|
| | | OTHER SPECIAL REVENUE FUNDS | | $45,000 |
|
| | | DEPARTMENT TOTAL - ALL FUNDS | | $45,000 |
|
| | | Sec. B-1. Appropriations and allocations. There are appropriated and | | allocated from the various funds for the fiscal year ending June | | 30, 2005, to the departments listed, the sums identified in the | | following, in order to provide funding for approved | | reclassifications and range changes. |
|
| | | ADMINISTRATIVE AND FINANCIAL SERVICES, DEPARTMENT OF |
|
| | | REVENUE SERVICES - BUREAU OF 0002 |
|
| | | CENTRAL SERVICES - PURCHASES 0004 |
|
| | | POSTAL, PRINTING AND SUPPLY FUND | | 2004-05 |
|
| | | POSTAL, PRINTING AND SUPPLY FUND TOTAL | | $0 |
|
| | | STATE CONTROLLER - OFFICE OF THE 0056 |
|
| | | BUILDINGS AND GROUNDS OPERATIONS 0080 |
|
| | | HIGHWAY FUND - (Informational) | | 2004-05 |
|
|