121st Maine Legislature
Office of Fiscal and Program Review
LD 1828
An Act to Make Supplemental Appropriations and Allocations for the Expenditures of State Government and to Change Certain Provisions of the Law Necessary for the Proper Operations of State Government for the Fiscal Years Ending June 30, 2004 and June 30, 2005
LR 2700(03)
Fiscal Note for Bill as Amended by Committee Amendment "B"
Committee: Appropriations and Financial Affairs
Fiscal Note Required: Yes
Minority Report
   
             
FISCAL NOTE
           
APPROPRIATIONS AND ALLOCATIONS        
        2003-04 2004-05
GENERAL FUND            
PART A, Section A-1       84,252,115 (7,330,141)
PART J, Section J-6       208,734  
PART N, Section N-1       (100,000) (1,200,000)
PART O, Section O-5       10,352,200  
PART S, Section S-3       (1,000,000)  
         
GENERAL FUND TOTAL     93,713,049 (8,530,141)
           
FEDERAL EXPENDITURES FUND      
PART A, Section A-1       179,534,159 42,060
PART J, Section J-6       470,297  
           
FEDERAL EXPENDITURES FUND TOTAL   180,004,456 42,060
           
OTHER SPECIAL REVENUE FUNDS            
PART A, Section A-1       10,050,529 140,788
           
OTHER SPECIAL REVENUE FUNDS TOTAL   10,050,529 140,788
           
ALCOHOLIC BEVERAGE FUND,        
PART A, Section A-1       850,000  
           
ALCOHOLIC BEVERAGE FUND TOTAL     850,000 0
           
           
GENERAL FUND UNDEDICATED REVENUE      
        2003-04 2004-05
           
PART J, Section J-1   761,910  
PART T, Sections T-1:T-4       3,500 3,500
           
GENERAL FUND UNDEDICATED REVENUE TOTAL 765,410 3,500
           
           
GENERAL FUND TRANSERS/ADJUSTMENTS TO BALANCE  
        2003-04 2004-05
           
PART B, Section B-1       28,885,017  
PART C, Section C-2       290,064  
PART C, Section C-3       103,566  
PART D, Section D-1       207,187  
PART F, Section F-1       1,365,855  
PART J, Section J-2       569,000  
PART J, Section J-3       5,800,488  
PART J, Section J-4       3,691,639  
PART K, Section K-2       6,929,748  
PART L, Section L-1       161,137 121,118
PART M, Section M-1       11,053  
PART P, Section P-1       18,000,000  
PART Q, Section Q-1       100,000  
PART R, Section R-1       3,100,000  
PART U, Section U-1       50,000 50,000
           
GENERAL FUND TRANSERS/ ADJUSTMENTS TO BALANCE TOTAL   69,264,754 171,118