State of Illinois
91st General Assembly
Legislation

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[ Introduced ][ Engrossed ][ Senate Amendment 001 ]
[ Conference Committee Report 001 ]

91_HB0052enr

 
HB0052 Enrolled                                LRB9100571WHdv

 1        AN ACT regarding appropriations.

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

 4                              ARTICLE 1

 5        Section  1.  The sum of $1,048,047, or so much thereof as
 6    may be necessary, is appropriated from  the  General  Revenue
 7    Fund  to  the Southwestern Illinois Development Authority for
 8    payment of principal and interest on bonds issued  on  behalf
 9    of Laclede Steel.

10                              ARTICLE 2

11        Section  1.  The  following  named  amounts,  or  so much
12    thereof as may be necessary, respectively,  are  appropriated
13    for  the  objects and purposes hereinafter named, to meet the
14    ordinary and contingent expenses  of  the  Illinois  Planning
15    Council on Developmental Disabilities:
16    Payable from Planning Council on Developmental
17     Disabilities Federal Fund:
18      For Personal Services ........................ $    711,300
19      For Employee Retirement Contributions
20       Paid By Employer.............................       28,500
21      For State Contributions to the State
22      Employees' Retirement System .................       69,700
23      For State Contributions to
24       Social Security .............................       54,100
25      For Group Insurance ..........................       87,000
26      For Contractual Services .....................      469,700
27      For Travel ...................................       43,000
28      For Commodities ..............................       30,000
29      For Printing .................................       37,500
 
HB0052 Enrolled            -2-                 LRB9100571WHdv
 1      For Equipment ................................       15,000
 2      For Electronic Data Processing ...............       20,000
 3      For Telecommunications Services ..............       45,000
 4      For Costs Associated with the
 5       Illinois Transition Consortium ..............            0
 6        Total                                          $1,610,800

 7        Section  2.  The amount of $2,500,000, or so much thereof
 8    as may  be  necessary,  is  appropriated  from  the  Planning
 9    Council  on  Developmental  Disabilities  Federal Fund to the
10    Illinois Planning Council on Developmental  Disabilities  for
11    awards  and  grants  to  community  agencies  and other State
12    agencies.

13                              ARTICLE 3

14        Section 1.  The following named sums, or so much  thereof
15    as  may  be  necessary,  respectively,  for  the  objects and
16    purposes hereinafter named,  are  appropriated  to  meet  the
17    ordinary   and  contingent  expenses  of  the  Department  of
18    Military Affairs:
19                           FOR OPERATIONS
20                   OFFICE OF THE ADJUTANT GENERAL
21    Payable from General Revenue Fund:
22      For Personal Services ........................ $  1,255,400
23      For Employee Retirement Contributions
24       Paid By Employer ............................       50,100
25      For State Contributions to State
26       Employees' Retirement System ................      121,400
27      For State Contributions to
28       Social Security .............................       95,800
29      For Contractual Services .....................       34,000
30      For Travel ...................................       15,900
31      For Commodities ..............................       15,700

 
HB0052 Enrolled            -3-                 LRB9100571WHdv
 1      For Printing .................................        5,900
 2      For Equipment ................................       40,400
 3      For Electronic Data Processing ...............       56,300
 4      For Telecommunications Services ..............       35,500
 5      For Operation of Auto Equipment ..............       20,000
 6      For State Officer's Candidate School .........        2,200
 7      For Lincoln's Challenge ......................    2,613,600
 8        Total                                          $4,362,200
 9    Payable from Federal Support Agreement Revolving Fund:
10      Army/Air Reimbursable Positions .............. $  4,504,300
11      Lincoln's Challenge ..........................    4,398,500
12      Lincoln's Challenge Stipend Payments .........    1,700,000
13        Total                                         $10,602,800
14                        FACILITIES OPERATIONS
15    Payable from General Revenue Fund:
16      For Personal Services ........................ $  5,092,800
17      For Employee Retirement Contributions
18       Paid by Employer ............................      203,700
19      For State Contributions to State
20       Employees' Retirement System ................      495,000
21      For State Contributions to
22       Social Security .............................      389,600
23      For Contractual Services .....................    2,150,500
24      For Commodities ..............................      112,100
25      For Equipment ................................       55,200
26        Total                                          $8,498,900

27        Section 2.  The sum of $3,500,000, or so much thereof  as
28    may  be  necessary,  is appropriated from the Federal Support
29    Agreement  Revolving  Fund  to  the  Department  of  Military
30    Affairs  for  expenses  related  to   Army   National   Guard
31    Facilities  operations and maintenance as provided for in the
32    Cooperative Funding  Agreements,  including  costs  in  prior
33    years.
 
HB0052 Enrolled            -4-                 LRB9100571WHdv
 1        Section  3.  The  sum  of $275,000, or so much thereof as
 2    may be necessary, is appropriated from  the  Federal  Support
 3    Agreement  Revolving  Fund  to  the  Department  of  Military
 4    Affairs  for expenses related to the Bartonville and Kankakee
 5    armories for operations  and  maintenance  according  to  the
 6    Joint-Use Agreement.

 7        Section 4.  The sum of $48,500, or so much thereof as may
 8    be  necessary,  is appropriated from the General Revenue Fund
 9    to the Department of Military Affairs for rehabilitation  and
10    minor construction at armories and camps.

11        Section 5.  The sum of $16,500, or so much thereof as may
12    be  necessary,  is appropriated from the General Revenue Fund
13    to the Department of Military  Affairs for  expenses  related
14    to the care and preservation of historic artifacts.

15        Section  6.  The sum of $1,500,000, or so much thereof as
16    may be necessary, is appropriated from the  Military  Affairs
17    Trust  Fund  to the Department of Military Affairs to support
18    youth and other programs, provided  such  amounts  shall  not
19    exceed  funds  to  be  made  available from public or private
20    sources.

21        Section 7.  The sum of $43,400, or so much of that sum as
22    may be necessary and  remains  unexpended  at  the  close  of
23    business  on  June  30, 1999 from reappropriations heretofore
24    made in Article 42, Section  9  of  Public  Act  90-0585,  is
25    reappropriated   from  the  Illinois  National  Guard  Armory
26    Construction Fund to the Department of  Military  Affairs  to
27    provide  the  State's  share  in  the costs of planning a new
28    armory in Danville.

29        Section 8.  The sum of $262,400, or so  much  thereof  as

 
HB0052 Enrolled            -5-                 LRB9100571WHdv
 1    may  be  necessary,  and  remains  unexpended at the close of
 2    business on June 30, 1999 from appropriations heretofore made
 3    in  Article  42,  Section  10  of  Public  Act  90-0585,   is
 4    reappropriated   from  the  Illinois  National  Guard  Armory
 5    Construction Fund for land acquisition  and  construction  of
 6    parking facilities at armories.

 7        Section   9.  No   contract  shall  be  entered  into  or
 8    obligation  incurred  for  any  expenditures  made  from   an
 9    appropriation  herein made in Sections 4, 7 and 8 until after
10    the purpose and amounts have been approved in writing by  the
11    Governor.

12                              ARTICLE 4

13        Section  1.  The sum of $4,079,400, or so much thereof as
14    may be necessary and  remains  unexpended  at  the  close  of
15    business  on  June 30, 1999, from reappropriations heretofore
16    made in Article 80, Section  1  of  Public  Act  90-0585,  is
17    reappropriated  from the General Revenue Fund to the Illinois
18    Farm Development  Authority  for  transfer  to  the  Illinois
19    Agricultural Loan Guarantee Fund.

20        Section  2.   The  sum of $500,000, or so much thereof as
21    may be necessary, is appropriated from  the  General  Revenue
22    Fund  to  the  Illinois  Farm  Development  Authority for the
23    purpose of interest buy-back as authorized under the Illinois
24    Farm Development Act.

25                              ARTICLE 5

26        Section 1.  The  following  named  amounts,  or  so  much
27    thereof  as  may be necessary, respectively, are appropriated
28    to the Department of  Nuclear  Safety  for  the  objects  and
 
HB0052 Enrolled            -6-                 LRB9100571WHdv
 1    purposes hereinafter enumerated:
 2                MANAGEMENT AND ADMINISTRATIVE SUPPORT
 3    Payable from Nuclear Safety Emergency
 4     Preparedness Fund:
 5      For Personal Services ........................ $  1,263,700
 6      For Employee Retirement Contributions
 7       Paid by Employer ............................       50,500
 8      For State Contributions to State
 9       Employees' Retirement System ................      122,800
10      For State Contributions to
11       Social Security .............................       96,700
12      For Group Insurance ..........................      145,000
13      For Contractual Services .....................    1,483,900
14      For Travel ...................................       34,000
15      For Commodities ..............................       50,500
16      For Printing .................................       20,000
17      For Equipment ................................       15,600
18      For Electronic Data Processing ...............      649,000
19      For Telecommunications Services ..............      255,500
20      For Operation of Auto Equipment ..............      107,900
21        Total                                          $4,295,100
22    Payable from Radiation Protection Fund:
23      For Contractual Services ..................... $    335,700
24      For Commodities ..............................       18,900
25      For Printing .................................       50,000
26      For Electronic Data Processing ...............      126,400
27      For Telecommunications Services ..............       65,400
28      For Operation of Auto Equipment ..............       10,300
29        Total                                            $606,700

30        Section  2.  The  following  named  amounts,  or  so much
31    thereof as may be necessary, respectively,  are  appropriated
32    to  the  Department  of  Nuclear  Safety  for the objects and
33    purposes hereinafter enumerated:
 
HB0052 Enrolled            -7-                 LRB9100571WHdv
 1                       NUCLEAR FACILITY SAFETY
 2    Payable from Nuclear Safety Emergency
 3     Preparedness Fund:
 4      For Personal Services ........................ $  5,230,600
 5      For Employee Retirement Contributions
 6       Paid by Employer ............................      209,200
 7      For State Contributions to State
 8       Employees' Retirement System ................      508,100
 9      For State Contributions to
10       Social Security .............................      400,100
11      For Group Insurance ..........................      562,600
12      For Contractual Services .....................      701,600
13      For Travel ...................................      148,500
14      For Commodities ..............................      220,800
15      For Equipment ................................      244,000
16      For Electronic Data Processing ...............      569,700
17      For Telecommunications Services ..............      502,300
18      For Compensation to local governments for
19       expenses attributable to implementation
20       and maintenance of plans and programs
21       authorized by the Nuclear Safety
22       Preparedness Act including expenses
23       incurred prior to July 1, 1997 ..............      650,000
24        Total                                          $9,947,500

25        Section 3.  The  following  named  amounts,  or  so  much
26    thereof  as  may be necessary, respectively, are appropriated
27    to the Department of  Nuclear  Safety  for  the  objects  and
28    purposes hereinafter enumerated:
29                          RADIATION SAFETY
30    Payable from General Revenue Fund:
31      For Personal Services ........................ $    459,600
32      For Employee Retirement Contributions
33       Paid by Employer ............................       18,400
 
HB0052 Enrolled            -8-                 LRB9100571WHdv
 1      For State Contributions to State
 2       Employees' Retirement System ................       44,600
 3      For State Contributions to
 4       Social Security .............................       33,800
 5        Total                                            $556,400
 6    Payable from Radiation Protection Fund:
 7      For Personal Services ........................ $  1,704,400
 8      For Employee Retirement Contributions
 9       Paid by Employer ............................       68,200
10      For State Contributions to State
11       Employees' Retirement System ................      165,600
12      For State Contributions to
13       Social Security .............................      130,400
14      For Group Insurance ..........................      179,800
15      For Contractual Services .....................       42,400
16      For Travel ...................................       98,900
17      For Equipment ................................       60,200
18      For Refunds ..................................      100,000
19        Total                                          $2,549,900
20    Payable from Nuclear Safety Emergency
21      Preparedness Fund:
22      For Personal Services ........................ $    241,800
23      For Employee Retirement Contributions
24       Paid by Employer ............................        9,700
25      For State Contributions to State Employees'
26       Retirement System ...........................       23,500
27      For State Contributions to
28       Social Security .............................       18,500
29      For Group Insurance ..........................       29,000
30      For Contractual Services .....................       14,700
31      For Travel ...................................        2,000
32      For Commodities ..............................        2,000
33        Total                                            $341,200
 
HB0052 Enrolled            -9-                 LRB9100571WHdv
 1        Section  4.  The  following  named  amounts,  or  so much
 2    thereof as may be necessary, respectively,  are  appropriated
 3    to  the  Department  of  Nuclear  Safety  for the objects and
 4    purposes hereinafter enumerated:
 5                        ENVIRONMENTAL SAFETY
 6    Payable from General Revenue Fund:
 7      For Refunds ......................................... $ 300

 8    Payable from Nuclear Safety Emergency
 9     Preparedness Fund:
10      For Personal Services ........................ $  2,365,100
11      For Employee Retirement Contributions
12       Paid by Employer ............................       94,600
13      For State Contributions to State
14       Employees' Retirement System ................      229,700
15      For State Contributions to
16       Social Security .............................      180,900
17      For Group Insurance ..........................      272,600
18      For Contractual Services .....................      322,000
19      For Travel ...................................       65,700
20      For Commodities ..............................       70,600
21      For Equipment ................................      187,300
22        Total                                          $3,788,500
23    Payable from Low-Level Radioactive Waste
24      Facility Development and Operation Fund:
25      For Refunds for Overpayments made by Low-
26       Level Waste Generators ...................... $      5,000
27        Total                                              $5,000

28        Section 5.  The amount of $400,000, or so much thereof as
29    may be necessary,  is  appropriated  from  the  Indoor  Radon
30    Mitigation  Fund  to  the  Department  of  Nuclear Safety for
31    expenses relating to the federally funded State Indoor  Radon
32    Abatement Program.
 
HB0052 Enrolled            -10-                LRB9100571WHdv
 1        Section  6.  The sum of $3,000,000, or so much thereof as
 2    may  be  necessary,  is  appropriated  from   the   Low-Level
 3    Radioactive  Waste Facility Development and Operation Fund to
 4    the Department of Nuclear Safety for use in  accordance  with
 5    Section  14(a)  of  the  Illinois Low-Level Radioactive Waste
 6    Management Act for costs related to establishing a  low-level
 7    radioactive waste disposal facility.

 8        Section  7.  The sum of $5,000,000, or so much thereof as
 9    may  be  necessary,  is  appropriated  from   the   Radiation
10    Protection  Fund  to  the  Department  of  Nuclear Safety for
11    licensing facilities where radioactive  uranium  and  thorium
12    mill tailings are generated or located, and related costs for
13    regulating  the  decontamination  and decommissioning of such
14    facilities  and  for  identification,   decontamination   and
15    environmental    monitoring    of    unlicensed    properties
16    contaminated with such radioactive mill tailings.

17        Section  8.  The  sum  of $100,000, or so much thereof as
18    may  be  necessary,  is  appropriated  from   the   Radiation
19    Protection  Fund  to  the  Department  of  Nuclear Safety for
20    reimbursing other governmental agencies for their  assistance
21    in responding to radiological emergencies.

22        Section  9.  The  sum  of $250,000, or so much thereof as
23    may  be  necessary,  is  appropriated  from   the   Radiation
24    Protection  Fund  to  the  Department  of  Nuclear Safety for
25    recovery  and  remediation  of  radioactive   materials   and
26    contaminated  facilities  or  properties  when  such expenses
27    cannot be paid  by  a  responsible  person  or  an  available
28    surety.

29        Section  10.  The  sum of $100,000, or so much thereof as
30    may be necessary, is appropriated  from  the  Nuclear  Safety
 
HB0052 Enrolled            -11-                LRB9100571WHdv
 1    Emergency  Preparedness  Fund  to  the Illinois Department of
 2    Nuclear Safety for related training and travel  expenses  and
 3    to  reimburse  the  Illinois  State  Police  and the Illinois
 4    Commerce Commission for costs incurred for activities related
 5    to inspecting and escorting shipments of spent nuclear  fuel,
 6    high-level   radioactive  waste,  and  transuranic  waste  in
 7    Illinois as provided under the rules of the Department.

 8        Section 11.  The sum of $650,000, or so much  thereof  as
 9    may   be   necessary,  is  appropriated  from  the  Radiation
10    Protection Fund  to  the  Department  of  Nuclear  Safety  to
11    provide  for  Federally  Funded  Low-Level  Radioactive Waste
12    Intergovernmental Programs.

13        Section 12.  The sum of $30,000, or so  much  thereof  as
14    may  be  necessary, is appropriated from the Sheffield Agreed
15    Order Fund to the Department of Nuclear Safety for the  care,
16    maintenance,  monitoring,  testing, remediation and insurance
17    of  the  low-level  radioactive  waste  disposal  site   near
18    Sheffield, Illinois.

19                              ARTICLE 6

20        Section  1.  The following named sums, or so much thereof
21    as may be necessary, are appropriated from the  Environmental
22    Protection  Trust  Fund to the Environmental Protection Trust
23    Fund Commission for  grants  to  the  Illinois  Environmental
24    Protection Agency as follows:
25    To Support Enhanced Environmental Protection
26      and Enforcement Activities .....................$   625,000

27        Section  2.  The following named sums, or so much thereof
28    as may be necessary, are appropriated from the  Environmental
29    Protection  Trust  Fund to the Environmental Protection Trust
 
HB0052 Enrolled            -12-                LRB9100571WHdv
 1    Fund Commission for  grants  to  the  Department  of  Natural
 2    Resources as follows:
 3    Grants to Department of Natural
 4      Resources for projects relating
 5      to natural resources research,
 6      protection, and educational
 7      activities .....................................$   625,000

 8        Section  3.  The following named sums, or so much thereof
 9    as may be necessary, are appropriated from the  Environmental
10    Protection  Trust  Fund to the Environmental Protection Trust
11    Fund Commission for grants to the Pollution Control Board  as
12    follows:
13    For Funding Expenses of Case
14      Processing and Other Activities ..................$ 625,000

15        Section  4.  The  following named sum, or so much thereof
16    as may be necessary, is appropriated from  the  Environmental
17    Protection  Trust  Fund to the Environmental Protection Trust
18    Fund Commission for grants to  the  Office  of  the  Attorney
19    General as follows:
20    For Enhanced Environmental Enforcement
21      Activities .......................................$ 625,000

22                              ARTICLE 7

23        Section 1.  The amount of $304,300, or so much thereof as
24    may  be  necessary,  is appropriated from the General Revenue
25    Fund to the East St. Louis Financial Advisory  Authority  for
26    the  operating  expenses  of  the  City  of  East  St.  Louis
27    Financial Advisory Authority.

28                              ARTICLE 8
 
HB0052 Enrolled            -13-                LRB9100571WHdv
 1        Section  1.  The  following  named  amounts,  or  so much
 2    thereof as may be necessary, respectively,  for  the  objects
 3    and  purposes  hereinafter  named,  are appropriated from the
 4    Agricultural Premium Fund for  the  ordinary  and  contingent
 5    expenses of the Illinois Racing Board:
 6                             OPERATIONS
 7                           GENERAL OFFICE
 8      For Personal Services ........................ $  1,111,400
 9      For Employee Retirement Contributions
10       Paid by Employer ............................       44,500
11      For State Contributions to State
12       Employees' Retirement System ................      108,000
13      For State Contributions to
14       Social Security .............................       83,600
15      For Contractual Services .....................      174,500
16      For Contractual Services:
17       Hearing Officers ............................       19,400
18      For Travel ...................................       35,700
19      For Commodities ..............................       15,700
20      For Printing .................................        7,000
21      For Equipment ................................       28,600
22      For Telecommunications Services ..............       83,100
23      For Operation of Auto Equipment ..............        6,900
24        Total                                          $1,718,400
25                         LABORATORY PROGRAM
26      For Personal Services ........................   $  676,300
27      For Employee Retirement Contributions
28       Paid by Employer ............................       27,100
29      For State Contributions to State
30       Employees' Retirement System ................       65,700
31      For State Contributions to
32       Social Security .............................       50,800
33      For Contractual Services .....................      478,500
34      For Travel ...................................        6,000
 
HB0052 Enrolled            -14-                LRB9100571WHdv
 1      For Commodities ..............................      440,900
 2      For Printing .................................        7,500
 3      For Equipment ................................      107,000
 4      For Telecommunications Services ..............        6,500
 5      For Operation of Auto Equipment ..............        1,800
 6        Total                                          $1,868,100
 7                    REGULATION OF RACING PROGRAM
 8      For Personal Services:
 9      For Per Diem Expenses for the Regulation
10       of Race Days ................................ $  2,420,100
11      For Employee Retirement Contributions
12       Paid by Employer ............................       96,800
13      For State Contributions to State
14       Employees' Retirement System ................      235,100
15      For State Contributions to
16       Social Security .............................      179,400
17      For Contractual Services .....................       77,600
18      For Travel ...................................       31,400
19      For Commodities ..............................       20,100
20      For Printing .................................        3,400
21      For Equipment ................................       90,800
22      For Operation of Auto Equipment ..............        3,100
23      For Refunds ..................................        1,000
24        Total                                          $3,158,800

25        Section  2.  The sum of $4,800,000, or so much thereof as
26    may be necessary, is appropriated from the Illinois Racetrack
27    Improvement Fund to the Illinois Racing Board for improvement
28    of racetrack facilities pursuant to the provisions of Section
29    32 of the "Illinois Racing Act of 1975".

30        Section 3.  The sum of $5,000, or so much thereof as  may
31    be  necessary,  is  appropriated  from  the  Horse  Race  Tax
32    Allocation  Fund  to  the  Illinois  Horse  Racing  Board for
 
HB0052 Enrolled            -15-                LRB9100571WHdv
 1    payment to inter-track wagering location  licensees  pursuant
 2    to  paragraph  11(B)  of  subsection (h) of Section 26 of the
 3    "Illinois Horse Racing Act of 1975, 230 ILCS 5/26."

 4                              ARTICLE 9

 5        Section 1.  The  following  named  amounts,  or  so  much
 6    thereof  as  may  be necessary, respectively, for the objects
 7    and purposes hereinafter named,  are  appropriated  from  the
 8    State  Lottery  Fund  to  meet  the  ordinary  and contingent
 9    expenses  of  the  Department  of  the   Lottery,   including
10    operating  expenses  related  to  Multi-State  Lottery  games
11    pursuant to the Illinois Lottery Law:
12                             OPERATIONS
13    Payable from State Lottery Fund:
14      For Personal Services ........................ $  9,189,700
15      For Employee Retirement Contributions
16       Paid by Employer ............................      367,600
17      For State Contributions for the State
18       Employees' Retirement System ................      900,600
19      For State Contributions to
20       Social Security .............................      693,800
21      For Group Insurance ..........................    1,397,800
22      For Contractual Services .....................   26,035,900
23      For Travel ...................................      131,200
24      For Commodities ..............................       74,000
25      For Printing..................................       32,000
26      For Equipment ................................      421,500
27      For Electronic Data Processing ...............    3,448,800
28      For Telecommunications Services ..............    9,424,800
29      For Operation of Auto Equipment ..............      275,600
30      For Expenses of Developing and
31       Promoting Lottery Games .....................   11,994,200
32      For Refunds ..................................       50,000
 
HB0052 Enrolled            -16-                LRB9100571WHdv
 1        Total                                         $64,437,500
 2                            LOTTERY BOARD
 3    Payable from State Lottery Fund:
 4      For Personal Services - Per Diem
 5       For Board Members ........................... $      5,300
 6      For State Contributions to State
 7       Employees' Retirement System ................          500
 8      For State Contributions to
 9       Social Security .............................          400
10      For Contractual Services .....................          500
11      For Travel ...................................        1,500
12        Total                                              $8,200

13        Section  2.  The  sum of $300,000,000, or so much thereof
14    as may be necessary, is appropriated from the  State  Lottery
15    Fund  to the Department of the Lottery, for payment of prizes
16    to holders of winning lottery tickets  or  shares,  including
17    prizes  related to Multi-State Lottery games, pursuant to the
18    provisions of the "Illinois Lottery Law".

19        Section 3.  The sum of $35,000, or so much thereof as may
20    be necessary, is appropriated from the State Lottery Fund  to
21    the  Illinois  Department  of the Lottery, for payment to the
22    Illinois State Police for investigatory services.

23                             ARTICLE 10

24        Section 1.  The  following  named  amounts,  or  so  much
25    thereof  as  may be necessary, respectively, for the purposes
26    hereinafter named, are appropriated to meet the ordinary  and
27    contingent expenses of the Department of Employment Security:
28                       CENTRAL ADMINISTRATION
29    Payable from Title III Social Security and
30     Employment Service Fund:
 
HB0052 Enrolled            -17-                LRB9100571WHdv
 1      For Personal Services ........................ $  5,216,800
 2      For Employee Retirement Contributions
 3       Paid by Employer ............................    3,683,800
 4      For State Contributions to State
 5       Employees' Retirement System ................      511,200
 6      For State Contributions to
 7       Social Security .............................      399,100
 8      For Group Insurance ..........................      591,600
 9      For Contractual Services .....................    1,175,800
10      For Travel ...................................      127,300
11      For Telecommunications Services ..............      237,700
12        Total                                         $11,943,300
13                  FINANCE AND ADMINISTRATION BUREAU
14    Payable from Title III Social Security
15     and Employment Service Fund:
16      For Personal Services ........................ $  9,329,200
17      For State Contributions to State
18       Employees' Retirement System ................      914,300
19      For State Contributions to
20       Social Security .............................      713,700
21      For Group Insurance ..........................    1,177,400
22      For Contractual Services .....................    5,500,000
23      For Travel ...................................      132,600
24      For Commodities ..............................    1,038,500
25      For Printing .................................    1,942,800
26      For Equipment ................................      922,400
27      For Telecommunications Services ..............      547,300
28      For Operation of Auto Equipment ..............       96,500
29        Total                                         $22,314,700
30    Payable from Title III Social Security
31     and Employment Service Fund:
32      For expenses related to America's
33      Labor Market Information System .............. $  2,000,000
34                     INFORMATION SERVICE BUREAU
 
HB0052 Enrolled            -18-                LRB9100571WHdv
 1    Payable from Title III Social Security
 2     and Employment Service Fund:
 3      For Personal Services ........................ $  6,364,600
 4      For State Contributions to State
 5       Employees' Retirement System ................      623,700
 6      For State Contributions to Social
 7       Security ....................................      486,900
 8      For Group Insurance ..........................      765,600
 9      For Contractual Services .....................   17,691,400
10      For Travel ...................................       22,800
11      For Equipment ................................    3,107,800
12      For Telecommunications Services ..............    1,607,200
13        Total                                         $30,670,000

14        Section  2.  The following named sums, or so much thereof
15    as may be necessary, are appropriated to  the  Department  of
16    Employment Security:
17                             OPERATIONS
18    Payable from Title III Social Security and
19     Employment Service Fund:
20      For Personal Services ........................ $ 71,184,600
21      For State Contributions to State
22       Employees' Retirement System ................    6,976,100
23      For State Contributions to Social
24       Security ....................................    5,445,600
25      For Group Insurance ..........................   10,271,800
26      For Contractual Services .....................   15,911,400
27      For Travel ...................................    1,195,600
28      For Telecommunications Services ..............    5,745,000
29      For Permanent Improvements ...................       85,000
30      For Refunds ..................................      300,000
31        Total                                        $117,115,100
32    Payable from Title III Social Security
33     and Employment Service Fund:
 
HB0052 Enrolled            -19-                LRB9100571WHdv
 1      For expenses related to ONE STOP
 2      SHOPPING ........................................$3,500,000

 3        Section  2a.  The  amount of $100,000, or so much thereof
 4    as may be necessary,  is  appropriated  from  the  Title  III
 5    Social Security and Employment Service Fund to the Department
 6    of   Employment   Security   for   expenses  related  to  the
 7    development of training programs.

 8        Section 2b.  The amount of $3,500,000, or so much thereof
 9    as may be necessary,  is  appropriated  from  the  Title  III
10    Social Security and Employment Service Fund to the Department
11    of  Employment  Security  for  expenses related to Employment
12    Security automation.

13        Section 2c.  The amount of $8,000,000, or so much thereof
14    as may be necessary,  is  appropriated  from  the  Title  III
15    Social Security and Employment Service Fund to the Department
16    of  Employment  Security  for  expenses  related to a Benefit
17    Information System Redefinition.

18        Section 2d.  The amount of $2,000,000, or so much thereof
19    as may be necessary, is appropriated  to  the  Department  of
20    Employment  Security  from  the Title III Social Security and
21    Employment Service Fund for expenses  related  to  Year  2000
22    Compliance.

23        Section 2e.  The amount of $2,000,000, or so much thereof
24    as  may  be  necessary,  is appropriated to the Department of
25    Employment  Security  from  the   Unemployment   Compensation
26    Special  Administration  Fund  for  expenses related to Legal
27    Assistance as required by law.

28        Section 2f.  The amount of $2,000,000, or so much thereof
 
HB0052 Enrolled            -20-                LRB9100571WHdv
 1    as may be necessary, is appropriated  to  the  Department  of
 2    Employment    Security    from    the   Employment   Security
 3    Administration Fund for the purposes authorized by Public Act
 4    87-1178.

 5        Section  2g.  The  amount  of  $12,200,000,  or  so  much
 6    thereof  as  may  be  necessary,  is  appropriated   to   the
 7    Department  of  Employment  Security  from  the  Unemployment
 8    Compensation Special Administration Fund for deposit into the
 9    Title III Social Security and Employment Service Fund.

10        Section 2h.  The sum of $1,575,500, or so much thereof as
11    may  be  necessary  and  remains  unexpended  at the close of
12    business on June 30, 1999, from  reappropriations  heretofore
13    made  for  such  purposes in Article 77, Section 2h of Public
14    Act  90-0585,  is  reappropriated  to   the   Department   of
15    Employment    Security    from    the   Employment   Security
16    Administration Fund for the purposes authorized by Public Act
17    87-1178.

18        Section 2i.  The sum of $100,000, or so much  thereof  as
19    may  be  necessary,  is  appropriated  from  the Unemployment
20    Compensation Special Administration Fund to the Department of
21    Employment Security for Interest on  Refunds  of  Erroneously
22    Paid Contributions, Penalties and Interest.

23        Section  3.  The sum of $8,400,000, or so much thereof as
24    may be necessary, is appropriated from  the  General  Revenue
25    Fund  to  the  Department  of Employment Security, Trust Fund
26    Unit, for unemployment compensation benefits to Former  State
27    Employees.

28        Section  3a.  The  following  named  amounts,  or so much
29    thereof  as  may  be  necessary,  are  appropriated  to   the
 
HB0052 Enrolled            -21-                LRB9100571WHdv
 1    Department  of  Employment  Security,  Trust  Fund  Unit, for
 2    unemployment  compensation  benefits,  other  than   benefits
 3    provided  for  in  Section  3,  to  Former State Employees as
 4    follows:
 5    Payable from the Road Fund:
 6      For benefits paid on the basis of wages
 7       paid for insured work for the Department
 8       of Transportation...........................  $  2,000,000
 9    Payable from the Illinois Mathematics
10      and Science Academy Income Fund ..............       17,600
11    Payable from Title III Social Security
12      and Employment Service Fund ..................    1,734,300
13        Total                                          $3,751,900

14        Section 4.  The  following  named  amounts,  or  so  much
15    thereof  as  may be necessary, respectively, are appropriated
16    to the Department of Employment Security:
17                             OPERATIONS
18                            Grants-In-Aid
19    Payable from Title III Social Security
20     and Employment Service Fund:
21      For Grants ................................... $  7,000,000
22      For a Grant to the Governor's Office of
23       Planning for Coordination and Planning
24       of Job Training Activities ..................      150,000
25      For Tort Claims ..............................      715,000
26        Total                                          $7,865,000

27        Section 5.  The amount of $526,400, or so much thereof as
28    may be necessary, is appropriated from  the  General  Revenue
29    Fund to the Department of Employment Security for the purpose
30    of   making   grants  to  community  non-profit  agencies  or
31    organizations for the operation of  a  statewide  network  of
32    outreach  services  for  veterans,  as  provided  for  in the
 
HB0052 Enrolled            -22-                LRB9100571WHdv
 1    Vietnam Veterans' Act.

 2                             ARTICLE 11

 3        Section 1.  The  following  named  amounts,  or  so  much
 4    thereof  as  may be necessary, respectively, are appropriated
 5    for the objects and purposes hereinafter named, to  meet  the
 6    ordinary  and  contingent  expenses  of the Pollution Control
 7    Board:
 8                           GENERAL OFFICE
 9    Payable from General Revenue Fund:
10    For Personal Services .......................... $    696,600
11    For Employee Retirement Contributions
12     Paid by Employer ..............................       27,900
13    For State Contributions to State Employees'
14      Retirement System ............................       67,700
15    For State Contributions to Social Security .....       53,300
16    For Contractual Services .......................       12,000
17    For Travel .....................................        1,300
18    For Commodities ................................        1,000
19    For Printing ...................................        1,000
20    For Electronic Data Processing .................        1,000
21    For Telecommunications Services ................        8,600
22        Total                                            $870,400
23    Payable from the Pollution Control Board Fund:
24    For Contractual Services ....................... $     15,000
25    For Printing ...................................        3,000
26    For Telecommunications .........................        4,000
27    For Refunds ....................................        1,000
28        Total                                             $23,000
29    Payable from the Environmental Protection Permit
30     and Inspection Fund:
31    For Personal Services .......................... $    495,400
32    For Employee Retirement Contributions
 
HB0052 Enrolled            -23-                LRB9100571WHdv
 1     Paid by Employer ..............................       19,800
 2    For State Contributions to State Employees'
 3      Retirement System ............................       48,200
 4    For State Contributions to Social Security .....       37,900
 5    For Group Insurance ............................       87,000
 6    For Contractual Services .......................        7,900
 7    For Court Reporting Costs ......................        5,200
 8    For Travel .....................................        8,000
 9    For Electronic Data Processing .................       10,000
10    For Telecommunications Services ................       20,000
11        Total                                            $739,400
12    Payable from the Clean Air Act Permit Fund:
13    For Personal Services .......................... $    459,100
14    For Employee Retirement Contributions
15     Paid by Employer ..............................       18,300
16    For State Contributions to State Employees'
17      Retirement System ............................       44,600
18    For State Contributions to Social Security .....       35,100
19    For Group Insurance ............................       58,000
20        Total                                            $615,100

21        Section 2.  The amount of $40,000, or so much thereof  as
22    may   be  necessary,  is  appropriated  from  the  Used  Tire
23    Management Fund  to  the  Pollution  Control  Board  for  the
24    purposes as provided for in Section 55.6 of the Environmental
25    Protection Act.

26        Section  3.  The amount of $56,500, or so much thereof as
27    may be necessary, is appropriated  from  the  Clean  Air  Act
28    Permit  Fund  to  the  Pollution Control Board for activities
29    relating to the Clean Air Act Permit Program.

30                             ARTICLE 12
 
HB0052 Enrolled            -24-                LRB9100571WHdv
 1        Section 1.  The  following  named  amounts,  or  so  much
 2    thereof  as  may be necessary, respectively, are appropriated
 3    for the objects and purposes hereinafter named, to  meet  the
 4    ordinary  and  contingent expenses of the Property Tax Appeal
 5    Board:
 6    Payable from the General Revenue Fund:
 7      For Personal Services ........................ $    863,000
 8      For Employee Retirement Contributions
 9       Paid by Employer ............................       34,500
10      For State Contributions to State
11       Employees' Retirement System ................       82,900
12      For State Contributions to
13       Social Security .............................       65,300
14      For Contractual Services .....................       37,500
15      For Travel ...................................       40,400
16      For Commodities ..............................        7,300
17      For Printing .................................        5,200
18      For Equipment ................................       13,600
19      For Electronic Data Processing ...............        9,200
20      For Telecommunication Services ...............       17,000
21      For Operation of Auto Equipment ..............        3,500
22        Total                                          $1,179,400

23        Section 2.  The  following  named  amounts,  or  so  much
24    thereof  as  may be necessary, respectively, are appropriated
25    for the objects and purposes hereinafter named, to  meet  the
26    ordinary  and  contingent expenses of the Property Tax Appeal
27    Board as prescribed under Public Act 89-0126:
28    Payable from the General Revenue Fund:
29      For Personal Services ........................ $  1,227,800
30      For Employee Retirement
31       Contributions Paid by
32       Employer ....................................       49,100
33      For State Contributions to
 
HB0052 Enrolled            -25-                LRB9100571WHdv
 1       State Employees'
 2       Retirement System ...........................      120,300
 3      For State Contributions
 4       to Social Security ..........................       93,100
 5      For Contractual Services .....................       57,600
 6      For Travel ...................................       29,700
 7      For Commodities ..............................       14,000
 8      For Printing .................................       19,000
 9      For Equipment ................................       47,000
10      For Electronic Data
11       Processing ..................................       47,700
12      For Telecommunications .......................       40,000
13      For Operation of Auto Equipment ..............       15,200
14      For Refunds ..................................        1,000
15        Total                                          $1,761,500

16                             ARTICLE 13

17        Section 1.  The following named sums, or so much  thereof
18    as  may  be  necessary,  respectively,  for  the  objects and
19    purposes hereinafter named,  are  appropriated  to  meet  the
20    ordinary   and  contingent  expenses  of  the  Department  of
21    Insurance:
22                 ADMINISTRATIVE AND SUPPORT DIVISION
23    Payable from Insurance Producer
24     Administration Fund:
25      For Personal Services ........................ $    747,700
26      For Employee Retirement Contributions
27       Paid by Employer ............................       29,900
28      For State Contributions to the State
29       Employees' Retirement System ................       73,300
30      For State Contributions to
31       Social Security .............................       56,600
32      For Group Insurance ..........................      127,600
 
HB0052 Enrolled            -26-                LRB9100571WHdv
 1      For Contractual Services .....................      838,300
 2      For Travel ...................................        2,000
 3      For Commodities ..............................       49,500
 4      For Printing .................................       59,800
 5      For Equipment ................................      109,800
 6      For Telecommunications Services ..............       15,400
 7      For Operation of Auto Equipment ..............       10,600
 8        Total                                          $2,120,500
 9    Payable from Insurance Financial Regulation Fund:
10      For Personal Services......................... $    654,100
11      For Employee Retirement Contributions
12       Paid by Employer ............................       26,200
13      For State Contributions to the State
14       Employees' Retirement System.................       64,100
15      For State Contributions to
16       Social Security..............................       49,300
17      For Group Insurance...........................      116,000
18      For Contractual Services......................    1,022,000
19      For Travel....................................        2,000
20      For Commodities ..............................       59,500
21      For Printing..................................       46,500
22      For Equipment ................................       48,600
23      For Telecommunications Services...............       10,900
24      For Operation of Auto Equipment...............        7,100
25        Total                                          $2,106,300

26        Section 2.  The following named sums, or so much  thereof
27    as  may  be  necessary,  respectively,  for  the  objects and
28    purposes hereinafter named,  are  appropriated  to  meet  the
29    ordinary   and  contingent  expenses  of  the  Department  of
30    Insurance:
31                          CONSUMER DIVISION
32    Payable from Insurance Producer
33     Administration Fund:
 
HB0052 Enrolled            -27-                LRB9100571WHdv
 1      For Personal Services ........................ $  4,733,000
 2      For Employee Retirement Contributions
 3       Paid by Employer ............................      189,300
 4      For State Contributions to the State
 5       Employees' Retirement System ................      463,800
 6      For State Contributions to
 7       Social Security .............................      358,500
 8      For Group Insurance ..........................      719,200
 9      For Travel ...................................      286,200
10      For Telecommunications Services ..............       72,900
11      For Refunds ..................................       75,000
12        Total                                          $6,897,900
13    Payable from Insurance Financial Regulation Fund:
14      For Personal Services ........................ $    363,600
15      For Employee Retirement Contributions
16       Paid by Employer ............................       14,500
17      For Retirement ...............................       35,600
18      For State Contributions to
19       Social Security .............................       27,400
20      For Group Insurance ..........................       52,200
21      For Travel ...................................       31,100
22      For Telecommunications Services ..............        9,000
23        Total                                            $533,400

24        Section 3.  The following named sums, or so much  thereof
25    as  may  be  necessary,  respectively,  for  the  objects and
26    purposes hereinafter named,  are  appropriated  to  meet  the
27    ordinary   and  contingent  expenses  of  the  Department  of
28    Insurance:
29                   FINANCIAL CORPORATE REGULATION
30    Payable from Insurance Financial Regulation Fund:
31      For Personal Services ........................ $  6,059,200
32      For Employee Retirement Contributions
33       Paid by Employer ............................      242,400
 
HB0052 Enrolled            -28-                LRB9100571WHdv
 1      For State Contributions to the State
 2       Employees' Retirement System ................      593,800
 3      For State Contributions to
 4       Social Security .............................      456,700
 5      For Group Insurance ..........................      794,600
 6      For Travel....................................      572,200
 7      For Telecommunications Services...............       54,200
 8      For Refunds...................................      100,000
 9        Total                                          $8,873,100

10        Section 4.  The following named sums, or so much  thereof
11    as  may  be  necessary,  respectively,  for  the  objects and
12    purposes hereinafter named,  are  appropriated  to  meet  the
13    ordinary   and  contingent  expenses  of  the  Department  of
14    Insurance:
15                          PENSION DIVISION
16    Payable from General Revenue Fund:
17      For Personal Services ........................ $    334,300
18      For Employee Retirement Contributions
19       Paid by Employer ............................       13,400
20      For State Contributions to the State
21       Employees' Retirement System ................       32,800
22      For State Contributions to
23       Social Security .............................       25,600
24      For Travel ...................................       34,200
25      For Printing .................................       10,500
26      For Telecommunications Services ..............        5,000
27        Total                                            $455,800
28    Payable from Public Pension Regulation Fund:
29      For Personal Services ........................ $    252,300
30      For Employee Retirement Contributions
31       Paid by Employer ............................       10,100
32      For State Contributions to the State
33       Employees' Retirement System ................       24,700
 
HB0052 Enrolled            -29-                LRB9100571WHdv
 1      For State Contributions to
 2       Social Security .............................       19,300
 3      For Group Insurance ..........................       40,600
 4      For Contractual Services .....................       20,000
 5      For Travel ...................................       19,000
 6      For Equipment ................................       10,000
 7      For Telecommunications Services ..............        1,000
 8        Total                                            $397,000

 9        Section 5.  The following named sums, or so much  thereof
10    as  may  be  necessary,  respectively,  for  the  objects and
11    purposes hereinafter  named  are  appropriated  to  meet  the
12    ordinary   and  contingent  expenses  of  the  Department  of
13    Insurance:
14                       STAFF SERVICES DIVISION
15    Payable from Insurance Producer
16     Administration Fund:
17      For Personal Services ........................ $    550,900
18      For Employee Retirement Contributions
19       Paid by Employer ............................       22,100
20      For State Contributions to the State
21       Employees' Retirement System ................       54,000
22      For State Contributions to
23       Social Security .............................       41,700
24      For Group Insurance ..........................       63,800
25      For Travel ...................................       38,300
26      For Telecommunications Services ..............       23,500
27        Total                                            $794,300
28    Payable from Insurance Financial Regulation Fund:
29      For Personal Services ........................ $    961,200
30      For Employee Retirement Contributions
31       Paid by Employer ............................       38,500
32      For State Contributions to the State
33       Employees' Retirement System ................       94,200
 
HB0052 Enrolled            -30-                LRB9100571WHdv
 1      For State Contributions to
 2       Social Security .............................       72,500
 3      For Group Insurance ..........................      110,200
 4      For Travel ...................................       36,200
 5      For Telecommunications Services ..............       16,900
 6        Total                                          $1,329,700

 7        Section 6.  The following named sums, or so much  thereof
 8    as  may  be  necessary,  respectively,  for  the  objects and
 9    purposes hereinafter named,  are  appropriated  to  meet  the
10    ordinary   and  contingent  expenses  of  the  Department  of
11    Insurance:
12                 ELECTRONIC DATA PROCESSING DIVISION
13    Payable from Insurance Producer
14     Administration Fund:
15      For Personal Services ........................ $    469,700
16      For Employee Retirement Contributions
17       Paid by Employer ............................       18,800
18      For State Contributions to the State
19       Employees' Retirement System ................       46,000
20      For State Contributions to
21       Social Security .............................       35,700
22      For Group Insurance ..........................       52,200
23      For Contractual Services .....................      215,200
24      For Travel ...................................        8,500
25      For Commodities ..............................        6,500
26      For Printing .................................        6,500
27      For Equipment ................................      137,500
28      For Telecommunications Services ..............       70,200
29        Total                                          $1,066,800
30    Payable From Insurance Financial Regulation Fund:
31      For Personal Services ........................ $    670,700
32      For Employee Retirement Contributions
33       Paid by Employer ............................       26,800
 
HB0052 Enrolled            -31-                LRB9100571WHdv
 1      For State Contributions to the State
 2       Employees' Retirement System.................       65,700
 3      For State Contributions to
 4       Social Security .............................       50,600
 5      For Group Insurance ..........................       87,000
 6      For Contractual Services .....................      252,400
 7      For Travel ...................................        8,500
 8      For Commodities ..............................        8,500
 9      For Printing .................................        3,500
10      For Equipment ................................      155,500
11      For Telecommunications Services ..............       59,000
12        Total                                          $1,388,200

13        Section 7.  The following named sums, or so much  thereof
14    as  may  be  necessary, are appropriated to the Department of
15    Insurance  for  the  administration  of  the  Senior   Health
16    Insurance Program:
17    Payable from the Insurance Producer
18      Administration Fund .......................... $    323,500
19    Payable from the Senior Health
20      Insurance Program Fund .......................      500,000
21        Total                                            $823,500

22                             ARTICLE 14

23        Section  1.  The following named sums, or so much thereof
24    as may  be  necessary,  respectively,  for  the  objects  and
25    purposes  hereinafter  named,  are  appropriated  to meet the
26    ordinary  and  contingent  expenses  of  the  Illinois   Arts
27    Council:
28    Payable from the General Revenue Fund:
29      For Personal Services ........................ $  1,027,500
30      For Employee Retirement Contributions
31       Paid by Employer ............................       41,100
 
HB0052 Enrolled            -32-                LRB9100571WHdv
 1      For State Contributions to State
 2       Employees' Retirement Contributions .........       99,800
 3      For State Contributions to
 4       Social Security .............................       78,600
 5      For Contractual Services .....................      146,800
 6      For Travel ...................................       28,200
 7      For Commodities ..............................       10,900
 8      For Printing .................................       59,800
 9      For Equipment ................................        2,000
10      For Electronic Data Processing ...............       21,300
11      For Telecommunications Services ..............       28,100
12      For Travel and Meeting Expenses of
13       Arts Council and Panel Members ..............       44,200
14        Total                                          $1,588,300

15        Section  2.  The following named sums, or so much thereof
16    as may  be  necessary,  respectively,  for  the  objects  and
17    purposes  hereinafter named, are appropriated to the Illinois
18    Arts Council to enhance the cultural environment in Illinois:
19    Payable from General Revenue Fund:
20      For Grants and Financial Assistance for
21       Arts Organizations ..........................   $6,455,000
22      For Grants and Financial Assistance for
23       Special Constituencies ......................    2,634,600
24      For Grants and Financial Assistance for
25       Arts Education ..............................    1,520,000
26        Total                                         $10,609,600

27    Payable from Illinois Arts Council
28     Federal Grant Fund:
29      For Grants and Programs to Enhance
30       the Cultural Environment ......................$   700,000

31        Section 3.  The sum of $750,000, or so  much  thereof  as
32    may  be  necessary,  is appropriated from the General Revenue
 
HB0052 Enrolled            -33-                LRB9100571WHdv
 1    Fund to the Illinois Arts Council for the purpose of  funding
 2    administrative  and grant expenses associated with humanities
 3    programs and related activities.

 4                             ARTICLE 15

 5        Section 1.  The  following  named  amounts,  or  so  much
 6    thereof  as  may  be necessary, respectively, for the objects
 7    and purposes  hereinafter  named,  are  appropriated  to  the
 8    Illinois Medical District Commission:
 9    Payable from General Revenue Fund:
10      For Personal Services......................... $    290,900
11      For Employee Retirement Contributions
12       Paid by Employer ............................       11,600
13      For State Contributions to the State
14       Employees' Retirement System ................       28,500
15      For State Contributions to
16       Social Security..............................       22,000
17      For Contractual Services .....................      275,000
18      For Operation of Chicago Technology
19       Park Research Center and for
20       Development and Operation of the
21       Chicago Technology Park within the
22       Medical Center District .....................      116,900
23        Total                                            $744,900

24        Section  2.  The  sum  of $162,800, or so much thereof as
25    may be necessary, is appropriated from  the  General  Revenue
26    Fund to the Illinois Medical District Commission for repairs,
27    maintenance,  and site improvements within the Medical Center
28    District, City of Chicago.

29        Section 3.  The sum of $5,000,000, or so much thereof  as
30    may   be   necessary,   is   appropriated  from  the  Capital
 
HB0052 Enrolled            -34-                LRB9100571WHdv
 1    Development Fund to the Illinois Medical District  Commission
 2    for    acquisition   of   property,   demolition   and   site
 3    improvements, and related costs  within  the  Medical  Center
 4    District,   City   of   Chicago  for  Phase  IV  of  District
 5    Development Initiative.

 6        Section 4.  The sum of $300,000, or so  much  thereof  as
 7    may  be  necessary  and  remains  unexpended  at the close of
 8    business on June 30, 1999 from appropriations heretofore made
 9    in  Article  84,  Section  3  of  Public   Act   90-585,   is
10    reappropriated  from  the  Capital  Development  Fund  to the
11    Illinois  Medical  District  Commission  for  acquisition  of
12    property, demolition and site improvements, and related costs
13    within the Medical Center District, City of Chicago for Phase
14    III of District Development Initiative.

15        Section  5.  No  contract  shall  be  entered   into   or
16    obligation  incurred for any expenditures from appropriations
17    in Sections 2, 3 and 4 of this Article until the purposes and
18    amounts have been approved in writing by the Governor.

19        Section 999.  Effective date.  This Act takes effect July
20    1, 1999.

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