacement of the windows in nine
22 buildings .................................... 28,935
23 ZELLER MENTAL HEALTH CENTER - PEORIA
24 (From Article 94, Section 9A of Public Act 90-0010)
25 For renovation of the nurses' stations,
26 in addition to funds previously
27 appropriated ................................. 1,720,000
28 (From Article 94, Section 9 of Public Act 90-0010)
29 For renovation of Nurses' Stations and
30 seclusion rooms .............................. 181,271
31 For replacement of the heating and cooling
32 pumps ........................................ 10,803
33 STATEWIDE
34 (From Article 93, Section 5 of Public Act 90-0010)
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1 For replacing roofing systems at the
2 following locations at the approximate
3 costs set forth below: ....................... 392,000
4 Elgin Mental Health Center,
5 five buildings .....................256,000
6 Jacksonville Mental Health and
7 Developmental Center,
8 two buildings.........................136,000
9 (From Article 94, Section 9A of Public Act 90-0010)
10 For replacement of roofing systems at the
11 following locations at the approximate costs
12 set forth below: ............................. 2,282,452
13 Alton Mental Health Center ..........216,400
14 Choate Mental Health Center .........134,900
15 Chester Mental Health Center ......1,320,000
16 Fox Developmental Center .............85,152
17 Howe Developmental Center ...........161,000
18 Jacksonville Developmental Center ....21,000
19 Lincoln Developmental Center ........344,000
20 (From Article 94, Section 9 of Public Act 90-0010)
21 ALTON/ELGIN
22 For construction of a forensic services complex
23 at Alton Mental Health Center and Elgin
24 Mental Health Center, in addition to funds
25 previously appropriated ...................... 37,216
26 For conducting the preliminary design to
27 construct, convert and/or rehabilitate
28 a forensic facility .......................... 94,918
29 For upgrading and rehabilitation of roads,
30 parking lots and drainage systems at the
31 following locations at the approximate
32 costs set forth below: ....................... 59,885
33 Chester Mental Health Center
34 For rehabilitation of the
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1 drainage system and upgrading
2 parking lots .......................59,885
3 For upgrading roads and parking lots at
4 the following locations at the
5 approximate costs set forth below: ........... 38,106
6 McFarland Mental Health Ctr ...........5,544
7 Shapiro Developmental Center .........32,562
8 For rehabilitation of water towers -
9 Murray and Chester ........................... 403,532
10 For replacement of roofs at the following
11 locations at the approximate costs set
12 forth below: ................................. 1,257,411
13 Alton Mental Health Center -
14 Five buildings .....................50,000
15 Choate Mental Health Center -
16 Three buildings ....................17,479
17 Choate Mental Health and
18 Developmental Center -
19 Five buildings .....................15,034
20 Chester Mental Health Center -
21 21 buildings .......................39,775
22 Elgin Mental Health Center -
23 Three buildings ....................52,000
24 Elgin Mental Health Center -
25 Six Buildings .....................115,000
26 Lincoln Developmental Center -
27 Three buildings ....................80,000
28 Lincoln Developmental Center -
29 Four buildings ......................6,601
30 Ludeman Developmental Center -
31 Support buildings ..................91,447
32 Ludeman Developmental Center-
33 Residences .........................22,158
34 Mabley Developmental Center -
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1 One building ......................103,517
2 Madden Mental Health Center -
3 Buildings and covered walkways .....72,822
4 McFarland Mental Health Center -
5 Three buildings .....................5,000
6 Meyer Mental Health Center -
7 One building ......................180,314
8 Shapiro Developmental Center -
9 Three buildings ...................187,000
10 Shapiro Developmental Center -
11 Two buildings ......................16,351
12 Shapiro Developmental Center -
13 Five buildings .....................67,831
14 Tinley Park Mental Health Center -
15 One building .......................26,048
16 Tinley Park Mental Health Center -
17 Oak Hall ..........................109,034
18 STATEWIDE - FIRE SAFETY
19 To renovate fire safety systems, including
20 installation of sprinklers, at the following
21 locations at the approximate costs set
22 forth below: ................................. 347,511
23 Anna Mental Health and
24 Developmental Center ...............12,490
25 Singer Mental Health and
26 Developmental Center ..............335,021
27 For fire safety and other work necessary to meet
28 state and federal certification standards for
29 the following projects:
30 For installation of sprinkler systems at
31 Chicago-Read Mental Health Center ............ 122,117
32 For installation of sprinkler systems at
33 Murray Developmental Center .................. 2,000
34 Total, Section 8 $102,618,819
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1 Section 8A. The following named amounts, or so much
2 thereof as may be necessary and remain unexpended at the
3 close of business on June 30, 1998, from appropriations and
4 reappropriations heretofore made for such purposes in
5 Article 93, Section 5.1 of Public Act 90-0010, and Article
6 94, Sections 11 and 11A of Public Act 90-0010, are
7 reappropriated from the Capital Development Fund to the
8 Capital Development Board for the Department of Human
9 Services (formerly the Department of Rehabilitation
10 Services) for the projects hereinafter enumerated:
11 (From Article 93, Section 5.1 of Public Act 90-0010)
12 ILLINOIS SCHOOL FOR THE DEAF -JACKSONVILLE
13 For completing the HVAC system upgrade,
14 in addition to funds previously
15 appropriated ................................. $ 300,000
16 For replacing the storm and sanitary
17 system ....................................... 2,000,000
18 For renovating Unit 5 .......................... 215,000
19 (From Article 94, Section 11A of Public Act 90-0010)
20 For replacement of roofing systems ............. 510,471
21 For planning the upgrade of the heat
22 and smoke detection system ................... 100,000
23 For the renovation of Cullom Hall .............. 2,100,000
24 (From Article 94, Section 11 of Public Act 90-0010)
25 For construction of a Vocational Auto Body
26 and Service Facility ......................... 119,018
27 For replacement of the HVAC system ............. 73,151
28 For replacement of HVAC system in
29 Building #6 .................................. 78,386
30 For construction of an addition to Unit #5 ..... 160,787
31 For rehabilitation of the domestic hot and
32 cold water piping in six buildings ........... 312,471
33 For replacement of domestic hot water tanks
34 in seven buildings ........................... 34,157
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1 (From Article 93, Section 5.1 of Public Act 90-0010)
2 ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED -JACKSONVILLE
3 For rehabilitating the power house ............. 275,000
4 (From Article 94, Section 11A of Public Act 90-0010)
5 For upgrading campus lighting .................. 118,259
6 For the replacement of Buildings
7 #2, #3, and #4 ............................... 700,000
8 (From Article 94, Section 11 of Public Act 90-0010)
9 For completion of the boiler system
10 conversion, in addition to funds
11 previously appropriated ...................... 5,315
12 For replacement of Buildings 5 and 6 for
13 an Independent Living Center ................. 1,251,154
14 Total, Section 8A $8,353,169
15 Section 8.1. The following named amounts, or so much
16 thereof as may be necessary and remain unexpended at the
17 close of business on June 30, 1998, from appropriations and
18 reappropriations heretofore made for such purposes in
19 Article 93, Section 5a of Public Act 90-0010, and Article 94,
20 Section 9.1 of Public Act 90-0010, are reappropriated from
21 the General Revenue Fund to the Capital Development Board for
22 the Department of Human Services (formerly the Department of
23 Mental Health and Developmental Disabilities) for the
24 projects hereinafter enumerated:
25 ALTON MENTAL HEALTH CENTER
26 (From Article 93, Section 5a of Public Act 90-0010)
27 For replacing windows in four buildings ........ $1,181,000
28 CHESTER MENTAL HEALTH CENTER
29 For replacing backflow prevention
30 devices ...................................... 160,000
31 (From Article 94, Section 9.1 of Public Act 90-0010)
32 CHOATE MENTAL HEALTH AND DEVELOPMENTAL CENTER
33 For renovation of turbines in the powerhouse ... 37,596
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1 JACKSONVILLE MENTAL HEALTH
2 AND DEVELOPMENTAL CENTER
3 (From Article 94, Section 9.1 of Public Act 90-0010)
4 For the demolition of Carriel Hall,
5 rerouting utility lines,
6 providing parking lot, and planning
7 the demolition of Building 41 ................ 133,436
8 LINCOLN DEVELOPMENTAL CENTER
9 (From Article 93, Section 5a of Public Act 90-0010)
10 For replacing windows .......................... 756,000
11 SHAPIRO DEVELOPMENTAL CENTER - KANKAKEE
12 For replacing windows in complex
13 buildings .................................... 486,000
14 TINLEY PARK MENTAL HEALTH CENTER
15 (From Article 93, Section 5a of Public Act 90-0010)
16 For installing windows in residential
17 buildings .................................... 775,000
18 (From Article 94, Section 9.1 of Public Act 90-0010)
19 For repairing the exterior of Spruce Hall ...... 56,350
20 ZELLER MENTAL HEALTH CENTER - PEORIA
21 (From Article 93, Section 5a of Public Act 90-0010)
22 For replacing windows .......................... 1,499,000
23 STATEWIDE
24 (From Article 94, Section 9.1 of Public Act 90-0010)
25 For repair of the exterior masonry
26 walls, in addition to funds previously
27 appropriated ................................. 519,704
28 TINLEY PARK MENTAL HEALTH CENTER - COOK COUNTY
29 For rehabilitating exterior of
30 residential building at Tinley ............... 43,495
31 For repair of the exterior masonry walls
32 at Fox, Shapiro and Tinley Park/Howe ......... 138,521
33 For the following projects at the approximate
34 costs set forth below: ....................... 28,433
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1 Elgin Mental Health Center
2 For improvements to roads and
3 parking areas ......................28,233
4 Madden Mental Health Center
5 For handicapped accessibility
6 improvements in the
7 Administration Building ...............200
8 STATEWIDE
9 For road resurfacing and parking lots at
10 the following locations at the approximate
11 costs set forth below: ....................... 27,891
12 Meyer Mental Health and
13 Developmental Center ...............27,891
14 STATEWIDE - FIRE SAFETY
15 For renovation of fire safety systems at the
16 following locations at the approximate
17 costs set forth below: ....................... 124,815
18 Chicago Read Mental Health Ctr .......65,294
19 Madden Mental Health Center ..........40,000
20 Murray Developmental Center ..........17,400
21 Singer Mental Health and
22 Developmental Center ..................200
23 Kiley Developmental Center ............1,921
24 For installation of smoke detection systems,
25 smoke compartmentation, and other fire
26 safety and certification improvements at
27 Murray Developmental Center .................. 324,774
28 Total, Section 8.1 $6,292,015
29 Section 8A.1. The following named amounts, or so much
30 thereof as may be necessary and remain unexpended at the
31 close of business on June 30, 1998, from appropriations and
32 reappropriations heretofore made for such purposes in Article
33 93, Section 5a.1 of Public Act 90-0010, and Article 94,
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1 Section 11.1 of Public Act 90-0010, are reappropriated from
2 the General Revenue Fund to the Capital Development Board for
3 the Department of Human Services (formerly the Department of
4 Rehabilitation Services) for the projects hereinafter
5 enumerated:
6 ILLINOIS SCHOOL FOR THE DEAF - JACKSONVILLE
7 (From Article 93, Section 5a.1 of Public Act 90-0010)
8 For installing an emergency generator .......... $ 550,000
9 For installing security systems in
10 three buildings .............................. 50,000
11 (From Article 94, Section 11.1 of Public Act 90-0010)
12 For renovation of buildings and lead
13 paint abatement .............................. 693,530
14 STATEWIDE
15 For energy conservation improvements
16 for the Illinois School for the Deaf,
17 Jacksonville and the Illinois School
18 for the Visually Impaired, Jacksonville ...... 37,113
19 Total Section 8A.1 $1,330,643
20 Section 9. The following named amounts, or so much
21 thereof as may be necessary and remain unexpended at the
22 close of business on June 30, 1998, from appropriations and
23 reappropriations heretofore made for such purposes in
24 Section 57 of Public Act 90-0550, and Article 94, Sections 10
25 and 10A of Public Act 90-0010, are reappropriated from the
26 Capital Development Fund to the Capital Development Board for
27 the Department of Military Affairs for the projects
28 hereinafter enumerated:
29 AURORA ARMORY
30 (From Article 94, Section 10 of Public Act 90-0010)
31 For planning an armory ......................... $ 10,820
32 BROADWAY AVENUE ARMORY
33 For replacement of the steam distribution
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1 system, including two boilers ................ 154,256
2 CAMP LINCOLN - SPRINGFIELD
3 For site improvements and construction for
4 a military academy facility, including
5 repair and reconstruction of access
6 roads and drives at Camp Lincoln ............. 24,062
7 For planning, design, site improvements, and
8 other costs associated with the conversion
9 of the old "Castle" or Commissary Building
10 for use as a military museum ................. 122,068
11 CARBONDALE ARMORY
12 (From Section 57 of Public Act 90-0550)
13 For upgrading mechanical systems ............... 1,440,000
14 DANVILLE ARMORY
15 (From Article 94, Section 10 of Public Act 90-0010)
16 For planning and construction of a new armory .. 1,070,000
17 DECATUR ARMORY
18 For the state's share for additional planning
19 and construction of a new armory and
20 Organizational Maintenance Shop .............. 18,890
21 DIXON ARMORY - LEE COUNTY
22 (From Article 94, Section 10A of Public Act 90-0010)
23 For construction of an addition,
24 remodeling, extending utilities and
25 installing a kitchen ......................... 273,074
26 (From Article 94, Section 10 of Public Act 90-0010)
27 For rehabilitation of the parking lot,
28 including the drive and walks ................ 128,007
29 DONNELLEY BUILDING
30 For the rehabilitation and renovation of
31 the Donnelley Building and purchase of
32 land for parking ............................. 356,259
33 GENERAL JONES ARMORY
34 For renovation of the exterior and interior,
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1 mechanical areas and expansion of the
2 parking lot, in addition to amounts
3 previously appropriated ...................... 1,826,412
4 For renovation of the exterior, including
5 windows ...................................... 11,405
6 For replacement of the Assembly Hall
7 roofing system including its structural
8 system ....................................... 448,935
9 For renovation of the armory, including
10 equipment, in addition to amounts
11 previously appropriated ...................... 36,086
12 For renovation of the armory, including
13 equipment, in addition to amounts
14 previously appropriated for this purpose ..... 11,276
15 For the state's share for renovation ........... 10,796
16 KANKAKEE ARMORY
17 For providing the State's share for
18 construction of an Armory and Army
19 Reserve Center, including equipment .......... 14,752
20 For the state's share for planning an
21 armory and Army Reserve Center ............... 2,064
22 LITCHFIELD ARMORY
23 For rehabilitation of exterior and upgrading
24 the interior ................................. 60,022
25 MACHESNEY PARK ARMORY (ROCKFORD)
26 For moveable equipment for the new armory ...... 12,864
27 For the state's share for additional planning
28 and construction of an armory and
29 Organizational Maintenance Shop .............. 226,706
30 MARSEILLES ARMORY
31 For planning four buildings and
32 wastewater facilities ........................ 7,444
33 NORTHWEST ARMORY - CHICAGO
34 (From Article 94, Section 10A of Public Act 90-0010)
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1 For renovation of interior and exterior,
2 in addition to funds previously
3 appropriated for such purposes ............... 1,200,000
4 (From Article 94, Section 10 of Public Act 90-0010)
5 For planning interior and exterior renovation .. 3,000
6 PARIS ARMORY
7 For rehabilitation of the exterior and
8 upgrading the interior ....................... 393,000
9 PEORIA ARMORY
10 For providing the State's share for
11 construction of an armory and Army
12 Reserve Center, including equipment .......... 5,596
13 ROCK ISLAND ARMORY
14 For construction of an armory and
15 maintenance shop ............................. 158,346
16 SALEM ARMORY - MARION COUNTY
17 (From Article 94, Section 10A of Public Act 90-0010)
18 For replacement of the boiler and
19 all domestic plumbing, piping and
20 fixtures ..................................... 764,379
21 (From Article 94, Section 10 of Public Act 90-0010)
22 SAUK AREA CAREER SCHOOL - CRESTWOOD
23 For the purchase and renovation of the
24 former Sauk Area Career School, converting
25 to an armory and upgrading the parking
26 lot .......................................... 89,022
27 (From Article 94, Section 10 of Public Act 90-0010)
28 SPRINGFIELD - CAMP LINCOLN
29 For construction of a military academy
30 facility ..................................... 638,820
31 For rehabilitation of the mechanical systems
32 and interior ................................. 95,454
33 STREATOR ARMORY - LASALLE COUNTY
34 (From Article 94, Section 10A of Public Act 90-0010)
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1 For renovation of the mechanical
2 systems, in addition to funds
3 previously appropriated ...................... 268,729
4 (From Article 94, Section 10 of Public Act 90-0010)
5 For renovation of mechanical systems ........... 53,392
6 WAUKEGAN ARMORY
7 For renovation of exterior walls, and
8 replacement of doors and windows ............. 70,281
9 WEST FRANKFORT ARMORY
10 For remodeling and installation of a kitchen ... 68,592
11 WILLIAMSON COUNTY ARMORY
12 For providing the State's share for planning
13 and construction of a new armory, in
14 addition to amounts previously
15 appropriated ................................. 14,316
16 WOODSTOCK ARMORY
17 For the state's share for additional planning
18 and construction of an armory ................ 7,940
19 STATEWIDE
20 For replacement of roofs at the
21 following locations at the
22 approximate costs set forth below: ........... 293,250
23 Joliet Armory ........................52,000
24 Litchfield Armory ...................142,425
25 Springfield Military Academy .........98,825
26 For replacement of roofs at the following
27 locations at the approximate costs set
28 forth below .................................. 119,886
29 Camp Lincoln - AGO Building .......115,420
30 Mt. Vernon Armory ...................4,466
31 For installation of kitchens and renovation
32 of the interiors at the following locations
33 at the approximate costs set forth below: .... 167,750
34 Carbondale Armory ..................10,000
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1 Dixon Armory ......................151,750
2 Elgin Armory ........................6,000 ____________
3 Total, Section 9 $10,677,951
4 Section 9.1. The following named amounts, or so much
5 thereof as may be necessary and remain unexpended at the
6 close of business on June 30, 1998, from appropriations and
7 reappropriations heretofore made for such purposes in Article
8 93, Section 6a of Public Act 90-0010 and Article 94, Section
9 10.1 of Public Act 90-0010, are reappropriated from the
10 General Revenue Fund to the Capital Development Board for the
11 Department of Military Affairs for the projects hereinafter
12 enumerated:
13 (From Article 93, Section 6a of Public Act 90-0010)
14 LAWRENCEVILLE ARMORY
15 For renovating interior ........................ $ 180,000
16 (From Article 94, Section 10.1 of Public Act 90-0010)
17 STATEWIDE
18 For the following projects at the approximate
19 costs set forth below: ....................... 86,000
20 Broadway Armory - Chicago
21 For repair of the heating
22 system .............................50,000
23 Freeport Armory
24 For renovation of the armory
25 and parking area, including
26 installation of a security
27 fence ..............................36,000 ____________
28 Total, Section 9.1 $266,000
29 Section 10. The following named amounts, or so much
30 thereof as may be necessary and remain unexpended at the
31 close of business on June 30, 1998, from appropriations and
32 reappropriations heretofore made for such purposes in
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1 Section 59 of Public Act 90-0550, and Article 94, Sections 12
2 and 12A of Public Act 90-0010, are reappropriated from the
3 Capital Development Fund to the Capital Development Board for
4 the Department of Revenue for the project hereinafter
5 enumerated:
6 (From Section 59 of Public Act 90-0550)
7 WILLARD ICE BUILDING - SPRINGFIELD
8 For upgrading the uninterruptible power
9 system, in addition to funds previously
10 appropriated ................................. $ 1,200,000
11 For replacing the halon fire suppression
12 system ....................................... 344,000
13 (From Article 94, Section 12a of Public Act 90-0010)
14 For completion of the replacement of the
15 fire alarm and security system ............... 70,000
16 For upgrade of the uninterruptible
17 power system ................................. 1,284,152
18 For completion of the renovation of
19 the atrium landscaping ....................... 100,000
20 (From Article 94, Section 12 of Public Act 90-0010)
21 For planning for UPS upgrade and for renovation
22 of an interior landscape structure ........... 3,917
23 Total, Section 10 $3,002,069
24 Section 11. The following named amount, or so much
25 thereof as may be necessary and remains unexpended at the
26 close of business on June 30, 1998, from a reappropriation
27 heretofore made for such purposes in Article 94, Section 13
28 of Public Act 90-0010, is reappropriated from the Capital
29 Development Fund to the Capital Development Board for the
30 Secretary of State for the project hereinafter enumerated:
31 SPRINGFIELD - RECORDS CENTER
32 For correcting water infiltration in the
33 basement ..................................... $ 7,012
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1 Total, Section 11 $7,012
2 Section 12. The following named amounts, or so much
3 thereof as may be necessary and remain unexpended at the
4 close of business on June 30, 1998, from appropriations and
5 reappropriations heretofore made for such purposes in Section
6 60 of Public Act 90-0550; Article 93, Section 9 of Public
7 Act 90-0010; and Article 94, Section 14 and 14A of Public Act
8 90-0010, are reappropriated from the Capital Development Fund
9 to the Capital Development Board for the Department of State
10 Police for the projects hereinafter enumerated:
11 (From Article 94, Section 14 of Public Act 90-0010)
12 CAIRO (ULLIN) - DISTRICT 22
13 For construction of a firing range and radio
14 tower ........................................ $ 537,480
15 CARMI - DISTRICT 19 HEADQUARTERS
16 For rehabilitation of headquarters
17 facilities ................................... 109,345
18 For planning rehabilitation of
19 Headquarters facilities ...................... 60,000
20 CHICAGO FORENSIC LABORATORY
21 For construction of a laboratory and
22 parking facilities ........................... 273,885
23 DU QUOIN - DISTRICT 13
24 For planning the rehabilitation of the
25 headquarters, including the parking
26 lot and range ................................ 15,569
27 EAST MOLINE - DISTRICT 7
28 For rehabilitation of the headquarters
29 facilities and replacement of the
30 radio garage ................................. 70,726
31 LITCHFIELD - DISTRICT 18 HEADQUARTERS
32 (From Article 94, Section 14A of Public Act 90-0010)
33 For rehabilitation of headquarters facilities .. 253,492
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1 (From Article 94, Section 14 of Public Act 90-0010)
2 For planning rehabilitation of
3 Headquarters facilities ...................... 27,078
4 SPRINGFIELD - STATE POLICE TRAINING ACADEMY
5 For rehabilitation of the facility, including
6 replacement of the HVAC system and
7 installation of an elevator .................. 243,427
8 STERLING - DISTRICT 1
9 For planning, construction, reconstruction,
10 demolition of existing buildings, and
11 all costs related to the relocation of
12 the headquarters, in addition to funds
13 previously appropriated ...................... 1,817,398
14 For land acquisition, planning, construction,
15 reconstruction, demolition of existing
16 buildings, and all costs related to the
17 relocation of the District 1 Police
18 Headquarters in Sterling ..................... 138,905
19 STATEWIDE
20 (From Section 60 of Public Act 90-0550)
21 For replacing radio communication
22 towers and equipment buildings and
23 installing emergency power
24 generators at Andover, Eaton,
25 Pecatonia, and Cypress ....................... 1,150,000
26 (From Article 93, Section 9 of Public Act 90-0010)
27 For replacing the roofs and roof
28 drainage systems at various locations,
29 at the approximate costs set forth below: .... 182,000
30 DuQuoin, District #13 .................85,000
31 Springfield, District #9 and
32 Supply Building ......................97,000
33 (From Article 94, Section 14A of Public Act 90-0010)
34 For replacing radio communication
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1 towers, equipment, buildings and
2 installing emergency power
3 generators at various locations .............. 1,109,000
4 District #22, Effingham (Mason site)
5 District #10, Pesotum
6 District #21, Askum
7 District #6, Pontiac
8 (From Article 94, Section 14 of Public Act 90-0010)
9 For replacing the roofing and roof
10 drainage systems at various facilities
11 at the approximate costs set forth
12 below ........................................ 52,616
13 District #8, Metamora .................50,000
14 District #10, Pesotum ..................2,616 ____________
15 Total, Section 12 $6,040,921
16 Section 13. The following named amounts, or so much
17 thereof as may be necessary and remain unexpended at the
18 close of business on June 30, 1998, from appropriations and
19 reappropriations heretofore made for such purposes in
20 Article 93, Section 10 of Public Act 90-0010, and Article 94,
21 Sections 15 and 15A of Public Act 90-0010, are
22 reappropriated from the Capital Development Fund to the
23 Capital Development Board for the Department of Veterans'
24 Affairs for the projects hereinafter enumerated:
25 (From Article 94, Section 15 of Public Act 90-0010)
26 ANNA CENTER
27 For purchasing equipment, in addition to funds
28 previously appropriated ...................... $ 24,480
29 LASALLE VETERANS CARE FACILITY
30 For construction of a storage building ........ 178,380
31 For installation of a medical gas system
32 and for additional funding for a
33 Special Care Unit ............................ 8,366
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1 For installation of door alarm systems ......... 25,439
2 ILLINOIS VETERANS' HOME - MANTENO
3 (From Article 94, Section 15A of Public Act 90-0010)
4 For construction of a special care facility .... $5,550,000
5 (From Article 94, Section 15 of Public Act 90-0010)
6 For planning the construction of a special
7 care facility ................................ 72,352
8 For replacement of roofs and upgrade
9 of sewer system, in addition to funds
10 previously appropriated ...................... 404,509
11 For reinforcement and sealing off of sections
12 of utility tunnels ........................... 26,512
13 For air conditioning the interconnects ......... 41,964
14 For replacement of the roof on Kilbourne,
15 Meyers and Billings and upgrade
16 of sewer system, in addition to
17 funds previously appropriated ................ 88,363
18 ILLINOIS VETERANS' HOME - QUINCY
19 (From Article 93, Section 10 of Public Act 90-0010)
20 For renovating Lippincott Hall ................. 215,000
21 (From Article 94, Section 15A of Public Act 90-0010)
22 For upgrading HVAC system ...................... 236,070
23 For replacing steam lines ...................... 83,000
24 For replacing the domestic hot water loop ...... 305,000
25 For renovating the elevator .................... 195,350
26 (From Article 94, Section 15 of Public Act 90-0010)
27 For renovation and replacement of power plant
28 equipment .................................... 133,637
29 For construction of a Therapy Building and
30 renovation of the Kent Building entrance,
31 in addition to funds previously
32 appropriated ................................. 13,117
33 Total, Section 13 $7,601,539
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1 Section 13.1. The following named amounts, or so much
2 thereof as may be necessary and remain unexpended at the
3 close of business on June 30, 1998, from appropriations and
4 reappropriations heretofore made for such purposes in Article
5 93, Section 10a of Public Act 90-0010, and Article 94,
6 Section 15.1 of Public Act 90-0010, are reappropriated from
7 the General Revenue Fund to the Capital Development Board for
8 the Department of Veterans' Affairs for the projects
9 hereinafter enumerated:
10 ILLINOIS VETERANS' HOME - LASALLE
11 (From Article 93, Section 10A of Public Act 90-0010)
12 For relocating security alarm
13 system ....................................... $ 37,800
14 For installing an exit door
15 alarm system ................................. 52,500
16 ILLINOIS VETERANS' HOME - MANTENO
17 For replacing wiring in light poles ............ 153,900
18 For replacing exterior doors and frames ........ 200,000
19 (From Article 94, Section 15.1 of Public Act 90-0010)
20 For stabilization of the Billings, Kilbourne,
21 and Meyers Buildings and upgrade of
22 sewer system, in addition to funds
23 previously appropriated ...................... 37,069
24 For replacement of sewer lines, repair and
25 replacement of bar screens, and
26 rehabilitation of the water tower and
27 reservoir .................................... 234,861
28 Total, Section 13.1 $716,130
29 Section 14. The following named amounts, or so much
30 thereof as may be necessary and remain unexpended at the
31 close of business on June 30, 1998, from appropriations and
32 reappropriations heretofore made for such purposes in
33 Sections 62 and 63 of Public Act 90-0550; Article 93,
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1 Sections 11.02 and 11.03 of Public Act 90-0010; and Article
2 94, Sections 16 and 16A of Public Act 90-0010, are
3 reappropriated from the Capital Development Fund to the
4 Capital Development Board for the projects hereinafter
5 enumerated:
6 (From Article 94, Section 16 of Public Act 90-0010)
7 ATTORNEY GENERAL BUILDING - SPRINGFIELD
8 For planning energy improvements and upgrading
9 HVAC and electrical systems .................. $ 9,299
10 MT. VERNON APPELLATE COURT BUILDING
11 For installation of a security system .......... 20,021
12 SPRINGFIELD - SUPREME COURT BUILDING
13 For replacement of side walls and steps, in addition
14 to funds previously appropriated ............. 82,574
15 SPRINGFIELD - CAPITOL COMPLEX
16 (From Section 63 of Public Act 90-0550):
17 For installing fire/security alarm
18 system ....................................... 1,100,000
19 (From Article 93, Section 11.02 of Public Act 90-0010)
20 For stabilizing the parking ramp ............... 3,000,000
21 (From Article 94, Section 16A of Public Act 90-0010)
22 For energy improvements and upgrading the
23 HVAC, security and electrical systems,
24 in addition to funds previously
25 appropriated - Attorney General's
26 Building ..................................... 216,450
27 To renovate the interior, exterior and
28 site improvements, in addition to
29 funds previously appropriated -
30 Executive Mansion ............................ 91,306
31 For upgrading environmental equipment
32 and HVAC, in addition to funds previously
33 appropriated - Archives Building ............. 2,150,000
34 For planning and beginning the rehabilitation
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1 of the Power Plant ........................... 3,805,000
2 For upgrading sewer system - Capitol Complex,
3 in addition to funds previously
4 appropriated ................................. 2,023,683
5 For renovation of the lower level and
6 ground floor, in addition to funds
7 previously appropriated - Old Power Plant .... 1,747,101
8 (From Article 94, Section 16 of Public Act 90-0010)
9 For upgrading the life/safety and security
10 systems - Capitol Building ................... 2,116,800
11 For upgrading the refrigeration equipment -
12 Capitol Complex .............................. 3,466,000
13 For renovating mechanical system -
14 Capitol Complex, in addition to funds
15 previously appropriated ...................... 3,322,326
16 For planning the upgrade of environmental
17 equipment and HVAC ........................... 57,619
18 For renovation of mechanical systems, in
19 addition to funds previously appropriated .... 528,808
20 For upgrading the elevators .................... 59,396
21 For planning and beginning sewer
22 rehabilitation ............................... 34,625
23 For renovation of the second floor of the
24 Old Powerhouse for the Emergency Manage-
25 ment Agency .................................. 22,131
26 For providing a parking facility for the
27 Bloom and Harris Buildings, including
28 land acquisition ............................. 249,824
29 For all costs associated with the design
30 and planning for asbestos abatement,
31 window replacement, energy conservation
32 improvements, replacement of carpeting and
33 ceiling tiles, handicap accessibility
34 improvements, and rehabilitation of the
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1 water and air distribution systems in the
2 Stratton Office Building ..................... 1,636,429
3 For planning and design of the rehabilitation
4 of the Springfield Armory .................... 656,425
5 For renovation of the Waterways Building for
6 the Fourth District of the Appellate Court ... 3,701,859
7 SPRINGFIELD - SIU CONSOLIDATED LABORATORIES
8 For construction of an addition to the
9 laboratory facility for Southern Illinois
10 University, Environmental Protection Agency
11 and Department of Public Health .............. 727,459
12 STATE CAPITOL BUILDING
13 (From Section 63 of Public Act 90-0550)
14 For upgrading the life/safety and
15 security systems, in addition to
16 funds previously appropriated ................ 2,600,000
17 STRATTON OFFICE BUILDING - SPRINGFIELD
18 (From Section 63 of Public Act 90-0550)
19 For installing fire alarm system ............... 400,000
20 STATEWIDE
21 (From Section 62 of Public Act 90-0550):
22 For surveys and modifications to
23 buildings to meet requirements of the
24 federal Americans with Disabilities Act ...... 5,000,000
25 (From Article 93, Section 11.03 of Public Act 90-0010)
26 For abatement of hazardous materials ........... 5,000,000
27 For upgrading/retrofitting mechanized
28 refrigeration equipment (CFC's) .............. 5,000,000
29 For upgrade and remediation of underground
30 storage tanks ................................ 5,000,000
31 (From Article 94, Section 16A of Public Act 90-0010)
32 For renovation to meet the requirements
33 of the Americans with Disabilities Act ....... 3,000,000
34 (From Article 94, Section 16 of Public Act 90-0010)
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1 For abatement of hazardous materials ........... 4,967,927
2 For upgrade and remediation of
3 underground storage tanks .................... 5,000,000
4 For survey for and abatement of
5 asbestos-containing materials ................ 2,000,000
6 For upgrade/retrofit of mechanized
7 refrigeration equipment (CFC's) .............. 6,832,397
8 For abatement of hazardous conditions,
9 including underground storage tanks,
10 in addition to funds previously
11 appropriated ................................. 1,421,091
12 For surveys and modifications to buildings
13 to meet requirements of the federal
14 Americans with Disabilities Act .............. 30,871,012
15 For demolition of buildings .................... 4,108,754
16 For retrofitting/upgrading mechanical
17 refrigeration equipment ...................... 1,277,506
18 For planning quick chill food factories ........ 133,946
19 STATEWIDE - UNDERGROUND STORAGE TANKS
20 For abating hazardous conditions, including
21 underground storage tanks, in addition to
22 funds previously appropriated ................ 151,622
23 For the planning, upgrade and replacement of
24 potentially hazardous underground storage
25 tanks ........................................ 878,720
26 STATEWIDE - ASBESTOS SURVEY
27 For surveys and abatement of asbestos-
28 containing materials ......................... 1,386,058
29 STATEWIDE - ASBESTOS ABATEMENT
30 For asbestos abatement located during
31 Asbestos Abatement Authority and other
32 surveys to eliminate significant health
33 hazards ...................................... 367,424
34 For planning and abatement of asbestos, and
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1 replenishment of initial project
2 construction costs in bondable projects
3 at various state owned facilities ............ 460,290
4 Total, Section 14 $116,681,882
5 Section 14.1. The amount of $51,193, or so much thereof
6 as may be necessary and remains unexpended at the close of
7 business on June 30, 1998, from a reappropriation heretofore
8 made for such purpose in Article 94, Section 16.2 of Public
9 Act 90-0010, is reappropriated from the Capital Development
10 Fund to the Capital Development Board for planning,
11 construction and equipment for a joint laboratory facility
12 for the Illinois Environmental Protection Agency, the
13 Department of Public Health, and the Southern Illinois
14 University School of Medicine at the SIU Medical Facility in
15 Springfield.
16 Section 14.2. The sum of $825,000, or so much thereof as
17 may be necessary and remains unexpended on June 30, 1998,
18 from a reappropriation heretofore made for such purposes in
19 Article 94, Section 17.7 of Public Act 90-0010, is
20 reappropriated from the Capital Development Fund to the
21 Capital Development Board for the Secretary of State for a
22 grant to the Edgebrook Library for all costs associated with
23 the miscellaneous costs incurred for construction or other
24 purposes.
25 Section 14.3. The sum of $400,000, or so much thereof as
26 may be necessary and remains unexpended at the close of
27 business on June 30, 1998, from an appropriation heretofore
28 made for such purposes in Article 93, Section 11.03b of
29 Public Act 90-0010, is reappropriated from the Capital
30 Development Fund to the Capital Development Board for the
31 Secretary of State for a grant to the Wilmette Library for
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1 all costs associated with planning, construction,
2 reconstruction, and rehabilitation or other purposes.
3 Section 15. The following named amounts, or so much
4 thereof as may be necessary and remain unexpended at the
5 close of business on June 30, 1998, from appropriations and
6 reappropriations heretofore made for such purposes in Article
7 93, Section 11.03b of Public Act 90-0010, and Article 94,
8 Section 17 of Public Act 90-0010, are reappropriated from
9 the General Revenue Fund to the Capital Development Board for
10 the projects hereinafter enumerated:
11 STATEWIDE
12 (From Article 93, Section 11.03a of Public Act 90-0010):
13 For repair of minor problems and
14 emergencies .................................. $ 3,614,300
15 For construction site archeological
16 studies ...................................... 200,000
17 For surveys for and abatement of
18 asbestos-containing material ................. 1,000,000
19 For demolition of buildings .................... 5,000,000
20 (From Article 94, Section 17 of Public Act 90-0010)
21 For repair of minor problems and
22 emergencies .................................. 1,501,903
23 For tuckpointing and exterior repair
24 of state buildings ........................... 613,000
25 For surveys for asbestos containing
26 material ..................................... 285,488
27 For construction site archaeological
28 studies ...................................... 90,413
29 For survey of asbestos-containing
30 materials .................................... 237,636
31 For repairing minor problems and for
32 emergencies, in addition to funds
33 previously appropriated ...................... 57,371
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1 For repairing minor problems and emergencies
2 for agencies ................................. 233,756
3 For the planning and abatement of asbestos
4 hazards, and replenishment of initial
5 project construction costs in
6 non-bondable projects at various
7 state owned facilities ....................... 197,110
8 Total, Section 15 $13,030,977
9 Section 15.1. The sum of $14,400, or so much thereof as
10 may be necessary and remains unexpended at the close of
11 business on June 30, 1998, from an appropriation heretofore
12 made for such purposes in Section 46 of Public Act 90-0550,
13 is reappropriated from the General Revenue Fund to the
14 Capital Development Board for a grant to Charleston Township
15 for all costs associated with meeting the requirements of the
16 Americans with Disabilities Act.
17 Section 15.2. The sum of $250,000, or so much thereof as
18 may be necessary and remains unexpended at the close of
19 business on June 30, 1998, from an appropriation heretofore
20 made for such purposes in Article 93, Section 17 of Public
21 Act 90-0010, as amended by Section 7 of Public Act 90-0550,
22 is reappropriated from the General Revenue Fund to the
23 Capital Development Board for a grant to the Lake Zurich
24 Rural Fire Protection District for all costs associated with
25 planning, construction, reconstruction, and rehabilitation or
26 other firehouse purposes.
27 Section 15.3. The sum of $400,000, or so much thereof as
28 may be necessary and remains unexpended at the close of
29 business on June 30, 1998 from an appropriation heretofore
30 made for such purposes in Article 93, Section 23 of Public
31 Act 90-0010, is reappropriated from the General Revenue Fund
-95- BOB-CAPITAL99
1 to the Capital Development Board for a grant to the City of
2 Danville for all costs associated with the construction of a
3 new firehouse and the conversion of the library to a
4 children's museum.
5 Section 15.4. The sum of $300,000, or so much thereof as
6 may be necessary and remains unexpended at the close of
7 business on June 30, 1998, from an appropriation heretofore
8 made for such purposes in Article 93, Section 30 of Public
9 Act 90-0010, is reappropriated from the General Revenue Fund
10 to the Capital Development Board for a grant to Lincoln Land
11 Community College for all costs associated with the
12 remodeling of Cass Gymnasium.
13 Section 15.5. The sum of $1,500,000, or so much thereof
14 as may be necessary and remains unexpended at the close of
15 business on June 30, 1998, from an appropriation heretofore
16 made for such purposes in Article 93, Section 31 of Public
17 Act 90-0010, is reappropriated from the General Revenue Fund
18 to the Capital Development Board for a grant to Lincoln Land
19 Community College for all costs associated with the
20 construction of a new Rural Education and Technology Center.
21 Section 15.6. The sum of $236,088, or so much of that
22 amount as may be necessary and remains unexpended at the
23 close of business on June 30, 1998, from a reappropriation
24 heretofore made for such purposes in Article 94, Section 17.4
25 of Public Act 90-0010, is reappropriated to the Capital
26 Development Board from the General Revenue Fund for the
27 planning and construction of the Anna Veterans Home Visitor
28 Center.
29 Section 15.7. The amount of $538,151, or so much thereof
30 as may be necessary and remains unexpended at the close of
-96- BOB-CAPITAL99
1 business on June 30, 1998, from an appropriation heretofore
2 made for such purposes in Article 94, Section 17.5 of Public
3 Act 90-0010, is reappropriated from the General Revenue Fund
4 to the Capital Development Board for planning, design,
5 construction, renovation, and all other necessary costs for
6 the Market House in Galena.
7 Section 15.8. The sum of $976,000, or so much thereof as
8 may be necessary and remains unexpended on June 30, 1998,
9 from an appropriation heretofore made for such purposes in
10 Article 94, Section 17.6 of Public Act 90-0010, is
11 reappropriated from the General Revenue Fund to the Capital
12 Development Board for planning and renovation of Founders
13 Memorial Library at Northern Illinois University.
14 Section 16. The amount of $30,000,000, or so much
15 thereof as may be necessary and remains unexpended at the
16 close of business on June 30, 1998, from an appropriation
17 heretofore made for such purposes in Section 51c of Public
18 Act 90-0550, is reappropriated from the School Infrastructure
19 Fund to the Capital Development Board for school construction
20 project grants pursuant to the School Construction Law.
21 Section 17. The sum of $272,189, or so much thereof as
22 may be necessary and remains unexpended at the close of
23 business on June 30, 1998, from a reappropriation heretofore
24 made for such purposes in Article 94, Section 19 of Public
25 Act 90-0010, is reappropriated from the Asbestos Abatement
26 Fund to the Capital Development Board for asbestos surveys in
27 relation to the asbestos abatement of State Governmental
28 Buildings.
29 Section 18. The following named amounts, or so much
30 thereof as may be necessary and remain unexpended at the
-97- BOB-CAPITAL99
1 close of business on June 30, 1998, from reappropriations
2 heretofore made for such purposes in Article 94, Sections 20
3 and 22A of Public Act 90-0010, are reappropriated from the
4 Capital Development Fund to the Capital Development Board for
5 the Board of Higher Education for the projects hereinafter
6 enumerated:
7 ILLINOIS MATHEMATICS AND SCIENCE ACADEMY - AURORA
8 (From Article 94, Section 22A of Public Act 90-0010)
9 For replacing air conditioning units,
10 controls and upgrading the energy
11 management system ............................ $ 2,370,000
12 (From Article 94, Section 20 of Public Act 90-0010)
13 For remodeling the Information Resource
14 Technology Center ............................ 96,336
15 For renovation of the laboratory areas,
16 including a greenhouse ....................... 87,700
17 For the purchase, renovation and improvement
18 of the North Campus High School site of
19 the Aurora West School District 129,
20 including construction of four dormitories,
21 equipment purchases and other expenses for
22 use by the Illinois Mathematics and Science
23 Academy ...................................... 2,271,053
24 Total, Section 18 $4,825,089
25 Section 19. The following named amounts, or so much
26 thereof as may be necessary and remain unexpended at the
27 close of business on June 30, 1998, from appropriations and
28 reappropriations heretofore made for such purposes in Section
29 64 of Public Act 90-0550, and Article 94, Sections 21 and 21A
30 of Public Act 90-0010, are reappropriated from the Capital
31 Development Fund to the Capital Development Board for the
32 Illinois Community College Board for the projects hereinafter
33 enumerated:
-98- BOB-CAPITAL99
1 BELLEVILLE AREA COLLEGE
2 (From Article 94, Section 21A of Public Act 90-0010)
3 For constructing a building, additions
4 and site improvements at the
5 Belleville and Red Bud campuses,
6 in addition to funds previously
7 appropriated ................................. $ 10,797,100
8 (From Article 94, Section 21 of Public Act 90-0010)
9 For planning buildings, additions and
10 site improvements ............................ 1,451,210
11 DANVILLE COMMUNITY COLLEGE - VERMILION COUNTY
12 (From Article 94, Section 21A of Public Act 90-0010)
13 To rehabilitate infrastructure,
14 construct a classroom facility
15 and a day care center, in addition
16 to funds previously appropriated ............. 4,140,932
17 (From Article 94, Section 21 of Public Act 90-0010)
18 For rehabilitation of infrastructure
19 and beginning construction of a
20 classroom facility ........................... 1,753,743
21 For rehabilitation of the infrastructure and
22 planning campus buildings .................... 885,648
23 COLLEGE OF DUPAGE
24 For completing the addition to
25 the Student Resource Center .................. 168,024
26 ELGIN COMMUNITY COLLEGE
27 For construction of addition, site improvements,
28 remodeling and purchasing equipment .......... 1,052,361
29 For planning, design, site improvements, utility
30 adjustments, and any other costs associated
31 with construction of a new Instructional
32 Building at Elgin Community College .......... 135,999
33 HEARTLAND COMMUNITY COLLEGE - BLOOMINGTON
34 (From Section 64 of Public Act 90-0550)
-99- BOB-CAPITAL99
1 For constructing buildings and making
2 site improvements, including equipment ....... 21,015,900
3 (From Article 94, Section 21A of Public Act 90-0010)
4 For planning buildings, parking areas,
5 utilities, and site development and
6 preliminary site preparation
7 required to establish permanent
8 campus facilities ............................ 2,173,805
9 JOHN A. LOGAN COMMUNITY COLLEGE
10 (From Article 94, Section 21A of Public Act 90-0010)
11 For constructing additions and site
12 improvements, in addition to funds
13 previously appropriated ...................... 12,136,568
14 (From Article 94, Section 21 of Public Act 90-0010)
15 For construction of classroom facility,
16 and remodeling the existing facility,
17 including utilities and site improvements .... 33,745
18 JOHN WOOD COMMUNITY COLLEGE
19 For construction of a science and technology
20 center and access road ....................... 58,276
21 JOLIET JUNIOR COLLEGE
22 For construction of a business and technology
23 center and remodeling the main campus
24 building ..................................... 619,182
25 For planning, design and site preparation of
26 a Business Technology Center ................. 10,338
27 COLLEGE OF LAKE COUNTY
28 For construction of a multi-use Instructional
29 Center, including acquisition of equipment
30 and remodeling of existing facilities ........ 77,973
31 For initial costs associated with planning,
32 design, construction, site improvements,
33 utilities, remodeling and equipment for
34 a multi-use instructional facility ........... 20,171
-100- BOB-CAPITAL99
1 LEWIS AND CLARK COMMUNITY COLLEGE
2 For renovation of buildings, construction of an
3 addition and site improvements ............... 216,805
4 For construction of health, mathematics and
5 science laboratory facilities and
6 remodeling Fobes Hall ........................ 378,484
7 For renovation of the main complex ............. 14,925
8 For planning, design, and site preparation,
9 and construction of a multi-purpose
10 building ..................................... 22,932
11 MCHENRY COUNTY COLLEGE
12 For construction of an addition, including
13 equipment, a parking area and
14 site improvements ............................ 19,993
15 MORAINE VALLEY COMMUNITY COLLEGE
16 For planning and constructing a new classroom
17 facility ..................................... 362,212
18 For providing for an architectural engineering
19 study, renovations, construction,
20 reconstruction and remodeling of Buildings
21 A, B and L ................................... 417,365
22 PRAIRIE STATE COMMUNITY COLLEGE
23 For construction of a Learning Resource
24 Center addition .............................. 39,959
25 REND LAKE COLLEGE
26 For construction of an aquatic and
27 rehabilitation center ........................ 55,125
28 SHAWNEE COMMUNITY COLLEGE - ULLIN
29 (From Section 64 of Public Act 90-0550)
30 For constructing additions, parking
31 facilities, and renovating buildings,
32 including equipment .......................... 7,403,200
33 (From Article 94, Section 21A of Public Act 90-0010)
34 For planning additions to the main
-101- BOB-CAPITAL99
1 building, parking areas, site
2 improvements and roofing
3 replacements ................................. 310,000
4 (From Article 94, Section 21 of Public Act 90-0010)
5 SOUTHEASTERN ILLINOIS COLLEGE
6 For construction of humanities,
7 administration, and child care facilities
8 and remodeling campus buildings .............. 87,849
9 TRITON COMMUNITY COLLEGE - RIVER GROVE
10 For planning, site improvements, construction
11 and other expenses necessary for the
12 construction of an addition to the Learning
13 Resource Center .............................. 122,078
14 WILLIAM RAINEY HARPER COMMUNITY COLLEGE - PALATINE
15 (From Section 64 of Public Act 90-0550)
16 For constructing a Multi-purpose
17 Instructional Center and renovating
18 Building A Cafeteria ......................... 6,823,200
19 (From Article 94, Section 21 of Public Act 90-0010)
20 For planning, developing, and designing a
21 multi-purpose telecommunications
22 instructional delivery center ................ 114,792
23 STATEWIDE - CONSTRUCTION DEFECTS
24 For planning, construction and renovation
25 to correct defectively designed or
26 constructed community college facilities,
27 provided that monies recovered based upon
28 claims arising out of such defective design
29 or construction shall be paid to the state
30 as required by Section 105.12 of the Public
31 Community College Act as reimbursement for
32 monies expended pursuant to this
33 appropriation ................................ 1,529,813
34 Total, Section 19 $74,449,707
-102- BOB-CAPITAL99
1 Section 19A. The sum of $5,008,000, or so much thereof
2 as may be necessary and remains unexpended at the close of
3 business on June 30, 1998, from an appropriation heretofore
4 made for such purposes in Section 67 of Public Act 90-0550,
5 is reappropriated from the Capital Development Fund to the
6 Capital Development Board for the Illinois Community College
7 Board for miscellaneous capital improvements including
8 construction, reconstruction, remodeling, improvement, repair
9 and installation of capital facilities, cost of planning,
10 supplies, equipment, materials, services and all other
11 expenses required to complete the work at the various
12 community colleges. This appropriation shall be in addition
13 to any other appropriated amounts which can be expended for
14 these purposes.
15 Section 19B. The sum of $8,608,805, or so much thereof
16 as may be necessary and remains unexpended at the close of
17 business on June 30, 1998, from an appropriation heretofore
18 made for such purposes in Article 94, Section 21B of Public
19 Act 90-0010, is reappropriated from the Capital Development
20 Fund to the Capital Development Board for the Illinois
21 Community College Board for miscellaneous capital
22 improvements including construction, reconstruction,
23 remodeling, improvement, repair and installation of capital
24 facilities, cost of planning, supplies, equipment, materials,
25 services and all other expenses required to complete the work
26 at the various community colleges. This appropriation shall
27 be in addition to any other appropriated amounts which can be
28 expended for these purposes.
29 Section 19C. The sum of $2,919,369, or so much thereof
30 as may be necessary and remains unexpended at the close of
31 business on June 30, 1998, from reappropriations heretofore
32 made for such purposes in Article 94, Section 21.1 of Public
-103- BOB-CAPITAL99
1 Act 90-0010, is reappropriated from the Capital Development
2 Fund to the Capital Development Board for the Illinois
3 Community College Board for grants to community colleges for
4 miscellaneous capital improvements including construction,
5 reconstruction, remodeling, improvements, repair and
6 installation of capital facilities, cost of planning,
7 supplies, equipment, materials, services, and all other
8 expenses required to complete the work. This appropriation
9 shall be in addition to any other appropriated amounts which
10 can be expended for these purposes.
11 Section 20. The following named amounts, or so much
12 thereof as may be necessary and remain unexpended at the
13 close of business on June 30, 1998, from appropriations and
14 reappropriations heretofore made for such purposes in Section
15 65 of Public Act 90-0550, and Article 94, Sections 22 and 22A
16 of Public Act 90-0010, are reappropriated from the Capital
17 Development Fund to the Capital Development Board for the
18 Board of Higher Education for the projects hereinafter
19 enumerated:
20 CHICAGO STATE UNIVERSITY
21 (From Section 65 of Public Act 90-0550)
22 For renovating buildings and upgrading
23 mechanical systems ........................... $ 3,300,000
24 (From Article 94, Section 22A of Public Act 90-0010)
25 For renovating campus buildings and
26 upgrading mechanical systems ................. 2,432,200
27 (From Article 94, Section 22 of Public Act 90-0010)
28 For providing campus health and safety
29 improvements ................................. 133,815
30 For remodeling the Cook Administration
31 Building ..................................... 12,128
32 EASTERN ILLINOIS UNIVERSITY
33 (From Section 65 of Public Act 90-0550)
-104- BOB-CAPITAL99
1 For constructing an addition and
2 renovating Booth Library ..................... 16,764,500
3 (From Article 94, Section 22A of Public Act 90-0010)
4 For planning an addition and renovation
5 of Booth Library ............................. 1,000,000
6 (From Article 94, Section 22 of Public Act 90-0010)
7 For construction of an addition and
8 remodeling Buzzard Building .................. 495,433
9 For upgrading the energy management system
10 and HVAC systems and installation of a chilled
11 water loop between various buildings ......... 623,355
12 For completing conversion to a coal-fired
13 power plant .................................. 79,503
14 For completion of the construction and
15 renovation of the heating system ............. 37,703
16 For planning, equipment, site improvements,
17 construction and renovation of the heating
18 system to restore coal burning capability .... 30,429
19 GOVERNORS STATE UNIVERSITY - PARK FOREST
20 (From Article 94, Section 22A of Public Act 90-0010)
21 For upgrading and replacing cooling
22 and refrigeration systems and
23 equipment .................................... 2,299,400
24 (From Article 94, Section 22 of Public Act 90-0010)
25 For renovation of the main building ............ 422,825
26 For remodeling Main Building ................... 346,063
27 For replacement of the main building roof
28 and renovation of the interior of the
29 main building ................................ 541,923
30 For renovation of the main building ............ 237,761
31 For remodeling the main building ............... 175,007
32 NORTHEASTERN ILLINOIS UNIVERSITY - CHICAGO
33 (From Section 65 of Public Act 90-0550)
34 For renovating the auditorium in
-105- BOB-CAPITAL99
1 Building E ................................... 7,156,700
2 (From Article 94, Section 22 of Public Act 90-0010)
3 For upgrading the boilers and related
4 control systems .............................. 82,232
5 For fire safety modifications at the
6 facility ..................................... 1,349,273
7 For renovation of Buildings E, F, and
8 the auditorium, and demolition and
9 replacement of Buildings G, J and M,
10 in addition to amounts previously
11 appropriated ................................. 8,532,437
12 For remodeling the library ..................... 171,978
13 NORTHERN ILLINOIS UNIVERSITY - DEKALB
14 (From Section 65 of Public Act 90-0550)
15 For renovating Altgeld Hall and
16 purchasing equipment ......................... 19,150,400
17 SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE
18 (From Article 94, Section 22A of Public Act 90-0010)
19 For site improvements and purchasing
20 equipment for the Engineering and
21 Technology Building .......................... 757,426
22 For planning addition, remodeling and
23 upgrading the HVAC system in Altgeld Hall .... 574,000
24 SOUTHERN ILLINOIS UNIVERSITY - EDWARDSVILLE
25 For construction of the Engineering Facility
26 building and related site improvements ....... 21,161,358
27 UNIVERSITY OF ILLINOIS - SPRINGFIELD
28 For completion of access road improvements,
29 including all costs associated with
30 a connection to 11th Street .................. 451,600
31 UNIVERSITY OF ILLINOIS - CHICAGO
32 For the renovation of the court area and
33 Lecture Center, in addition to funds
34 previously appropriated ...................... 5,887,400
-106- BOB-CAPITAL99
1 UNIVERSITY OF ILLINOIS - CHAMPAIGN
2 (From Section 65 of Public Act 90-0550)
3 For constructing an Agricultural
4 Library ...................................... 9,500,000
5 (From Article 94, Section 22A of Public Act 90-0010)
6 For completion of campus flood control ......... 6,000,000
7 WESTERN ILLINOIS UNIVERSITY - MACOMB
8 For remodeling Horrabin Hall and
9 beginning to convert Simpkins Hall
10 gymnasium and adjacent areas into
11 a performing arts facility ................... 2,309,300
12 (From Article 94, Section 22 of Public Act 90-0010)
13 For renovation of Knoblauch Hall ............... 115,195
14 For construction of a steam and electrical
15 utility tunnel ............................... 212,459
16 WESTERN ILLINOIS UNIVERSITY - ROCK ISLAND COUNTY
17 For purchasing land and a building and
18 converting to an educational center .......... 216,284
19 Total, Section 20 $112,560,087
20 Section 20.1. The sum of $780,729, or so much thereof as
21 may be necessary and remains unexpended at the close of
22 business on June 30, 1998, from a reappropriation heretofore
23 made for such purposes in Article 94, Section 22.1 of Public
24 Act 90-0010, is reappropriated from the Capital Development
25 Fund to the Capital Development Board for the Board of Higher
26 Education for miscellaneous capital improvements including
27 construction, reconstruction, remodeling, improvement, repair
28 and installation of capital facilities, cost of planning,
29 supplies, equipment, materials, services and all other
30 expenses required for completing the the work at the colleges
31 and universities. This appropriation shall be in addition to
32 any other appropriated amounts which can be expended for
33 these purposes.
-107- BOB-CAPITAL99
1 Section 20.2. The following named amounts, or so much
2 thereof as may be necessary and remain unexpended at the
3 close of business on June 30, 1998, from reappropriations
4 heretofore made for such purposes in Article 94, Section 22.2
5 of Public Act 90-0010, are reappropriated from the Capital
6 Development Fund to the Capital Development Board for the
7 Board of Higher Education for miscellaneous capital
8 improvements including construction, reconstruction,
9 remodeling, improvement, repair and installation of capital
10 facilities, cost of planning, supplies, equipment, materials,
11 services and all other expenses required to complete the work
12 at the colleges and universities hereinafter enumerated. This
13 appropriation shall be in addition to any other appropriated
14 amounts which can be expended for these purposes:
15 Eastern Illinois University .................. $ 24,385
16 Northeastern Illinois University ............. 342,532
17 Western Illinois University .................. 487,936
18 Total, Section 20.2 $854,853
19 Section 20.3. The sum of $14,992,000, or so much thereof
20 as may be necessary and remains unexpended at the close of
21 business on June 30, 1998, from an appropriation heretofore
22 made for such purposes in Section 66 of Public Act 90-0550,
23 is reappropriated from the Capital Development Fund to the
24 Capital Development Board for the Board of Higher Education
25 for miscellaneous capital improvements, including
26 construction, reconstruction, remodeling, improvement, repair
27 and installation of capital facilities, cost of planning,
28 supplies, equipment, materials, services and all other
29 expenses required to complete the work at the various
30 universities set forth below. This appropriation shall be in
31 addition to any other appropriated amounts which can be
32 expended for these purposes.
33 For Chicago State University ......... 301,400
-108- BOB-CAPITAL99
1 For Eastern Illinois University ...... 564,100
2 For Governors State University ....... 181,600
3 For Illinois State University ...... 1,150,600
4 For Northeastern Illinois University . 423,700
5 For Northern Illinois University ... 1,287,700
6 For Western Illinois University ...... 862,400
7 For Southern Illinois University -
8 Carbondale ........................ 1,991,500
9 For Southern Illinois University -
10 Edwardsville ........................ 751,500
11 For University of Illinois -
12 Chicago ........................... 3,280,400
13 For University of Illinois -
14 Springfield ......................... 216,800
15 For University of Illinois -
16 Urbana-Champaign .................. 3,980,300
17 Section 21. The following named amounts, or so much
18 thereof as may be necessary and remain unexpended at the
19 close of business on June 30, 1998, from reappropriations
20 heretofore made for such purposes in Article 94, Section 23
21 of Public Act 90-0010, are reappropriated from the Capital
22 Development Fund to the Capital Development Board for the
23 Board of Higher Education for the projects hereinafter
24 enumerated:
25 ILLINOIS STATE UNIVERSITY - NORMAL
26 For construction of science laboratory
27 facilities ................................... $ 661,772
28 NORTHERN ILLINOIS UNIVERSITY
29 For upgrading the storm waterway controls
30 and campus drives ............................ 1,030,289
31 For construction of tunnels and installation
32 of utility piping ............................ 47,604
33 For renovation of heating plants and the
-109- BOB-CAPITAL99
1 HVAC system .................................. 145,230
2 NORTHERN ILLINOIS UNIVERSITY - ROCKFORD
3 For construction of the Rockford Center
4 facilities ................................... 35,982
5 Total, Section 21 $1,920,877
6 Section 21.1. The sum of $2,289,030, or so much thereof
7 as may be necessary and remains unexpended at the close of
8 business on June 30, 1998, from a reappropriation heretofore
9 made for such purposes in Article 94, Section 23.1 of Public
10 Act 90-0010, is reappropriated from the Capital Development
11 Fund to the Capital Development Board for the Board of Higher
12 Education for miscellaneous capital improvements, including
13 construction, reconstruction, remodeling, improvement, repair
14 and installation of capital facilities, cost of planning,
15 supplies, equipment, materials, services and all other
16 expenses required for completing the the work at the colleges
17 and universities. This appropriation shall be in addition to
18 any other appropriated amounts which can be expended for
19 these purposes.
20 Section 21.2. The following named amounts, or so much
21 thereof as may be necessary and remain unexpended at the
22 close of business on June 30, 1998, from reappropriations
23 heretofore made for such purposes in Article 94, Section 23.2
24 of Public Act 90-0010, are reappropriated from the Capital
25 Development Fund to the Capital Development Board for the
26 Board of Higher Education for miscellaneous capital
27 improvements, including construction, reconstruction,
28 remodeling, improvements, repair and installation of capital
29 facilities, cost of planning, supplies, equipment, materials,
30 services, and all other expenses required to complete the
31 work at the colleges and universities hereinafter enumerated.
32 This appropriation shall be in addition to any other
-110- BOB-CAPITAL99
1 appropriated amounts which can be expended for these
2 purposes:
3 Illinois State University ...................... $ 87,560
4 Northern Illinois University ................... 1,230,379
5 Total, Section 21.2 $1,317,939
6 Section 21.3. The sum of $21,156, or so much thereof as
7 may be necessary and remains unexpended at the close of
8 business on June 30, 1998, from a reappropriation heretofore
9 made for such purposes in Article 94, Section 23.3 of Public
10 Act 90-0010, is reappropriated from the Capital Development
11 Fund to the Capital Development Board for the Board of Higher
12 Education for Northern Illinois University, for the planning,
13 architectural engineering, purchase, site improvements and
14 construction or remodeling of a site in Rockford for use as a
15 campus.
16 Section 21.4. The following named amounts, or so much
17 thereof as may be necessary, and remain unexpended at the
18 close of business on June 30, 1998, from appropriations
19 heretofore made for such purposes in Article 94, Section 23.4
20 of Public Act 90-0010, are reappropriated from the Capital
21 Development Fund to the Capital Development Board for the
22 Board of Higher Education for miscellaneous capital
23 improvements including construction, reconstruction,
24 remodeling, improvement, repair and installation of capital
25 facilities, cost of planning, supplies, equipment, materials,
26 services and all other expenses required to complete the work
27 at the various universities set forth below. This
28 appropriation shall be in addition to any other appropriated
29 amounts which can be expended for these purposes.
30 For Chicago State University ................. $ 525,000
31 For Eastern Illinois University .............. 980,000
32 For Governors State University ............... 315,000
-111- BOB-CAPITAL99
1 For Illinois State University ................ 2,030,000
2 For Northeastern Illinois University ......... 735,000
3 For Northern Illinois University ............. 2,240,000
4 For Southern Illinois University ............. 4,081,014
5 For University of Illinois ................... 10,931,488
6 For Western Illinois University .............. 1,505,000
7 Total, Section 21.4 $23,342,502
8 Section 22. The following named amounts, or so much
9 thereof as may be necessary and remain unexpended at the
10 close of business on June 30, 1998, from reappropriations
11 heretofore made for such purposes in Article 94, Section 24
12 of Public Act 90-0010, are reappropriated from the Capital
13 Development Fund to the Capital Development Board for the
14 Board of Trustees of Southern Illinois University for the
15 projects hereinafter enumerated:
16 CARBONDALE CAMPUS
17 For construction of an engineering building
18 annex ........................................ $ 109,585
19 For construction of an environmental control
20 and hazardous waste management facility ...... 52,426
21 For remodeling the Communications Building ..... 16,901
22 EDWARDSVILLE CAMPUS
23 For replacement of the high temperature water
24 distribution system .......................... 188,842
25 For infrastructure, site development, and
26 other necessary costs associated with
27 the development of University Park ........... 10,044
28 For costs associated with the consolidation
29 of the music facilities ...................... 25,010
30 For planning and construction of an Art and
31 Design Facility .............................. 25,089
32 Total, Section 22 $427,897
-112- BOB-CAPITAL99
1 Section 22.1. The sum of $1,559,919, or so much thereof
2 as may be necessary and remains unexpended at the close of
3 business on June 30, 1998, from a reappropriation heretofore
4 made for such purposes in Article 94, Section 24.1 of Public
5 Act 90-0010, is reappropriated from the Capital Development
6 Fund to the Capital Development Board for Southern Illinois
7 University for miscellaneous capital improvements including
8 construction, reconstruction, remodeling, improvements,
9 repair and installation of capital facilities, cost of
10 planning, supplies, equipment, materials, services, and all
11 other expenses required to complete the work. This
12 appropriation shall be in addition to any other appropriated
13 amounts which can be expended for these purposes.
14 Section 23. The following named amounts, or so much
15 thereof as may be necessary and remain unexpended at the
16 close of business on June 30, 1998, from reappropriations
17 heretofore made for such purposes in Article 94, Section 25
18 of Public Act 90-0010, are reappropriated from the Capital
19 Development Fund to the Capital Development Board for the
20 Board of Trustees of the University of Illinois for the
21 projects hereinafter enumerated:
22 UNIVERSITY CENTER - CHICAGO
23 For construction and all other costs
24 necessary for site development and
25 utilities systems extensions, upgrades and
26 modifications for a new Molecular Biology
27 Building in addition to any other amounts
28 previously appropriated ...................... $ 11,654
29 For remodeling Alumni Hall, Phase II,
30 including utilities .......................... 560,186
31 For construction of an instruction and
32 research facility for the College of
33 Engineering .................................. 21,270
-113- BOB-CAPITAL99
1 HEALTH SCIENCE CENTER
2 For remodeling the Neuropsychiatric
3 Institute .................................... 1,353,712
4 For planning the upgrade of the ventilating
5 and air conditioning systems in the
6 Pharmacy Building ............................ 23,605
7 URBANA-CHAMPAIGN CAMPUS
8 For initiating a campus flood
9 control project .............................. 1,867,692
10 For construction of a special materials
11 storage facility, including equipment ........ 73,272
12 Total, Section 23 $3,911,391
13 Section 23.1. The sum of $6,276,708, or so much thereof
14 as may be necessary and remains unexpended at the close of
15 business on June 30, 1998, from a reappropriation heretofore
16 made for such purposes in Article 94, Section 25.1 of Public
17 Act 90-0010, is reappropriated from the Capital Development
18 Fund to the Capital Development Board for the Board of
19 Trustees of the University of Illinois for miscellaneous
20 capital improvements including construction, reconstruction,
21 remodeling, improvement, repair and installation of capital
22 facilities, cost of planning, supplies, equipment, materials,
23 services and all other expenses required for completing the
24 work at the colleges and universities. This appropriation
25 shall be in addition to any other appropriated amounts which
26 can be expended for these purposes.
27 Section 23.2. The following named amount, or so much
28 thereof as may be necessary and remains unexpended at the
29 close of business on June 30, 1998, from a reappropriation
30 heretofore made for such purposes in Article 94, Section 25.2
31 of Public Act 90-0010, is reappropriated from the General
32 Revenue Fund to the Capital Development Board for the Board
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1 of Trustees of the University of Illinois for the project
2 hereinafter enumerated:
3 HEALTH SCIENCE CENTER - CHICAGO
4 For energy conservation improvements at
5 Taylor Street Hospital, the College of
6 Pharmacy Building, and the Clinical
7 Science Building ............................. $ 24,780
8 Total, Section 23.2 $24,780
9 Section 23.3. The sum of $4,500,000, or so much thereof
10 as may be necessary and remains unexpended at the close of
11 business on June 30, 1998, from a reappropriation heretofore
12 made for such purposes in Article 94, Section 9 of Public Act
13 90-0010, is reappropriated from the Capital Development Fund
14 to the Capital Development Board for the Board of Trustees of
15 the University of Illinois (formerly for the Department of
16 Human Services) for renovation of the ISPI building.
17 Section 24. The following named amounts, or so much
18 thereof as may be necessary, and remain unexpended at the
19 close of business on June 30, 1998, from appropriation and
20 reappropriations heretofore made for such purposes in Article
21 94, Sections 22A, 22.3, 24.2, and 25.3 of Public Act 90-0010,
22 are reappropriated from the Capital Development Fund to the
23 following Universities (formerly to the Capital Development
24 Board for the Universities) for the projects hereinafter
25 enumerated:
26 (From Article 94, Section 22.3 of Public Act 90-0010)
27 EASTERN ILLINOIS UNIVERSITY
28 For purchasing Buzzard Building equipment ...... 37,854
29 (From Article 94, Section 22A of Public Act 90-0010)
30 ILLINOIS STATE UNIVERSITY - NORMAL
31 For purchasing equipment for
32 the Science Laboratory building .............. 1,534,723
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1 (From Article 94, Section 22A of Public Act 90-0010)
2 NORTHEASTERN ILLINOIS UNIVERSITY - CHICAGO
3 For purchasing equipment
4 for the Fine Arts Complex .................... 4,000,000
5 (From Article 94, Section 22.3 of Public Act 90-0010)
6 NORTHERN ILLINOIS UNIVERSITY
7 For purchasing Engineering
8 Building equipment ........................... 65,525
9 (From Article 94, Section 24.2 of Public Act 90-0010)
10 SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE
11 For purchasing Bio-Science building
12 equipment .................................... 38,836
13 (From Article 94, Section 25.3 of Public Act 90-0010)
14 UNIVERSITY OF ILLINOIS - URBANA-CHAMPAIGN
15 For purchasing equipment for Temple
16 Hoyne Buell Hall ............................. 154,413
17 Total, Section 24 $5,831,351
18 Section 25. In addition to any amounts heretofore
19 appropriated for such purposes, the sum of $4,576, or so much
20 thereof as may be necessary and remains unexpended at the
21 close of business on June 30, 1998, from a reappropriation
22 heretofore made for such purposes in Article 94, Section 26
23 of Public Act 90-0010, is reappropriated from the Capital
24 Development Fund to the Secretary of State for planning,
25 remodeling, relocation, permanent equipment, and any other
26 related expenses, including architectural and engineering
27 fees associated with construction and remodeling of office
28 space and other support areas under the jurisdiction of the
29 House of Representatives, and to various legislative services
30 agencies in both the Capitol and Stratton Office Buildings.
31 Section 26. In addition to any amounts heretofore
32 appropriated for such purposes, the sum of $4,802, or so much
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1 thereof as may be necessary and remains unexpended at the
2 close of business on June 30, 1998 from a reappropriation
3 heretofore made for such purposes in Article 94, Section 27
4 of Public Act 90-0010, is reappropriated from the Capital
5 Development Fund to the Space Needs Commission for planning,
6 remodeling, relocation, permanent equipment, and any other
7 related expenses, including architectural and engineering
8 fees associated with construction of a non-sectarian
9 meditation room in the Capitol Office Building.
10 Section 27. No contract shall be entered into or
11 obligation incurred for any expenditures from appropriations
12 made in this Article until after the purposes and amounts
13 have been approved in writing by the Governor.
14 ARTICLE 3
15 Division A. The reappropriations in this Division
16 continue certain appropriations initially made for the fiscal
17 year beginning July 1, 1996, for the purposes of the Build
18 Illinois Program as set forth below.
19 Section 5. The sum of $1,000,000, or so much thereof as
20 may be necessary and remains unexpended on June 30, 1998,
21 from appropriations heretofore made for such purposes in
22 Section 5 of Public Act 90-0010, Article 95, is
23 reappropriated to the Department of Natural Resources from
24 the Build Illinois Bond Fund for expenditure by the Division
25 of Water Resources for infrastructure improvements to the
26 Wood Dale/Itasca Reservoir.
27 Section 7. The sum of $406,824, or so much thereof as
28 may be necessary and remains unexpended on June 30, 1998 from
29 appropriations made for such purposes in Section 7 of Public
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1 Act 90-0010, Article 95, is reappropriated to the Department
2 of Natural Resources from the Build Illinois Bond Fund for
3 expenditure by the Division of Water Resources for
4 infrastructure repairs of the Batavia Dam in Batavia,
5 Illinois.
6 Section 8. The sum of $250,000, or so much thereof as
7 may be necessary and remains unexpended on June 30, 1998,
8 from appropriations heretofore made for such purposes in
9 Section 8 of Public Act 90-0010, Article 95, is
10 reappropriated to the Illinois Department of Natural
11 Resources from the Build Illinois Bond Fund for access road
12 improvements at Eagle Creek State Park.
13 Section 14. The sum of $60,000, or so much thereof as
14 may be necessary and remains unexpended on June 30, 1998,
15 from appropriations heretofore made for such purposes in
16 Section 14 of Public Act 90-0010, Article 95, is
17 reappropriated to the Environmental Protection Agency from
18 the Build Illinois Bond Fund for a grant to the Village of
19 Pecatonica for a water tower.
20 Section 15. The sum of $379,384, or so much thereof as
21 may be necessary and remains unexpended on June 30, 1998,
22 from appropriations heretofore made for such purposes in
23 Section 15 of Public Act 90-0010, Article 95, is
24 reappropriated to the Environmental Protection Agency from
25 the Build Illinois Bond Fund for a grant to the Village of
26 Maple Park for infrastructure improvements.
27 Section 16. The sum of $200,000, or so much thereof as
28 may be necessary and remains unexpended on June 30, 1998,
29 from the appropriations heretofore made for such purposes in
30 Section 16 of Public Act 90-0010, Article 95, is
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1 reappropriated to the Environmental Protection Agency from
2 the Build Illinois Bond Fund for a grant to the Village of
3 Homer for infrastructure improvements.
4 Section 21. The sum of $250,000, or so much thereof as
5 may be necessary and remains unexpended on June 30, 1998,
6 from appropriations heretofore made for such purposes in
7 Section 21 of Public Act 90-0010, Article 95, is
8 reappropriated from the Build Illinois Bond Fund to the
9 Department of Natural Resources for rehabilitation of the
10 concession building and other park improvements at Johnson
11 Sauk Trail State Park in Henry County.
12 Section 32. The sum of $1,500,000, or so much thereof as
13 may be necessary and remains unexpended on June 30, 1998,
14 from appropriations heretofore made for such purposes in
15 Section 32 of Public Act 90-0010, Article 95, is
16 reappropriated from the Build Illinois Bond Fund to the
17 Department of Natural Resources for all costs associated with
18 flood control projects for the DuPage County Forest Preserve
19 District.
20 Section 33. The sum of $1,000,000, or so much thereof as
21 may be necessary and remains unexpended on June 30, 1998,
22 from appropriations heretofore made for such purposes in
23 Section 33 of Public Act 90-0010, Article 95, is
24 reappropriated from the Build Illinois Bond Fund to the
25 Capital Development Board for the state match for planning
26 for construction of the Ag Library at the University of
27 Illinois.
28 Section 34. The sum of $150,000, or so much thereof as
29 may be necessary and remains unexpended on June 30, 1998,
30 from appropriations heretofore made for such purposes in
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1 Section 34 of Public Act 90-0010, Article 95, is
2 reappropriated from the Build Illinois Bond Fund to the
3 Illinois Environmental Protection Agency for all costs
4 associated with waste water and drinking water systems
5 development and improvements in the Village of LaGrange Park.
6 Section 36. The sum of $1,100,000, or so much thereof as
7 may be necessary and remains unexpended on June 30, 1998,
8 from appropriations heretofore made for such purposes in
9 Section 36 of Public Act 90-0010, Article 95, is
10 reappropriated from the Build Illinois Bond Fund to the
11 Illinois Environmental Protection Agency for a grant to the
12 Fox River Water Reclamation District for improvements for the
13 South Plant, the Skyline Treatment Plant and the Skyline
14 Water Plant.
15 Division B. The reappropriation in this Division
16 continues an appropriation initially made for the fiscal year
17 beginning July 1, 1997, for the purpose of the Build Illinois
18 Program as set forth below:
19 Section 32. The sum of $2,000,000, or so much thereof as
20 may be necessary and remains unexpended on June 30, 1998,
21 from an appropriation heretofore made for such purpose in
22 Section 32 of Public Act 90-0550, is reappropriated to the
23 Capital Development Board from the Build Illinois Bond Fund
24 to plan for a medical school replacement at the University of
25 Illinois at Chicago.
26 Division II. The reappropriations in this Division
27 continue certain appropriations initially made for the fiscal
28 year beginning July 1, 1995, for the purpose of the Build
29 Illinois program set forth below.
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1 Section 1-2. The amount of $450,000, or so much thereof
2 as may be necessary and remains unexpended on June 30, 1998,
3 from appropriations heretofore made for such purposes in
4 Article 95, Section 1-2 of Public Act 90-0010, is
5 reappropriated from the Build Illinois Bond Fund to the
6 Department of Natural Resources for a grant to the DuPage
7 County Forest Preserve District for dredging the Salt Creek
8 at the Fullersburg Dam.
9 Section 1-9. The amount of $500,000, or so much thereof
10 as may be necessary and remains unexpended on June 30, 1998,
11 from appropriations heretofore made for such purposes in
12 Article 95, Section 1-9 of Public Act 90-0010, is
13 reappropriated from the Build Illinois Bond Fund to the
14 Environmental Protection Agency for a grant to the Fox River
15 Water Reclamation District for improvements for the South
16 Plant, the Skyline Treatment Plant and the Skyline Water
17 Plant.
18 Section 1-10. The amount of $500,000, or so much thereof
19 as may be necessary and remains unexpended on June 30, 1998,
20 from appropriations heretofore made for such purposes in
21 Article 95, Section 1-10 of Public Act 90-0010, is
22 reappropriated from the Build Illinois Bond Fund to the
23 Department of Natural Resources for phase one construction of
24 a Visitors' Center at Kline Creek Farms in conjunction with
25 the DuPage County Forest Preserve District
26 Division III. The reappropriations in this Division
27 continue certain appropriations initially made for the fiscal
28 year beginning July 1, 1990, for the purposes of the Build
29 Illinois Program as set forth below.
30 Section 2-6. The following named amounts, or so much
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1 thereof as may be necessary, and remain unexpended on June
2 30, 1998 from appropriations heretofore made for such
3 purposes in Article 95, Section 2-6 of Public Act 90-0010,
4 are reappropriated from the Build Illinois Bond Fund to the
5 Capital Development Board for the Board of Higher Education
6 for the projects hereinafter enumerated:
7 NORTHERN ILLINOIS UNIVERSITY - DEKALB
8 To construct and equip the Engineering
9 Building ..................................... $ 149,355
10 To purchase equipment and complete
11 construction for Faraday Hall Addition ....... 190,678
12 Total, Build Illinois Bond Fund $340,033
13 Section 2-7. The following named amounts, or so much
14 thereof as may be necessary, and remain unexpended on June
15 30, 1998 from appropriations heretofore made for such
16 purposes in Article 95, Section 2-7 of Public Act 90-0010,
17 are reappropriated from the Build Illinois Bond Fund to the
18 Capital Development Board for Southern Illinois University
19 for the projects hereinafter enumerated:
20 SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE
21 To construct an addition and remodel the
22 existing Steam Plant ......................... $ 262,345
23 To construct and equip the Biological
24 Sciences Facilities .......................... 849,444
25 Total, Build Illinois Bond Fund $1,111,789
26 Section 2-8. The following named amounts, or so much
27 thereof as may be necessary, and remain unexpended on June
28 30, 1998 from appropriations heretofore made for such
29 purposes in Article 95, Section 2-8 of Public Act 90-0010,
30 are reappropriated from the Build Illinois Bond Fund to the
31 Capital Development Board for the University of Illinois for
32 the projects hereinafter enumerated:
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1 UNIVERSITY OF ILLINOIS URBANA-CHAMPAIGN
2 To construct and equip the Chemical and Life
3 Sciences Building ............................$ 252,522
4 Section 2-19B. The following named amount, or so much
5 thereof as may be necessary and remain unexpended on June 30,
6 1998 from appropriations heretofore made for such purposes in
7 Article 95, Section 2-19B of Public Act 90-0010, is
8 reappropriated from the Build Illinois Bond Fund to the
9 Capital Development Board for the Board of Higher Education
10 for the project hereinafter enumerated:
11 NORTHEASTERN ILLINOIS UNIVERSITY - CHICAGO
12 For repair of exterior masonry walls
13 and replacement of the roof on the
14 Science Building ..............................$ 286,004
15 Section 2-20.1. The following named amounts, or so much
16 thereof as may be necessary, and remain unexpended on June
17 30, 1998 from appropriations heretofore made for such
18 purposes in Article 95, Section 2-20.1 of Public Act 90-0010,
19 are reappropriated from the Build Illinois Bond Fund to the
20 Capital Development Board for the Board of Higher Education
21 for the projects hereinafter enumerated:
22 NORTHERN ILLINOIS UNIVERSITY - DE KALB
23 For construction of the Engineering Building
24 including extension of utilities, in
25 addition to funds previously appropriated
26 for such purpose ...............................$ 86,716
27 Section 2-21A. The following named amounts, or so much
28 thereof as may be necessary, and remain unexpended on June
29 30, 1998 from appropriations heretofore made for such
30 purposes in Article 95, Section 2-21A of Public Act 90-0010,
31 are reappropriated from the Build Illinois Bond Fund to the
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1 Capital Development Board for Southern Illinois University
2 for the projects hereinafter enumerated:
3 SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE
4 For construction and all other costs
5 necessary for an addition and remodeling
6 of the existing steam plant, in addition to
7 funds previously appropriated for such
8 purpose .......................................$ 245,423
9 Division IV. The reappropriations in this Division
10 continue certain appropriations initially made for the fiscal
11 year beginning July 1, 1989, for the purpose of the Build
12 Illinois Program set forth below.
13 Section 3-1.2a. The amount of $1,000,000, or so much
14 thereof as may be necessary and remains unexpended on June
15 30, 1998, from appropriations heretofore made for such
16 purposes in Article 95, Section 3-1.2a of Public Act 90-0010,
17 is reappropriated from the Build Illinois Purposes Fund to
18 the Department of Commerce and Community Affairs for loans
19 and grants to units of local government for infrastructure
20 improvements.
21 Section 3-1.3. The following named amounts, or so much
22 thereof as may be necessary and remain unexpended on June 30,
23 1998, from appropriations heretofore made for such purposes
24 in Article 95, Section 3-1.3 of Public Act 90-0010, are
25 reappropriated from the Build Illinois Bond Fund to the
26 Department of Transportation for land acquisition,
27 engineering, and contract costs for construction,
28 reconstruction, extension, and improvement of State highways.
29 FAP 412 (U.S. 51)............................$ 389,507
30 Section 3-1.12b. The following named amounts, or so much
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1 thereof as may be necessary, and remain unexpended on June
2 30, 1998 from appropriations heretofore made for such
3 purposes in Article 95, Section 3-1.12b of Public Act
4 90-0010, are reappropriated from the Build Illinois Bond Fund
5 to the Capital Development Board for the Board of Higher
6 Education for the projects hereinafter enumerated:
7 NORTHERN ILLINOIS UNIVERSITY - DE KALB
8 To construct an addition to Faraday Hall ........$ 757,625
9 Section 3-1.13. The following named amounts, or so much
10 thereof as may be necessary, and remain unexpended on June
11 30, 1998 from appropriations heretofore made for such
12 purposes in Article 95, Section 3-1.13 of Public Act 90-0010,
13 are reappropriated from the Build Illinois Bond Fund to the
14 Capital Development Board for University of Illinois for the
15 project hereinafter enumerated:
16 UNIVERSITY OF ILLINOIS - URBANA
17 To remodel Noyes Laboratory ......................$ 43,853
18 Section 3-6.2a. The amount of $500,000, or so much
19 thereof as may be necessary and remains unexpended on June
20 30, 1998, from appropriations heretofore made for such
21 purposes in Section 3-6.2a of Public Act 90-0010, Article 95,
22 is reappropriated from the Build Illinois Purposes Fund to
23 the Department of Commerce and Community Affairs for a grant
24 to the City of Chicago for infrastructure improvements and
25 large equipment purchase at the Crawford Industrial Park
26 located at 47th Street and Pulaski Road.
27 Section 3-6.2e. The amount of $20,400, or so much
28 thereof as may be necessary and remains unexpended on June
29 30, 1998, from appropriations heretofore made for such
30 purposes in Section 3-6.2e of Public Act 90-0010, Article 95,
31 is reappropriated from the Build Illinois Bond Fund to the
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1 Secretary of State for making grants to the City of Chicago
2 for planning, construction, reconstruction, rehabilitation,
3 and all necessary costs for the following branches of the
4 Chicago Public Library at the approximate costs set forth
5 below:
6 North Austin Branch Library ................ $ 1,150,025
7 Legler Library ............................. 26,886
8 Auburn/Hamilton Park Library ............... 879,056
9 Near West Side Branch Library .............. 1,136,419
10 Carter G. Woodson Regional Library ......... 68,696
11 Clearing Branch Library .................... 258,398
12 McKinley Park Branch Library ............... 829,124
13 South Chicago Branch Library ............... 551,657
14 North Pulaski/Humboldt Library ............. 2,753,474
15 Roosevelt Branch ........................... 204,000
16 Rockwell Gardens Reading &
17 Study Center ............................. 0
18 Pullman Branch Library ..................... 632,063
19 Total $8,489,798
20 Section 3-6.2h. The amount of $63,340, or so much
21 thereof as may be necessary and remains unexpended on June
22 30, 1998, from appropriations heretofore made for such
23 purposes in Section 3-6.2h of Public Act 90-0010, Article 95,
24 is reappropriated from the Build Illinois Bond Fund to the
25 Department of Natural Resources for grants to units of local
26 governments as provided in the "Open Space Lands Acquisition
27 and Development Act."
28 Division V. The reappropriations in this Division
29 continue certain appropriations initially made for the fiscal
30 year beginning July 1, 1988, for the purposes of the Build
31 Illinois Program set forth below.
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1 Section 4-1.4. The amount of $104,000, or so much
2 thereof as may be necessary and remains unexpended on June
3 30, 1998, from appropriations heretofore made for such
4 purposes in Section 4-1.4 of Public Act 90-0010, Article 95,
5 is reappropriated from the Build Illinois Purposes Fund to
6 the Department of Commerce and Community Affairs for loans
7 and grants to units of local government for infrastructure
8 improvements.
9 Section 4-1.11. The following named amounts, or so much
10 thereof as may be necessary and remain unexpended on June 30,
11 1998, from appropriations heretofore made for such purposes
12 in Section 4-1.11 of Public Act 90-0010, Article 95, are
13 reappropriated from the Build Illinois Bond Fund to the
14 Department of Transportation for land acquisition,
15 engineering, and contract costs for construction,
16 reconstruction, extension, and improvement of State highways,
17 including bridges, structures separating highways and
18 railroads, rest areas, interchanges, and access roads to and
19 from any State or local highway and such other necessary or
20 appropriate purposes as provided by the "Illinois Highway
21 Code" as follows:
22 FAP 412 (U.S. 51)........................... $ 170,839
23 Access roads and interchanges .............. 1,093,282
24 Total $1,264,121
25 Section 4-1.13. The amount of $617,613, or so much
26 thereof as may be necessary and remains unexpended on June
27 30, 1998, from appropriations heretofore made for such
28 purposes in Section 4-1.13 of Public Act 90-0010, Article 95,
29 is reappropriated from the Build Illinois Bond Fund to the
30 Department of Natural Resources for the following projects at
31 the approximate costs set forth below:
32 Des Plaines Watershed Mitigation - Cook,
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1 DuPage, and Lake Counties - For
2 implementation of flood hazard mitigation
3 plans, developed in cooperation with units
4 of local government in the Des Plaines
5 Watershed, filed in accordance with Section
6 5 of the Flood Control Act of 1945, as
7 amended (Ill. Rev. Stat., Ch. 19, par.
8 126e) ..................................... $ 100,000
9 Indian Creek - Kane County - For implementation
10 of the Indian Creek flood control project
11 in Kane County in cooperation with the City
12 of Aurora ................................. 48,089
13 Midlothian Creek - Cook County - Improvement of
14 Midlothian Creek channel to provide flood
15 damage reduction for Fernway Subdivision in
16 cooperation with the Villages of Orland
17 Park and Tinley Park ...................... 469,524
18 Total $617,613
19 Division VI. The reappropriations in this Division
20 continue certain appropriations initially made for the fiscal
21 year beginning July 1, 1987, for the purposes of the Build
22 Illinois Program set forth below.
23 Section 5-1.10. The amount of $90,789, or so much
24 thereof as may be necessary and remains unexpended on June
25 30, 1998, from appropriations heretofore made for such
26 purposes in Section 5-1.10 of Public Act 90-0010, Article 95,
27 is reappropriated from the Build Illinois Purposes Fund to
28 the Department of Commerce and Community Affairs for loans
29 and grants to units of local government for infrastructure
30 improvements.
31 Section 5-1.11. The amount of $116,044, or so much
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1 thereof as may be necessary and remains unexpended on June
2 30, 1998, from appropriations heretofore made for such
3 purposes in Section 5-1.11 of Public Act 90-0010, Article 95,
4 is reappropriated from the Build Illinois Purposes Fund to
5 the Department of Commerce and Community Affairs for grants
6 and loans to establish and operate small business incubators
7 under the Small Business Incubator Program.
8 Section 5-1.16. The following named amounts, or so much
9 thereof as may be necessary and remain unexpended on June 30,
10 1998, from appropriations heretofore made for such purposes
11 in Section 5-1.16 of Public Act 90-0010, Article 95, are
12 reappropriated from the Build Illinois Bond Fund to the
13 Department of Transportation for land acquisition,
14 engineering and contract costs for construction,
15 reconstruction, extension and improvement of state highways,
16 including bridges, structures separating highways and
17 railroads, rest areas, interchanges, and access roads to and
18 from any state or local highway and such other necessary or
19 appropriate purposes as provided by the "Illinois Highway
20 Code" as follows:
21 Access roads, interchanges, and
22 rest areas....................................$ 426,953
23 Division VII. The Reappropriations in this Division
24 continue certain appropriations initially made for the fiscal
25 year beginning July 1, 1986, for the purposes of the Build
26 Illinois Program set forth below.
27 Section 6-1.13. The amount of $144,887, or so much
28 thereof as may be necessary and remains unexpended on June
29 30, 1998, from appropriations heretofore made for such
30 purposes in Section 6-1.13 of Public Act 90-0010, Article 95,
31 is reappropriated from the Build Illinois Bond Fund to the
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1 Environmental Protection Agency for making grants to units of
2 local government for the planning, design, construction,
3 rehabilitation and any other necessary costs for wastewater
4 treatment facilities and for plans, construction, repairs,
5 improvements and any other necessary costs for sewer and
6 water supply systems.
7 Section 6-1.16. The following named amounts, or so much
8 thereof as may be necessary and remain unexpended on June 30,
9 1998, from appropriations heretofore made for such purposes
10 in Section 6-1.16 of Public Act 90-0010, Article 95, are
11 reappropriated from the Build Illinois Bond Fund to the
12 Department of Transportation for land acquisition,
13 engineering and contract costs for construction,
14 reconstruction, extension and improvement of state highways,
15 including bridges, structures separating highways and
16 railroads, rest areas, interchanges, and access roads to and
17 from any state or local highway and such other necessary or
18 appropriate purposes as provided by the "Illinois Highway
19 Code" as follows:
20 FAP 412 (U.S. 51) ...........................$ 293,775
21 Section 6-1.21. The amount of $20,058, or so much
22 thereof as may be necessary and remains unexpended on June
23 30, 1998, from appropriations heretofore made for such
24 purposes in Section 6-1.21 of Public Act 90-0010, Article 95,
25 is reappropriated from the Build Illinois Bond Fund to the
26 Department of Natural Resources for costs associated with
27 drainage, flood control and related improvements.
28 Section 6-2.7. The amount of $425,000, or so much
29 thereof as may be necessary and remains unexpended on June
30 30, 1998, from appropriations heretofore made for such
31 purposes in Section 6-2.7 of Public Act 90-0010, Article 95,
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1 is reappropriated from the Build Illinois Bond Fund to the
2 Environmental Protection Agency for the planning and
3 improvement of a water system in Edinburg.
4 Section 6-2.8. The amount of $50,000, or so much thereof
5 as may be necessary and remains unexpended on June 30, 1998,
6 from appropriations heretofore made for such purposes in
7 Section 6-2.8 of Public Act 90-0010, Article 95, is
8 reappropriated from the Build Illinois Bond Fund to the
9 Environmental Protection Agency for the planning and
10 construction of a waterworks components system in the Village
11 of Elburn.
12 Section 6-2.14. The amount of $100,000, or so much
13 thereof as may be necessary and remains unexpended on June
14 30, 1998, from appropriations heretofore made for such
15 purposes in Section 6-2.14 of Public Act 90-0010, Article 95,
16 is reappropriated from the Build Illinois Bond Fund to the
17 Environmental Protection Agency for planning, design and
18 construction of Crystal Lake sewer.
19 Section 6-2.25. The amount of $310,000, or so much
20 thereof as may be necessary and remains unexpended on June
21 30, 1998, from appropriations heretofore made for such
22 purposes in Section 6-2.25 of Public Act 90-0010, Article 95,
23 is reappropriated from the Build Illinois Bond Fund to the
24 Environmental Protection Agency for a grant to the
25 Brookfield-North Riverside Water Commission, serving the
26 towns of Brookfield, North Riverside, La Grange Park, Lyons
27 and Riverside for water supply system improvements.
28 Section 6-2.27. The amount of $136,000, or so much
29 thereof as may be necessary and remains unexpended on June
30 30, 1998, from appropriations heretofore made for such
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1 purposes in Section 6-2.27 of Public Act 90-0010, Article 95,
2 is reappropriated from the Build Illinois Bond Fund to the
3 Department of Natural Resources for the design, construction
4 and land acquisition of a retention basin in East Chicago
5 Heights.
6 Section 6-3.22. The amount of $50,000, or so much
7 thereof as may be necessary and remains unexpended on June
8 30, 1998, from appropriations heretofore made for such
9 purposes in Section 6-3.22 of Public Act 90-0010, Article 95,
10 is reappropriated from the Build Illinois Bond Fund to the
11 Department of Natural Resources for the purpose of a grant to
12 the Rockford Park District for land acquisition and
13 development of a park near the Illinois Central train depot
14 in downtown Rockford.
15 Section 6-3.32. The amount of $140,000, or so much
16 thereof as may be necessary and remains unexpended on June
17 30, 1998, from appropriations heretofore made for such
18 purposes in Section 6-3.32 of Public Act 90-0010, Article 95,
19 is reappropriated from the Build Illinois Bond Fund to the
20 Department of Commerce and Community Affairs for the purpose
21 of a grant to the City of Elgin for extension of sewer lines
22 to the Northeast Subarea.
23 Section 6-4.3. The amount of $175,000, or so much
24 thereof as may be necessary and remains unexpended on June
25 30, 1998, from appropriations heretofore made for such
26 purposes in Section 6-4.3 of Public Act 90-0010, Article 95,
27 is reappropriated from the Build Illinois Bond Fund to the
28 Department of Commerce and Community Affairs for grants to
29 local governments for use in economic development,
30 revitalization and community development at the approximate
31 costs as set forth below:
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1 Melrose..................................... $ 50,000
2 Franklin Park............................... 50,000
3 Hillside.................................... 75,000
4 Total $175,000
5 Section 6-4.4. The amount of $49,500, or so much thereof
6 as may be necessary and remains unexpended on June 30, 1998,
7 from appropriations heretofore made for such purposes in
8 Section 6-4.4 of Public Act 90-0010, Article 95, is
9 reappropriated from the Build Illinois Purposes Fund to the
10 Department of Transportation for a grant to Canteen Township
11 in St. Clair County for road repairs.
12 Section 6-4.8. The amount of $198,000, or so much
13 thereof as may be necessary and remains unexpended on June
14 30, 1998, from appropriations heretofore made for such
15 purposes in Section 6-4.8 of Public Act 90-0010, Article 95,
16 is reappropriated from the Build Illinois Purposes Fund to
17 the Department of Natural Resources for a recreational and
18 flood control project and retention basin in the City of
19 Sycamore.
20 Section 6-4.18. The amount of $99,000, or so much
21 thereof as may be necessary and remains unexpended on June
22 30, 1998, from appropriations heretofore made for such
23 purposes in Section 6-4.18 of Public Act 90-0010, Article 95,
24 is reappropriated from the Build Illinois Purposes Fund to
25 the Department of Transportation for a grant to the Village
26 of Swansea to resurface local roads and repair and replace
27 gutters and curbs.
28 Section 6-4.28. The amount of $49,500, or so much
29 thereof as may be necessary and remains unexpended on June
30 30, 1998, from appropriations heretofore made for such
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1 purposes in Section 6-4.28 of Public Act 90-0010, Article 95,
2 is reappropriated from the Build Illinois Purposes Fund to
3 the Department of Transportation for a study to determine the
4 feasibility of establishing an airport in Kankakee County.
5 Section 6-4.33. The amount of $91,802, or so much
6 thereof as may be necessary and remains unexpended on June
7 30, 1998, from appropriations heretofore made for such
8 purposes in Section 6-4.33 of Public Act 90-0010, Article 95,
9 is reappropriated from the Build Illinois Bond Fund to the
10 Department of Transportation for the costs associated with
11 construction, reconstruction and rehabilitation of Eagle
12 Creek Road and Findlay Road.
13 Section 6-5.24. The amount of $25,000, or so much
14 thereof as may be necessary and remains unexpended on June
15 30, 1998, from appropriations heretofore made for such
16 purposes in Section 6-5.24 of Public Act 90-0010, Article 95,
17 is reappropriated from the Build Illinois Bond Fund to the
18 Department of Natural Resources for a grant to the City of
19 Benld for recreation and park facilities.
20 Section 6-5.39. The amount of $127,000, or so much
21 thereof as may be necessary and remains unexpended on June
22 30, 1998, from appropriations heretofore made for such
23 purposes in Section 6-5.39 of Public Act 90-0010, Article 95,
24 is reappropriated from the Build Illinois Bond Fund to the
25 Department of Natural Resources for the Village of Midlothian
26 for flood control and drainage improvements.
27 Section 6-5.44a. The amount of $72,412, or so much
28 thereof as may be necessary and remains unexpended on June
29 30, 1998, from appropriations heretofore made for such
30 purposes in Section 6-5.44a of Public Act 90-0010, Article
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1 95, is reappropriated from the Build Illinois Bond Fund to
2 the Environmental Protection Agency for grants to units of
3 local government for the planning, design, construction,
4 rehabilitation, repair, improvement, expansion, and any other
5 necessary costs for storm water, sewer, sewage treatment and
6 water supply systems, at the approximate cost set forth
7 below:
8 La Grange Highlands Sanitary District.........$ 72,412
9 Section 6-5.44b. The amount of $40,000, or so much
10 thereof as may be necessary and remains unexpended on June
11 30, 1998, from appropriations heretofore made for such
12 purposes in Section 6-5.44b of Public Act 90-0010, Article
13 95, is reappropriated from the Build Illinois Bond Fund to
14 the Department of Natural Resources for units of local
15 government for storm drainage at the approximate cost set
16 forth below:
17 Bonnie .......................................$ 40,000
18 Section 6-5.44f. The amount of $300,000, or so much
19 thereof as may be necessary and remains unexpended on June
20 30, 1998, from appropriations heretofore made for such
21 purposes in Section 6-5.44f of Public Act 90-0010, Article
22 95, is reappropriated from the Build Illinois Bond Fund to
23 the Department of Natural Resources for a grant to the
24 Village of Summit for planning, design, construction and any
25 other necessary costs for flood control.
26 Section 6-6.6. The amount of $3,000,000, or so much
27 thereof as may be necessary and remains unexpended on June
28 30, 1998, from appropriations heretofore made for such
29 purposes in Section 6-6.6 of Public Act 90-0010, Article 95,
30 is reappropriated from the Build Illinois Purposes Fund to
31 the Illinois Community College Board for the City Colleges of
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1 Chicago for costs associated with planning, utilities, site
2 improvements, repairs, renovation, remodeling, and
3 construction of Job Training Centers.
4 Section 6-6.10. The amount of $1,334,768, or so much
5 thereof as may be necessary and remains unexpended on June
6 30, 1998, from appropriations heretofore made for such
7 purposes in Section 6-6.10 of Public Act 90-0010, Article 95,
8 is reappropriated from the Build Illinois Bond Fund to the
9 Department of Transportation for a grant to the City of
10 Chicago for the viaduct and roadway improvement program.
11 Section 6-6.14. The amount of $1,227,028, or so much
12 thereof as may be necessary and remains unexpended on June
13 30, 1998, from appropriations heretofore made for such
14 purposes in Section 6-6.14 of Public Act 90-0010, Article 95,
15 is reappropriated to the Department of Transportation from
16 the Build Illinois Bond Fund for the paving, upgrading or
17 construction:
18 (a) of streets and curbs at the following locations
19 within the City of Chicago:
20 1. The 4300 block of West Wrightwood;
21 2. The 3600 block of West Byron;
22 3. The 3200 block of West Waveland;
23 4. The 4200 block of North Hamlin;
24 5. The 4200 block of West Grace;
25 6. The 4200 block of North Springfield;
26 7. The 3200 block of North Lawndale;
27 8. East 117th from Avenue O to Avenue H;
28 9. Avenue N from 131st to 132nd;
29 10. State Line Road from 106th to 112th;
30 11. Princeton Street from 30th Street to 31st Street;
31 12. South Wells from 27th Street through 29th Street;
32 13. 23rd Place from Princeton to Wentworth;
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1 14. Sayre Avenue between Higgins and Kennedy Expressway;
2 15. Keystone Avenue from North Avenue to Armitage
3 Avenue;
4 16. Harding Avenue from North Avenue to Armitage Avenue;
5 17. Lawndale Avenue from North Avenue to Armitage
6 Avenue; and
7 18. The 1300 block of Monticello Avenue.
8 (b) of curbs at the following locations within
9 the City of Chicago:
10 1. The 3000 and 3100 blocks of North Elbridge Street;
11 2. The 2800, 2900 and 3000 blocks of West
12 Fletcher Street;
13 3. The 2800, 2900 and 3000 blocks of West
14 Wellington Street;
15 4. The 2800, 2900 and 3000 blocks of West
16 Nelson Street;
17 5. The 5600 and 5700 blocks of West Henderson;
18 6. The 5600 and 5700 blocks of West Cornelia;
19 7. The 3300 block of North Major;
20 8. The 3300, 3400 and 3500 blocks of North Linder;
21 9. The 3300 and 3500 blocks of North Lockwood;
22 10. The 2000, 2100 and 2200 blocks of Leland Avenue;
23 11. The 2000, 2100, 2200 and 2300 blocks of Giddings;
24 12. The 6100 block of North Artesian;
25 13. The 4400 block of North Francisco;
26 14. The 2500 block of West Hollywood;
27 15. The 6100 block of North Rockwell;
28 16. The 2400 block of West Winona;
29 17. The 2300 block of West Superior;
30 18. The 2000, 2100 and 2200 blocks of West Thomas;
31 19. The 2200 block of West Cortez;
32 20. The 2000 and 2100 blocks of West Iowa;
33 21. The 1200 block of North Noble;
34 22. The 700 block of North Campbell;
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1 23. The 5600, 5700 and 5800 blocks of Kostner
2 from Bryn Mawr to Rodgers;
3 24. North Kostner from Hollywood to Rodgers;
4 25. North Kedvale from Leland to Lawrence;
5 26. Leland from Kedvale to Kildare;
6 27. Leland from Kimball to Pulaski;
7 28. Monticello from Wilson to Lawrence;
8 29. St. Louis from Wilson to Lawrence;
9 30. Bernard from Leland to Lawrence;
10 31. Kasson from Kennicott to Keystone;
11 32. West Ainslie from Kimball to Bernard;
12 33. The west side of the 1800 block of North Austin;
13 34. The west side of the 2300 block of North Austin;
14 35. The 3000 and 3100 blocks of North Marmora;
15 36. The north side of the 7100 block of West Cornelia;
16 37. The 5600 block of West Barry;
17 38. The east side of the 3000 block of Norragansett;
18 39. The 6100 block of Diversey;
19 40. The west side of the 2500 block of Neva;
20 41. The 3300 and 3400 blocks of Neva;
21 42. The 6200 and 6300 blocks of West Barry;
22 43. The 6600 block of West Barry;
23 44. The west side of the 3100 block of North Mobile;
24 45. The south side of 17th Street from Ashland to
25 Paulina;
26 46. 17th Street from Paulina to Damen;
27 47. 3600 to 3800 block of Cumberland;
28 48. Sacramento Avenue from Addison to Cornelia;
29 49. Cornelia Avenue from Sacramento to Albany;
30 50. The 8300, 8400 and 8500 blocks of South
31 Francisco Avenue;
32 51. The 8300, 8400 and 8500 blocks of South
33 Whipple Avenue;
34 52. 82nd Street from Western Avenue to California
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1 Avenue;
2 53. 85th Street from Kenneth Avenue to Cicero Avenue;
3 54. The 8500, 8600 and 8700 blocks of South Ramsey Road;
4 55. The 4300, 4400, 4500, 4600 and 4700 blocks of South
5 Normal Avenue;
6 56. The 3500, 3600, 3700 and 3800 blocks of South
7 Lituanica Avenue;
8 57. Eleanor Street from Throop to Loomis Avenue; and
9 58. Pershing Road from Wentworth to Wood.
10 Section 6-6.18. The amount of $350,000, or so much
11 thereof as may be necessary and remains unexpended on June
12 30, 1998, from appropriations heretofore made for such
13 purposes in Section 6-6.18 of Public Act 90-0010, Article 95,
14 is reappropriated from the Build Illinois Bond Fund to the
15 Environmental Protection Agency for a grant to the Central
16 Stickney Sanitary District of Cook County for improvements to
17 the sewer system and the water system.
18 Section 6-6.19. The amount of $559,250, or so much
19 thereof as may be necessary and remains unexpended on June
20 30, 1998, from appropriations heretofore made for such
21 purposes in Section 6-6.19 of Public Act 90-0010, Article 95,
22 is reappropriated from the Build Illinois Bond Fund to the
23 Department of Natural Resources for the Chicago Park District
24 for the reconstruction of the pier at 64th Street in Jackson
25 Park.
26 Section 6-6.20. The amount of $250,000, or so much
27 thereof as may be necessary and remains unexpended on June
28 30, 1998, from appropriations heretofore made for such
29 purposes in Section 6-6.20 of Public Act 90-0010, Article 95,
30 is reappropriated from the Build Illinois Bond Fund to the
31 Department of Transportation for a grant to the City of
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1 Chicago for the preliminary engineering for road improvements
2 on St. Louis Avenue, from 51st Street to 59th Street.
3 Section 6-6.21. The amount of $50,000, or so much
4 thereof as may be necessary and remains unexpended on June
5 30, 1998, from appropriations heretofore made for such
6 purposes in Section 6-6.21 of Public Act 90-0010, Article 95,
7 is reappropriated from the Build Illinois Bond Fund to the
8 Department of Transportation to study the straightening of
9 Ogden Avenue, from First Street to Harlem Avenue.
10 Section 6-6.22. The amount of $500,000, or so much
11 thereof as may be necessary and remains unexpended on June
12 30, 1998, from appropriations heretofore made for such
13 purposes in Section 6-6.22 of Public Act 90-0010, Article 95,
14 is reappropriated from the Build Illinois Bond Fund to the
15 Department of Transportation for a grant to the City of
16 Chicago for the repair and replacement of roadway curbs in
17 the area bounded by Cicero Avenue, Central Avenue, Armitage
18 Avenue and Diversey Avenue, and the area bounded by Central
19 Avenue, Austin Avenue, Fullerton Avenue, and Grand Avenue.
20 Section 6-6.23. The amount of $500,000, or so much
21 thereof as may be necessary and remains unexpended on June
22 30, 1998, from appropriations heretofore made for such
23 purposes in Section 6-6.23 of Public Act 90-0010, Article 95,
24 is reappropriated from the Build Illinois Bond Fund to the
25 Department of Transportation for a grant to the City of
26 Chicago for the following roadway resurfacing improvements:
27 Francisco St. - 5100 S. to 5500 S.
28 Francisco St. - 5700 S. to 5900 S.
29 Mozart St. - 5100 S. to 5900 S.
30 54th Place - 3000 W. to 3200 W.
31 Carpenter St. - 3230 S. to 3400 S.
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1 Wood St. - Stevenson Expressway to 3900 S.
2 Keeley St. - Archer Ave. to 3100 S.
3 Section 6-6.24. The amount of $450,000, or so much
4 thereof as may be necessary and remains unexpended on June
5 30, 1998, from appropriations heretofore made for such
6 purposes in Section 6-6.24 of Public Act 90-0010, Article 95,
7 is reappropriated from the Build Illinois Bond Fund to the
8 Department of Transportation for a grant to the City of
9 Chicago for the following roadway resurfacing improvements:
10 For Drake Ave. - 1600 N. to 2400 N.
11 Hamlin Ave. - 2000 N. to 2200 N.
12 Dickens Ave. - 3200 W. to 4000 W.
13 Belden Ave. - 3200 W. to 3600 W.
14 Medill Ave. - 3400 W. to 3600 W.
15 Avers Ave. - 2000 N. to 2200 N.
16 Section 6-6.25. The amount of $558,719, or so much
17 thereof as may be necessary and remains unexpended on June
18 30, 1998, from appropriations heretofore made for such
19 purposes in Section 6-6.25 of Public Act 90-0010, Article 95,
20 is reappropriated from the Build Illinois Bond Fund to the
21 Department of Transportation for a grant to the City of
22 Chicago for roadway resurfacing improvements:
23 Farwell Ave. - Ridge Ave. to Western Ave.
24 Morse Ave. - Ridge Ave. to Western Ave.
25 Greenleaf Ave. - Ridge to Western Ave.
26 Estes Ave. - Ridge Ave. to Western Ave.
27 Rosemont - Western to Kedzie
28 Leavitt - Norwood to Granville
29 Granville Ave. from Western Ave. to Kedzie
30 Division VIII. The reappropriations in this Division
31 continue certain appropriations initially made for the
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1 purpose of the renewal of the rural areas of Illinois for the
2 fiscal year beginning July 1, 1986.
3 Section 7-3.1a. The amount of $295,000, or so much
4 thereof as may be necessary and remains unexpended on June
5 30, 1998, from appropriations heretofore made for such
6 purposes in Section 7-3.1a of Public Act 90-0010, Article 95,
7 is reappropriated from the Build Illinois Bond Fund to the
8 Environmental Protection Agency for making grants to units of
9 local government for the planning, design, construction,
10 rehabilitation and any other necessary costs for wastewater
11 treatment facilities and for plans, construction, repairs,
12 improvements and any other necessary costs for sewer and
13 water supply systems, at the approximate costs as set forth
14 below:
15 Sims..........................................$ 45,000
16 New Lenox..........................................50,000
17 Fairmont City......................................75,000
18 Washington Park....................................75,000
19 Brooklyn...........................................50,000
20 Section 7-3.1b. The amount of $50,000, or so much
21 thereof as may be necessary and remains unexpended on June
22 30, 1998, from appropriations heretofore made for such
23 purposes in Section 7-3.1b of Public Act 90-0010, Article 95,
24 is reappropriated from the Build Illinois Bond Fund to the
25 Department of Natural Resources for plans, construction,
26 repairs, improvements and any other necessary costs for storm
27 drainage, at the approximate costs set forth below:
28 East Carondelet ..............................$ 50,000
29 Section 6-3.110. The amount of $70,000, or so much
30 thereof as may be necessary and remains unexpended on June
31 30, 1998, from appropriations heretofore made for such
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1 purposes in Section 6-3.110 of Public Act 90-0010, Article
2 95, is reappropriated from the Build Illinois Bond Fund to
3 the Environmental Protection Agency for the purpose of a
4 grant to the City of Bloomington for extension and expansion
5 of sewers.
6 Division IX. The reappropriations in this Division
7 continue certain appropriations initially made for the fiscal
8 years beginning July 1, 1985, for the purpose of the Build
9 Illinois Program set forth below.
10 Section 8-1.19. The following named amounts, or so much
11 thereof as may be necessary and remain unexpended on June 30,
12 1998, from appropriations heretofore made for such purposes
13 in Section 8-1.19 of Public Act 90-0010, Article 95, are
14 reappropriated from the Build Illinois Bond Fund to the
15 Department of Transportation for land acquisition,
16 engineering and contract costs for construction,
17 reconstruction, extension and improvement of State highways,
18 including bridges, structures separating highways and
19 railroads, rest areas, interchanges, and access roads to and
20 from any State or local highway and such other necessary or
21 appropriate purposes as provided by the "Illinois Highway
22 Code" as follows:
23 Access Roads, interchanges, and rest areas......$ 95,191
24 Section 8-1.21. The amount of $189,520, or so much
25 thereof as may be necessary and remains unexpended on June
26 30, 1998, from appropriations heretofore made for such
27 purposes in Section 8-1.21 of Public Act 90-0010, Article 95,
28 is reappropriated from the Build Illinois Bond Fund to the
29 Department of Natural Resources for the completion of the
30 following projects at the approximate costs set forth below:
31 Lower Des Plaines River at Tributaries Watershed
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1 - Cook and DuPage Counties - For
2 construction of drainage, flood control,
3 recreation and related improvements and
4 facilities in the Lower Des Plaines
5 Watershed; and for necessary land
6 acquisition, relocation, and related
7 expenses, all in general conformance with
8 the Lower Des Plaines River and Tributaries
9 Watershed Work plan in cooperation with the
10 U.S. Soil Conservation Service and local
11 governments sponsoring this Federal
12 Flood Control project .......................$ 189,520
13 Section 8-1.22. The amount of $33,311, or so much
14 thereof as may be necessary and remains unexpended on June
15 30, 1998, from appropriations heretofore made for such
16 purposes in Section 8-1.22 of Public Act 90-0010, Article 95,
17 is reappropriated from the Build Illinois Bond Fund to the
18 Department of Natural Resources for costs associated with
19 drainage, flood control and related improvements.
20 Section 8-2.18. The amount of $552,048, or so much
21 thereof as may be necessary and remains unexpended on June
22 30, 1998, from appropriations heretofore made for such
23 purposes in Section 8-2.18 of Public Act 90-0010, Article 95,
24 is reappropriated from the Build Illinois Bond Fund to the
25 Environmental Protection Agency for the purpose of a grant to
26 the Village of Palos Park for the design, engineering and
27 construction of sewers.
28 Section 8-2.28. The amount of $500,000, or so much
29 thereof as may be necessary and remains unexpended on June
30 30, 1998, from appropriations heretofore made for such
31 purposes in Section 8-2.28 of Public Act 90-0010, Article 95,
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1 is reappropriated from the Build Illinois Bond Fund to the
2 Department of Natural Resources to assist in planning and
3 construction of a water retention project on Tyler Creek.
4 Section 8-2.33. The amount of $50,000, or so much
5 thereof as may be necessary and remains unexpended on June
6 30, 1998, from appropriations heretofore made for such
7 purposes in Section 8-2.33 of Public Act 90-0010, Article 95,
8 is reappropriated from the Build Illinois Bond Fund to the
9 Department of Natural Resources for feasibility, engineering,
10 and economic and environmental studies on the LaMoine Lake
11 Project.
12 Section 8-4.5. The amount of $500,000, or so much
13 thereof as may be necessary and remains unexpended on June
14 30, 1998, from appropriations heretofore made for such
15 purposes in Section 8-4.5 of Public Act 90-0010, Article 95,
16 is reappropriated from the Build Illinois Bond Fund to the
17 Department of Commerce and Community Affairs for a grant to
18 the City of North Chicago for all costs associated with the
19 planning and construction of a building and parking facility
20 to house a Community Cultural Art Center.
21 Section 8-4.6. The amount of $100,000, or so much
22 thereof as may be necessary and remains unexpended on June
23 30, 1998, from appropriations heretofore made for such
24 purposes in Section 8-4.6 of Public Act 90-0010, Article 95,
25 is reappropriated from the Build Illinois Purposes Fund to
26 the Department of Commerce and Community Affairs for a grant
27 to the Metro East Solid Waste Disposal and Energy Producing
28 Service for its ordinary and contingent expenses.
29 Section 8-5.3. The amount of $2,000,000, or so much
30 thereof as may be necessary and remains unexpended on June
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1 30, 1998, from appropriations heretofore made for such
2 purposes in Section 8-5.3 of Public Act 90-0010, Article 95,
3 is reappropriated from the Build Illinois Bond Fund to the
4 Illinois Community College Board for the City Colleges of
5 Chicago for costs associated with planning, utilities, site
6 improvements, repairs, renovation, remodeling, and
7 construction of Job Training Centers.
8 Section 8-5.6. The amount of $588,193, or so much
9 thereof as may be necessary and remains unexpended on June
10 30, 1998, from appropriations heretofore made for such
11 purposes in Section 8-5.6 of Public Act 90-0010, Article 95,
12 is reappropriated from the Build Illinois Bond Fund to the
13 Department of Transportation as a grant to the City of
14 Chicago for a viaduct and roadway improvement program.
15 Division X. The reappropriations in this Division
16 continue certain appropriations initially made for the fiscal
17 years beginning July 1, 1985 through 1992, combined for the
18 purpose of the Build Illinois Program set forth below.
19 Section 10A. The amount of $9,490,071, or so much
20 thereof as may be necessary and remains unexpended on June
21 30, 1998, from appropriations heretofore made for such
22 purposes in Section 10A of Public Act 90-0010, Article 95, is
23 reappropriated from the Build Illinois Bond Fund to the
24 Environmental Protection Agency for grants to units of local
25 government for sewer systems and wastewater treatment
26 facilities pursuant to rules and procedures established under
27 the Anti-Pollution Bond Act.
28 Section 10B. The amount of $102,236,940, or so much
29 thereof as may be necessary, and remains unexpended on June
30 30, 1998, from appropriations heretofore made for such
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1 purposes in Section 10B of Public Act 90-0010, Article 95, is
2 reappropriated from the Build Illinois Bond Fund to the
3 Environmental Protection Agency for wastewater compliance
4 grants to units of local government for sewer systems and
5 wastewater treatment facilities pursuant to procedures and
6 rules established under the Anti-Pollution Bond Act. These
7 grants are limited to projects for which the local government
8 provides at least 30% of the project cost. There is an
9 approved project compliance plan, and there is an enforceable
10 compliance schedule prior to the grant award. The grant
11 award will be based on eligible project cost contained in the
12 approved compliance plan.
13 Section 10C. The following named amounts, or so much
14 thereof as may be necessary, and remain unexpended on June
15 30, 1998 from appropriations heretofore made for such
16 purposes in Article 95, Section 10C of Public Act 90-0010,
17 are reappropriated from the Build Illinois Bond Fund to the
18 Capital Development Board for the Board of Higher Education
19 for miscellaneous capital improvements including
20 construction, reconstruction, remodeling, improvement, repair
21 and installation of capital facilities, costs of planning,
22 supplies, equipment, materials, services, and all other
23 expenses required to complete the work at the colleges and
24 universities hereinafter enumerated:
25 Chicago State University ....................... $ 26,515
26 Eastern Illinois University .................... 92,221
27 Western Illinois University .................... 15,152
28 Total, Build Illinois Bond Fund $133,888
29 Section 10D. The following named amounts, or so much
30 thereof as may be necessary, and remain unexpended on June
31 30, 1998 from appropriations heretofore made for such
32 purposes in Article 95, Section 10D of Public Act 90-0010,
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1 are reappropriated from the Build Illinois Bond Fund to the
2 Capital Development Board for the Board of Higher Education
3 for miscellaneous capital improvements including
4 construction, reconstruction, remodeling, improvement, repair
5 and installation of capital facilities, costs of planning,
6 supplies, equipment, materials, services, and all other
7 expenses required to complete the work at the colleges and
8 universities hereinafter enumerated:
9 Illinois State University ...................... $ 156,023
10 Northern Illinois University ................... 80,257
11 Total, Build Illinois Bond Fund $236,280
12 Section 10E. The amount of $1,352,223, or so much
13 thereof as may be necessary, and remains unexpended on June
14 30, 1998 from appropriations heretofore made for such
15 purposes in Article 95, Section 10E of Public Act 90-0010, is
16 reappropriated from the Build Illinois Bond Fund to the
17 Capital Development Board for the University of Illinois for
18 miscellaneous capital improvements including construction,
19 reconstruction, remodeling, improvement, repair and
20 installation of capital facilities, costs of planning,
21 supplies, equipment, materials, services, and all other
22 expenses required to complete the work. This appropriation
23 shall be in addition to any other appropriated amounts which
24 can be expended for these purposes.
25 Section 10F. The amount of $226,138, or so much thereof
26 as may be necessary, and remains unexpended on June 30, 1998
27 from appropriations heretofore made for such purposes in
28 Article 95, Section 10F of Public Act 90-0010, is
29 reappropriated from the Build Illinois Bond Fund to the
30 Capital Development Board for Southern Illinois University
31 for miscellaneous capital improvements including
32 construction, reconstruction, remodeling, improvement, repair
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1 and installation of capital facilities, costs of planning,
2 supplies, equipment, materials, services, and all other
3 expenses required to complete the work. This appropriation
4 shall be in addition to any other appropriated amounts which
5 can be expended for these purposes.
6 Section 10G. The amount of $1,541,230, or so much
7 thereof as may be necessary, and remains unexpended on June
8 30, 1998 from appropriations heretofore made for such
9 purposes in Article 95, Section 10G of Public Act 90-0010, is
10 reappropriated from the Build Illinois Bond Fund to the
11 Capital Development Board for the Illinois Community College
12 Board for grants to community colleges repair, renovation,
13 and miscellaneous capital improvements including
14 construction, reconstruction, remodeling, improvement, repair
15 and installation of capital facilities, costs of planning,
16 supplies, equipment, materials, services, and all other
17 expenses required to complete the work. This appropriation
18 shall be in addition to any other appropriated amounts which
19 can be expended for these purposes.
20 Division XI. This Division contains provisions governing
21 the expenditure of funds appropriated in this Article.
22 Section 10-1.1. No contract shall be entered into or
23 obligation incurred for any expenditures from the
24 appropriations made in this Article until after the purposes
25 and amounts have been approved in writing by the Governor.
26 ARTICLE 4
27 Section 99. This Act becomes effective July 1, 1998.
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