101ST GENERAL ASSEMBLY

 

State of Illinois

 

2019 and 2020   

HB3786

 

Introduced ,  by Rep. Gregory Harris - Kelly M. Cassidy

 

SYNOPSIS AS INTRODUCED:

 

Makes appropriations for the ordinary and contingent expenses of the Capital Development Board for the fiscal year beginning July 1, 2019, as follows:

Other State Funds                $31,765,400

 

 

OMB101 00063 HJW 45063 b

 

 

 

 

 

  $FY20 CDB OCE

 

 

 


    AN ACT concerning appropriations.

 

        Be it enacted by the People of the State of Illinois, represented in the General Assembly:

 

ARTICLE 1

 

    Section 1.  The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Capital Development Board:

GENERAL OFFICE

Payable from Capital Development Fund:

  For Personal Services......................... 11,870,000

  For State Contributions to State

   Employees' Retirement System.................. 6,444,500

  For State Contributions to

    Social Security................................ 908,100

  For Group Insurance............................ 3,336,000

  For Contractual Services......................... 612,500

  For Travel....................................... 152,700

  For Commodities................................... 25,900

  For Printing...................................... 14,500

  For Equipment..................................... 10,000

  For Electronic Data Processing................... 282,100

  For Telecommunications Services.................. 163,600

  For Operation of Auto Equipment................... 18,500

  For Operational Expenses......................... 727,000

  For Facilities Conditions Assessments

    and Analysis................................. 1,500,000

  For Project Management Tracking................ 1,000,000

    Total                                       $27,065,400

Payable from Capital Development Board Revolving Fund:

  For Contractual Services....................... 1,000,000

  For Travel........................................ 50,000

  For Job Related Outreach.......................... 50,000

  For Facilities Conditions Assessments

    and Analysis................................. 1,000,000

  For Operational Expenses....................... 2,000,000

    Total                                        $4,100,000

Payable from the School Infrastructure Fund:

  For operational purposes relating to

   the School Infrastructure Program............... 600,000

 

Section 99.  Effective Date.  This Act takes effect July 1, 2019.