LD 468
pg. 11
Page 10 of 348 An Act Making Unified Appropriations and Allocations for the Expenditures of St... Page 12 of 348
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LR 2149
Item 1

 
TREE GROWTH TAX REIMBURSEMENT 0261

 
GENERAL FUND2005-062006-07

 
All Other$5,400,000$5,500,000

 
________________________

 
GENERAL FUND TOTAL$5,400,000$5,500,000

 
UNORGANIZED TERRITORY EDUCATION AND SERVICES

 
FUND - FINANCE 0573

 
OTHER SPECIAL REVENUE FUNDS2005-062006-07

 
All Other$8,015,000$8,465,000

 
________________________

 
OTHER SPECIAL REVENUE FUNDS TOTAL$8,015,000$8,465,000

 
VETERANS TAX REIMBURSEMENT 0407

 
GENERAL FUND2005-062006-07

 
All Other$895,000$910,000

 
________________________

 
GENERAL FUND TOTAL$895,000$910,000

 
WASTE FACILITY TAX REIMBURSEMENT 0907

 
GENERAL FUND2005-062006-07

 
All Other$5,850$5,950

 
________________________

 
GENERAL FUND TOTAL$5,850$5,950

 
ADMINISTRATIVE AND FINANCIAL SERVICES,

 
DEPARTMENT OF

 
DEPARTMENT TOTALS2005-062005-06

 
GENERAL FUND$201,686,464$208,233,313

 
HIGHWAY FUND$2,889,317$2,949,923

 
FEDERAL EXPENDITURES FUND$126,630$134,182

 
OTHER SPECIAL REVENUE FUNDS$19,591,920$20,219,544

 
POSTAL, PRINTING AND SUPPLY FUND$4,194,258$4,308,265

 
OFFICE OF INFORMATION SERVICES

 
FUND$21,895,333$22,462,671

 
RISK MANAGEMENT FUND$608,141$608,141

 
WORKERS' COMPENSATION MANAGEMENT

 
FUND$19,345,175$19,377,110

 
CENTRAL MOTOR POOL$5,354,727$5,422,913

 
REAL PROPERTY LEASE INTERNAL

 
SERVICE FUND$20,694,849$20,701,763

 
BUREAU OF REVENUE SERVICES FUND$625,000$0

 
RETIREE HEALTH INSURANCE FUND$48,400,235$48,400,235

 
ACCIDENT, SICKNESS AND HEALTH

 
INSURANCE INTERNAL SERVICE FUND$1,513,884$1,513,884


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