|
| | 104TH GENERAL ASSEMBLY
State of Illinois
2025 and 2026 HB5650 Introduced 2/19/2026, by Rep. Robyn Gabel SYNOPSIS AS INTRODUCED: |
Makes appropriations for the ordinary and contingent expenses of the Department of Transportation for the fiscal year beginning July 1, 2026, as follows:
Other State Funds $5,760,285,739
Federal Funds $14,911,796
Total $5,775,197,535
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| 1 | | AN ACT concerning appropriations. |
| 2 | | Be it enacted by the People of the State of Illinois, |
| 3 | | represented in the General Assembly: |
| 4 | | ARTICLE 1 |
| 5 | | DEPARTMENT OF TRANSPORTATION |
| 6 | | MULTI-MODAL OPERATIONS |
| 7 | | Section 5. The following named sums, or so much thereof as |
| 8 | | may be necessary, for the objects and purposes hereinafter |
| 9 | | named, are appropriated from the Road Fund to meet the |
| 10 | | ordinary and contingent expenses of the Department of |
| 11 | | Transportation: |
| 12 | | DEPARTMENT-WIDE |
| 13 | | For Personal Services...........................595,899,900 |
| 14 | | Split approximated below: |
| 15 | | Central Administration and Planning.............41,737,400 |
| 16 | | Planning and Programming........................13,662,800 |
| 17 | | Highway Project Implementation..................43,001,400 |
| 18 | | Day Labor........................................3,599,800 |
| 19 | | District 1.....................................152,817,000 |
| 20 | | District 2......................................39,260,500 |
| 21 | | District 3......................................39,544,500 |
| 22 | | District 4......................................40,047,800 |
| 23 | | District 5......................................34,834,500 |
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| 1 | | District 6......................................48,439,600 |
| 2 | | District 7......................................38,080,700 |
| 3 | | District 8......................................55,839,000 |
| 4 | | District 9......................................33,958,800 |
| 5 | | Aeronautics......................................4,524,900 |
| 6 | | Intermodal Project Implementation................6,551,200 |
| 7 | | For Extra Help for Districts 1 - 9...............45,378,000 |
| 8 | | Split approximated below: |
| 9 | | District 1......................................13,300,000 |
| 10 | | District 2.......................................4,650,000 |
| 11 | | District 3.......................................4,550,000 |
| 12 | | District 4.......................................4,769,000 |
| 13 | | District 5.......................................2,850,000 |
| 14 | | District 6.......................................4,450,000 |
| 15 | | District 7.......................................3,250,000 |
| 16 | | District 8.......................................4,659,000 |
| 17 | | District 9.......................................2,900,000 |
| 18 | | For State Contributions to State |
| 19 | | Employees' Retirement System...................278,667,400 |
| 20 | | For State Contributions to Social Security.......47,407,100 |
| 21 | | Total $967,352,400 |
| 22 | | Section 10. The following named sums, or so much thereof |
| 23 | | as may be necessary, for the objects and purposes hereinafter |
| 24 | | named, are appropriated from the Road Fund to meet the |
| 25 | | ordinary and contingent expenses of the Department of |
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| 1 | | Transportation: |
| 2 | | FOR CENTRAL ADMINISTRATION OFFICES |
| 3 | | For Contractual Services.........................28,344,600 |
| 4 | | For Travel..........................................595,700 |
| 5 | | For Commodities.....................................312,200 |
| 6 | | For Printing........................................518,200 |
| 7 | | For Equipment.......................................293,200 |
| 8 | | For Equipment: |
| 9 | | Purchase of Cars and Trucks........................245,700 |
| 10 | | For Telecommunication Services......................315,000 |
| 11 | | For Operation of Automotive Equipment...............648,400 |
| 12 | | Total $31,273,000 |
| 13 | | LUMP SUMS |
| 14 | | Section 15. The following named amounts, or so much |
| 15 | | thereof as may be necessary, are appropriated from the Road |
| 16 | | Fund to the Department of Transportation for the objects and |
| 17 | | purposes hereinafter named: |
| 18 | | For costs associated with hazardous |
| 19 | | material abatement.................................500,000 |
| 20 | | For costs associated with auditing |
| 21 | | consultants for internal |
| 22 | | and external audits..............................2,900,000 |
| 23 | | For costs associated with process modernization |
| 24 | | implementation of the Department...................200,000 |
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| 1 | | Total $3,600,000 |
| 2 | | Section 20. The sum of $1,000,000, or so much thereof as |
| 3 | | may be necessary, is appropriated from the Road Fund to the |
| 4 | | Department of Transportation for State Prompt Payment Act |
| 5 | | Interest Costs, including prior years' costs. |
| 6 | | AWARDS AND GRANTS |
| 7 | | Section 25. The following named amounts, or so much |
| 8 | | thereof as may be necessary, are appropriated from the Road |
| 9 | | Fund to the Department of Transportation for the objects and |
| 10 | | purposes hereinafter named: |
| 11 | | For Tort Claims, including payment pursuant |
| 12 | | to the State Employee Indemnification Act........4,700,000 |
| 13 | | For representation and indemnification for |
| 14 | | the Department of Transportation, the Illinois |
| 15 | | State Police and the Secretary of State, |
| 16 | | provided that the representation required |
| 17 | | resulted from the Road Fund portion |
| 18 | | of their normal operations.........................100,000 |
| 19 | | For auto liability payments for the Department of |
| 20 | | Transportation, the Illinois State Police, and the |
| 21 | | Secretary of State, provided that the liability |
| 22 | | resulted from the Road Fund portion of |
| 23 | | their normal operations..........................4,350,000 |
| 24 | | Total $9,150,000 |
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| 1 | | REFUNDS |
| 2 | | Section 30. The following named amount, or so much thereof |
| 3 | | as may be necessary, is appropriated from the Road Fund to the |
| 4 | | Department of Transportation for the objects and purposes |
| 5 | | hereinafter named: |
| 6 | | For Refunds..........................................14,100 |
| 7 | | FOR INFORMATION TECHNOLOGY |
| 8 | | Section 35. The following named sum, or so much thereof as |
| 9 | | may be necessary, for the objects and purposes hereinafter |
| 10 | | named, is appropriated from the Road Fund to meet the ordinary |
| 11 | | and contingent expenses of the Department of Transportation: |
| 12 | | For Electronic Data Processing...................99,666,300 |
| 13 | | FOR PLANNING AND PROGRAMMING |
| 14 | | Section 40. The following named sums, or so much thereof |
| 15 | | as may be necessary, for the objects and purposes hereinafter |
| 16 | | named, are appropriated from the Road Fund to the Department |
| 17 | | of Transportation for the ordinary and contingent expenses of |
| 18 | | the Office of Planning and Programming: |
| 19 | | For Contractual Services............................677,200 |
| 20 | | For Travel..........................................200,000 |
| 21 | | For Commodities......................................62,500 |
| 22 | | For Printing........................................100,000 |
| 23 | | For Equipment.......................................400,000 |
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| 1 | | For Telecommunication Services......................260,000 |
| 2 | | For Operation of Automotive Equipment...............100,000 |
| 3 | | Total $1,799,700 |
| 4 | | LUMP SUMS |
| 5 | | Section 45. The following named amounts, or so much |
| 6 | | thereof as may be necessary, are appropriated from the Road |
| 7 | | Fund to the Department of Transportation for the objects and |
| 8 | | purposes hereinafter named: |
| 9 | | For Planning, Research and |
| 10 | | Development Purposes...............................250,000 |
| 11 | | For metropolitan planning and research purposes |
| 12 | | as provided by law, provided such amount shall |
| 13 | | not exceed funds to be made available from the |
| 14 | | federal government or local sources.............96,219,500 |
| 15 | | For metropolitan planning and research |
| 16 | | purposes as provided by law.....................26,288,700 |
| 17 | | Total $122,758,200 |
| 18 | | Section 50. The sum of $10,000,000, or so much thereof as |
| 19 | | may be necessary, is appropriated from the Road Fund to the |
| 20 | | Department of Transportation for all costs associated with a |
| 21 | | consultant to assist with the transition from the Regional |
| 22 | | Transportation Authority to the Northern Illinois Transit |
| 23 | | Authority. |
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| 1 | | Section 55. The sum of $4,000,000, or so much thereof as |
| 2 | | may be necessary, is appropriated from the Road Fund to the |
| 3 | | Department of Transportation for administrative support for |
| 4 | | the Interagency Coordinating Committee on Transit Innovation, |
| 5 | | Integration, and Reform and for the Transit Integration Policy |
| 6 | | Development Committee. |
| 7 | | FOR HIGHWAYS PROJECT IMPLEMENTATION |
| 8 | | Section 60. The following named sums, or so much thereof |
| 9 | | as may be necessary, for the objects and purposes hereinafter |
| 10 | | named, are appropriated from the Road Fund to the Department |
| 11 | | of Transportation for the ordinary and contingent expenses of |
| 12 | | the Office of Highway Implementation: |
| 13 | | For Contractual Services..........................6,653,300 |
| 14 | | For Travel..........................................410,000 |
| 15 | | For Commodities.....................................272,300 |
| 16 | | For Printing.........................................10,400 |
| 17 | | For Equipment.....................................8,870,000 |
| 18 | | For Equipment: |
| 19 | | Purchase of Cars and Trucks.....................30,658,200 |
| 20 | | For Telecommunication Services....................3,640,000 |
| 21 | | For Operation of Automotive Equipment...............803,900 |
| 22 | | Total $51,318,100 |
| 23 | | LUMP SUMS |
| 24 | | Section 65. The sum of $5,400,000, or so much thereof as |
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| 1 | | may be necessary, is appropriated from the Road Fund to the |
| 2 | | Department of Transportation for payments to local governments |
| 3 | | for reimbursement of eligible expenses arising from local |
| 4 | | Traffic Signal Maintenance Agreements. |
| 5 | | Section 70. The sum of $16,700,000, or so much thereof as |
| 6 | | may be necessary, is appropriated from the Road Fund to the |
| 7 | | Department of Transportation for payments to local governments |
| 8 | | for reimbursement of eligible expenses arising from City, |
| 9 | | County, and other State Maintenance Agreements. |
| 10 | | Section 75. The sum of $1,500,000, or so much thereof as |
| 11 | | may be necessary, is appropriated from the Road Fund to the |
| 12 | | Department of Transportation for repair of damages by |
| 13 | | motorists to state vehicles and equipment or replacement of |
| 14 | | state vehicles and equipment, provided such amount not exceed |
| 15 | | funds to be made available from collections from claims filed |
| 16 | | by the Department to recover the costs of such damages. |
| 17 | | Section 80. The sum of $6,500,000, or so much thereof as |
| 18 | | may be necessary, is appropriated from the Road Fund to the |
| 19 | | Department of Transportation for costs associated with the |
| 20 | | State Radio Communications for the 21st Century (STARCOM) |
| 21 | | program. |
| 22 | | Section 85. The sum of $200,000, or so much thereof as may |
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| 1 | | be necessary, is appropriated from the Road Fund to the |
| 2 | | Department of Transportation for costs associated with the |
| 3 | | Illinois Terrorism Task Force, that consist of approved |
| 4 | | purchases for homeland security provided such expenditures do |
| 5 | | not exceed funds made available by the federal government for |
| 6 | | this purpose. |
| 7 | | Section 90. The sum of $300,000, or so much thereof as may |
| 8 | | be necessary, is appropriated from the Road Fund to the |
| 9 | | Department of Transportation for costs incurred by the |
| 10 | | Department's response to natural disasters, emergencies and |
| 11 | | acts of terrorism that receive Presidential and/or State |
| 12 | | Disaster Declaration status. These costs would include, but |
| 13 | | not be limited to, the Department's fuel costs, cost of |
| 14 | | materials and cost of equipment rentals. This appropriation is |
| 15 | | in addition to the Department's other appropriations for |
| 16 | | District and Central Office operations. |
| 17 | | Section 95. The sum of $210,000, or so much thereof as may |
| 18 | | be necessary, is appropriated from the Road Fund to the |
| 19 | | Department of Transportation for costs associated with the |
| 20 | | Technology Transfer Center, including the purchase of |
| 21 | | equipment, media initiatives, and training, provided that such |
| 22 | | expenditures do not exceed funds to be made available by the |
| 23 | | federal government for this purpose. |
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| 1 | | Section 100. The sum of $5,500,000, or so much thereof as |
| 2 | | may be necessary, is appropriated from the Road Fund to the |
| 3 | | Department of Transportation for costs associated with highway |
| 4 | | safety media campaigns, provided such amounts do not exceed |
| 5 | | funds to be made available from the federal government. |
| 6 | | Section 105. The sum of $11,300,000, or so much thereof as |
| 7 | | may be necessary, is appropriated from the Road Fund to the |
| 8 | | Department of Transportation for the IDOT ITS Program. |
| 9 | | Section 110. The sum of $180,000, or so much thereof as may |
| 10 | | be necessary, is appropriated from the Transportation Safety |
| 11 | | Highway Hire-back Fund to the Department of Transportation for |
| 12 | | agreements with the Illinois State Police to provide patrol |
| 13 | | officers in highway construction work zones. |
| 14 | | Section 115. The sum of $200,000, or so much there of as |
| 15 | | may be necessary, is appropriated from the DUI Prevention and |
| 16 | | Education Fund to the Department of Transportation for |
| 17 | | expenditures, as determined by the DUI Prevention and |
| 18 | | Education Commission, for crash victim programs and materials, |
| 19 | | impaired driving prevention programs, law enforcement support, |
| 20 | | and other DUI-related programs. |
| 21 | | AWARDS AND GRANTS |
| 22 | | Section 120. The sum of $5,787,600, or so much thereof as |
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| 1 | | may be necessary, is appropriated from the Road Fund to the |
| 2 | | Department of Transportation for reimbursement to counties |
| 3 | | participating in the County Engineers Compensation Program for |
| 4 | | salaries in the period agreed upon by the parties without |
| 5 | | regard to state fiscal year. Such reimbursements may not |
| 6 | | exceed funds to be made available from the counties federal |
| 7 | | highway allocations retained by the Department. |
| 8 | | REFUNDS |
| 9 | | Section 125. The following named amount, or so much |
| 10 | | thereof as may be necessary, is appropriated from the Road |
| 11 | | Fund to the Department of Transportation for the objects and |
| 12 | | purposes hereinafter named: |
| 13 | | For Refunds..........................................35,000 |
| 14 | | FOR CYCLE RIDER SAFETY |
| 15 | | Section 130. The following named sums, or so much thereof |
| 16 | | as may be necessary, for the objects and purposes hereinafter |
| 17 | | named, are appropriated from the Cycle Rider Safety Training |
| 18 | | Fund to the Department of Transportation for the |
| 19 | | administration of the Cycle Rider Safety Training Program: |
| 20 | | OPERATIONS |
| 21 | | For Personal Services...............................307,300 |
| 22 | | For State Contributions to State |
| 23 | | Employees' Retirement System.......................133,500 |
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| 1 | | For State Contributions to Social Security...........22,900 |
| 2 | | For Group Insurance.................................105,600 |
| 3 | | For Contractual Services............................167,000 |
| 4 | | For Travel...........................................10,000 |
| 5 | | For Commodities......................................37,100 |
| 6 | | Total $783,400 |
| 7 | | LUMP SUMS |
| 8 | | Section 135. The sum of $4,800,000, or so much thereof as |
| 9 | | may be necessary, is appropriated from the Cycle Rider Safety |
| 10 | | Training Fund to the Department of Transportation for |
| 11 | | reimbursements to State and local universities and colleges |
| 12 | | for Cycle Rider Safety Training Programs. |
| 13 | | Section 140. The following named sums, or so much thereof |
| 14 | | as may be necessary, for the objects and purposes hereinafter |
| 15 | | named, are appropriated from the Road Fund to meet the |
| 16 | | ordinary and contingent expenses of the Department of |
| 17 | | Transportation: |
| 18 | | FOR BUREAU OF DAY LABOR |
| 19 | | For Contractual Services..........................8,336,300 |
| 20 | | For Travel..........................................180,000 |
| 21 | | For Commodities.....................................339,600 |
| 22 | | For Equipment.......................................760,000 |
| 23 | | For Equipment: |
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| 1 | | Purchase of Cars and Trucks......................1,566,900 |
| 2 | | For Telecommunication Services.......................61,600 |
| 3 | | For Operation of Automotive Equipment.............1,640,000 |
| 4 | | Total $12,884,400 |
| 5 | | Section 145. The following named sums, or so much thereof |
| 6 | | as may be necessary, for the objects and purposes hereinafter |
| 7 | | named, are appropriated from the Road Fund to meet the |
| 8 | | ordinary and contingent expenses of the Department of |
| 9 | | Transportation: |
| 10 | | DISTRICT 1, SCHAUMBURG OFFICE |
| 11 | | For Contractual Services.........................18,500,000 |
| 12 | | For Travel..........................................445,000 |
| 13 | | For Commodities..................................12,023,900 |
| 14 | | For Equipment.....................................5,390,000 |
| 15 | | For Equipment: |
| 16 | | Purchase of Cars and Trucks.....................20,340,200 |
| 17 | | For Telecommunication Services....................5,312,600 |
| 18 | | For Operation of Automotive Equipment........... 25,000,000 |
| 19 | | Total $87,011,700 |
| 20 | | Section 150. The following named sums, or so much thereof |
| 21 | | as may be necessary, for the objects and purposes hereinafter |
| 22 | | named, are appropriated from the Road Fund to meet the |
| 23 | | ordinary and contingent expenses of the Department of |
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| 1 | | Transportation: |
| 2 | | DISTRICT 2, DIXON OFFICE |
| 3 | | For Contractual Services..........................5,800,000 |
| 4 | | For Travel..........................................100,000 |
| 5 | | For Commodities...................................6,814,600 |
| 6 | | For Equipment.....................................2,459,000 |
| 7 | | For Equipment: |
| 8 | | Purchase of Cars and Trucks......................3,736,700 |
| 9 | | For Telecommunication Services......................304,900 |
| 10 | | For Operation of Automotive Equipment............ 8,500,000 |
| 11 | | Total $27,715,200 |
| 12 | | Section 155. The following named sums, or so much thereof |
| 13 | | as may be necessary, for the objects and purposes hereinafter |
| 14 | | named, are appropriated from the Road Fund to meet the |
| 15 | | ordinary and contingent expenses of the Department of |
| 16 | | Transportation: |
| 17 | | DISTRICT 3, OTTAWA OFFICE |
| 18 | | For Contractual Services..........................7,300,000 |
| 19 | | For Travel...........................................95,000 |
| 20 | | For Commodities...................................5,862,900 |
| 21 | | For Equipment.....................................2,459,000 |
| 22 | | For Equipment: |
| 23 | | Purchase of Cars and Trucks......................6,758,900 |
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| 1 | | For Telecommunication Services......................332,900 |
| 2 | | For Operation of Automotive Equipment.............8,600,000 |
| 3 | | Total $31,408,700 |
| 4 | | Section 160. The following named sums, or so much thereof |
| 5 | | as may be necessary, for the objects and purposes hereinafter |
| 6 | | named, are appropriated from the Road Fund to meet the |
| 7 | | ordinary and contingent expenses of the Department of |
| 8 | | Transportation: |
| 9 | | DISTRICT 4, PEORIA OFFICE |
| 10 | | For Contractual Services..........................5,650,000 |
| 11 | | For Travel...........................................55,000 |
| 12 | | For Commodities...................................4,892,100 |
| 13 | | For Equipment.....................................2,531,000 |
| 14 | | For Equipment: |
| 15 | | Purchase of Cars and Trucks......................8,898,700 |
| 16 | | For Telecommunication Services......................312,700 |
| 17 | | For Operation of Automotive Equipment.............8,900,000 |
| 18 | | Total $31,239,500 |
| 19 | | Section 165. The following named sums, or so much thereof |
| 20 | | as may be necessary, for the objects and purposes hereinafter |
| 21 | | named, are appropriated from the Road Fund to meet the |
| 22 | | ordinary and contingent expenses of the Department of |
| 23 | | Transportation: |
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| 1 | | DISTRICT 5, PARIS OFFICE |
| 2 | | For Contractual Services..........................5,720,000 |
| 3 | | For Travel...........................................55,000 |
| 4 | | For Commodities...................................3,087,600 |
| 5 | | For Equipment.....................................2,459,000 |
| 6 | | For Equipment: |
| 7 | | Purchase of Cars and Trucks......................3,291,100 |
| 8 | | For Telecommunication Services......................330,900 |
| 9 | | For Operation of Automotive Equipment.............6,800,000 |
| 10 | | Total $21,743,600 |
| 11 | | Section 170. The following named sums, or so much thereof |
| 12 | | as may be necessary, for the objects and purposes hereinafter |
| 13 | | named, are appropriated from the Road Fund to meet the |
| 14 | | ordinary and contingent expenses of the Department of |
| 15 | | Transportation: |
| 16 | | DISTRICT 6, SPRINGFIELD OFFICE |
| 17 | | For Contractual Services..........................7,200,000 |
| 18 | | For Travel...........................................51,300 |
| 19 | | For Commodities...................................3,360,300 |
| 20 | | For Equipment.....................................2,690,000 |
| 21 | | For Equipment: |
| 22 | | Purchase of Cars and Trucks......................7,126,700 |
| 23 | | For Telecommunication Services......................380,000 |
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| 1 | | For Operation of Automotive Equipment.............8,500,000 |
| 2 | | Total $29,308,300 |
| 3 | | Section 175. The following named sums, or so much thereof |
| 4 | | as may be necessary, for the objects and purposes hereinafter |
| 5 | | named, are appropriated from the Road Fund to meet the |
| 6 | | ordinary and contingent expenses of the Department of |
| 7 | | Transportation: |
| 8 | | DISTRICT 7, EFFINGHAM OFFICE |
| 9 | | For Contractual Services..........................5,600,000 |
| 10 | | For Travel...........................................70,000 |
| 11 | | For Commodities...................................3,153,300 |
| 12 | | For Equipment.....................................2,459,000 |
| 13 | | For Equipment: |
| 14 | | Purchase of Cars and Trucks......................6,260,800 |
| 15 | | For Telecommunication Services......................370,000 |
| 16 | | For Operation of Automotive Equipment.............5,200,000 |
| 17 | | Total $23,113,100 |
| 18 | | Section 180. The following named sums, or so much thereof |
| 19 | | as may be necessary, for the objects and purposes hereinafter |
| 20 | | named, are appropriated from the Road Fund to meet the |
| 21 | | ordinary and contingent expenses of the Department of |
| 22 | | Transportation: |
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| 1 | | DISTRICT 8, COLLINSVILLE OFFICE |
| 2 | | For Contractual Services.........................11,850,000 |
| 3 | | For Travel...........................................75,000 |
| 4 | | For Commodities...................................4,057,600 |
| 5 | | For Equipment.....................................3,450,000 |
| 6 | | For Equipment: |
| 7 | | Purchase of Cars and Trucks......................4,743,400 |
| 8 | | For Telecommunication Services....................1,095,100 |
| 9 | | For Operation of Automotive Equipment.............9,850,000 |
| 10 | | Total $35,121,100 |
| 11 | | Section 185. The following named sums, or so much thereof |
| 12 | | as may be necessary, for the objects and purposes hereinafter |
| 13 | | named, are appropriated from the Road Fund to meet the |
| 14 | | ordinary and contingent expenses of the Department of |
| 15 | | Transportation: |
| 16 | | DISTRICT 9, CARBONDALE OFFICE |
| 17 | | For Contractual Services..........................5,550,000 |
| 18 | | For Travel...........................................80,000 |
| 19 | | For Commodities...................................3,533,600 |
| 20 | | For Equipment.....................................2,459,000 |
| 21 | | For Equipment: |
| 22 | | Purchase of Cars and Trucks......................2,006,700 |
| 23 | | For Telecommunication Services......................240,000 |
| 24 | | For Operation of Automotive Equipment.............5,600,000 |
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| 1 | | Total $19,469,300 |
| 2 | | Section 190. The following named sums, or so much thereof |
| 3 | | as may be necessary, for the objects and purposes hereinafter |
| 4 | | named, are appropriated to meet the ordinary and contingent |
| 5 | | expenses of the Department of Transportation: |
| 6 | | FOR AERONAUTICS |
| 7 | | For Contractual Services: |
| 8 | | Payable from the Road Fund.........................975,000 |
| 9 | | Payable from Air Transportation |
| 10 | | Revolving Fund....................................279,100 |
| 11 | | For Travel: |
| 12 | | Payable from the Road Fund..........................60,000 |
| 13 | | For Commodities: |
| 14 | | Payable from the Road Fund..........................95,000 |
| 15 | | Payable from Aeronautics Fund........................6,200 |
| 16 | | For Equipment: |
| 17 | | Payable from the Road Fund.........................385,800 |
| 18 | | For Telecommunication Services: |
| 19 | | Payable from the Road Fund..........................65,000 |
| 20 | | For Operation of Automotive Equipment: |
| 21 | | Payable from the Road Fund..........................81,900 |
| 22 | | Total $1,948,000 |
| 23 | | LUMP SUMS |
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| 1 | | Section 195. The sum of $1,600,000, or so much thereof as |
| 2 | | may be necessary, is appropriated from the Tax Recovery Fund |
| 3 | | to the Department of Transportation for maintenance and repair |
| 4 | | costs incurred on real property owned by the Department for |
| 5 | | development of an airport in Will County, for applicable |
| 6 | | refunds of security deposits to lessees, and for payments to |
| 7 | | the Will County Treasurer in lieu of leasehold taxes lost due |
| 8 | | to government ownership. |
| 9 | | Section 200. The sum of $20,000,000, or so much thereof as |
| 10 | | may be necessary, is appropriated from the State Aviation |
| 11 | | Program Fund to the Department of Transportation for the |
| 12 | | purposes described in Section 6z-20.1 of the State Finance |
| 13 | | Act. |
| 14 | | Section 205. The sum of $9,500,000, or so much thereof as |
| 15 | | may be necessary, is appropriated from the Sound-Reducing |
| 16 | | Windows and Doors Replacement Fund to the Department of |
| 17 | | Transportation for the purposes described in Section 6z-20.1 |
| 18 | | of the State Finance Act. |
| 19 | | REFUNDS |
| 20 | | Section 210. The following named amount, or so much |
| 21 | | thereof as may be necessary, is appropriated from the |
| 22 | | Aeronautics Fund to the Department of Transportation for the |
| 23 | | objects and purposes hereinafter named: |
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| 1 | | For Refunds.............................................500 |
| 2 | | FOR INTERMODAL PROJECT IMPLEMENTATION |
| 3 | | Section 215. The following named sums, or so much thereof |
| 4 | | as may be necessary for the agencies hereinafter named, are |
| 5 | | appropriated from the Road Fund to the Department of |
| 6 | | Transportation for the ordinary and contingent expenses of the |
| 7 | | Office of Intermodal Project Implementation: |
| 8 | | For Contractual Services............................798,800 |
| 9 | | For Travel...........................................70,000 |
| 10 | | For Commodities.......................................6,000 |
| 11 | | For Equipment.........................................7,000 |
| 12 | | For Telecommunication Services.......................50,000 |
| 13 | | Total $931,800 |
| 14 | | LUMP SUMS |
| 15 | | Section 220. The sum of $250,000, or so much thereof as may |
| 16 | | be necessary, is appropriated from the Road Fund to the |
| 17 | | Department of Transportation for public transportation |
| 18 | | technical studies. |
| 19 | | Section 225. The sum of $250,000, or so much thereof as may |
| 20 | | be necessary, is appropriated from the Road Fund to the |
| 21 | | Department of Transportation for costs associated with Safety |
| 22 | | and Security Oversight as set forth in the federal |
| 23 | | transportation bill, as amended. |
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| 1 | | Section 230. The following named sums, or so much thereof |
| 2 | | as may be necessary, are appropriated from the Downstate |
| 3 | | Public Transportation Fund to the Department of Transportation |
| 4 | | for operating assistance to provide a portion of the eligible |
| 5 | | operating expenses for the following carriers for the purposes |
| 6 | | stated in the Downstate Public Transportation Act: |
| 7 | | Champaign-Urbana Mass Transit District...........54,000,300 |
| 8 | | Greater Peoria Mass Transit District with |
| 9 | | Service to Peoria County........................36,306,500 |
| 10 | | Rock Island County Metropolitan |
| 11 | | Mass Transit District...........................26,848,800 |
| 12 | | Rockford Mass Transit District...................26,832,100 |
| 13 | | Springfield Mass Transit District................25,984,800 |
| 14 | | Bloomington-Normal Public Transit System with |
| 15 | | service to McLean County........................21,186,700 |
| 16 | | City of Decatur with service to Macon County.....14,196,800 |
| 17 | | City of Quincy....................................4,851,100 |
| 18 | | City of Galesburg.................................3,041,600 |
| 19 | | Stateline Mass Transit District with |
| 20 | | service to South Beloit..........................1,893,600 |
| 21 | | City of Danville..................................6,628,300 |
| 22 | | RIDES Mass Transit District with |
| 23 | | service to Edgar and Clark counties.............18,341,100 |
| 24 | | South Central Illinois Mass Transit District.....13,848,800 |
| 25 | | River Valley Metro Mass Transit District.........11,381,200 |
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| 1 | | Jackson County Mass Transit District..............3,995,000 |
| 2 | | City of DeKalb...................................11,555,900 |
| 3 | | City of Macomb....................................2,509,000 |
| 4 | | Shawnee Mass Transit District.....................5,102,700 |
| 5 | | St. Clair County Transit District................80,753,500 |
| 6 | | West Central Mass Transit District................3,479,900 |
| 7 | | Monroe-Randolph Transit District..................1,728,100 |
| 8 | | Madison County Mass Transit District.............37,367,300 |
| 9 | | Bond County.........................................997,500 |
| 10 | | Bureau County with service to Putnam County.......2,413,700 |
| 11 | | Coles County......................................1,578,300 |
| 12 | | City of Freeport with service |
| 13 | | to Stephenson County.............................1,471,500 |
| 14 | | Henry County........................................640,500 |
| 15 | | Jo Daviess County.................................1,413,700 |
| 16 | | Kankakee County.....................................803,000 |
| 17 | | Piatt County with service to DeWitt County........1,356,000 |
| 18 | | Shelby County with service to Christian County....2,239,300 |
| 19 | | Tazewell County...................................1,187,800 |
| 20 | | Kendall County....................................2,130,200 |
| 21 | | Woodford County.....................................707,700 |
| 22 | | Reagan Mass Transit District......................5,227,300 |
| 23 | | Champaign County..................................1,306,900 |
| 24 | | Boone County........................................404,400 |
| 25 | | DeKalb County.....................................2,319,200 |
| 26 | | Grundy County.......................................878,500 |
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| 1 | | Warren County with service to Mercer County.........845,100 |
| 2 | | Rock Island County..................................338,200 |
| 3 | | Hancock County......................................274,400 |
| 4 | | Macoupin County...................................1,736,800 |
| 5 | | Fulton County.......................................672,300 |
| 6 | | Effingham County....................................935,800 |
| 7 | | City of Ottawa with service to LaSalle County.....2,462,100 |
| 8 | | Carroll County....................................1,066,800 |
| 9 | | Logan County........................................514,200 |
| 10 | | Sangamon County with service to Menard County.......989,900 |
| 11 | | Jersey County with service to Greene |
| 12 | | and Calhoun Counties...............................958,100 |
| 13 | | Marshall County with service to Stark County........418,900 |
| 14 | | Douglas County......................................368,900 |
| 15 | | Winnebago County....................................798,800 |
| 16 | | Livingston County with service to Ford |
| 17 | | and Iroquois Counties............................1,078,500 |
| 18 | | Total $452,367,400 |
| 19 | | Section 235. The sum of $4,951,200, or so much thereof as |
| 20 | | may be necessary, is appropriated from the Downstate Public |
| 21 | | Transportation Fund to the Department of Transportation for |
| 22 | | audit adjustments in accordance with Sections 2-7 and 2-15 of |
| 23 | | the Downstate Public Transportation Act, including prior |
| 24 | | years' costs. |
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| 1 | | Section 240. The sum of $520,000, or so much thereof as may |
| 2 | | be necessary, is appropriated from the Federal Mass Transit |
| 3 | | Trust Fund to the Department of Transportation for federal |
| 4 | | reimbursement of costs associated with Safety and Security |
| 5 | | Oversight. |
| 6 | | Section 245. The sum of $1,540,000, or so much thereof as |
| 7 | | may be necessary, is appropriated from the Federal Mass |
| 8 | | Transit Trust Fund to the Department of Transportation for |
| 9 | | federal reimbursement of transit studies. |
| 10 | | GRANTS AND AWARDS |
| 11 | | Section 250. The sum of $1,341,000,000, or so much thereof |
| 12 | | as may be necessary, is appropriated from the Public |
| 13 | | Transportation Fund to the Department of Transportation for |
| 14 | | the purpose stated in Section 4.09 of the Northern Illinois |
| 15 | | Transit Authority Act. |
| 16 | | Section 255. The sum of $100,000,000, or so much thereof |
| 17 | | as may be necessary, is appropriated from the Public |
| 18 | | Transportation Fund to the Department of Transportation for |
| 19 | | making a grant to the Northern Illinois Transit Authority for |
| 20 | | Additional Financial Assistance to be used for its purposes as |
| 21 | | provided in the Northern Illinois Transit Authority Act, but |
| 22 | | in no event shall this amount exceed the amount provided for in |
| 23 | | Sections 4.09 (c-5) and 4.09 (d) with respect to Strategic |
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| 1 | | Capital Improvement bonds issued by the Northern Illinois |
| 2 | | Transit Authority pursuant to the Northern Illinois Transit |
| 3 | | Authority Act. |
| 4 | | Section 260. The sum of $23,067,000, or so much thereof as |
| 5 | | may be necessary, is appropriated from the Road Fund to the |
| 6 | | Department of Transportation for grants to the Northern |
| 7 | | Illinois Transit Authority intended to reimburse the Service |
| 8 | | Boards for providing reduced fares on mass transportation |
| 9 | | services for students, handicapped persons, and the elderly, |
| 10 | | to be allocated proportionally among the Service Boards based |
| 11 | | upon actual costs incurred by each Service Board for such |
| 12 | | reduced fares. |
| 13 | | Section 265. The sum of $11,500,000, or so much thereof as |
| 14 | | may be necessary, is appropriated from the Road Fund to the |
| 15 | | Department of Transportation for making a grant to the |
| 16 | | Northern Illinois Transit Authority for the funding of the |
| 17 | | Americans with Disabilities Act of 1990 (ADA) paratransit |
| 18 | | services and for other costs and services. |
| 19 | | Section 270. The sum of $20,000,000, or so much thereof as |
| 20 | | may be necessary, is appropriated from the Road Fund to the |
| 21 | | Department of Transportation for grants to Boards of Trustees |
| 22 | | of Districts created under the Local Mass Transit District Act |
| 23 | | to reimburse the Districts for providing reduced fares on mass |
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| 1 | | transportation services for public school students. |
| 2 | | Section 275. The sum of $15,000,000, or so much thereof as |
| 3 | | may be necessary, is appropriated from the Road Fund to the |
| 4 | | Department of Transportation for grants to Boards of Trustees |
| 5 | | of Districts created under the Local Mass Transit District Act |
| 6 | | for pilot programs in partnership with public school districts |
| 7 | | for providing regular, vocational, or special education |
| 8 | | transportation, except for public school districts organized |
| 9 | | under Article 34 of the School Code. |
| 10 | | Section 280. The sum of $10,000,000, or so much thereof as |
| 11 | | may be necessary, is appropriated from the Road Fund to the |
| 12 | | Department of Transportation for costs associated with the |
| 13 | | long-term heavy overhauls of locomotives. |
| 14 | | Section 285. The sum of $76,000,000, or so much thereof as |
| 15 | | may be necessary, is appropriated from the Road Fund to the |
| 16 | | Department of Transportation for funding the State's share of |
| 17 | | intercity rail passenger service and making necessary |
| 18 | | expenditures for services and other program improvements. |
| 19 | | FOR HIGHWAY SAFETY |
| 20 | | Section 290. The following named sums, or so much thereof |
| 21 | | as may be necessary for the agencies hereinafter named, are |
| 22 | | appropriated from the Road Fund to the Department of |
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| 1 | | Transportation for implementation of the Illinois Highway |
| 2 | | Safety Program under provisions of the National Highway Safety |
| 3 | | Act of 1966, as amended, and Alcohol Traffic Safety Programs |
| 4 | | of Title XXIII of the Surface Transportation Assistance Act of |
| 5 | | 1982, as amended, and other federal highway safety initiatives |
| 6 | | as provided by law: |
| 7 | | FOR THE DEPARTMENT OF TRANSPORTATION |
| 8 | | For Contractual Services............................149,100 |
| 9 | | For Travel...........................................36,100 |
| 10 | | For Commodities......................................24,300 |
| 11 | | For Printing.........................................43,700 |
| 12 | | For Equipment.............................................0 |
| 13 | | For Telecommunication Services............................0 |
| 14 | | For Operation of Automotive Equipment.....................0 |
| 15 | | Total $253,200 |
| 16 | | FOR THE ILLINOIS CRIMINAL JUSTICE INFORMATION AUTHORITY |
| 17 | | For costs associated with implementation of the Illinois |
| 18 | | Highway Safety Program under provisions of the National |
| 19 | | Highway Safety Act of 1966, as amended, and Alcohol Traffic |
| 20 | | Safety Programs of Title XXIII of the Surface Transportation |
| 21 | | Assistance Act of 1982, as amended, and other federal highway |
| 22 | | safety initiatives as provided by law.................461,100 |
| 23 | | FOR THE SECRETARY OF STATE |
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| 1 | | For costs associated with implementation of the Illinois |
| 2 | | Highway Safety Program under provisions of the National |
| 3 | | Highway Safety Act of 1966, as amended, and Alcohol Traffic |
| 4 | | Safety Programs of Title XXIII of the Surface Transportation |
| 5 | | Assistance Act of 1982, as amended, and other federal highway |
| 6 | | safety initiatives as provided by law.............. 4,120,000 |
| 7 | | FOR THE DEPARTMENT OF PUBLIC HEALTH |
| 8 | | For costs associated with implementation of the Illinois |
| 9 | | Highway Safety Program under provisions of the National |
| 10 | | Highway Safety Act of 1966, as amended, and Alcohol Traffic |
| 11 | | Safety Programs of Title XXIII of the Surface Transportation |
| 12 | | Assistance Act of 1982, as amended, and other federal highway |
| 13 | | safety initiatives as provided by law.................851,800 |
| 14 | | FOR THE ILLINOIS STATE POLICE |
| 15 | | For costs associated with implementation of the Illinois |
| 16 | | Highway Safety Program under provisions of the National |
| 17 | | Highway Safety Act of 1966, as amended, and Alcohol Traffic |
| 18 | | Safety Programs of Title XXIII of the Surface Transportation |
| 19 | | Assistance Act of 1982, as amended, and other federal highway |
| 20 | | safety initiatives as provided by law.............. 7,898,600 |
| 21 | | FOR THE ILLINOIS LAW ENFORCEMENT |
| 22 | | TRAINING STANDARDS BOARD |
| 23 | | For costs associated with implementation of the Illinois |
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| 1 | | Highway Safety Program under provisions of the National |
| 2 | | Highway Safety Act of 1966, as amended, and Alcohol Traffic |
| 3 | | Safety Programs of Title XXIII of the Surface Transportation |
| 4 | | Assistance Act of 1982, as amended, and other federal highway |
| 5 | | safety initiatives as provided by law.................850,000 |
| 6 | | FOR THE ADMISTRATIVE OFFICE OF THE ILLINOIS COURTS |
| 7 | | For costs associated with implementation of the Illinois |
| 8 | | Highway Safety Program under provisions of the National |
| 9 | | Highway Safety Act of 1966, as amended, and Alcohol Traffic |
| 10 | | Safety Programs of Title XXIII of the Surface Transportation |
| 11 | | Assistance Act of 1982, as amended, and other federal highway |
| 12 | | safety initiatives as provided by law.................143,000 |
| 13 | | Total $14,577,700 |
| 14 | | LUMP SUM AWARDS AND GRANTS |
| 15 | | Section 295. The sum of $25,900,000, or so much thereof as |
| 16 | | may be necessary, is appropriated from the Road Fund to the |
| 17 | | Department of Transportation for the Illinois Highway Safety |
| 18 | | Program and local highway safety projects by county and |
| 19 | | municipal governments, state and private universities, and |
| 20 | | other private entities. |
| 21 | | MOTOR FUEL TAX ADMINISTRATION |
| 22 | | Section 300. The following named sums, or so much thereof |
| 23 | | as may be necessary, are appropriated from the Motor Fuel Tax |
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| 1 | | Fund to the Department of Transportation for the ordinary and |
| 2 | | contingent expenses incident to the operations and functions |
| 3 | | of administering the provisions of the Illinois Highway Code, |
| 4 | | relating to use of Motor Fuel Tax Funds by the counties, |
| 5 | | municipalities, road districts and townships: |
| 6 | | OPERATIONS |
| 7 | | For Personal Services............................14,338,200 |
| 8 | | For State Contributions to State |
| 9 | | Employees' Retirement System.....................6,230,700 |
| 10 | | For State Contributions to Social Security........1,056,400 |
| 11 | | For Group Insurance...............................4,871,300 |
| 12 | | For Contractual Services.............................80,400 |
| 13 | | For Travel...........................................31,000 |
| 14 | | For Commodities.......................................2,000 |
| 15 | | For Printing.........................................35,900 |
| 16 | | For Equipment.........................................5,900 |
| 17 | | For Telecommunication Services.......................13,300 |
| 18 | | For Operation of Automotive Equipment................13,000 |
| 19 | | Total $26,678,100 |
| 20 | | Section 305. The following named sums, or so much thereof |
| 21 | | as are available for distribution in accordance with Section 8 |
| 22 | | of the Motor Fuel Tax Law, are appropriated to the Department |
| 23 | | of Transportation for the purposes stated: |
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| 1 | | DISTRIBUTIVE ITEMS |
| 2 | | Payable from the Motor Fuel Tax Counties Fund: |
| 3 | | For apportioning, allotting, and paying |
| 4 | | as provided by law to Counties.................205,983,800 |
| 5 | | Payable from the Motor Fuel Tax Municipalities Fund: |
| 6 | | For apportioning, allotting, and paying |
| 7 | | as provided by law to Municipalities...........287,256,200 |
| 8 | | Payable from the Motor Fuel Tax Townships |
| 9 | | and Road Districts Fund: |
| 10 | | For apportioning, allotting, and paying |
| 11 | | as provided by law to Counties for |
| 12 | | Distribution to Road Districts..................93,385,000 |
| 13 | | Total $586,625,000 |
| 14 | | Section 310. The following named amounts, or so much |
| 15 | | thereof as are available for distribution in accordance with |
| 16 | | Section 8b of the Motor Fuel Tax Law, are appropriated from the |
| 17 | | Transportation Renewal Fund to the Department of |
| 18 | | Transportation for the purposes stated: |
| 19 | | DISTRIBUTIVE ITEMS |
| 20 | | For apportioning, allotting, and paying |
| 21 | | as provided by law: |
| 22 | | To Counties....................................202,983,300 |
| 23 | | To Municipalities..............................284,675,200 |
| 24 | | To Counties for Distribution |
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| 1 | | to Road Districts..............................92,128,100 |
| 2 | | Total $579,786,600 |
| 3 | | Section 315. No contract shall be entered into or |
| 4 | | obligation incurred or any expenditure made from an |
| 5 | | appropriation herein made in: |
| 6 | | Section 255 SCIP II Debt Service of this Article until after |
| 7 | | the purpose and the amount of such expenditure has been |
| 8 | | approved in writing by the Governor. |
| 9 | | Total, This Article........................$5,004,336,000 |
| 10 | | ARTICLE 2 |
| 11 | | DEPARTMENT OF TRANSPORTATION |
| 12 | | FOR CENTRAL ADMINISTRATION |
| 13 | | Section 5. The sum of $3,502,956, or so much thereof as may |
| 14 | | be necessary, and remains unexpended, at the close of business |
| 15 | | on June 30, 2026, from the appropriation and reappropriation |
| 16 | | heretofore made in Article 66, Section 15 and Article 67, |
| 17 | | Section 5 of Public Act 104-0003, as amended, is |
| 18 | | reappropriated from the Road Fund to the Department of |
| 19 | | Transportation for costs associated with hazardous material |
| 20 | | abatement. |
| 21 | | Section 10. The sum of $6,745,960, or so much thereof as |
| 22 | | may be necessary, and remains unexpended, at the close of |
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| 1 | | business on June 30, 2026, from the appropriation and |
| 2 | | reappropriation heretofore made in Article 66, Section 15 and |
| 3 | | Article 67, Section 10 of Public Act 104-0003, as amended, is |
| 4 | | reappropriated from the Road Fund to the Department of |
| 5 | | Transportation for costs associated with auditing consultants |
| 6 | | for internal and external audits. |
| 7 | | Section 15. The sum of $759,110, or so much thereof as may |
| 8 | | be necessary, and remains unexpended, at the close of business |
| 9 | | on June 30, 2026, from the appropriation and reappropriation |
| 10 | | heretofore made in Article 66, Section 15 and Article 67, |
| 11 | | Section 15 of Public Act 104-0003, as amended, is |
| 12 | | reappropriated from the Road Fund to the Department of |
| 13 | | Transportation for costs associated with process modernization |
| 14 | | implementation of the Department. |
| 15 | | Section 20. The sum of $3,000,000, or so much thereof as |
| 16 | | may be necessary, and remains unexpended, at the close of |
| 17 | | business on June 30, 2026, from the reappropriation heretofore |
| 18 | | made in Article 67, Section 20 of Public Act 104-0003, as |
| 19 | | amended, is reappropriated from the Road Fund to the |
| 20 | | Department of Transportation for costs associated with an |
| 21 | | efficiency study. |
| 22 | | FOR PLANNING AND PROGRAMMING |
| 23 | | Section 25. The sum of $2,283,871, or so much thereof as |
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| 1 | | may be necessary, and remains unexpended, at the close of |
| 2 | | business on June 30, 2026, from the appropriation and |
| 3 | | reappropriation heretofore made in Article 66, Section 45 and |
| 4 | | Article 67, Section 25 of Public Act 104-0003, as amended, is |
| 5 | | reappropriated from the Road Fund to the Department of |
| 6 | | Transportation for Planning, Research and Development |
| 7 | | purposes. |
| 8 | | Section 30. The sum of $117,849,300, or so much thereof as |
| 9 | | may be necessary, and remains unexpended, at the close of |
| 10 | | business on June 30, 2026, from the appropriation and |
| 11 | | reappropriation heretofore made in Article 66, Section 45 and |
| 12 | | Article 67, Section 30 of Public Act 104-0003, as amended, is |
| 13 | | reappropriated from the Road Fund to the Department of |
| 14 | | Transportation for metropolitan planning and research purposes |
| 15 | | as provided by law, provided such amounts shall not exceed |
| 16 | | funds to be made available from the federal government or |
| 17 | | local sources. |
| 18 | | Section 35. The sum of $65,209,589, or so much thereof as |
| 19 | | may be necessary, and remains unexpended, at the close of |
| 20 | | business on June 30, 2026, from the appropriation and |
| 21 | | reappropriation heretofore made in Article 66, Section 45 and |
| 22 | | Article 67, Section 35 of Public Act 104-0003, as amended, is |
| 23 | | reappropriated from the Road Fund to the Department of |
| 24 | | Transportation for metropolitan planning and research purposes |
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| 1 | | as provided by law. |
| 2 | | Section 40. The sum of $304,401, or so much thereof as may |
| 3 | | be necessary, and remains unexpended, at the close of business |
| 4 | | on June 30, 2026, from the reappropriation heretofore made in |
| 5 | | Article 67, Section 40 of Public Act 104-0003, as amended, is |
| 6 | | reappropriated from the Road Fund to the Department of |
| 7 | | Transportation for costs incurred as directed by the |
| 8 | | Blue-Ribbon Commission for strategic advisory services and |
| 9 | | support. |
| 10 | | Section 45. The sum of $2,038,000, or so much thereof as |
| 11 | | may be necessary, and remains unexpended, at the close of |
| 12 | | business on June 30, 2026, from the appropriation heretofore |
| 13 | | made in Article 66, Section 50 of Public Act 104-0003, as |
| 14 | | amended, is reappropriated from the Road Fund to the |
| 15 | | Department of Transportation for purchase of computer |
| 16 | | equipment for various law enforcement agencies to provide them |
| 17 | | the capability of submitting crash reports electronically. |
| 18 | | Expenditures may not exceed the amount made available from |
| 19 | | NHTSA for this purpose. |
| 20 | | FOR HIGHWAY PROJECT IMPLEMENTATION |
| 21 | | Section 50. The sum of $37,949,645, or so much thereof as |
| 22 | | may be necessary, and remains unexpended, at the close of |
| 23 | | business on June 30, 2026, from the appropriations and |
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| 1 | | reappropriation heretofore made in Article 66, Section 60, and |
| 2 | | Article 67, Section 45, of Public Act 104-0003, as amended, is |
| 3 | | reappropriated from the Road Fund to the Department of |
| 4 | | Transportation for reimbursements of eligible expenses arising |
| 5 | | from Local Traffic Signal Maintenance Agreements, and |
| 6 | | reimbursements of eligible expenses arising from City, County, |
| 7 | | and other State Maintenance Agreements. |
| 8 | | Section 55. The sum of $6,878,676, or so much thereof as |
| 9 | | may be necessary, and remains unexpended, at the close of |
| 10 | | business on June 30, 2026, from the appropriation and |
| 11 | | reappropriation heretofore made in Article 66, Section 65 and |
| 12 | | Article 67, Section 50 of Public Act 104-0003, as amended, is |
| 13 | | reappropriated from the Road Fund to the Department of |
| 14 | | Transportation for repair of damages by motorists to state |
| 15 | | vehicles and equipment or replacement of state vehicles and |
| 16 | | equipment, provided such amount does not exceed funds to be |
| 17 | | made available from collections from claims filed by the |
| 18 | | Department to recover the costs of such damages. |
| 19 | | Section 60. The sum of $11,909,532, or so much thereof as |
| 20 | | may be necessary, and remains unexpended, at the close of |
| 21 | | business on June 30, 2026, from the appropriation and |
| 22 | | reappropriation heretofore made in Article 66, Section 70 and |
| 23 | | Article 67, Section 55 of Public Act 104-0003, as amended, is |
| 24 | | reappropriated from the Road Fund to the Department of |
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| 1 | | Transportation for costs associated with the State Radio |
| 2 | | Communications for the 21st Century (STARCOM) program. |
| 3 | | Section 65. The sum of $519,812, or so much thereof as may |
| 4 | | be necessary, and remains unexpended, at the close of business |
| 5 | | on June 30, 2026, from the appropriation and reappropriation |
| 6 | | heretofore made in Article 66, Section 75 and Article 67, |
| 7 | | Section 60 of Public Act 104-0003, as amended, is |
| 8 | | reappropriated from the Road Fund to the Department of |
| 9 | | Transportation for costs associated with the Illinois |
| 10 | | Terrorism Task Force, that consist of approved purchases for |
| 11 | | homeland security provided such expenditures do not exceed |
| 12 | | funds made available by the federal government for this |
| 13 | | purpose. |
| 14 | | Section 70. The sum of $650,881, or so much thereof as may |
| 15 | | be necessary, and remains unexpended, at the close of business |
| 16 | | on June 30, 2026, from the appropriation and reappropriation |
| 17 | | heretofore made in Article 66, Section 85 and Article 67, |
| 18 | | Section 65 of Public Act 104-0003, as amended, is |
| 19 | | reappropriated from the Road Fund to the Department of |
| 20 | | Transportation for costs associated with the Technology |
| 21 | | Transfer Center, including the purchase of equipment, media |
| 22 | | initiatives and training, provided that such expenditures do |
| 23 | | not exceed funds to be made available by the federal |
| 24 | | government for this purpose. |
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| 1 | | Section 75. The sum of $5,777,258, or so much thereof as |
| 2 | | may be necessary, and remains unexpended, at the close of |
| 3 | | business on June 30, 2026, from the appropriation and |
| 4 | | reappropriation heretofore made in Article 66, Section 90 and |
| 5 | | Article 67, Section 70 of Public Act 104-0003, as amended, is |
| 6 | | reappropriated from the Road Fund to the Department of |
| 7 | | Transportation for costs associated with highway safety media |
| 8 | | campaigns, provided such amounts do not exceed funds to be |
| 9 | | made available from the federal government. |
| 10 | | Section 80. The sum of $39,190,755, or so much thereof as |
| 11 | | may be necessary, and remains unexpended, at the close of |
| 12 | | business on June 30, 2026, from the appropriation and |
| 13 | | reappropriation heretofore made in Article 66, Section 95 and |
| 14 | | Article 67, Section 80 of Public Act 104-0003, as amended, is |
| 15 | | reappropriated from the Road Fund to the Department of |
| 16 | | Transportation for the IDOT ITS Program. |
| 17 | | Section 85. The sum of $1,899,763, or so much thereof as |
| 18 | | may be necessary, and remains unexpended, at the close of |
| 19 | | business on June 30, 2026, from the appropriation heretofore |
| 20 | | made in Article 66, Section 105 of Public Act 104-0003, as |
| 21 | | amended, is reappropriated from the DUI Prevention and |
| 22 | | Education Fund to the Department of Transportation for |
| 23 | | expenditures, as determined by the DUI Prevention and |
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| 1 | | Education Commission, for crash victim programs and materials, |
| 2 | | impaired driving prevention programs, law enforcement support, |
| 3 | | and other DUI-related programs. |
| 4 | | Section 90. The sum of $23,947,928, or so much thereof as |
| 5 | | may be necessary, and remains unexpended, at the close of |
| 6 | | business on June 30, 2026, from the appropriation and |
| 7 | | reappropriation heretofore made in Article 66, Section 125 and |
| 8 | | Article 67, Section 85 of Public Act 104-0003, as amended, is |
| 9 | | reappropriated from the Cycle Rider Safety Training Fund to |
| 10 | | the Department of Transportation for reimbursements to State |
| 11 | | and local universities and colleges for Cycle Rider Safety |
| 12 | | Training Programs. |
| 13 | | FOR AERONAUTICS |
| 14 | | Section 95. The sum of $60,339,625, or so much thereof as |
| 15 | | may be necessary, and remains unexpended at the close of |
| 16 | | business on June 30, 2026, from the appropriation and |
| 17 | | reappropriation heretofore made in Article 66, Section 190 and |
| 18 | | Article 67, Section 90, of Public Act 104-0003, as amended, is |
| 19 | | reappropriated from the State Aviation Program Fund to the |
| 20 | | Department of Transportation for the purposes described in |
| 21 | | Section 6z-20.1 of the State Finance Act. |
| 22 | | Section 100. The sum of $50,648,805, or so much thereof as |
| 23 | | may be necessary, and remains unexpended at the close of |
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| 1 | | business on June 30, 2026, from the appropriation and |
| 2 | | reappropriation heretofore made in Article 66, Section 195 and |
| 3 | | Article 67, Section 95, of Public Act 104-0003, as amended, is |
| 4 | | reappropriated from the Sound-Reducing Windows and Doors |
| 5 | | Replacement Fund to the Department of Transportation for the |
| 6 | | purposes described in Section 6z-20.1 of the State Finance |
| 7 | | Act. |
| 8 | | FOR HIGHWAY SAFETY PROGRAM |
| 9 | | Section 105. The sum of $30,255,584, or so much thereof as |
| 10 | | may be necessary, and remains unexpended at the close of |
| 11 | | business on June 30, 2026, from the appropriation and |
| 12 | | reappropriation heretofore made in Article 66, Section 275, |
| 13 | | and Article 67 Section 100 of Public Act 104-0003, as amended, |
| 14 | | is reappropriated from the Road Fund to the Department of |
| 15 | | Transportation for the Illinois Highway Safety Program and |
| 16 | | local highway safety projects by county and municipal |
| 17 | | governments, state and private universities, and other private |
| 18 | | entities. |
| 19 | | FOR INTERMODAL PROJECT IMPLEMENTATION |
| 20 | | Section 110. The sum of $1,151,829, or so much thereof as |
| 21 | | may be necessary, and remains unexpended at the close of |
| 22 | | business on June 30, 2026, from the appropriation and |
| 23 | | reappropriation heretofore made in Article 66, Section 210 and |
| 24 | | Article 67, Section 110 of Public Act 104-0003, as amended, is |
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| 1 | | reappropriated from the Road Fund to the Department of |
| 2 | | Transportation for public transportation technical studies. |
| 3 | | Section 115. The sum of $3,341,106, or so much thereof as |
| 4 | | may be necessary, and remains unexpended at the close of |
| 5 | | business on June 30, 2026, from the appropriation and |
| 6 | | reappropriation heretofore made in Article 66, Section 230 and |
| 7 | | Article 67, Section 115 of Public Act 104-0003, as amended, is |
| 8 | | reappropriated from the Federal Mass Transit Trust Fund to the |
| 9 | | Department of Transportation for federal reimbursement of |
| 10 | | costs associated with Safety and Security Oversight as set |
| 11 | | forth in the federal transportation bill, as amended. |
| 12 | | Section 120. The sum of $7,034,946, or so much thereof as |
| 13 | | may be necessary, and remains unexpended at the close of |
| 14 | | business on June 30, 2026, from the appropriation and |
| 15 | | reappropriation heretofore made in Article 66, Section 235 and |
| 16 | | Article 67, Section 120 of Public Act 104-0003, as amended, is |
| 17 | | reappropriated from the Federal Mass Transit Trust Fund to the |
| 18 | | Department of Transportation for federal reimbursement of |
| 19 | | transit studies as provided by the federal transportation |
| 20 | | bill, as amended. |
| 21 | | Section 125. The sum of $2,475,744, or so much thereof as |
| 22 | | may be necessary, and remains unexpended at the close of |
| 23 | | business on June 30, 2026, from the reappropriation heretofore |
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| 1 | | made in Article 67, Section 125 of Public Act 104-0003, as |
| 2 | | amended, is reappropriated from the Federal Mass Transit Trust |
| 3 | | Fund to the Department of Transportation for support to rural |
| 4 | | transit districts as provided by the CARES Act, including |
| 5 | | prior incurred costs. |
| 6 | | Section 130. The sum of $11,894,753, or so much thereof as |
| 7 | | may be necessary, and remains unexpended, at the close of |
| 8 | | business on June 30, 2026, from the appropriation and |
| 9 | | reappropriation heretofore made in Article 66, Section 260 and |
| 10 | | Article 67, Section 130 of Public Act 104-0003, as amended, is |
| 11 | | reappropriated from the Road Fund to the Department of |
| 12 | | Transportation for costs associated with the long-term heavy |
| 13 | | overhauls of locomotives. |
| 14 | | FOR EQUIPMENT |
| 15 | | Section 135. The following named sums, or so much thereof |
| 16 | | as may be necessary, and remains unexpended at the close of |
| 17 | | business on June 30, 2026, from the appropriations and |
| 18 | | reappropriations heretofore made in Article 66, Sections 40, |
| 19 | | 55, 130, 135, 140, 145, 150, 155, 160, 165, 170, and 175 and |
| 20 | | Article 67 Section 135 of Public Act 104-0003, as amended, is |
| 21 | | reappropriated from the Road Fund to the Department of |
| 22 | | Transportation for equipment as follows: |
| 23 | | Planning and Programming |
| 24 | | For Equipment.......................................727,682 |
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| 1 | | Highways Project Implementation |
| 2 | | For Equipment....................................28,390,879 |
| 3 | | Day Labor |
| 4 | | For Equipment.....................................1,169,260 |
| 5 | | District 1, Schaumburg Office |
| 6 | | For Equipment....................................12,107,175 |
| 7 | | District 2, Dixon Office |
| 8 | | For Equipment.....................................3,904,928 |
| 9 | | District 3, Ottawa Office |
| 10 | | For Equipment.....................................4,932,208 |
| 11 | | District 4, Peoria Office |
| 12 | | For Equipment.....................................4,046,916 |
| 13 | | District 5, Paris Office |
| 14 | | For Equipment.....................................3,695,122 |
| 15 | | District 6, Springfield Office |
| 16 | | For Equipment.....................................4,746,448 |
| 17 | | District 7, Effingham Office |
| 18 | | For Equipment.....................................3,229,967 |
| 19 | | District 8, Collinsville Office |
| 20 | | For Equipment.....................................5,606,249 |
| 21 | | District 9, Carbondale Office |
| 22 | | For Equipment.....................................3,058,981 |
| 23 | | Total $75,615,815 |
| 24 | | Section 140. The following named sums, or so much thereof |
| 25 | | as may be necessary, and remains unexpended at the close of |
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| 1 | | business on June 30, 2026, from the appropriations and |
| 2 | | reappropriations heretofore made in Article 66, Sections 10, |
| 3 | | 55, 130, 135, 140, 145, 150, 155, 160, 165, 170, and 175 and |
| 4 | | Article 67, Section 140 of Public Act 104-0003, as amended, is |
| 5 | | reappropriated from the Road Fund to the Department of |
| 6 | | Transportation for the purchase of Cars and Trucks as follows: |
| 7 | | Central Administration |
| 8 | | For Purchase of Cars and Trucks.....................638,659 |
| 9 | | Highways Project Implementation |
| 10 | | For Purchase of Cars and Trucks..................24,650,946 |
| 11 | | Day Labor |
| 12 | | For Purchase of Cars and Trucks...................3,315,463 |
| 13 | | District 1, Schaumburg Office |
| 14 | | For Purchase of Cars and Trucks..................47,116,400 |
| 15 | | District 2, Dixon Office |
| 16 | | For Purchase of Cars and Trucks..................18,634,949 |
| 17 | | District 3, Ottawa Office |
| 18 | | For Purchase of Cars and Trucks..................16,892,369 |
| 19 | | District 4, Peoria Office |
| 20 | | For Purchase of Cars and Trucks..................16,080,315 |
| 21 | | District 5, Paris Office |
| 22 | | For Purchase of Cars and Trucks..................12,989,210 |
| 23 | | District 6, Springfield Office |
| 24 | | For Purchase of Cars and Trucks..................13,104,484 |
| 25 | | District 7, Effingham Office |
| 26 | | For Purchase of Cars and Trucks..................14,526,780 |
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| 1 | | District 8, Collinsville Office |
| 2 | | For Purchase of Cars and Trucks..................18,242,787 |
| 3 | | District 9, Carbondale Office |
| 4 | | For Purchase of Cars and Trucks..................11,493,529 |
| 5 | | Total $197,685,891 |
| 6 | | Total, This Article..........................$770,861,535 |
| 7 | | Section 999. Effective date. This Act takes effect July 1, |
| 8 | | 2026. |