State of Illinois
91st General Assembly
Legislation

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[ Conference Committee Report 001 ]

91_HB0052sam001

 










                                          SRA91HB0052MJcpam01

 1                     AMENDMENT TO HOUSE BILL 52

 2        AMENDMENT NO.     .  Amend House Bill  52,  by  replacing
 3    the title with the following:

 4        "AN  ACT  regarding  appropriations.";  and  by replacing
 5    everything after the enacting clause with the following:

 6                             "ARTICLE 1

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

12                              ARTICLE 2

13        Section 1.  The  following  named  amounts,  or  so  much
14    thereof  as  may be necessary, respectively, are appropriated
15    for the objects and purposes hereinafter named, to  meet  the
16    ordinary  and  contingent  expenses  of the Illinois Planning
17    Council on Developmental Disabilities:
18    Payable from Planning Council on Developmental
19     Disabilities Federal Fund:
 
                            -2-           SRA91HB0052MJcpam01
 1      For Personal Services ........................ $    711,300
 2      For Employee Retirement Contributions
 3       Paid By Employer.............................       28,500
 4      For State Contributions to the State
 5      Employees' Retirement System .................       69,700
 6      For State Contributions to
 7       Social Security .............................       54,100
 8      For Group Insurance ..........................       87,000
 9      For Contractual Services .....................      469,700
10      For Travel ...................................       43,000
11      For Commodities ..............................       30,000
12      For Printing .................................       37,500
13      For Equipment ................................       15,000
14      For Electronic Data Processing ...............       20,000
15      For Telecommunications Services ..............       45,000
16      For Costs Associated with the
17       Illinois Transition Consortium ..............            0
18        Total                                          $1,610,800

19        Section 2.  The amount of $2,500,000, or so much  thereof
20    as  may  be  necessary,  is  appropriated  from  the Planning
21    Council on Developmental Disabilities  Federal  Fund  to  the
22    Illinois  Planning  Council on Developmental Disabilities for
23    awards and grants  to  community  agencies  and  other  State
24    agencies.

25                              ARTICLE 3

26        Section  1.  The  following  named  amounts,  or  so much
27    thereof as may be necessary, respectively,  are  appropriated
28    to  the  Department  of  Human  Rights  for  the  objects and
29    purposes hereinafter enumerated:
30                           ADMINISTRATION
31    Payable from General Revenue Fund:
 
                            -3-           SRA91HB0052MJcpam01
 1      For Personal Services ........................ $    582,500
 2      For Employee Retirement Contributions
 3       Paid by Employer ............................       23,300
 4      For State Contributions to State
 5       Employees' Retirement System ................       56,600
 6      For State Contributions to
 7       Social Security .............................       41,800
 8      For Contractual Services .....................       42,600
 9      For Travel ...................................        3,400
10      For Commodities ..............................        3,400
11      For Printing .................................        3,200
12      For Equipment.................................       13,100
13      For Telecommunications Services ..............       27,100
14      For Operation of Auto Equipment ..............       11,600
15        Total                                            $808,600

16        Section 2.  The  following  named  amounts,  or  so  much
17    thereof  as  may be necessary, respectively, are appropriated
18    to the  Department  of  Human  Rights  for  the  objects  and
19    purposes hereinafter enumerated:
20                    DIVISION OF CHARGE PROCESSING
21    Payable from General Revenue Fund:
22      For Personal Services ........................ $  3,891,700
23      For Employee Retirement Contributions
24       Paid by Employer ............................      155,700
25      For State Contributions to State
26       Employees' Retirement System ................      378,100
27      For State Contributions to
28       Social Security .............................      297,800
29      For Contractual Services .....................       63,000
30      For Travel ...................................       26,300
31      For Commodities ..............................        6,800
32      For Printing .................................        1,300
33      For Equipment ................................       21,900
 
                            -4-           SRA91HB0052MJcpam01
 1      For Telecommunications Services ..............       67,700
 2        Total                                          $4,910,300
 3    Payable from Special Projects Division Fund:
 4      For Personal Services ........................ $  1,107,000
 5      For Employee Retirement Contributions
 6       Paid by Employer ............................       44,300
 7      For State Contributions to State
 8       Employees' Retirement System ................      107,500
 9      For State Contributions to
10       Social Security .............................       84,700
11      For Group Insurance ..........................      174,000
12      For Contractual Services .....................      380,000
13      For Travel ...................................       58,000
14      For Commodities ..............................       25,800
15      For Printing .................................       10,800
16      For Equipment ................................       49,000
17      For Telecommunications Services ..............       88,000
18        Total                                          $2,129,100

19        Section  3.  The  following  named  amounts,  or  so much
20    thereof as may be necessary, respectively,  are  appropriated
21    to  the  Department  of  Human  Rights  for  the  objects and
22    purposes hereinafter enumerated:
23                             COMPLIANCE
24    Payable from General Revenue Fund:
25      For Personal Services ........................ $    796,100
26      For Employee Retirement Contributions
27       Paid by Employer ............................       31,900
28      For State Contributions to State
29       Employees' Retirement System ................       77,300
30      For State Contributions to
31       Social Security .............................       60,200
32      For Contractual Services .....................        3,600
33      For Travel ...................................       16,200
 
                            -5-           SRA91HB0052MJcpam01
 1      For Commodities ..............................        2,100
 2      For Printing .................................        1,000
 3      For Telecommunications Services ..............       14,000
 4        Total                                          $1,002,400

 5                              ARTICLE 4

 6        Section 1.  The following named sums, or so much  thereof
 7    as  may  be  necessary,  respectively,  for  the  objects and
 8    purposes hereinafter named,  are  appropriated  to  meet  the
 9    ordinary   and  contingent  expenses  of  the  Department  of
10    Military Affairs:
11                           FOR OPERATIONS
12                   OFFICE OF THE ADJUTANT GENERAL
13                 Payable from General Revenue Fund:
14      For Personal Services ........................ $  1,255,400
15      For Employee Retirement Contributions
16       Paid By Employer ............................       50,100
17      For State Contributions to State
18       Employees' Retirement System ................      121,400
19      For State Contributions to
20       Social Security .............................       95,800
21      For Contractual Services .....................       34,000
22      For Travel ...................................       15,900
23      For Commodities ..............................       15,700
24      For Printing .................................        5,900
25      For Equipment ................................       40,400
26      For Electronic Data Processing ...............       56,300
27      For Telecommunications Services ..............       35,500
28      For Operation of Auto Equipment ..............       20,000
29      For State Officer's Candidate School .........        2,200
30      For Lincoln's Challenge ......................    2,613,600
31        Total                                          $4,362,200
32    Payable from Federal Support Agreement Revolving Fund:
 
                            -6-           SRA91HB0052MJcpam01
 1      Army/Air Reimbursable Positions ..............    4,504,300
 2      Lincoln's Challenge ..........................    4,398,500
 3      Lincoln's Challenge Stipend Payments .........    1,700,000
 4        Total                                         $10,602,800
 5                        FACILITIES OPERATIONS
 6    Payable from General Revenue Fund:
 7      For Personal Services ........................ $  5,092,800
 8      For Employee Retirement Contributions
 9       Paid by Employer ............................      203,700
10      For State Contributions to State
11       Employees' Retirement System ................      495,000
12      For State Contributions to
13       Social Security .............................      389,600
14      For Contractual Services .....................    2,150,500
15      For Commodities ..............................      112,100
16      For Equipment ................................       55,200
17        Total                                          $8,498,900

18        Section 2.  The sum of $3,500,000, or so much thereof  as
19    may  be  necessary,  is appropriated from the Federal Support
20    Agreement  Revolving  Fund  to  the  Department  of  Military
21    Affairs  for  expenses  related  to   Army   National   Guard
22    Facilities  operations and maintenance as provided for in the
23    Cooperative Funding  Agreements,  including  costs  in  prior
24    years.

25        Section  3.  The  sum  of $275,000, or so much thereof as
26    may be necessary, is appropriated from  the  Federal  Support
27    Agreement  Revolving  Fund  to  the  Department  of  Military
28    Affairs  for expenses related to the Bartonville and Kankakee
29    armories for operations  and  maintenance  according  to  the
30    Joint-Use Agreement.

31        Section 4.  The sum of $48,500, or so much thereof as may
 
                            -7-           SRA91HB0052MJcpam01
 1    be  necessary,  is appropriated from the General Revenue Fund
 2    to the Department of Military Affairs for rehabilitation  and
 3    minor construction at armories and camps.

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

 8        Section  6.  The sum of $1,500,000, or so much thereof as
 9    may be necessary, is appropriated from the  Military  Affairs
10    Trust  Fund  to the Department of Military Affairs to support
11    youth and other programs, provided  such  amounts  shall  not
12    exceed  funds  to  be  made  available from public or private
13    sources.

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

22        Section 8.  The sum of $262,400, or so  much  thereof  as
23    may  be  necessary,  and  remains  unexpended at the close of
24    business on June 30, 1999 from appropriations heretofore made
25    in  Article  42,  Section  10  of  Public  Act  90-0585,   is
26    reappropriated   from  the  Illinois  National  Guard  Armory
27    Construction Fund for land acquisition  and  construction  of
28    parking facilities at armories.

29        Section   9.  No   contract  shall  be  entered  into  or
 
                            -8-           SRA91HB0052MJcpam01
 1    obligation  incurred  for  any  expenditures  made  from   an
 2    appropriation  herein  made  in  Sections  4, 7 and 8 of this
 3    Article  until  after  the  purpose  and  amounts  have  been
 4    approved in writing by the Governor.

 5                              ARTICLE 5

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

13        Section 2.  The sum of $500,000, or so  much  thereof  as
14    may  be  necessary,  is appropriated from the General Revenue
15    Fund to the  Illinois  Farm  Development  Authority  for  the
16    purpose of interest buy-back as authorized under the Illinois
17    Farm Development Act.

18                              ARTICLE 6

19        Section  1.  The  following  named  amounts,  or  so much
20    thereof as may be necessary, respectively,  are  appropriated
21    to  the  Department  of  Nuclear  Safety  for the objects and
22    purposes hereinafter enumerated:
23                MANAGEMENT AND ADMINISTRATIVE SUPPORT
24    Payable from Nuclear Safety Emergency
25     Preparedness Fund:
26      For Personal Services ........................ $  1,263,700
27      For Employee Retirement Contributions
28       Paid by Employer ............................       50,500
29      For State Contributions to State
 
                            -9-           SRA91HB0052MJcpam01
 1       Employees' Retirement System ................      122,800
 2      For State Contributions to
 3       Social Security .............................       96,700
 4      For Group Insurance ..........................      145,000
 5      For Contractual Services .....................    1,483,900
 6      For Travel ...................................       34,000
 7      For Commodities ..............................       50,500
 8      For Printing .................................       20,000
 9      For Equipment ................................       15,600
10      For Electronic Data Processing ...............      649,000
11      For Telecommunications Services ..............      255,500
12      For Operation of Auto Equipment ..............      107,900
13        Total                                          $4,295,100
14    Payable from Radiation Protection Fund:
15      For Contractual Services ..................... $    335,700
16      For Commodities ..............................       18,900
17      For Printing .................................       50,000
18      For Electronic Data Processing ...............      126,400
19      For Telecommunications Services ..............       65,400
20      For Operation of Auto Equipment ..............       10,300
21        Total                                            $606,700

22        Section 2.  The  following  named  amounts,  or  so  much
23    thereof  as  may be necessary, respectively, are appropriated
24    to the Department of  Nuclear  Safety  for  the  objects  and
25    purposes hereinafter enumerated:
26                       NUCLEAR FACILITY SAFETY
27    Payable from Nuclear Safety Emergency
28     Preparedness Fund:
29      For Personal Services ........................ $  5,230,600
30      For Employee Retirement Contributions
31       Paid by Employer ............................      209,200
32      For State Contributions to State
33       Employees' Retirement System ................      508,100
 
                            -10-          SRA91HB0052MJcpam01
 1      For State Contributions to
 2       Social Security .............................      400,100
 3      For Group Insurance ..........................      562,600
 4      For Contractual Services .....................      701,600
 5      For Travel ...................................      148,500
 6      For Commodities ..............................      220,800
 7      For Equipment ................................      244,000
 8      For Electronic Data Processing ...............      569,700
 9      For Telecommunications Services ..............      502,300
10      For Compensation to local governments for
11       expenses attributable to implementation
12       and maintenance of plans and programs
13       authorized by the Nuclear Safety
14       Preparedness Act including expenses
15       incurred prior to July 1, 1997 ..............      650,000
16        Total                                          $9,947,500

17        Section  3.  The  following  named  amounts,  or  so much
18    thereof as may be necessary, respectively,  are  appropriated
19    to  the  Department  of  Nuclear  Safety  for the objects and
20    purposes hereinafter enumerated:
21                          RADIATION SAFETY
22    Payable from General Revenue Fund:
23      For Personal Services ........................ $    459,600
24      For Employee Retirement Contributions
25       Paid by Employer ............................       18,400
26      For State Contributions to State
27       Employees' Retirement System ................       44,600
28      For State Contributions to
29       Social Security .............................       33,800
30        Total                                            $556,400
31    Payable from Radiation Protection Fund:
32      For Personal Services ........................ $  1,704,400
33      For Employee Retirement Contributions
 
                            -11-          SRA91HB0052MJcpam01
 1       Paid by Employer ............................       68,200
 2      For State Contributions to State
 3       Employees' Retirement System ................      165,600
 4      For State Contributions to
 5       Social Security .............................      130,400
 6      For Group Insurance ..........................      179,800
 7      For Contractual Services .....................       42,400
 8      For Travel ...................................       98,900
 9      For Equipment ................................       60,200
10      For Refunds ..................................      100,000
11        Total                                          $2,549,900
12    Payable from Nuclear Safety Emergency
13      Preparedness Fund:
14      For Personal Services ........................ $    241,800
15      For Employee Retirement Contributions
16       Paid by Employer ............................        9,700
17      For State Contributions to State Employees'
18       Retirement System ...........................       23,500
19      For State Contributions to
20       Social Security .............................       18,500
21      For Group Insurance ..........................       29,000
22      For Contractual Services .....................       14,700
23      For Travel ...................................        2,000
24      For Commodities ..............................        2,000
25        Total                                            $341,200

26        Section 4.  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
29    purposes hereinafter enumerated:
30                        ENVIRONMENTAL SAFETY
31    Payable from General Revenue Fund:
32      For Refunds ......................................... $ 300
 
                            -12-          SRA91HB0052MJcpam01
 1    Payable from Nuclear Safety Emergency
 2     Preparedness Fund:
 3      For Personal Services ........................ $  2,365,100
 4      For Employee Retirement Contributions
 5       Paid by Employer ............................       94,600
 6      For State Contributions to State
 7       Employees' Retirement System ................      229,700
 8      For State Contributions to
 9       Social Security .............................      180,900
10      For Group Insurance ..........................      272,600
11      For Contractual Services .....................      322,000
12      For Travel ...................................       65,700
13      For Commodities ..............................       70,600
14      For Equipment ................................      187,300
15        Total                                          $3,788,500
16    Payable from Low-Level Radioactive Waste
17      Facility Development and Operation Fund:
18      For Refunds for Overpayments made by Low-
19       Level Waste Generators ...................... $      5,000
20        Total                                              $5,000

21        Section 5.  The amount of $400,000, or so much thereof as
22    may  be  necessary,  is  appropriated  from  the Indoor Radon
23    Mitigation Fund to  the  Department  of  Nuclear  Safety  for
24    expenses  relating to the federally funded State Indoor Radon
25    Abatement Program.

26        Section 6.  The sum of $3,000,000, or so much thereof  as
27    may   be   necessary,  is  appropriated  from  the  Low-Level
28    Radioactive Waste Facility Development and Operation Fund  to
29    the  Department  of Nuclear Safety for use in accordance with
30    Section 14(a) of the  Illinois  Low-Level  Radioactive  Waste
31    Management  Act for costs related to establishing a low-level
32    radioactive waste disposal facility.
 
                            -13-          SRA91HB0052MJcpam01
 1        Section 7.  The sum of $5,000,000, or so much thereof  as
 2    may   be   necessary,  is  appropriated  from  the  Radiation
 3    Protection Fund to  the  Department  of  Nuclear  Safety  for
 4    licensing  facilities  where  radioactive uranium and thorium
 5    mill tailings are generated or located, and related costs for
 6    regulating the decontamination and  decommissioning  of  such
 7    facilities   and   for  identification,  decontamination  and
 8    environmental    monitoring    of    unlicensed    properties
 9    contaminated with such radioactive mill tailings.

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

15        Section 9.  The sum of $250,000, or so  much  thereof  as
16    may   be   necessary,  is  appropriated  from  the  Radiation
17    Protection Fund to  the  Department  of  Nuclear  Safety  for
18    recovery   and   remediation  of  radioactive  materials  and
19    contaminated facilities  or  properties  when  such  expenses
20    cannot  be  paid  by  a  responsible  person  or an available
21    surety.

22        Section 10.  The sum of $100,000, or so much  thereof  as
23    may  be  necessary,  is  appropriated from the Nuclear Safety
24    Emergency Preparedness Fund to  the  Illinois  Department  of
25    Nuclear  Safety  for related training and travel expenses and
26    to reimburse the  Illinois  State  Police  and  the  Illinois
27    Commerce Commission for costs incurred for activities related
28    to  inspecting and escorting shipments of spent nuclear fuel,
29    high-level  radioactive  waste,  and  transuranic  waste   in
30    Illinois as provided under the rules of the Department.
 
                            -14-          SRA91HB0052MJcpam01
 1        Section  11.  The  sum  of 650,000, 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  to  provide  for  Federally
 5    Funded    Low-Level   Radioactive   Waste   Intergovernmental
 6    Programs.

 7                              ARTICLE 7

 8        Section 1.  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 Illinois Environmental
12    Protection Agency as follows:
13    To Support Enhanced Environmental Protection
14      and Enforcement Activities .....................$   625,000

15        Section 2.  The following named sums, or so much  thereof
16    as  may be necessary, are appropriated from the Environmental
17    Protection Trust Fund to the Environmental  Protection  Trust
18    Fund  Commission  for  grants  to  the  Department of Natural
19    Resources as follows:
20    Grants to Department of Natural
21      Resources for projects relating
22      to natural resources research,
23      protection, and educational
24      activities .....................................$   625,000

25        Section 3.  The following named sums, or so much  thereof
26    as  may be necessary, are appropriated from the Environmental
27    Protection Trust Fund to the Environmental  Protection  Trust
28    Fund  Commission for grants to the Pollution Control Board as
29    follows:
30    For Funding Expenses of Case
 
                            -15-          SRA91HB0052MJcpam01
 1      Processing and Other Activities ..................$ 625,000

 2        Section 4.  The following named sum, or so  much  thereof
 3    as  may  be necessary, is appropriated from the Environmental
 4    Protection Trust Fund to the Environmental  Protection  Trust
 5    Fund  Commission  for  grants  to  the Office of the Attorney
 6    General as follows:
 7    For Enhanced Environmental Enforcement
 8      Activities .......................................$ 625,000

 9                              ARTICLE 8

10        Section 1.  The amount of $304,300, or so much thereof as
11    may be necessary, is appropriated from  the  General  Revenue
12    Fund  to  the East St. Louis Financial Advisory Authority for
13    the  operating  expenses  of  the  City  of  East  St.  Louis
14    Financial Advisory Authority.

15                              ARTICLE 9

16        Section 1.  The  following  named  amounts,  or  so  much
17    thereof  as  may  be necessary, respectively, for the objects
18    and purposes hereinafter named,  are  appropriated  from  the
19    Agricultural  Premium  Fund  for  the ordinary and contingent
20    expenses of the Illinois Racing Board:
21                             OPERATIONS
22                           GENERAL OFFICE
23      For Personal Services ........................ $  1,111,400
24      For Employee Retirement Contributions
25       Paid by Employer ............................       44,500
26      For State Contributions to State
27       Employees' Retirement System ................      108,000
28      For State Contributions to
29       Social Security .............................       83,600
 
                            -16-          SRA91HB0052MJcpam01
 1      For Contractual Services .....................      174,500
 2      For Contractual Services:
 3       Hearing Officers ............................       19,400
 4      For Travel ...................................       35,700
 5      For Commodities ..............................       15,700
 6      For Printing .................................        7,000
 7      For Equipment ................................       28,600
 8      For Telecommunications Services ..............       83,100
 9      For Operation of Auto Equipment ..............        6,900
10        Total                                          $1,718,400
11                         LABORATORY PROGRAM
12      For Personal Services ........................   $  676,300
13      For Employee Retirement Contributions
14       Paid by Employer ............................       27,100
15      For State Contributions to State
16       Employees' Retirement System ................       65,700
17      For State Contributions to
18       Social Security .............................       50,800
19      For Contractual Services .....................      478,500
20      For Travel ...................................        6,000
21      For Commodities ..............................      440,900
22      For Printing .................................        7,500
23      For Equipment ................................      107,000
24      For Telecommunications Services ..............        6,500
25      For Operation of Auto Equipment ..............        1,800
26        Total                                          $1,868,100
27                    REGULATION OF RACING PROGRAM
28      For Personal Services:
29      For Per Diem Expenses for the Regulation
30       of Race Days ................................ $  2,420,100
31      For Employee Retirement Contributions
32       Paid by Employer ............................       96,800
33      For State Contributions to State
34       Employees' Retirement System ................      235,100
 
                            -17-          SRA91HB0052MJcpam01
 1      For State Contributions to
 2       Social Security .............................      179,400
 3      For Contractual Services .....................       77,600
 4      For Travel ...................................       31,400
 5      For Commodities ..............................       20,100
 6      For Printing .................................        3,400
 7      For Equipment ................................       90,800
 8      For Operation of Auto Equipment ..............        3,100
 9      For Refunds ..................................        1,000
10        Total                                          $3,158,800

11        Section 2.  The sum of $4,800,000, or so much thereof  as
12    may be necessary, is appropriated from the Illinois Racetrack
13    Improvement Fund to the Illinois Racing Board for improvement
14    of racetrack facilities pursuant to the provisions of Section
15    32 of the "Illinois Racing Act of 1975".

16        Section  3.  The sum of $5,000, or so much thereof as may
17    be  necessary,  is  appropriated  from  the  Horse  Race  Tax
18    Allocation Fund  to  the  Illinois  Horse  Racing  Board  for
19    payment  to  inter-track wagering location licensees pursuant
20    to paragraph 11(B) of subsection  h  of  Section  26  of  the
21    "Illinois Horse Racing Act of 1975, 230 ILCS 5/26."

22                             ARTICLE 10

23        Section  1.  The  following  named  amounts,  or  so much
24    thereof as may be necessary, respectively,  for  the  objects
25    and  purposes  hereinafter  named,  are appropriated from the
26    State Lottery  Fund  to  meet  the  ordinary  and  contingent
27    expenses   of   the  Department  of  the  Lottery,  including
28    operating  expenses  related  to  Multi-State  Lottery  games
29    pursuant to the Illinois Lottery Law:
30                             OPERATIONS
 
                            -18-          SRA91HB0052MJcpam01
 1    Payable from State Lottery Fund:
 2      For Personal Services ........................ $  9,189,700
 3      For Employee Retirement Contributions
 4       Paid by Employer ............................      367,600
 5      For State Contributions for the State
 6       Employees' Retirement System ................      900,600
 7      For State Contributions to
 8       Social Security .............................      693,800
 9      For Group Insurance ..........................    1,397,800
10      For Contractual Services .....................   26,035,900
11      For Travel ...................................      131,200
12      For Commodities ..............................       74,000
13      For Printing..................................       32,000
14      For Equipment ................................      421,500
15      For Electronic Data Processing ...............    3,448,800
16      For Telecommunications Services ..............    9,424,800
17      For Operation of Auto Equipment ..............      275,600
18      For Expenses of Developing and
19       Promoting Lottery Games .....................   11,994,200
20      For Refunds ..................................       50,000
21        Total                                         $64,437,500
22                            LOTTERY BOARD
23    Payable from State Lottery Fund:
24      For Personal Services - Per Diem
25       For Board Members ........................... $      5,300
26      For State Contributions to State
27       Employees' Retirement System ................          500
28      For State Contributions to
29       Social Security .............................          400
30      For Contractual Services .....................          500
31      For Travel ...................................        1,500
32        Total                                              $8,200

33        Section 2.  The sum of $300,000,000, or so  much  thereof
 
                            -19-          SRA91HB0052MJcpam01
 1    as  may  be necessary, is appropriated from the State Lottery
 2    Fund to the Department of the Lottery, for payment of  prizes
 3    to  holders  of  winning lottery tickets or shares, including
 4    prizes related to Multi-State Lottery games, pursuant to  the
 5    provisions of the "Illinois Lottery Law".

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

10                             ARTICLE 11

11        Section  1.  The  following  named  amounts,  or  so much
12    thereof as may be necessary, respectively, for  the  purposes
13    hereinafter  named, are appropriated to meet the ordinary and
14    contingent expenses of the Department of Employment Security:
15                       CENTRAL ADMINISTRATION
16    Payable from Title III Social Security and
17     Employment Service Fund:
18      For Personal Services ........................ $  5,216,800
19      For Employee Retirement Contributions
20       Paid by Employer ............................    3,683,800
21      For State Contributions to State
22       Employees' Retirement System ................      511,200
23      For State Contributions to
24       Social Security .............................      399,100
25      For Group Insurance ..........................      591,600
26      For Contractual Services .....................    1,175,800
27      For Travel ...................................      127,300
28      For Telecommunications Services ..............      237,700
29        Total                                         $11,943,300
30                  FINANCE AND ADMINISTRATION BUREAU
31    Payable from Title III Social Security
 
                            -20-          SRA91HB0052MJcpam01
 1     and Employment Service Fund:
 2      For Personal Services ........................ $  9,329,200
 3      For State Contributions to State
 4       Employees' Retirement System ................      914,300
 5      For State Contributions to
 6       Social Security .............................      713,700
 7      For Group Insurance ..........................    1,177,400
 8      For Contractual Services .....................    5,500,000
 9      For Travel ...................................      132,600
10      For Commodities ..............................    1,038,500
11      For Printing .................................    1,942,800
12      For Equipment ................................      922,400
13      For Telecommunications Services ..............      547,300
14      For Operation of Auto Equipment ..............       96,500
15        Total                                         $22,314,700
16    Payable from Title III Social Security
17     and Employment Service Fund:
18      For expenses related to America's
19      Labor Market Information System .............. $  2,000,000
20                     INFORMATION SERVICE BUREAU
21    Payable from Title III Social Security
22     and Employment Service Fund:
23      For Personal Services ........................ $  6,364,600
24      For State Contributions to State
25       Employees' Retirement System ................      623,700
26      For State Contributions to Social
27       Security ....................................      486,900
28      For Group Insurance ..........................      765,600
29      For Contractual Services .....................   17,691,400
30      For Travel ...................................       22,800
31      For Equipment ................................    3,107,800
32      For Telecommunications Services ..............    1,607,200
33        Total                                         $30,670,000
 
                            -21-          SRA91HB0052MJcpam01
 1        Section 2.  The following named sums, or so much  thereof
 2    as  may  be  necessary, are appropriated to the Department of
 3    Employment Security:
 4                             OPERATIONS
 5    Payable from Title III Social Security and
 6     Employment Service Fund:
 7      For Personal Services ........................ $ 71,184,600
 8      For State Contributions to State
 9       Employees' Retirement System ................    6,976,100
10      For State Contributions to Social
11       Security ....................................    5,445,600
12      For Group Insurance ..........................   10,271,800
13      For Contractual Services .....................   15,911,400
14      For Travel ...................................    1,195,600
15      For Telecommunications Services ..............    5,745,000
16      For Permanent Improvements ...................       85,000
17      For Refunds ..................................      300,000
18        Total                                        $117,115,100
19    Payable from Title III Social Security
20     and Employment Service Fund:
21      For expenses related to ONE STOP
22      SHOPPING ........................................$3,500,000

23        Section 2a.  The amount of $100,000, or so  much  thereof
24    as  may  be  necessary,  is  appropriated  from the Title III
25    Social Security and Employment Service Fund to the Department
26    of  Employment  Security  for   expenses   related   to   the
27    development of training programs.

28        Section 2b.  The amount of $3,500,000, or so much thereof
29    as  may  be  necessary,  is  appropriated  from the Title III
30    Social Security and Employment Service Fund to the Department
31    of Employment Security for  expenses  related  to  Employment
32    Security automation.
 
                            -22-          SRA91HB0052MJcpam01
 1        Section 2c.  The amount of $8,000,000, or so much thereof
 2    as  may  be  necessary,  is  appropriated  from the Title III
 3    Social Security and Employment Service Fund to the Department
 4    of Employment Security for  expenses  related  to  a  Benefit
 5    Information System Redefinition.

 6        Section 2d.  The amount of $2,000,000, or so much thereof
 7    as  may  be  necessary,  is appropriated to the Department of
 8    Employment Security from the Title III  Social  Security  and
 9    Employment  Service  Fund  for  expenses related to Year 2000
10    Compliance.

11        Section 2e.  The amount of $2,000,000, or so much thereof
12    as may be necessary is  appropriated  to  the  Department  of
13    Employment   Security   from  the  Unemployment  Compensation
14    Special Administration Fund for  expenses  related  to  Legal
15    Assistance as required by law.

16        Section 2f.  The amount of $2,000,000, or so much thereof
17    as  may  be  necessary,  is appropriated to the Department of
18    Employment   Security   from    the    Employment    Security
19    Administration Fund for the purposes authorized by Public Act
20    87-1178.

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

26        Section 2h.  The sum of $1,575,500, or so much thereof as
27    may be necessary and  remains  unexpended  at  the  close  of
28    business  on  June 30, 1999, from reappropriations heretofore
29    made for such purposes in Article 77, Section  2h  of  Public
 
                            -23-          SRA91HB0052MJcpam01
 1    Act   90-0585,   is   reappropriated  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  2i.  The  sum of $100,000, or so much thereof as
 6    may be  necessary,  is  appropriated  from  the  Unemployment
 7    Compensation Special Administration Fund to the Department of
 8    Employment  Security  for  Interest on Refunds of Erroneously
 9    Paid Contributions, Penalties and Interest.

10        Section 3.  The sum of $8,400,000, or so much thereof  as
11    may  be  necessary,  is appropriated from the General Revenue
12    Fund to the Department of  Employment  Security,  Trust  Fund
13    Unit,  for unemployment compensation benefits to Former State
14    Employees.

15        Section 3a.  The following  named  amounts,  or  so  much
16    thereof   as  may  be  necessary,  are  appropriated  to  the
17    Department of  Employment  Security,  Trust  Fund  Unit,  for
18    unemployment   compensation  benefits,  other  than  benefits
19    provided for in Section  3,  to  Former  State  Employees  as
20    follows:
21    Payable from the Road Fund:
22      For benefits paid on the basis of wages
23       paid for insured work for the Department
24       of Transportation...........................  $  2,000,000
25    Payable from the Illinois Mathematics
26      and Science Academy Income Fund ..............       17,600
27    Payable from Title III Social Security
28      and Employment Service Fund ..................    1,734,300
29        Total                                          $3,751,900

30        Section  4.  The  following  named  amounts,  or  so much
 
                            -24-          SRA91HB0052MJcpam01
 1    thereof as may be necessary, respectively,  are  appropriated
 2    to the Department of Employment Security:
 3                             OPERATIONS
 4                            Grants-In-Aid
 5    Payable from Title III Social Security
 6     and Employment Service Fund:
 7      For Grants ................................... $  7,000,000
 8      For a Grant to the Governor's Office of
 9       Planning for Coordination and Planning
10       of Job Training Activities ..................      150,000
11      For Tort Claims ..............................      715,000
12        Total                                          $7,865,000

13        Section 5.  The amount of $526,400, or so much thereof as
14    may  be  necessary,  is appropriated from the General Revenue
15    Fund to the Department of Employment Security for the purpose
16    of  making  grants  to  community  non-profit   agencies   or
17    organizations  for  the  operation  of a statewide network of
18    outreach services  for  veterans,  as  provided  for  in  the
19    Vietnam Veterans' Act.

20                             ARTICLE 12

21        Section  1.  The  following  named  amounts,  or  so much
22    thereof as may be necessary, respectively,  are  appropriated
23    for  the  objects and purposes hereinafter named, to meet the
24    ordinary and contingent expenses  of  the  Pollution  Control
25    Board:
26                           GENERAL OFFICE
27    Payable from General Revenue Fund:
28    For Personal Services .......................... $    696,600
29    For Employee Retirement Contributions
30     Paid by Employer ..............................       27,900
31    For State Contributions to State Employees'
 
                            -25-          SRA91HB0052MJcpam01
 1      Retirement System ............................       67,700
 2    For State Contributions to Social Security .....       53,300
 3    For Contractual Services .......................       12,000
 4    For Travel .....................................        1,300
 5    For Commodities ................................        1,000
 6    For Printing ...................................        1,000
 7    For Electronic Data Processing .................        1,000
 8    For Telecommunications Services ................        8,600
 9        Total                                            $870,400
10    Payable from the Pollution Control Board Fund:
11    For Contractual Services ....................... $     15,000
12    For Printing ...................................        3,000
13    For Telecommunications .........................        4,000
14    For Refunds ....................................        1,000
15        Total                                             $23,000
16    Payable from the Environmental Protection Permit
17     and Inspection Fund:
18    For Personal Services .......................... $    495,400
19    For Employee Retirement Contributions
20     Paid by Employer ..............................       19,800
21    For State Contributions to State Employees'
22      Retirement System ............................       48,200
23    For State Contributions to Social Security .....       37,900
24    For Group Insurance ............................       87,000
25    For Contractual Services .......................        7,900
26    For Court Reporting Costs ......................        5,200
27    For Travel .....................................        8,000
28    For Electronic Data Processing .................       10,000
29    For Telecommunications Services ................       20,000
30        Total                                            $739,400
31    Payable from the Clean Air Act Permit Fund:
32    For Personal Services .......................... $    459,100
33    For Employee Retirement Contributions
34     Paid by Employer ..............................       18,300
 
                            -26-          SRA91HB0052MJcpam01
 1    For State Contributions to State Employees'
 2      Retirement System ............................       44,600
 3    For State Contributions to Social Security .....       35,100
 4    For Group Insurance ............................       58,000
 5        Total                                            $615,100

 6        Section  2.  The amount of $40,000, or so much thereof as
 7    may  be  necessary,  is  appropriated  from  the  Used   Tire
 8    Management  Fund  to  the  Pollution  Control  Board  for the
 9    purposes as provided for in Section 55.6 of the Environmental
10    Protection Act.

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

15                             ARTICLE 13

16        Section  1.  The  following  named  amounts,  or  so much
17    thereof as may be necessary, respectively,  are  appropriated
18    for  the  objects and purposes hereinafter named, to meet the
19    ordinary and contingent expenses of the Property  Tax  Appeal
20    Board:
21    Payable from the General Revenue Fund:
22      For Personal Services ........................ $    863,000
23      For Employee Retirement Contributions
24       Paid by Employer ............................       34,500
25      For State Contributions to State
26       Employees' Retirement System ................       82,900
27      For State Contributions to
28       Social Security .............................       65,300
29      For Contractual Services .....................       37,500
30      For Travel ...................................       40,400
 
                            -27-          SRA91HB0052MJcpam01
 1      For Commodities ..............................        7,300
 2      For Printing .................................        5,200
 3      For Equipment ................................       13,600
 4      For Electronic Data Processing ...............        9,200
 5      For Telecommunication Services ...............       17,000
 6      For Operation of Auto Equipment ..............        3,500
 7        Total                                          $1,179,400

 8        Section  2.  The  following  named  amounts,  or  so much
 9    thereof as may be necessary, respectively,  are  appropriated
10    for  the  objects and purposes hereinafter named, to meet the
11    ordinary and contingent expenses of the Property  Tax  Appeal
12    Board as prescribed under Public Act 89-0126:
13    Payable from the General Revenue Fund:
14      For Personal Services ........................ $  1,227,800
15      For Employee Retirement
16       Contributions Paid by
17       Employer ....................................       49,100
18      For State Contributions to
19       State Employees'
20       Retirement System ...........................      120,300
21      For State Contributions
22       to Social Security ..........................       93,100
23      For Contractual Services .....................       57,600
24      For Travel ...................................       29,700
25      For Commodities ..............................       14,000
26      For Printing .................................       19,000
27      For Equipment ................................       47,000
28      For Electronic Data
29       Processing ..................................       47,700
30      For Telecommunications .......................       40,000
31      For Operation of Auto Equipment ..............       15,200
32      For Refunds ..................................        1,000
33        Total                                          $1,761,500
 
                            -28-          SRA91HB0052MJcpam01
 1                             ARTICLE 14

 2        Section  1.  The following named sums, or so much thereof
 3    as may  be  necessary,  respectively,  for  the  objects  and
 4    purposes  hereinafter  named,  are  appropriated  to meet the
 5    ordinary  and  contingent  expenses  of  the  Department   of
 6    Insurance:
 7                 ADMINISTRATIVE AND SUPPORT DIVISION
 8    Payable from Insurance Producer
 9     Administration Fund:
10      For Personal Services ........................ $    747,700
11      For Employee Retirement Contributions
12       Paid by Employer ............................       29,900
13      For State Contributions to the State
14       Employees' Retirement System ................       73,300
15      For State Contributions to
16       Social Security .............................       56,600
17      For Group Insurance ..........................      127,600
18      For Contractual Services .....................      838,300
19      For Travel ...................................        2,000
20      For Commodities ..............................       49,500
21      For Printing .................................       59,800
22      For Equipment ................................      109,800
23      For Telecommunications Services ..............       15,400
24      For Operation of Auto Equipment ..............       10,600
25        Total                                          $2,120,500
26    Payable from Insurance Financial Regulation Fund:
27      For Personal Services......................... $    654,100
28      For Employee Retirement Contributions
29       Paid by Employer ............................       26,200
30      For State Contributions to the State
31       Employees' Retirement System.................       64,100
32      For State Contributions to
33       Social Security..............................       49,300
 
                            -29-          SRA91HB0052MJcpam01
 1      For Group Insurance...........................      116,000
 2      For Contractual Services......................    1,022,000
 3      For Travel....................................        2,000
 4      For Commodities ..............................       59,500
 5      For Printing..................................       46,500
 6      For Equipment ................................       48,600
 7      For Telecommunications Services...............       10,900
 8      For Operation of Auto Equipment...............        7,100
 9        Total                                          $2,106,300

10        Section  2.  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                          CONSUMER DIVISION
16    Payable from Insurance Producer
17     Administration Fund:
18      For Personal Services ........................ $  4,733,000
19      For Employee Retirement Contributions
20       Paid by Employer ............................      189,300
21      For State Contributions to the State
22       Employees' Retirement System ................      463,800
23      For State Contributions to
24       Social Security .............................      358,500
25      For Group Insurance ..........................      719,200
26      For Travel ...................................      286,200
27      For Telecommunications Services ..............       72,900
28      For Refunds ..................................       75,000
29        Total                                          $6,897,900
30    Payable from Insurance Financial Regulation Fund:
31      For Personal Services ........................ $    363,600
32      For Employee Retirement Contributions
33       Paid by Employer ............................       14,500
 
                            -30-          SRA91HB0052MJcpam01
 1      For Retirement ...............................       35,600
 2      For State Contributions to
 3       Social Security .............................       27,400
 4      For Group Insurance ..........................       52,200
 5      For Travel ...................................       31,100
 6      For Telecommunications Services ..............        9,000
 7        Total                                            $533,400

 8        Section  3.  The following named sums, or so much thereof
 9    as may  be  necessary,  respectively,  for  the  objects  and
10    purposes  hereinafter  named,  are  appropriated  to meet the
11    ordinary  and  contingent  expenses  of  the  Department   of
12    Insurance:
13                   FINANCIAL CORPORATE REGULATION
14    Payable from Insurance Financial Regulation Fund:
15      For Personal Services ........................ $  6,059,200
16      For Employee Retirement Contributions
17       Paid by Employer ............................      242,400
18      For State Contributions to the State
19       Employees' Retirement System ................      593,800
20      For State Contributions to
21       Social Security .............................      456,700
22      For Group Insurance ..........................      794,600
23      For Travel....................................      572,200
24      For Telecommunications Services...............       54,200
25      For Refunds...................................      100,000
26        Total                                          $8,873,100

27        Section  4.  The following named sums, or so much thereof
28    as may  be  necessary,  respectively,  for  the  objects  and
29    purposes  hereinafter  named,  are  appropriated  to meet the
30    ordinary  and  contingent  expenses  of  the  Department   of
31    Insurance:
32                          PENSION DIVISION
 
                            -31-          SRA91HB0052MJcpam01
 1    Payable from General Revenue Fund:
 2      For Personal Services ........................ $    334,300
 3      For Employee Retirement Contributions
 4       Paid by Employer ............................       13,400
 5      For State Contributions to the State
 6       Employees' Retirement System ................       32,800
 7      For State Contributions to
 8       Social Security .............................       25,600
 9      For Travel ...................................       34,200
10      For Printing .................................       10,500
11      For Telecommunications Services ..............        5,000
12        Total                                            $455,800
13    Payable from Public Pension Regulation Fund:
14      For Personal Services ........................ $    252,300
15      For Employee Retirement Contributions
16       Paid by Employer ............................       10,100
17      For State Contributions to the State
18       Employees' Retirement System ................       24,700
19      For State Contributions to
20       Social Security .............................       19,300
21      For Group Insurance ..........................       40,600
22      For Contractual Services .....................       20,000
23      For Travel ...................................       19,000
24      For Equipment ................................       10,000
25      For Telecommunications Services ..............        1,000
26        Total                                            $397,000

27        Section  5.  The following named sums, or so much thereof
28    as may  be  necessary,  respectively,  for  the  objects  and
29    purposes  hereinafter  named  are  appropriated  to  meet the
30    ordinary  and  contingent  expenses  of  the  Department   of
31    Insurance:
32                       STAFF SERVICES DIVISION
33    Payable from Insurance Producer
 
                            -32-          SRA91HB0052MJcpam01
 1     Administration Fund:
 2      For Personal Services ........................ $    550,900
 3      For Employee Retirement Contributions
 4       Paid by Employer ............................       22,100
 5      For State Contributions to the State
 6       Employees' Retirement System ................       54,000
 7      For State Contributions to
 8       Social Security .............................       41,700
 9      For Group Insurance ..........................       63,800
10      For Travel ...................................       38,300
11      For Telecommunications Services ..............       23,500
12        Total                                            $794,300
13    Payable from Insurance Financial Regulation Fund:
14      For Personal Services ........................ $    961,200
15      For Employee Retirement Contributions
16       Paid by Employer ............................       38,500
17      For State Contributions to the State
18       Employees' Retirement System ................       94,200
19      For State Contributions to
20       Social Security .............................       72,500
21      For Group Insurance ..........................      110,200
22      For Travel ...................................       36,200
23      For Telecommunications Services ..............       16,900
24        Total                                          $1,329,700

25        Section  6.  The following named sums, or so much thereof
26    as may  be  necessary,  respectively,  for  the  objects  and
27    purposes  hereinafter  named,  are  appropriated  to meet the
28    ordinary  and  contingent  expenses  of  the  Department   of
29    Insurance:
30                 ELECTRONIC DATA PROCESSING DIVISION
31    Payable from Insurance Producer
32     Administration Fund:
33      For Personal Services ........................ $    469,700
 
                            -33-          SRA91HB0052MJcpam01
 1      For Employee Retirement Contributions
 2       Paid by Employer ............................       18,800
 3      For State Contributions to the State
 4       Employees' Retirement System ................       46,000
 5      For State Contributions to
 6       Social Security .............................       35,700
 7      For Group Insurance ..........................       52,200
 8      For Contractual Services .....................      215,200
 9      For Travel ...................................        8,500
10      For Commodities ..............................        6,500
11      For Printing .................................        6,500
12      For Equipment ................................      137,500
13      For Telecommunications Services ..............       70,200
14        Total                                          $1,066,800
15    Payable From Insurance Financial Regulation Fund:
16      For Personal Services ........................ $    670,700
17      For Employee Retirement Contributions
18       Paid by Employer ............................       26,800
19      For State Contributions to the State
20       Employees' Retirement System.................       65,700
21      For State Contributions to
22       Social Security .............................       50,600
23      For Group Insurance ..........................       87,000
24      For Contractual Services .....................      252,400
25      For Travel ...................................        8,500
26      For Commodities ..............................        8,500
27      For Printing .................................        3,500
28      For Equipment ................................      155,500
29      For Telecommunications Services ..............       59,000
30        Total                                          $1,388,200

31        Section  7.  The following named sums, or so much thereof
32    as may be necessary, are appropriated to  the  Department  of
33    Insurance   for  the  administration  of  the  Senior  Health
 
                            -34-          SRA91HB0052MJcpam01
 1    Insurance Program:
 2    Payable from the Insurance Producer
 3      Administration Fund .......................... $    323,500
 4    Payable from the Senior Health
 5      Insurance Program Fund .......................      500,000
 6        Total                                            $823,500

 7                             ARTICLE 15

 8        Section 1.  The following named sums, or so much  thereof
 9    as may be necessary, for the objects and purposes hereinafter
10    named,  are  appropriated  from  the  Road  Fund  to meet the
11    ordinary  and  contingent  expenses  of  the  Department   of
12    Transportation:
13            CENTRAL OFFICES, ADMINISTRATION AND PLANNING
14                             OPERATIONS
15      For Personal Services ........................ $ 23,165,600
16      For Employee Retirement Contributions
17       Paid by State ...............................      926,700
18      For State Contributions to State
19       Employees' Retirement System ................    2,250,300
20      For State Contributions to Social Security ...    1,646,300
21      For Contractual Services .....................    4,359,900
22      For Travel ...................................      545,600
23      For Commodities ..............................      598,500
24      For Printing .................................      814,100
25      For Equipment ................................      597,900
26      For Equipment:
27       Purchase of Cars & Trucks ...................      169,400
28      For Telecommunications Services ..............      817,800
29      For Operation of Automotive Equipment ........      150,900
30        Total                                         $36,043,000

31                              LUMP SUMS
 
                            -35-          SRA91HB0052MJcpam01
 1        Section  1a.  The  following  named  amounts,  or so much
 2    thereof as may be necessary, are appropriated from  the  Road
 3    Fund  to the Department of Transportation for the objects and
 4    purposes hereinafter named:
 5      For Planning, Research and Development
 6       Purposes .................................... $    185,000
 7      For costs associated with asbestos
 8       abatement....................................      575,400
 9      For the DuPage Airport Audit pursuant
10       to Public Act 88-504 ........................      102,500
11      For metropolitan planning and research
12       purposes as provided by law, provided
13       such amount shall not exceed funds
14       to be made available from the federal
15       government or local sources .................   19,000,000
16      For the establishment and operation of
17       an Illinois Transportation Research
18       Center and the conduct of transportation
19       research ....................................      520,000
20      For metropolitan planning and research
21       purposes as provided by law .................    1,000,000
22      For federal reimbursement of planning
23       activities as provided by the Transportation
24       Equity Act for the 21st Century .............    1,750,000
25      For the federal share of the Midwest
26       ITS Priority Corridor Program, provided
27       expenditures do not exceed funds to be
28       made available by the Federal
29       Government ..................................    3,000,000
30      For the state share of the Midwest
31       ITS Priority Corridor Program ...............      750,000
32      For a public education campaign
33        on railroad crossing safety ................      350,000
34      For the Department's share of costs
 
                            -36-          SRA91HB0052MJcpam01
 1       with the Illinois Commerce
 2       Commission for  monitoring railroad
 3       crossing safety .............................    1,446,000
 4        Total                                         $28,678,900

 5                          AWARDS AND GRANTS
 6        Section 1b.  The following  named  amounts,  or  so  much
 7    thereof  as  may be necessary, are appropriated from the Road
 8    Fund to the Department of Transportation for the objects  and
 9    purposes hereinafter named:
10      For Tort Claims, including payment
11       pursuant to P.A. 80-1078 .................... $    190,400
12      For representation and indemnification
13       for the Department of Transportation,
14       the Illinois State Police and the
15       Secretary of State provided that the
16       representation required resulted from
17       the Road Fund portion of their normal
18       operations ..................................      260,000
19      For Enhancement and Congestion
20       Mitigation and Air Quality
21       Projects.....................................   40,000,000
22      For auto liability payments for the
23       Department of Transportation, the
24       Illinois State Police and the
25       Secretary of State provided that
26       the liability resulted from the
27       Road Fund portion of their
28       normal operations ...........................    1,932,200
29      For payment of claims as provided by the
30       "Workers' Compensation Act" or the "Workers'
31       Occupational Diseases Act", including
32       Treatment, Expenses and Benefits Payable
33       for Total Temporary Incapacity for Work
 
                            -37-          SRA91HB0052MJcpam01
 1       for State Employees whose salaries are paid
 2       from the Road Fund:
 3      For Awards and Grants ........................   10,000,000
 4        Total                                         $52,382,600
 5        Expenditures   from   appropriations  for  treatment  and
 6    expense may be made after the  Department  of  Transportation
 7    has  certified  that the injured person was employed and that
 8    the nature of the injury is compensable  in  accordance  with
 9    the  provisions  of  the  Workers'  Compensation  Act  or the
10    Workers' Occupational Diseases Act, and then  has  determined
11    the  amount  of  such  compensation to be paid to the injured
12    person.  Expenditures for this purpose may  be  made  by  the
13    Department  of  Transportation  without  regard to the fiscal
14    year in  which  benefit  or  service  was  rendered  or  cost
15    incurred   as   allowable   or   provided   by  the  Workers'
16    Compensation Act or the Workers' Occupational Diseases Act.

17                   CAPITAL IMPROVEMENTS, HIGHWAYS
18                       PERMANENT IMPROVEMENTS
19        Section 2.  The sum of $6,111,100, or so much thereof  as
20    may  be  necessary, is appropriated from the Road Fund to the
21    Department of  Transportation   for  the  purchase  of  land,
22    construction,   repair,   alterations   and  improvements  to
23    maintenance and  traffic  facilities,  district  and  central
24    headquarters facilities, storage facilities, grounds, parking
25    areas  and  facilities,  fencing  and  underground  drainage,
26    including   plans,   specifications,   utilities   and  fixed
27    equipment installed and all costs and charges incident to the
28    completion thereof at various locations.

29                  BUREAU OF INFORMATION PROCESSING
30                             OPERATIONS
31        Section 3.  The  following  named  amounts,  or  so  much
32    thereof  as  may be necessary, are appropriated from the Road
 
                            -38-          SRA91HB0052MJcpam01
 1    Fund to the Department of Transportation for the objects  and
 2    purposes hereinafter named:
 3      For Personal Services ........................ $  5,003,600
 4      For Employee Retirement Contributions
 5       Paid by State ...............................      200,100
 6      For State Contributions to State
 7       Employees' Retirement System ................      486,000
 8      For State Contributions to Social Security ...      360,800
 9      For Contractual Services .....................    6,493,500
10      For Travel ...................................       46,300
11      For Commodities ..............................       29,200
12      For Equipment ................................        3,000
13      For Electronic Data Processing ...............    1,240,100
14      For Telecommunications .......................    1,050,900
15        Total                                         $14,913,500

16        Section  4.  The  following  named  amounts,  or  so much
17    thereof as may be necessary, are appropriated from  the  Road
18    Fund  to the Department of Transportation for the objects and
19    purposes hereinafter named:
20                CENTRAL OFFICES, DIVISION OF HIGHWAYS
21                             OPERATIONS
22      For Personal Services ........................ $ 28,395,000
23      For Extra Help ...............................      960,400
24      For Employee Retirement Contributions
25       Paid by State ...............................    1,174,200
26      For State Contributions to State
27       Employees' Retirement System ................    2,851,600
28      For State Contributions to Social Security ...    2,025,900
29      For Contractual Services .....................    5,070,700
30      For Travel ...................................      524,200
31      For Commodities ..............................      447,100
32      For Equipment ................................      665,500
33      For Equipment:
 
                            -39-          SRA91HB0052MJcpam01
 1       Purchase of Cars and Trucks .................      117,000
 2      For Telecommunications Services ..............    2,908,600
 3      For Operation of Automotive Equipment ........      207,200
 4        Total                                         $45,347,400

 5                              LUMP SUM
 6        Section 4a.  The sum of $425,000, or so much  thereof  as
 7    may  be  necessary, is appropriated from the Road Fund to the
 8    Department  of  Transportation  for  repair  of  damages   by
 9    motorists  to  state vehicles and equipment or replacement of
10    state vehicles and equipment, provided such amount shall  not
11    exceed  funds  to  be  made  available  from collections from
12    claims filed by the Department to recover the costs  of  such
13    damages.

14                          AWARDS AND GRANTS
15        Section 4b.  The sum of $1,170,200, or so much thereof as
16    may  be  necessary, is appropriated from the Road Fund to the
17    Department   of   Transportation   for    reimbursement    to
18    participating  counties  in the County Engineers Compensation
19    Program, providing those reimbursements do not  exceed  funds
20    to  be  made available from their federal highway allocations
21    retained by the Department.

22        Section  4b1.  The  following  named  sums,  or  so  much
23    thereof as may be necessary, are appropriated from  the  Road
24    Fund  to the Department of Transportation for grants to local
25    governments for the following purposes:
26    For reimbursement of eligible expenses
27      arising from local Traffic Signal
28      Maintenance Agreements created by Part
29      468 of the Illinois Department of
30      Transportation Rules and Regulations.......... $    200,000
31    For reimbursement of eligible expenses
 
                            -40-          SRA91HB0052MJcpam01
 1      arising from City, County, and other
 2      State Maintenance Agreements..................    8,322,000
 3        Total                                          $8,522,000

 4        Section 4c.  The following  named  amounts,  or  so  much
 5    thereof  as  may be necessary, are appropriated from the Road
 6    Fund to the Department of Transportation for the objects  and
 7    purposes hereinafter named:
 8                            CONSTRUCTION
 9      For Maintenance, Traffic and Physical
10       Research Purposes (A) ....................... $ 19,932,500
11      For Maintenance, Traffic and Physical
12       Research Purposes (B) .......................    8,945,400
13      For costs associated with the
14       identification and disposal of hazardous
15       materials at storage facilities .............    1,158,600
16      For repair of damages by motorists
17       to highway guardrails, fencing,
18       lighting units, bridges, underpasses,
19       signs, traffic signals, crash
20       attenuators, landscaping and other
21       highway appurtenances, provided
22       such amount shall not exceed funds
23       to be made available from collections
24       from claims filed by the Department
25       to recover the costs of such
26       damages .....................................    4,000,000
27        Total                                         $34,036,500

28                               REFUNDS
29        Section  4d.  The  following  named  amounts,  or so much
30    thereof as may be necessary, are appropriated from  the  Road
31    Fund  to the Department of Transportation for the objects and
32    purposes hereinafter named:
 
                            -41-          SRA91HB0052MJcpam01
 1      For Refunds ...................................... $ 28,000

 2        Section 5.  The following named sums, or so much  thereof
 3    as may be necessary, for the objects and purposes hereinafter
 4    named,  are appropriated from the Road Fund to the Department
 5    of Transportation for the ordinary and contingent expenses of
 6    the Division of Traffic Safety:

 7                           TRAFFIC SAFETY
 8                             OPERATIONS
 9      For Personal Services ........................ $  6,082,700
10      For Employee Retirement Contributions
11       Paid by State ...............................      243,300
12      For State Contributions to State
13       Employees' Retirement System ................      590,900
14      For State Contributions to Social Security ...      417,800
15      For Contractual Services .....................    1,342,800
16      For Travel ...................................       63,100
17      For Commodities ..............................       38,000
18      For Printing .................................      321,900
19      For Equipment ................................       47,000
20      For Equipment:
21        Purchase of Cars and Trucks ................      115,300
22      For Telecommunications Services ..............      143,800
23      For Operation of Automotive Equipment ........       71,900
24      For Refunds ..................................        9,200
25        Total                                          $9,487,700

26        Section 5a.  The following named sums, or so much thereof
27    as may be necessary, for the objects and purposes hereinafter
28    named, are appropriated from the Cycle Rider Safety  Training
29    Fund,  as authorized by Public Act 82-0649, to the Department
30    of Transportation for the administration of the  Cycle  Rider
31    Safety Training Program by the Division of Traffic Safety:
 
                            -42-          SRA91HB0052MJcpam01
 1      For Personal Services ........................ $    124,500
 2      For Employee Contribution to
 3       Retirement System by Employer ...............        5,000
 4      For State Contributions to State
 5       Employees' Retirement System ................       12,100
 6      For State Contributions to Social Security ...        9,300
 7      For Group Insurance ..........................       19,600
 8      For Contractual Services .....................       10,400
 9      For Travel ...................................       13,900
10      For Commodities ..............................        1,000
11      For Printing .................................        2,300
12      For Equipment ................................        2,300
13      For Operation of Automotive Equipment ........        5,200
14        Total                                            $205,600

15                          AWARDS AND GRANTS
16        Section  5a1.  The  sum of $1,600,000, or so much thereof
17    as may be necessary, is appropriated  from  the  Cycle  Rider
18    Safety Training Fund, as authorized by Public Act 82-0649, to
19    the  Department  of Transportation for reimbursement to State
20    and local universities and colleges for  Cycle  Rider  Safety
21    Training Programs.

22        Section  6.  The  following  named  amounts,  or  so much
23    thereof as may be necessary, are appropriated from  the  Road
24    Fund  to the Department of Transportation for the objects and
25    purposes hereinafter named:
26                              DAY LABOR
27                             OPERATIONS
28      For Personal Services ........................ $  4,611,300
29      For Employee Retirement Contributions
30       Paid by State ...............................      184,500
31      For State Contributions to State
32       Employees' Retirement System ................      447,900
 
                            -43-          SRA91HB0052MJcpam01
 1      For State Contributions to Social Security ...      352,800
 2      For Contractual Services .....................      853,600
 3      For Travel ...................................      142,300
 4      For Commodities ..............................      145,300
 5      For Equipment ................................      202,300
 6      For Equipment:
 7       Purchase of Cars and Trucks .................       40,000
 8      For Telecommunications Services ..............       31,800
 9      For Operation of Automotive Equipment ........      212,700
10        Total                                          $7,224,500

11        Section 7.  The  following  named  amounts,  or  so  much
12    thereof  as  may be necessary, are appropriated from the Road
13    Fund to the Department of Transportation for the objects  and
14    purposes hereinafter named:
15                    DISTRICT 1, SCHAUMBURG OFFICE
16                             OPERATIONS
17      For Personal Services ........................ $ 73,087,200
18      For Extra Help ...............................    6,115,700
19      For Employee Retirement Contributions
20       Paid by State ...............................    3,168,200
21      For State Contributions to State
22       Employees' Retirement System ................    7,693,700
23      For State Contributions to Social Security ...    5,932,300
24      For Contractual Services .....................   14,955,200
25      For Travel ...................................      235,200
26      For Commodities ..............................    4,970,300
27      For Equipment ................................    1,287,600
28      For Equipment:
29       Purchase of Cars and Trucks .................    3,459,800
30      For Telecommunications Services ..............    1,268,100
31      For Operation of Automotive Equipment ........    5,708,800
32        Total                                        $127,882,100
 
                            -44-          SRA91HB0052MJcpam01
 1        Section  8.  The  following  named  amounts,  or  so much
 2    thereof as may be necessary, are appropriated from  the  Road
 3    Fund  to the Department of Transportation for the objects and
 4    purposes hereinafter named:
 5                      DISTRICT 2, DIXON OFFICE
 6                             OPERATIONS
 7      For Personal Services ........................ $ 22,157,000
 8      For Extra Help ...............................    2,046,400
 9      For Employee Retirement Contributions
10       Paid by State ...............................      968,100
11      For State Contributions to State
12       Employees' Retirement System ................    2,351,100
13      For State Contributions to Social Security ...    1,770,000
14      For Contractual Services .....................    3,469,500
15      For Travel ...................................      157,100
16      For Commodities ..............................    1,682,600
17      For Equipment ................................      765,200
18      For Equipment:
19       Purchase of Cars and Trucks .................    1,163,400
20      For Telecommunications Services ..............      205,500
21      For Operation of Automotive Equipment ........    2,037,800
22        Total                                         $38,773,700

23        Section 9.  The  following  named  amounts,  or  so  much
24    thereof  as  may be necessary, are appropriated from the Road
25    Fund to the Department of Transportation for the objects  and
26    purposes hereinafter named:
27                      DISTRICT 3, OTTAWA OFFICE
28                             OPERATIONS
29      For Personal Services ........................ $ 20,475,200
30      For Extra Help ...............................    1,751,000
31      For Employee Retirement Contributions
32       Paid by State ...............................      889,000
33      For State Contributions to State
 
                            -45-          SRA91HB0052MJcpam01
 1       Employees' Retirement System ................    2,159,000
 2      For State Contributions to Social Security ...    1,625,400
 3      For Contractual Services .....................    3,064,100
 4      For Travel ...................................      113,200
 5      For Commodities ..............................    1,979,200
 6      For Equipment ................................      854,200
 7      For Equipment:
 8       Purchase of Cars and Trucks .................    1,176,100
 9      For Telecommunications Services ..............      176,300
10      For Operation of Automotive Equipment ........    1,896,700
11        Total                                         $36,159,400

12        Section  10.  The  following  named  amounts,  or so much
13    thereof as may be necessary, are appropriated from  the  Road
14    Fund  to the Department of Transportation for the objects and
15    purposes hereinafter named:
16                      DISTRICT 4, PEORIA OFFICE
17                             OPERATIONS
18      For Personal Services ........................ $ 17,690,300
19      For Extra Help ...............................    1,955,500
20      For Employee Retirement Contributions
21       Paid by State ...............................      785,900
22      For State Contributions to State
23       Employees' Retirement System ................    1,908,400
24      For State Contributions to Social Security ...    1,396,300
25      For Contractual Services .....................    3,672,400
26      For Travel ...................................      135,200
27      For Commodities ..............................    1,062,800
28      For Equipment ................................      952,400
29      For Equipment:
30       Purchase of Cars and Trucks .................      909,000
31      For Telecommunications Services ..............      197,000
32      For Operation of Automotive Equipment ........    1,408,500
33        Total                                         $32,073,700
 
                            -46-          SRA91HB0052MJcpam01
 1        Section 11.  The following  named  amounts,  or  so  much
 2    thereof  as  may be necessary, are appropriated from the Road
 3    Fund to the Department of Transportation for the objects  and
 4    purposes hereinafter named:
 5                      DISTRICT 5, PARIS OFFICE
 6                             OPERATIONS
 7      For Personal Services ........................ $ 20,315,500
 8      For Extra Help ...............................    1,407,500
 9      For Employee Retirement Contributions
10       Paid by State ...............................      868,900
11      For State Contributions to State
12       Employees' Retirement System ................    2,110,200
13      For State Contributions to Social Security ...    1,543,900
14      For Contractual Services .....................    2,766,100
15      For Travel ...................................       92,900
16      For Commodities ..............................    1,227,200
17      For Equipment ................................      613,900
18      For Equipment:
19       Purchase of Cars and Trucks .................      739,200
20      For Telecommunications Services ..............      146,100
21      For Operation of Automotive Equipment ........    1,604,700
22        Total                                         $33,436,100

23        Section  12.  The  following  named  amounts,  or so much
24    thereof as may be necessary, are appropriated from  the  Road
25    Fund  to the Department of Transportation for the objects and
26    purposes hereinafter named:
27                   DISTRICT 6, SPRINGFIELD OFFICE
28                             OPERATIONS
29      For Personal Services ........................ $ 20,810,300
30      For Extra Help ...............................    1,104,300
31      For Employee Retirement Contributions
32       Paid by State ...............................      876,600
33      For State Contributions to State
 
                            -47-          SRA91HB0052MJcpam01
 1       Employees' Retirement System ................    2,128,800
 2      For State Contributions to Social Security ...    1,602,600
 3      For Contractual Services .....................    3,424,900
 4      For Travel ...................................      132,500
 5      For Commodities ..............................    1,331,700
 6      For Equipment ................................      590,800
 7      For Equipment:
 8       Purchase of Cars and Trucks .................    1,096,600
 9      For Telecommunications Services ..............      198,100
10      For Operation of Automotive Equipment ........    1,699,400
11        Total                                         $34,996,600

12        Section 13.  The following  named  amounts,  or  so  much
13    thereof  as  may be necessary, are appropriated from the Road
14    Fund to the Department of Transportation for the objects  and
15    purposes hereinafter named:
16                    DISTRICT 7, EFFINGHAM OFFICE
17                             OPERATIONS
18      For Personal Services ........................ $ 14,195,700
19      For Extra Help ...............................      844,600
20      For Employee Retirement Contributions
21       Paid by State ...............................      601,600
22      For State Contributions to State
23       Employees' Retirement System ................    1,461,000
24      For State Contributions to Social Security ...    1,037,900
25      For Contractual Services .....................    1,891,200
26      For Travel ...................................      164,500
27      For Commodities ..............................      713,400
28      For Equipment ................................      725,100
29      For Equipment:
30       Purchase of Cars and Trucks .................      825,400
31      For Telecommunications Services ..............      270,100
32      For Operation of Automotive Equipment ........      888,600
33        Total                                         $23,619,100
 
                            -48-          SRA91HB0052MJcpam01
 1        Section  14.  The  following  named  amounts,  or so much
 2    thereof as may be necessary, are appropriated from  the  Road
 3    Fund  to the Department of Transportation for the objects and
 4    purposes hereinafter named:
 5                   DISTRICT 8, COLLINSVILLE OFFICE
 6                             OPERATIONS
 7      For Personal Services ........................ $ 26,820,700
 8      For Extra Help ...............................    1,681,400
 9      For Employee Retirement Contributions
10       Paid by State ...............................    1,140,100
11      For State Contributions to State
12       Employees' Retirement System ................    2,768,700
13      For State Contributions to Social Security ...    1,996,300
14      For Contractual Services .....................    5,507,100
15      For Travel ...................................      227,100
16      For Commodities ..............................    1,303,000
17      For Equipment ................................      940,400
18      For Equipment:
19       Purchase of Cars and Trucks .................    1,280,200
20      For Telecommunications Services ..............      336,000
21      For Operation of Automotive Equipment ........    1,807,400
22        Total                                         $45,808,400

23        Section 15.  The following  named  amounts,  or  so  much
24    thereof  as  may be necessary, are appropriated from the Road
25    Fund to the Department of Transportation for the objects  and
26    purposes hereinafter named:
27                    DISTRICT 9, CARBONDALE OFFICE
28                             OPERATIONS
29      For Personal Services ........................ $ 13,724,600
30      For Extra Help ...............................    1,366,300
31      For Employee Retirement Contributions
32       Paid by State ...............................      603,600
33      For State Contributions to State
 
                            -49-          SRA91HB0052MJcpam01
 1       Employees' Retirement System ................    1,465,900
 2      For State Contributions to Social Security ...      994,700
 3      For Contractual Services .....................    2,199,600
 4      For Travel ...................................       66,200
 5      For Commodities ..............................      601,000
 6      For Equipment ................................      672,300
 7      For Equipment:
 8       Purchase of Cars and Trucks .................    1,023,000
 9      For Telecommunications Services ..............      102,500
10      For Operation of Automotive Equipment ........    1,047,900
11        Total                                         $23,867,600

12        Section  16.  The  following  named  amounts,  or so much
13    thereof as may be necessary, are appropriated from  the  Road
14    Fund  to the Department of Transportation for the objects and
15    purposes hereinafter named:
16                        CONSTRUCTION DIVISION
17                          AWARDS AND GRANTS
18      For apportionment to counties for
19       construction of township bridges 20
20       feet or more in length as provided
21       in Section 6-901 through 6-906 of the
22       "Illinois Highway Code" ..................... $  15,000,000
23      For apportionment to needy counties,
24       as determined by the Department in
25       consultation with the County
26       Superintendent of Highways ..................    2,000,000
27      For apportionment to needy Townships and
28       Road Districts, as determined by the
29       Department in consultation with the County
30       Superintendents of Highways, Township
31       Highway Commissioners, or Road District
32       Highway Commissioners .......................    5,000,000
33      For apportionment to counties that have
 
                            -50-          SRA91HB0052MJcpam01
 1       had decreases in their assessed valuation
 2       as determined by the Department in
 3       consultation with the County
 4       Superintendents of Highways .................    2,400,000
 5      For apportionment to high-growth counties, as
 6       determined by the Department in consultation
 7       with the County Superintendents
 8       of Highways .................................    2,000,000
 9      For apportionment to high-growth cities over
10       5,000 in population, as determined by the
11       Department in consultation with the Illinois
12       Municipal League ............................    2,000,000
13        Total                                         $28,400,000

14                            CONSTRUCTION
15        Section 16b.  The sum of $886,600,000 or so much  thereof
16    as  may  be  necessary, is appropriated from the Road Fund to
17    the Department of Transportation for preliminary  engineering
18    and   construction   engineering   and   contract   costs  of
19    construction,   including   reconstruction,   extension   and
20    improvement of  State  highways,  arterial  highways,  roads,
21    access  areas,  roadside shelters, rest areas, fringe parking
22    facilities and sanitary facilities, and such  other  purposes
23    as  provided  by  the  "Illinois  Highway Code"; for purposes
24    allowed or required  by  Title  23  of  the  U.S.  Code;  for
25    bikeways  as  provided  by  Public  Act 78-0850; and for land
26    acquisition  and  signboard  removal  and  control,  junkyard
27    removal and control and preservation of natural  beauty;  and
28    for   capital   improvements  which  directly  facilitate  an
29    effective vehicle weight enforcement program, such as  scales
30    (fixed and portable), scale pits and scale installations, and
31    scale   houses,   in  accordance  with  applicable  laws  and
32    regulations.
 
                            -51-          SRA91HB0052MJcpam01
 1        Section 16b1.  The sum of $675,000,000 or so much thereof
 2    as  may  be  necessary,  is  appropriated  from   the   State
 3    Construction Account Fund to the Department of Transportation
 4    for  preliminary engineering and construction engineering and
 5    contract costs  of  construction,  including  reconstruction,
 6    extension   and   improvement  of  State  highways,  arterial
 7    highways, roads, access areas, roadside shelters, rest areas,
 8    fringe parking facilities and sanitary facilities,  and  such
 9    other  purposes  as  provided by the "Illinois Highway Code";
10    for purposes allowed or required by  Title  23  of  the  U.S.
11    Code; for bikeways as provided by Public Act 78-0850; and for
12    land  acquisition and signboard removal and control, junkyard
13    removal and control and preservation of natural  beauty;  and
14    for   capital   improvements  which  directly  facilitate  an
15    effective vehicle weight enforcement program, such as  scales
16    (fixed and portable), scale pits and scale installations, and
17    scale   houses,   in  accordance  with  applicable  laws  and
18    regulations.

19                      GRADE CROSSING PROTECTION
20                            CONSTRUCTION
21        Section 17.  The sum of $17,250,000, or so  much  thereof
22    as  may be necessary, is appropriated from the Grade Crossing
23    Protection Fund to the Department of Transportation  for  the
24    installation   of   grade   crossing   protection   or  grade
25    separations at  places  where  a  public  highway  crosses  a
26    railroad  at  grade,  as  ordered  by  the  Illinois Commerce
27    Commission, as provided by law.

28        Section 18.  The following named sums, or so much thereof
29    as may be necessary, for the objects and purposes hereinafter
30    named, are appropriated to the Department  of  Transportation
31    for  the  ordinary  and  contingent  expenses  of Aeronautics
32    Operations:
 
                            -52-          SRA91HB0052MJcpam01
 1                        AERONAUTICS DIVISION
 2                             OPERATIONS
 3    For Personal Services:
 4      Payable from the Road Fund ................... $  5,522,300
 5    For Employee Retirement Contributions
 6     Paid by State:
 7      Payable from the Road Fund ...................      220,900
 8    For State Contributions to State
 9     Employees' Retirement System:
10      Payable from the Road Fund ...................      536,400
11    For State Contributions to Social Security:
12      Payable from the Road Fund ...................      422,500
13    For Contractual Services:
14      Payable from the Road Fund ...................    3,337,300
15      Payable from Air Transportation
16       Revolving Fund ..............................    1,000,000
17    For Travel:
18      Payable from the Road Fund ...................      127,000
19    For Travel:  Executive Air Transportation
20     Expenses of the General Assembly:
21      Payable from the General Revenue Fund ........      190,100
22    For Travel:  Executive Air Transportation
23     Expenses of the Governor's Office:
24      Payable from the General Revenue Fund ........      179,900
25    For Commodities:
26      Payable from Aeronautics Fund ................      300,000
27      Payable from the Road Fund ...................      379,100
28    For Equipment:
29      Payable from the Road Fund ...................      131,000
30    For Equipment; Purchase of Cars and Trucks:
31      Payable from the Road Fund ...................       16,900
32    For Telecommunications Services:
33      Payable from the Road Fund ...................      104,100
34    For Operation of Automotive Equipment:
 
                            -53-          SRA91HB0052MJcpam01
 1      Payable from the Road Fund ...................       23,600
 2        Total                                         $12,491,100

 3                          AWARDS AND GRANTS
 4        Section 18a.  The sum of $102,790,900, or so much thereof
 5    as may be necessary, is appropriated from  the  Federal/Local
 6    Airport  Fund to the Department of Transportation for funding
 7    the local or federal share of  airport  improvement  projects
 8    undertaken  pursuant  to  pertinent  state  or  federal laws,
 9    provided such amounts shall not exceed funds  available  from
10    federal and/or local sources.

11        Section 18a1.  The sum of $14,515,100, or so much thereof
12    as may be necessary, is appropriated from Transportation Bond
13    Series  B  Fund  to  the  Department  of  Transportation  for
14    financial  assistance  to  airports pursuant to Section 34 of
15    the Illinois Aeronautics Act, as amended, for  such  purposes
16    as  are described in that Section and for airport acquisition
17    and development  pursuant  to  Section  72  of  the  Illinois
18    Aeronautics  Act,  as  amended,  for  such  purposes  as  are
19    described in that Section.

20        Section 18a2.  The sum of $350,000, or so much thereof as
21    may  be  necessary,  is appropriated from the General Revenue
22    Fund to the Department of Transportation for such purposes as
23    are  described  in  Sections  31  and  34  of  the   Illinois
24    Aeronautics Act, as amended.

25        Section 19.  The following named sums, or so much thereof
26    as  may  be  necessary,  respectively,  for  the  objects and
27    purposes hereinafter named, are appropriated from the General
28    Revenue Fund to the  Department  of  Transportation  for  the
29    ordinary   and   contingent   expenses   incident  to  Public
30    Transportation and Railroads Operations:
 
                            -54-          SRA91HB0052MJcpam01
 1                   PUBLIC TRANSPORTATION DIVISION
 2                             OPERATIONS
 3      For Personal Services ........................ $  1,437,700
 4      For Employee Contribution to
 5       Retirement System by Employer ...............       57,500
 6      For State Contributions to State
 7       Employees' Retirement System ................      139,700
 8      For State Contributions to Social
 9       Security ....................................      106,400
10      For Contractual Services .....................       20,600
11      For Travel ...................................       16,500
12      For Commodities ..............................        2,600
13      For Equipment ................................        4,400
14      For Telecommunications Services ..............       20,800
15      For Operation of Automotive Equipment ........        8,800
16        Total                                          $1,815,000

17                              LUMP SUMS
18        Section 19a.  The sum of $90,000, or so much  thereof  as
19    may  be  necessary,  is appropriated from the General Revenue
20    Fund  to  the  Department  of   Transportation   for   public
21    transportation technical studies.

22        Section 19a1.  The sum of $519,000, or so much thereof as
23    may  be  necessary,  is  appropriated  from  the Federal Mass
24    Transit Trust Fund to the Department  of  Transportation  for
25    federal  reimbursement  of transit studies as provided by the
26    Transportation Equity Act for the 21st Century.

27        Section 19a2.  The sum of $263,100, or so much thereof as
28    may be necessary, is appropriated from  the  General  Revenue
29    Fund  to  the Department of Transportation for administrative
30    expenses incurred in connection with the purposes of  Section
31    18  of  the Federal Transit Act (Section 5311 of the USC), as
 
                            -55-          SRA91HB0052MJcpam01
 1    amended,  provided  such  amount  shall  not   exceed   funds
 2    available from the Federal government under that Act.

 3                          AWARDS AND GRANTS
 4        Section  19b.  The sum of $300,000, or so much thereof as
 5    may be necessary, is appropriated from  the  General  Revenue
 6    Fund to the Department of Transportation for making grants to
 7    eligible  recipients  of  funding  under  Article  II  of the
 8    Downstate  Public  Transportation  Act  for  the  purpose  of
 9    reimbursing the recipients which provide  reduced  fares  for
10    mass   transportation   services  for  students,  handicapped
11    persons and the elderly.

12        Section 19b1.  The sum of $20,000,000, or so much thereof
13    as may be necessary, is appropriated from the General Revenue
14    Fund to the Department of Transportation for making grants to
15    the Regional Transportation  Authority  for  the  purpose  of
16    reimbursing  the  Service  Boards for providing reduced fares
17    for mass transportation services  for  students,  handicapped
18    persons,  and  the  elderly  to  be allocated proportionately
19    among the Service Boards based upon actual costs incurred  by
20    each Service Board for such reduced fares.

21        Section  19b2.  The  following  named  sums,  or  so much
22    thereof as  may  be  necessary,  are  appropriated  from  the
23    Transportation  Bond  Series  B  Fund  to  the  Department of
24    Transportation for  construction  costs,  making  grants  and
25    providing   project  assistance  to  municipalities,  special
26    transportation districts, private non-profit  carriers,  mass
27    transportation  carriers,  and the Intercity Rail Program for
28    the acquisition, construction, extension, reconstruction, and
29    improvement  of  mass  transportation  facilities,  including
30    rapid transit, intercity rail, bus and other  equipment  used
31    in connection therewith, as provided by law, as follows:
 
                            -56-          SRA91HB0052MJcpam01
 1    Pursuant to Section 4(b)(1) of the
 2      General Obligation Bond Act,
 3      as amended ...................................  $40,000,000
 4    For the counties of the state outside
 5      the counties of Cook, DuPage, Kane,
 6      McHenry, and Will pursuant to
 7      Section 4(b)(1) of the General
 8      Obligation Bond Act, as amended ..............    6,000,000
 9        Total                                         $46,000,000

10        Section  19b3.  The  sum  of  $154,295,600,  or  so  much
11    thereof  as may be necessary, is appropriated from the Public
12    Transportation Fund to the Department of  Transportation  for
13    the   purpose  stated   in  Section  4.09  of  the  "Regional
14    Transportation  Authority Act", as  amended.

15        Section 19b4.  The sum of $55,000,000, or so much thereof
16    as  may  be  necessary,  is  appropriated  from  the   Public
17    Transportation  Fund  to the Department of Transportation for
18    making a grant to the Regional Transportation Authority to be
19    used  for  its  purposes  as  provided   in   the   "Regional
20    Transportation  Authority  Act",  but  in no event shall this
21    amount exceed the amount equal to  the  actual  debt  service
22    payments  for  fiscal  year  1993  with  respect to Strategic
23    Capital   Improvement   bonds   issued   by   the    Regional
24    Transportation     Authority    pursuant    to    legislative
25    authorization granted in 1989.

26        Section 19b5.  The  following  named  sums,  or  so  much
27    thereof  as  may  be  necessary,  are  appropriated  from the
28    Downstate Public Transportation Fund  to  the  Department  of
29    Transportation  for  operating assistance grants to provide a
30    portion of the eligible operating expenses for the  following
31    carriers  for the purposes stated in Article II of Public Act
 
                            -57-          SRA91HB0052MJcpam01
 1    78-1109, as amended:
 2                           URBANIZED AREAS
 3    Champaign ...................................... $  7,086,400
 4    Peoria .........................................    5,899,100
 5    Rock Island ....................................    4,092,300
 6    Rockford .......................................    4,189,800
 7    Springfield ....................................    4,074,500
 8    Bloomington ....................................    1,948,800
 9    Decatur ........................................    1,948,500
10    Pekin ..........................................      292,500
11    Loves Park .....................................      487,300
12    Kankakee .......................................      660,000
13    South Beloit ...................................       26,500
14        Total, Urbanized Areas                        $30,705,700
15                         NON-URBANIZED AREAS
16    Danville ....................................... $    708,600
17    Quincy .........................................      974,300
18    RIDES Mass Transit District ....................      901,800
19    South Central Illinois
20      Mass Transit District ........................      918,800
21    Galesburg ......................................      443,000
22        Total, Non-Urbanized Areas                     $3,946,500

23        Section 19b6.  The sum of $15,620,000, or so much thereof
24    as may be necessary, is  appropriated  from  the  Metro  East
25    Public    Transportation    Fund   to   the   Department   of
26    Transportation for operating assistance grants subject to the
27    provisions of the "Downstate Public Transportation  Act",  as
28    amended by the 81st General Assembly.

29        Section  19b7.  The sum of $6,100,000, or so much thereof
30    as may be necessary, is appropriated from  the  Federal  Mass
31    Transit  Trust  Fund  to the Department of Transportation for
32    rural and small urban transit services pursuant to Section 18
 
                            -58-          SRA91HB0052MJcpam01
 1    of the Federal Transit Act (Section  5311  of  the  USC),  as
 2    amended, for operating and capital assistance.

 3        Section  19b8.  The sum of $2,000,000, or so much thereof
 4    as may be necessary, is appropriated from the General Revenue
 5    Fund to the Department of Transportation  for  making  grants
 6    and  providing  project assistance to municipalities, special
 7    transportation districts, private non-profit  carriers,  mass
 8    transportation  carriers  for  the acquisition, construction,
 9    extension,   reconstruction,   rehabilitation,   repair   and
10    improvement  of  mass  transportation  facilities,  including
11    rapid transit, intercity rail, bus and other  equipment  used
12    in connection therewith.

13        Section  19b9.  The sum of $2,700,000, or so much thereof
14    as may be necessary, is appropriated from  the  Federal  Mass
15    Transit  Trust  Fund  to the Department of Transportation for
16    the federal share of grants pursuant to Section  16(b)(2)  of
17    the  Federal  Transit  Act  (Section  5310  of  the  USC), as
18    amended,  to  private,  non-profit  agencies  for   providing
19    transit  services  to the elderly and the handicapped and for
20    supportive   services   provided   through   contracts   with
21    consultants where  such  services  are  associated  with  the
22    Section 16(b)2 grant program.

23        Section  19b10.  The  sum  of  $10,000,000,  or  so  much
24    thereof as may be necessary, is appropriated from the Federal
25    Mass  Transit  Trust Fund to the Department of Transportation
26    for the federal share of capital grants pursuant  to  Section
27    3,  Section  9,  and Section 18(I) of the Federal Transit Act
28    (Sections 5307, 5309 and 5311(f) of  the  USC),  as  amended,
29    provided  such  amounts  shall  not  exceed  funds to be made
30    available from the Federal Government under such Act.
 
                            -59-          SRA91HB0052MJcpam01
 1        Section 19b11.  The sum of $150,000, or so  much  thereof
 2    as  may  be  necessary, is appropriated from the Federal Mass
 3    Transit Trust Fund to the Department  of  Transportation  for
 4    the  Rural  Transit Assistance Program pursuant to Section 18
 5    (h) of the Federal Transit Act  (Section  5311(b)(2)  of  the
 6    USC), as amended.

 7        Section  19b12.  The  sum of $100,000, or so much thereof
 8    as may be  necessary,  is  appropriated  from  the  Downstate
 9    Public    Transportation    Fund   to   the   Department   of
10    Transportation  for  audit  adjustments  in  accordance  with
11    Section 15.1 of the "Downstate  Public  Transportation  Act",
12    approved August 9, 1974, as amended.

13                   RAIL PASSENGER AND RAIL FREIGHT
14                          AWARDS AND GRANTS
15        Section  20a.  The  sum of $9,187,500, or so much thereof
16    as may be necessary, is appropriated from the General Revenue
17    Fund to the Department  of  Transportation  for  funding  the
18    State's  share of intercity rail passenger service and making
19    necessary  expenditures  for  services  and   other   program
20    improvements.

21        Section  20a1.  The sum of $2,750,000, or so much thereof
22    as may be necessary, is appropriated from the General Revenue
23    Fund to the Department of Transportation for the Rail Freight
24    Services  Assistance  Program,  created  by  Section   49.25a
25    through   49.25g-1   of  the  Civil  Administrative  Code  of
26    Illinois.

27        Section 20a2.  The sum of $2,100,000, or so much  thereof
28    as  may  be  necessary,  is  appropriated from the State Rail
29    Freight Loan  Repayment  Fund  for  funding  the  State  Rail
30    Freight Loan Repayment Program created by Section 49.25g-1 of
 
                            -60-          SRA91HB0052MJcpam01
 1    the Civil Administrative Code of Illinois.

 2        Section 20a3.  The sum of $940,000, or so much thereof as
 3    may  be necessary, is appropriated from the Rail Freight Loan
 4    Repayment Fund to the Department of  Transportation  for  the
 5    Rail  Freight  Service Assistance Program, created by Section
 6    49.25a through 49.25g-1 of the Civil Administrative  Code  of
 7    Illinois.

 8        Section 20a4.  The sum of $403,000, or so much thereof as
 9    may  be  necessary,  is appropriated from the General Revenue
10    Fund to the Department  of  Transportation  for  funding  the
11    State's  share  of  the  Rail  Freight Loan Repayment Program
12    created by Section  49.25a  through  49.25g-1  of  the  Civil
13    Administrative Code of Illinois.

14        Section 20a5.  The sum of $10,250,000, or so much thereof
15    as  may  be  necessary, is appropriated from the Federal High
16    Speed Rail Trust Fund to the Department of Transportation for
17    the federal share of the High Speed Rail Project.

18        Section 20a6.  The sum of $200,000, or so much thereof as
19    may be necessary, is appropriated from  the  General  Revenue
20    Fund  to the Department of Transportation for the state share
21    of the High Speed Rail Project.

22        Section 21.  The following named sums, or so much thereof
23    as may be necessary, are appropriated from the Motor Fuel Tax
24    Fund to the Department of Transportation for the ordinary and
25    contingent expenses incident to the operations and  functions
26    of  administering  the  provisions  of  the "Illinois Highway
27    Code", relating to  use  of  Motor  Fuel  Tax  Funds  by  the
28    counties, municipalities, road districts and townships:
 
                            -61-          SRA91HB0052MJcpam01
 1                    MOTOR FUEL TAX ADMINISTRATION
 2                             OPERATIONS
 3      For Personal Services ........................ $  7,162,700
 4      For Employee Contribution to
 5       Retirement System by Employer ...............      286,500
 6      For State Contributions to State
 7       Employees' Retirement System ................      695,800
 8      For State Contributions to Social Security ...      487,100
 9      For Group Insurance ..........................      748,200
10      For Contractual Services .....................       34,000
11      For Travel ...................................       83,400
12      For Commodities ..............................        8,300
13      For Printing .................................       32,600
14      For Equipment ................................       40,600
15      For Telecommunications Services ..............       23,800
16      For Operation of Automotive Equipment.........        2,800
17        Total                                          $9,605,800

18                          AWARDS AND GRANTS
19        Section  21a.  The  following  named  sums,  or  so  much
20    thereof  as are available for distribution in accordance with
21    Section 8 of the Motor Fuel Tax Law,  are  appropriated  from
22    the  Motor  Fuel Tax Fund to the Department of Transportation
23    for the purposes stated:
24                         DISTRIBUTIVE ITEMS
25      For apportioning, allotting, and paying
26       as provided by law:
27        To Counties ..............................   $180,100,000
28        To Municipalities ........................    252,600,000
29        To Counties for Distribution to
30         Road Districts ..........................     81,800,000
31        Total                                        $514,500,000

32        Section 22.  The following named sums, or so much thereof
 
                            -62-          SRA91HB0052MJcpam01
 1    as may be necessary for the agencies hereinafter  named,  are
 2    appropriated  from   the  Road  Fund  to  the  Department  of
 3    Transportation  for  implementation  of  the Commercial Motor
 4    Vehicle Safety Program under provisions of Title  IV  of  the
 5    Surface  Transportation Assistance Act of 1982, as amended by
 6    the Transportation Equity Act for the 21st Century:
 7                 FOR THE DIVISION OF TRAFFIC SAFETY
 8      For Personal Services ........................ $    554,900
 9      For Employee Contribution to Retirement
10       System by Employer ..........................       22,200
11      For State Contributions to State
12       Employees' Retirement System ................       53,900
13      For State Contributions to Social Security ...       42,400
14      For Contractual Services .....................      174,200
15      For Travel ...................................       62,900
16      For Commodities ..............................       18,800
17      For Printing .................................       23,500
18      For Equipment ................................       20,100
19      For Telecommunications Services...............        2,000
20      For Operation of Automotive Equipment.........        6,200
21        Total                                            $981,100
22                 FOR THE DEPARTMENT OF STATE POLICE
23      For Personal Services ........................ $  2,759,500
24      For Employee Contribution to Retirement
25       System by Employer ..........................      148,700
26      For State Contributions to State
27       Employees' Retirement System ................      267,600
28      For State Contributions to Social Security ...       30,800
29      For Contractual Services .....................      213,300
30      For Travel ...................................      115,300
31      For Commodities ..............................       68,400
32      For Printing .................................       10,200
33      For Equipment ................................      455,200
34      For Equipment:  Purchase of Cars and
 
                            -63-          SRA91HB0052MJcpam01
 1       Trucks ......................................       34,000
 2      For Telecommunications Services...............       62,100
 3      For Operation of Automotive Equipment.........      190,500
 4        Total                                          $4,355,600

 5        Section 23.  The following named sums, or so much thereof
 6    as may be necessary for the agencies hereinafter  named,  are
 7    appropriated   from  the  Road  Fund  to  the  Department  of
 8    Transportation for implementation  of  the  Illinois  Highway
 9    Safety  Program  under  provisions  of  the  National Highway
10    Safety Act of 1966, as amended:
11                     FOR THE SECRETARY OF STATE
12      For Personal Services ........................ $    194,100
13      For Employee Contribution to Retirement
14       System by Employer ..........................       10,800
15      For State Contributions to State
16       Employees' Retirement System ................       19,000
17      For State Contributions to Social Security ...        2,800
18      For Contractual Services .....................       71,000
19      For Travel ...................................        8,900
20      For Commodities ..............................       10,000
21      For Printing .................................       35,700
22      For Equipment ................................       25,000
23      For Operation of Automotive Equipment ........       24,600
24        Total                                            $401,900
25                 FOR THE DEPARTMENT OF STATE POLICE
26      For Personal Services ........................ $  1,077,600
27      For Employee Contribution to Retirement
28       System by Employer ..........................       59,300
29      For State Contributions to State
30       Employees' Retirement System ................      104,700
31      For State Contributions to Social Security ...       32,400
32      For Contractual Services .....................       14,300
33      For Travel ...................................        8,000
 
                            -64-          SRA91HB0052MJcpam01
 1      For Commodities ..............................       21,800
 2      For Equipment ................................      100,000
 3      For Operation of Auto Equipment ..............      107,700
 4        Total                                          $1,525,800
 5                FOR THE DEPARTMENT OF TRANSPORTATION
 6      For Contractual Services ..................... $     60,000
 7        Total                                             $60,000
 8                 FOR THE DIVISION OF TRAFFIC SAFETY
 9      For Personal Services ........................ $  1,090,200
10      For Employee Contribution to Retirement
11       System by Employer ..........................       43,600
12      For State Contributions to State Employees'
13       Retirement System ...........................      105,900
14      For State Contributions to Social Security ...       83,400
15      For Contractual Services .....................    2,699,700
16      For Travel ...................................       72,900
17      For Commodities ..............................       71,900
18      For Printing .................................       82,400
19      For Equipment ................................        5,400
20      For Telecommunications Services ..............        4,800
21        Total                                          $4,260,200
22                 FOR THE DEPARTMENT OF PUBLIC HEALTH
23      For Contractual Services ..................... $    146,900
24      For Travel ...................................        7,300
25      For Commodities ..............................       10,000
26      For Printing .................................        2,000
27        Total                                            $166,200
28                  FOR THE ILLINOIS LAW ENFORCEMENT
29                      STANDARDS TRAINING BOARD
30      For Contractual Services ..................... $     70,000
31      For Printing .................................        5,000
32        Total                                             $75,000
33                FOR THE DEPARTMENT OF HUMAN SERVICES
34      For Travel ................................... $      5,000
 
                            -65-          SRA91HB0052MJcpam01
 1      For Commodities ..............................       42,000
 2        Total                                             $47,000
 3           FOR DEPARTMENT OF CHILDREN AND FAMILY SERVICES
 4      For Commodities ......................................5,000

 5                        FOR LOCAL GOVERNMENTS
 6      For Local Government Projects by
 7       Municipalities and Counties ...................$ 3,744,800

 8        Section 24.  The following named sums, or so much thereof
 9    as may be necessary for the  agencies  hereafter  named,  are
10    appropriated   from  the  Road  Fund  to  the  Department  of
11    Transportation for  implementation  of  the  Alcohol  Traffic
12    Safety  Programs of Title XXIII of the Surface Transportation
13    Assistance Act of 1982,  as  amended  by  the  Transportation
14    Equity Act for the 21st Century:
15     FOR THE ADMINISTRATIVE OFFICE OF THE ILLINOIS COURTS (410)
16      For Contractual Services ..................... $     10,100
17      For Travel ...................................       18,400
18        Total                                             $28,500
19        FOR THE DIVISION OF TRAFFIC SAFETY (410)
20      For Contractual Services ..................... $     11,400
21      For Travel ...................................        3,000
22      For Commodities ..............................       53,500
23      For Printing .................................       23,000
24        Total                                             $90,900
25                  FOR THE SECRETARY OF STATE (410)
26      For Personal Services ........................ $     47,200
27      For Employee Contribution to Retirement
28       System by Employer ..........................        2,900
29      For the State Contribution to State
30       Employees' Retirement System ................        5,100
31      For the State Contribution to Social
32       Security ....................................        4,000
 
                            -66-          SRA91HB0052MJcpam01
 1      For Contractual Services .....................       48,000
 2      For Travel ...................................       24,800
 3      For Commodities ..............................       35,600
 4      For Printing .................................       29,100
 5      For Equipment ................................        8,000
 6      For Telecommunication Services ...............        1,000
 7      For Operation of Auto Equipment ..............        2,500
 8        Total                                            $208,200
 9              FOR THE DEPARTMENT OF STATE POLICE (410)
10      For Personal Services ........................ $    200,000
11      For Employee Contribution to Retirement
12       System by Employer ..........................       11,000
13      For the State Contribution to State
14       Employees' Retirement System ................       19,400
15      For the State Contribution to Social
16       Security ....................................        2,400
17      For Contractual Services .....................       25,400
18      For Travel ...................................        1,000
19      For Commodities ..............................        4,300
20      For Equipment ................................       68,100
21      For Operation of Auto Equipment...............       11,600
22        Total                                            $343,200
23                  FOR THE ILLINOIS LAW ENFORCEMENT
24                   STANDARDS TRAINING BOARD (410)
25      For Contractual Services ..................... $    120,000
26      For Printing .................................        5,000
27        Total                                            $125,000
28           FOR THE ILLINOIS COMMUNITY COLLEGE BOARD (410)
29      For Contractual Services ..................... $     24,600
30      For Travel ...................................        3,000
31      For Commodities ..............................          900
32      For Printing .................................        1,500
33        Total                                             $30,000
34            FOR THE DEPARTMENT OF NATURAL RESOURCES (410)
 
                            -67-          SRA91HB0052MJcpam01
 1      For Contractual Services .....................        8,000
 2      For Travel ...................................        1,000
 3      For Commodities ..............................        4,000
 4      For Printing .................................        2,000
 5      For Equipment ................................ $     34,000
 6        Total                                             $49,000
 7                        FOR LOCAL GOVERNMENTS
 8    For Local Government Projects by
 9      Municipalities and Counties .....................$2,500,000

10        Section  25.  The following named sums or so much thereof
11    as may be necessary for the  agencies  hereafter  named,  are
12    appropriated   from  the  Road  Fund  to  the  Department  of
13    Transportation for implementation of the Section 163 Impaired
14    Driving Incentive Grant Program (.08 Alcohol)  as  authorized
15    by the Transportation Equity Act for the 21st Century:
16              For THE DIVISION OF TRAFFIC SAFETY (.08)
17      For Contractual Services ........................$1,930,500
18               FOR THE DEPARTMENT OF STATE POLICE(.08)
19      For Equipment ...................................$1,266,100

20        Section   26.  No  contract  shall  be  entered  into  or
21    obligation  incurred  or  any  expenditure   made   from   an
22    appropriation herein made in

23    Section 2        Permanent Improvements
24    Section 18a1     Series B (Aeronautics)
25    Section 18a2     GRF Capital (Aeronautics)
26    Section 19b      GRF Reduced Fares Downstate
27    Section 19b1     GRF Reduced Fares RTA
28    Section 19b2     Series B (Transit)
29    Section 19b4     SCIP Debt Service
30    Section 19b8     GRF Capital (Transit)
31    Section 20a      GRF Rail Passenger
 
                            -68-          SRA91HB0052MJcpam01
 1    Section 20a1     GRF Rail Freight Program
 2    Section 20a2     State Rail Freight Loan Repayment
 3    Section 20a3     Fed Rail Freight Loan Repayment
 4    Section 20a4     GRF Rail Freight Match
 5    Section 20a5     Fed High Speed Rail Trust
 6    Section 20a6     GRF High Speed Rail
 7    of  this  Article  until  after the purpose and the amount of
 8    such  expenditure  has  been  approved  in  writing  by   the
 9    Governor.


10                             ARTICLE 16

11                 CENTRAL ADMINISTRATION AND PLANNING
12                              LUMP SUMS
13        Section  1a.  The  sum of $377,600, or so much thereof as
14    may be necessary and  remains  unexpended  at  the  close  of
15    business  on  June  30,  1999,  from  the  appropriation  and
16    reappropriation  heretofore  made  in  the  line  item,  "For
17    Planning,  Research and Development Purposes" for the Central
18    Offices, Administration and Planning in Article  86,  Section
19    1a  and  Article  87,  Section  1a  of Public Act 90-0585, as
20    amended,  is  reappropriated  from  the  Road  Fund  to   the
21    Department of Transportation for the same purposes.

22        Section  1a1.  The  sum of $1,419,400, or so much thereof
23    as may be necessary and remains unexpended at  the  close  of
24    business  on  June  30,  1999,  from  the  appropriation  and
25    reappropriation concerning Asbestos Abatement heretofore made
26    in  Article  86,  Section  1a  and Article 87, Section 1a1 of
27    Public Act 90-0585, as amended, is  reappropriated  from  the
28    Road  Fund  to  the Department of Transportation for the same
29    purposes.

30        Section 1a2.  The sum of $44,361,400, or so much  thereof
 
                            -69-          SRA91HB0052MJcpam01
 1    as  may  be  necessary and remains unexpended at the close of
 2    business  on  June  30,  1999,  from  the  appropriation  and
 3    reappropriation heretofore made for metropolitan planning  in
 4    Article  86, Section 1a and Article 87, Section 1a2 of Public
 5    Act 90-0585, as amended, is reappropriated from the Road Fund
 6    to the Department of Transportation for the same purposes.

 7        Section 1a3.  The sum of $1,459,900, or so  much  thereof
 8    as  may  be  necessary and remains unexpended at the close of
 9    business  on  June  30,  1999,  from  the  appropriation  and
10    reappropriation heretofore made  for  the  establishment  and
11    operation  of  an Illinois Transportation Research Center and
12    the conduct of transportation research in Article 86, Section
13    1a and Article 87, Section 1a3  of  Public  Act  90-0585,  as
14    amended,   is  reappropriated  from  the  Road  Fund  to  the
15    Department of Transportation for the same purposes.

16        Section 1a4.  The sum of $2,247,700, or so  much  thereof
17    as  may  be  necessary and remains unexpended at the close of
18    business  on  June  30,  1999,  from  the  appropriation  and
19    reappropriation heretofore made in Article 86, Section 1a and
20    Article 87, Section 1a4 of Public Act 90-0585, as amended, is
21    reappropriated from  the  Road  Fund  to  the  Department  of
22    Transportation   for   metropolitan   planning  and  research
23    purposes.

24        Section 1a5.  The sum of $4,642,300, or so  much  thereof
25    as  may  be  necessary and remains unexpended at the close of
26    business  on  June  30,  1999,   from   the   reappropriation
27    heretofore  made  in  Article  87,  Section 1a5 of Public Act
28    90-0585, as amended, is reappropriated from the Road Fund  to
29    the  Department of Transportation for Phase II of the ADVANCE
30    demonstration project for the state share as provided by law.
 
                            -70-          SRA91HB0052MJcpam01
 1        Section 1a6.  The sum of $10,617,400, or so much  thereof
 2    as  may  be  necessary and remains unexpended at the close of
 3    business  on  June  30,  1999,   from   the   reappropriation
 4    heretofore  made  in  Article  87,  Section 1a6 of Public Act
 5    90-0585, as amended, is reappropriated from the Road Fund  to
 6    the  Department of Transportation for Phase II of the ADVANCE
 7    demonstration project for the federal and  private  share  as
 8    provided by law.

 9        Section  1a7.  The sum of $14,952,700, or so much thereof
10    as may be necessary and remains unexpended at  the  close  of
11    business  on  June  30,  1999,  from  the  appropriation  and
12    reappropriation heretofore made in Article 86, Section 1a and
13    Article 87, Section 1a7 of Public Act 90-0585, as amended, is
14    reappropriated  from  the  Road  Fund  to  the  Department of
15    Transportation for the  federal  share  of  the  Midwest  ITS
16    Priority Corridor Program.

17        Section  1a8.  The  sum of $3,005,000, or so much thereof
18    as may be necessary and remains unexpended at  the  close  of
19    business  on  June  30,  1999,  from  the  appropriation  and
20    reappropriation heretofore made in Article 86, Section 1a and
21    Article 87, Section 1a8 of Public Act 90-0585, as amended, is
22    reappropriated  from  the  Road  Fund  to  the  Department of
23    Transportation  for  the  state  share  of  the  Midwest  ITS
24    Priority Corridor Program.

25                          AWARDS AND GRANTS
26        Section 1b.  The sum of $49,250,200, or so  much  thereof
27    as  may  be  necessary and remains unexpended at the close of
28    business  on  June  30,  1999,  from  the  appropriation  and
29    reappropriation heretofore made in Article 86, Section 1b and
30    Article 87, Section 1b of Public Act 90-0585, as amended,  is
31    reappropriated  from  the  Road  Fund  to  the  Department of
 
                            -71-          SRA91HB0052MJcpam01
 1    Transportation for Enhancement and Congestion Mitigation  and
 2    Air Quality Projects.

 3        Section  1b1.  The  sum  of $84,900 or so much thereof as
 4    may be necessary and  remains  unexpended  at  the  close  of
 5    business   on   June   30,  1999,  from  the  reappropriation
 6    concerning the Interstate  355  Southern  Extension  Corridor
 7    Planning  Council  heretofore made in Article 87, Section 1b1
 8    of Public Act 90-0585, as amended, is reappropriated from the
 9    General Revenue Fund to the Department of Transportation  for
10    the same purposes.

11                   CAPITAL IMPROVEMENTS, HIGHWAYS
12                       PERMANENT IMPROVEMENTS
13        Section 2.  The sum of $15,767,300, or so much thereof as
14    may  be  necessary  and  remains  unexpended  at the close of
15    business  on  June  30,  1999,  from  the  appropriation  and
16    reappropriation concerning Permanent Improvements  heretofore
17    made  in  Article  86, Section 2 and Article 87, Section 2 of
18    Public Act 90-0585, as amended, is  reappropriated  from  the
19    Road  Fund  to  the Department of Transportation for the same
20    purposes.

21                CENTRAL OFFICE, DIVISION OF HIGHWAYS
22                              LUMP SUM
23        Section 3.  The sum of $467,500, or so  much  thereof  as
24    may  be  necessary  and  remains  unexpended  at the close of
25    business  on  June  30,  1999,  from  the  appropriation  and
26    reappropriation concerning vehicle damages heretofore made in
27    Article 86, Section 4a and Article 87, Section  3  of  Public
28    Act 90-0585, as amended, is reappropriated from the Road Fund
29    to the Department of Transportation for the same purposes.

30                          AWARDS AND GRANTS
 
                            -72-          SRA91HB0052MJcpam01
 1        Section 3a.  The sum of $5,483,000, or so much thereof as
 2    may  be  necessary  and  remains  unexpended  at the close of
 3    business  on  June  30,  1999,   from   the   reappropriation
 4    concerning   railroad   relocation   demonstration   projects
 5    heretofore  made  in  Article  87,  Section  3a of Public Act
 6    90-0585, as amended, is reappropriated from the Road Fund  to
 7    the  Department  of  Transportation  for  the  same purposes,
 8    provided such  amount  does  not  exceed  funds  to  be  made
 9    available from the federal government.

10        Section  3a1.  The sum of $23,851,600, or so much thereof
11    as may be necessary and remains unexpended at  the  close  of
12    business  on  June  30,  1999,  from  the  appropriations and
13    reappropriations heretofore made  for  Local  Traffic  Signal
14    Maintenance  Agreements  and  City,  County  and  other State
15    Maintenance Agreements in Article 86, Section 4b1 and Article
16    87, Section  3a1  of  Public  Act  90-0585,  as  amended,  is
17    reappropriated  from  the  Road  Fund  to  the  Department of
18    Transportation for the same purposes.

19        Section 3a2.  The sum of $156,600, or so much thereof  as
20    may  be  necessary  and  remains  unexpended  at the close of
21    business  on  June  30,  1999,   from   the   reappropriation
22    concerning   the   State   share   of   railroad   relocation
23    demonstration projects heretofore made in Article 87, Section
24    3a2  of  Public  Act  90-0585,  as amended, is reappropriated
25    from the Road Fund to the Department  of  Transportation  for
26    the same purposes.

27                            CONSTRUCTION
28        Section  3b.  The  sum of $50,053,900, or so much thereof
29    as may be necessary and remains unexpended at  the  close  of
30    business  on June 30, 1999, from the appropriation heretofore
31    made in Article 86, Section 16b of  Public  Act  90-0585,  as
 
                            -73-          SRA91HB0052MJcpam01
 1    amended,  for  engineering  and consultant contracts only, is
 2    reappropriated from  the  Road  Fund  to  the  Department  of
 3    Transportation for the same purposes.

 4        Section  3b1.  The sum of $14,072,400, or so much thereof
 5    as may be necessary and remains unexpended at  the  close  of
 6    business   on   June   30,  1999,  from  the  reappropriation
 7    heretofore made for "Engineering and Consultant Contracts" in
 8    Article 87, Section 3b6 of Public Act 90-0585, as amended, is
 9    reappropriated from  the  Road  Fund  to  the  Department  of
10    Transportation for the same purposes.

11        Section  3b2.  The sum of $11,139,700, or so much thereof
12    as may be necessary and remains unexpended at  the  close  of
13    business   on   June  30,  1999,  from  the  reappropriations
14    heretofore made for "Engineering and Consultant Contracts" in
15    Article 87, Section 3b5 of Public Act 90-0585, as amended, is
16    reappropriated from  the  Road  Fund  to  the  Department  of
17    Transportation for the same purposes.

18        Section  3b3.  The sum of $18,984,500, or so much thereof
19    as may be necessary and remains unexpended at  the  close  of
20    business   on   June  30,  1999,  from  the  reappropriations
21    heretofore made in Article 87, Sections 3b,  3b1,  3b2,  3b3,
22    and  3b4  of  Public Act 90-0585, as amended, for engineering
23    and consultant contracts, is  reappropriated  from  the  Road
24    Fund  to  the  Department  of  Transportation  for  the  same
25    purposes.

26        Section  3b4.  The sum of $500,000, or so much thereof as
27    may be necessary and  remains  unexpended  at  the  close  of
28    business   on   June  30,  1999,  from  the  reappropriations
29    heretofore made in Article 87,  Section  3b7  of  Public  Act
30    90-0585,  as amended, for preliminary engineering for western
 
                            -74-          SRA91HB0052MJcpam01
 1    access to O'Hare Airport, is  reappropriated  from  the  Road
 2    Fund  to  the  Department  of  Transportation  for  the  same
 3    purposes.

 4        Section  3b5.  The  sum of $2,841,800, or so much thereof
 5    as may be necessary and remains unexpended at  the  close  of
 6    business  on  June  30,  1999,  from  the  appropriation  and
 7    reappropriation   concerning   hazardous  materials  made  in
 8    Article 86, Section 4c and Article 87, Section 3b8 of  Public
 9    Act 90-0585, as amended, is reappropriated from the Road Fund
10    to the Department of Transportation for the same purposes.

11        Section  3b6.  The sum of $15,988,300, or so much thereof
12    as may be necessary and remains unexpended at  the  close  of
13    business  on  June  30,  1999,  from  the  appropriation  and
14    reappropriation  heretofore  made for Formal Contracts in the
15    line item, "For Maintenance, Traffic  and  Physical  Research
16    Purposes  (A)" for the Central Offices, Division of Highways,
17    in Article 86, Section 4c and  Article  87,  Section  3b9  of
18    Public  Act  90-0585,  as amended, is reappropriated from the
19    Road Fund to the Department of Transportation  for  the  same
20    purposes.

21        Section  3b7.  The  sum of $6,889,300, or so much thereof
22    as may be necessary and remains unexpended at  the  close  of
23    business  on  June  30,  1999,  from  the  appropriation  and
24    reappropriation  concerning  Highway Damage Claims heretofore
25    made in Article 86, Section 4c and Article 87,  Section  3b10
26    of Public Act 90-0585, as amended, is reappropriated from the
27    Road  Fund  to  the Department of Transportation for the same
28    purposes.

29                     DIVISION OF TRAFFIC SAFETY
30                          AWARDS AND GRANTS
 
                            -75-          SRA91HB0052MJcpam01
 1        Section 4.  The sum of $2,323,100, or so much thereof  as
 2    may  be  necessary  and  remains  unexpended  at the close of
 3    business  on  June  30,  1999,  from  the  appropriation  and
 4    reappropriation  heretofore made in Article 86,  Section  5a1
 5    and  Article 87, Section 4 of Public Act 90-0585, as amended,
 6    is reappropriated from the Cycle Rider Safety  Training  Fund
 7    to the Department of Transportation for the same purposes.

 8                        CONSTRUCTION DIVISION
 9                          AWARDS AND GRANTS
10        Section  5a.  The  sum of $17,854,200, or so much thereof
11    as may be necessary and remains unexpended at  the  close  of
12    business  on  June  30,  1999,  from  the  appropriation  and
13    reappropriation  heretofore  made  for  township  bridges  in
14    Article  86,  Section 16 and Article 87, Section 5a of Public
15    Act 90-0585, as amended, is reappropriated from the Road Fund
16    to the Department of Transportation for the same purposes.

17                            CONSTRUCTION

18        Section  5b1.  The  following  named  sums,  or  so  much
19    thereof as may be necessary  and  remain  unexpended  at  the
20    close  of  business on June 30, 1999, from the appropriations
21    heretofore made in Article 86,  Section  16b  of  Public  Act
22    90-0585, as amended, are reappropriated from the Road Fund to
23    the  Department of Transportation for preliminary engineering
24    and  construction   engineering   and   contract   costs   of
25    construction,   including   reconstruction,   extension   and
26    improvement  of  State  highways,  arterial  highways, roads,
27    access areas, roadside shelters, rest areas,  fringe  parking
28    facilities  and  sanitary facilities, and such other purposes
29    as provided by the  "Illinois  Highway  Code";  for  purposes
30    allowed  or  required  by  Title  23  of  the  U.S. Code, for
31    bikeways as provided by  Public  Act  78-850;  and  for  land
 
                            -76-          SRA91HB0052MJcpam01
 1    acquisition  and  signboard  removal  and  control,  junkyard
 2    removal  and  control and preservation of natural beauty; and
 3    for  capital  improvements  which  directly   facilitate   an
 4    effective  vehicle weight enforcement program, such as scales
 5    (fixed and portable), scale pits and scale installations  and
 6    scale   houses,   in  accordance  with  applicable  laws  and
 7    regulations as follows:
 8      District 1, Schaumburg ....................... $192,393,200
 9      District 2, Dixon ............................   42,208,800
10      District 3, Ottawa ...........................   31,614,200
11      District 4, Peoria ...........................   28,685,000
12      District 5, Paris ............................   18,259,400
13      District 6, Springfield ......................   34,517,500
14      District 7, Effingham ........................   16,848,800
15      District 8, Collinsville .....................   36,392,600
16      District 9, Carbondale .......................   19,772,500
17      Statewide ....................................  104,676,100
18        Total                                        $525,368,100

19        Section 5b2.  The sum of $140,838,900, or so much thereof
20    as may be necessary and remains unexpended at  the  close  of
21    business   on   June  30,  1999,  from  the  reappropriations
22    heretofore made in Article 87,  Section  5b1  of  Public  Act
23    90-0585,  as amended, is reappropriated from the Road Fund to
24    the Department of Transportation for the same purposes.

25        Section 5b3.  The sum of $93,289,700, or so much  thereof
26    as  may  be  necessary and remains unexpended at the close of
27    business  on  June  30,  1999,  from   the   reappropriations
28    heretofore  made  in  Article  87,  Section 5b2 of Public Act
29    90-0585, as amended, except for "Engineering  and  Consultant
30    Contracts"  is  reappropriated  from  the  Road  Fund  to the
31    Department of Transportation for the same purposes.
 
                            -77-          SRA91HB0052MJcpam01
 1        Section 5b4.  The sum of $66,369,600, or so much  thereof
 2    as  may  be  necessary and remains unexpended at the close of
 3    business  on  June  30,  1999,  from   the   reappropriations
 4    heretofore  made  in  Article  87,  Section 5b3 of Public Act
 5    90-0585, as amended, except for "Engineering  and  Consultant
 6    Contracts"  is  reappropriated  from  the  Road  Fund  to the
 7    Department of Transportation for the same purposes.

 8        Section 5b5.  The sum of $116,715,400, or so much thereof
 9    as may be necessary and remains unexpended at  the  close  of
10    business   on   June  30,  1999,  from  the  reappropriations
11    heretofore made in Article 87, Sections 5b4, 5b5,  5b6,  5b7,
12    and  5b8 of Public Act 90-0585, as amended, is reappropriated
13    from the Road Fund to the Department  of  Transportation  for
14    the same purposes.

15        Section  5b6.  The  sum of $1,054,500, or so much thereof
16    as may be necessary and remains unexpended at  the  close  of
17    business on June 30, 1999, from the appropriations heretofore
18    made  in  Article  87,  Section 5b9 of Public Act 90-0585, as
19    amended, is reappropriated from the Capital Development  Fund
20    to the Department of Transportation for use as matching funds
21    for  the  Illinois Transportation Enhancement program for the
22    Historic Preservation Agency.

23        Section 5b7.  The sum of $27,900, or so much  thereof  as
24    may  be  necessary  and  remains  unexpended  at the close of
25    business on June 30, 1999, from the appropriations heretofore
26    made in Article 87, Section 5b10 of Public  Act  90-0585,  as
27    amended,  is reappropriated from the Capital Development Fund
28    to the Department of Transportation for use as matching funds
29    for the Illinois Transportation Enhancement program  for  the
30    Department of Natural Resources.
 
                            -78-          SRA91HB0052MJcpam01
 1        Section  5b8.   The  following  named  sums,  or  so much
 2    thereof as may be necessary  and  remain  unexpended  at  the
 3    close  of  business on June 30, 1999, from the appropriations
 4    heretofore made in Article 86, Section  16b1  of  Public  Act
 5    90-0585,  as  amended,  are  reappropriated  from  the  State
 6    Construction Account Fund to the Department of Transportation
 7    for the same purpose:
 8      District 1, Schaumburg ....................... $ 203,829,900
 9      District 2, Dixon ............................   37,792,500
10      District 3, Ottawa ...........................   25,249,700
11      District 4, Peoria ...........................   24,765,000
12      District 5, Paris ............................   16,571,000
13      District 6, Springfield ......................   28,660,600
14      District 7, Effingham ........................    9,137,800
15      District 8, Collinsville .....................   29,418,200
16      District 9, Carbondale .......................   18,814,400
17      Statewide ....................................   13,033,500
18        Total                                        $407,272,600

19        Section  5b9.  The sum of $341,365,000 or so much thereof
20    as may be necessary and remain unexpended  at  the  close  of
21    business on June 30, 1999, from the appropriations heretofore
22    made  in  Article  87, Section 5b11 of Public Act 90-0585, as
23    amended,  is  reappropriated  from  the  State   Construction
24    Account Fund to the Department of Transportation for the same
25    purposes.

26        Section 5b10.  The sum of $47,449,800, or so much thereof
27    as  may  be  necessary and remains unexpended at the close of
28    business  on  June  30,  1999,  from   the   reappropriations
29    heretofore  made  in  Article  87, Section 5b12 of Public Act
30    90-0585,  as  amended,  is  reappropriated  from  the   State
31    Construction Account Fund to the Department of Transportation
32    for the same purposes.
 
                            -79-          SRA91HB0052MJcpam01
 1        Section  5b11.  The sum of $3,156,400, or so much thereof
 2    as may be necessary and remains unexpended at  the  close  of
 3    business   on   June   30,  1999,  from  the  reappropriation
 4    heretofore made in Article 87, Section  5b13  of  Public  Act
 5    90-0585,   as  amended,  is  reappropriated  from  the  State
 6    Construction Account Fund to the Department of Transportation
 7    for the same purposes.

 8        Section 5b12.  The sum of $28,161,900, or so much thereof
 9    as may be necessary and remains unexpended at  the  close  of
10    business   on   June  30,  1999,  from  the  reappropriations
11    heretofore made in Article 87,  Sections  5b14,  5b15,  5b16,
12    5b17,  and  5b18  of  Public  Act  90-0585,  as  amended,  is
13    reappropriated  from  the  State Construction Account Fund to
14    the Department of Transportation for the same purposes.

15        Section 5b13.  The sum of $67,092,400, or so much thereof
16    as may be necessary and remains unexpended at  the  close  of
17    business  on  June  30,  1999,  from  the  appropriation  and
18    reappropriation heretofore made for grade crossing protection
19    or grade separation in Article 86, Section 17 and Article 87,
20    Section 5b19 of Public 90-0585, as amended, is reappropriated
21    from  the Grade Crossing Protection Fund to the Department of
22    Transportation for the same purpose.

23                        AERONAUTICS DIVISION
24                          AWARDS AND GRANTS
25        Section 6a.  The sum of $325,018,200, or so much  thereof
26    as  may  be  necessary and remains unexpended at the close of
27    business  on  June  30,  1999,  from  the  appropriation  and
28    reappropriation heretofore made in Article  86,  Section  18a
29    and Article 87, Section 6a of Public Act 90-0585, as amended,
30    is  reappropriated from the Federal/Local Airport Fund to the
31    Department of Transportation for the same purposes.
 
                            -80-          SRA91HB0052MJcpam01
 1        Section 6a1.  The sum of $30,281,600, or so much  thereof
 2    as  may  be  necessary and remains unexpended at the close of
 3    business  on  June  30,  1999,  from  the  appropriation  and
 4    reappropriation concerning  airport  improvements  heretofore
 5    made  in Article 86, Section 18a1 and Article 87, Section 6a1
 6    of Public Act 90-0585, as amended, is reappropriated from the
 7    Transportation Bond  Series  B  Fund  to  the  Department  of
 8    Transportation for the same purposes.

 9        Section  6a2.  The sum of $920,500, or so much thereof as
10    may be necessary and  remains  unexpended  at  the  close  of
11    business  on  June  30,  1999,  from  the  appropriation  and
12    reappropriation  concerning  airport  improvements heretofore
13    made in Article 86, Section 18a2 and Article 87, Section  6a2
14    of Public Act 90-0585, as amended, is reappropriated from the
15    General  Revenue Fund to the Department of Transportation for
16    the same purposes.

17         HIGHWAY SAFETY PROGRAM - DIVISION OF TRAFFIC SAFETY
18                          AWARDS AND GRANTS
19        Section 7a.  The sum of $6,667,400, or so much thereof as
20    may be necessary and  remains  unexpended  at  the  close  of
21    business  on  June  30,  1999,  from  the  appropriation  and
22    reappropriation  concerning  Highway Safety Grants heretofore
23    made in Article 86, Section 23 and Article 87, Section 7a  of
24    Public  Act  90-0585,  as amended, is reappropriated from the
25    Road Fund to the Department of Transportation for the purpose
26    of Local Government Projects by Municipalities and Counties.

27        Section 7a1.  The sum of $5,069,900, or so  much  thereof
28    as  may  be  necessary and remains unexpended at the close of
29    business  on  June  30,  1999,  from  the  appropriation  and
30    reappropriation  concerning  Alcohol  Traffic  Safety  Grants
31    (410) heretofore made in Article 86, Section 24  and  Article
 
                            -81-          SRA91HB0052MJcpam01
 1    87,  Section  7a1  of  Public  Act  90-0585,  as  amended, is
 2    reappropriated from  the  Road  Fund  to  the  Department  of
 3    Transportation  for  the purpose of Local Government Projects
 4    by Municipalities and Counties.

 5                   PUBLIC TRANSPORTATION DIVISION
 6                              LUMP SUMS
 7        Section 8a.  The sum of $360,600, or so much  thereof  as
 8    may  be  necessary  and  remains  unexpended  at the close of
 9    business  on  June  30,  1999,  from  the  appropriation  and
10    reappropriation heretofore  made  for  public  transportation
11    technical  studies in Article 86, Section 19a and Article 87,
12    Section  8a  of  Public   Act   90-0585,   as   amended,   is
13    reappropriated   from   the   General  Revenue  Fund  to  the
14    Department of Transportation for the same purposes.

15        Section 8a1.  The sum of $1,352,700, or so  much  thereof
16    as  may  be  necessary and remains unexpended at the close of
17    business  on  June  30,  1999,  from  the  appropriation  and
18    reappropriation heretofore made in Article 86,  Section  19a1
19    and  Article  87,  Section  8a1  of  Public  Act  90-0585, as
20    amended, is reappropriated  from  the  Federal  Mass  Transit
21    Trust  Fund  to  the Department of Transportation for federal
22    reimbursement  of  transit  studies  as   provided   by   the
23    Transportation Equity Act for the 21st Century.

24                          AWARDS AND GRANTS
25        Section 8b.  The following named sums, or so much thereof
26    as  may  be  necessary  and remain unexpended at the close of
27    business on  June  30,  1999,  from  the  appropriations  and
28    reappropriations  heretofore made in Article 86, Section 19b2
29    and Article 87,  Section  8b,  8b3  and  8b4  of  Public  Act
30    90-0585,    as   amended,   are   reappropriated   from   the
31    Transportation Bond  Series  B  Fund  to  the  Department  of
 
                            -82-          SRA91HB0052MJcpam01
 1    Transportation for the same purposes as follows:
 2      Pursuant to Section 4(b)(1) of
 3       the General Obligation Bond Act, as
 4       amended ..................................... $137,590,900
 5      For the counties of the State outside
 6       the counties of Cook, DuPage, Kane,
 7       McHenry, and Will, pursuant to
 8       Section 4(b)(1) of the General
 9       Obligation Bond Act, as amended .............   16,220,400
10        Total                                        $153,811,300

11        Section  8b1.  The  following  named  sums,  or  so  much
12    thereof  as  may  be  necessary  and remain unexpended at the
13    close   of   business   on   June   30,   1999,   from    the
14    reappropriations  heretofore  made in Article 87, Section 8b1
15    of Public Act 90-0585, as amended,  are  reappropriated  from
16    the  Transportation  Bond  Series B Fund to the Department of
17    Transportation for the same purposes as follows:
18      Pursuant to Section 4(b)(1) of the
19       General Obligation Bond Act, as amended...... $  6,884,200
20      For the counties of Cook, DuPage, Kane,
21       Lake, McHenry and Will, pursuant to
22       Section 4(b)(2) of the General
23       Obligation Bond Act, as amended .............    5,984,800
24      For the counties of the State outside
25       the counties of Cook, DuPage, Kane,
26       Lake, McHenry and Will, pursuant to
27       Section 4(b)(3) of the General Obligation
28       Bond Act, as amended ........................    1,893,200
29        Total                                         $14,762,200

30        Section 8b2.  The sum of $6,814,900, or so  much  thereof
31    as  may  be  necessary and remains unexpended at the close of
32    business  on  June  30,  1999,   from   the   reappropriation
 
                            -83-          SRA91HB0052MJcpam01
 1    heretofore  made  in  Article  87,  Section 8b2 of Public Act
 2    90-0585,   as   amended,   is   reappropriated    from    the
 3    Transportation  Bond  Series  B  Fund  to  the  Department of
 4    Transportation for the same purposes.

 5        Section  8b3.  The  following  named  sums,  or  so  much
 6    thereof as may be necessary and  remains  unexpended  at  the
 7    close of business on June 30, 1999, from the reappropriations
 8    heretofore  made  in Article 87, Section 8b and 8b3 of Public
 9    Act  90-0585,  as  amended,  are  reappropriated   from   the
10    Transportation  Bond  Series  B  Fund  to  the  Department of
11    Transportation for the same purpose as follows:

12      For the Department of Transportation's
13       Operation Greenlight Program
14       pursuant to Section 4(b)(1) of the
15       General Obligation Bond Act, as amended ........30,579,400

16        Section 8b4.  The sum of $7,152,800, or so  much  thereof
17    as  may  be  necessary and remains unexpended at the close of
18    business  on  June  30,  1999,   from   the   reappropriation
19    heretofore  made for the Transit Suburban Interstate Transfer
20    Program in Article 87, Section 8b5 of Public Act 90-0585,  as
21    amended,  is  reappropriated  from  the  Federal Mass Transit
22    Trust Fund to the Department of Transportation for  the  same
23    purposes.

24        Section  8b5.  The  sum of $7,751,800, or so much thereof
25    as may be necessary and remains unexpended at  the  close  of
26    business  on  June  30,  1999,  from  the  appropriations and
27    reappropriations heretofore made in Article 86, Section  19b7
28    and  Article  87,  Section  8b6  of  Public  Act  90-0585, as
29    amended, is reappropriated  from  the  Federal  Mass  Transit
30    Trust  Fund to the Department of Transportation for rural and
 
                            -84-          SRA91HB0052MJcpam01
 1    small urban transit services pursuant to Section  18  of  the
 2    Federal  Transit  Act,  as amended, for operating and capital
 3    assistance.

 4        Section 8b6.  The sum of $11,687,100, or so much  thereof
 5    as  may  be  necessary and remains unexpended at the close of
 6    business  on  June  30,  1999,  from  the  appropriation  and
 7    reappropriation concerning Public  Transportation  heretofore
 8    made  in Article 86, Section 19b8 and Article 87, Section 8b7
 9    of Public Act 90-0585, as amended, is reappropriated from the
10    General Revenue Fund to the Department of Transportation  for
11    the same purposes.

12        Section  8b7.  The  sum of $4,775,400, or so much thereof
13    as may be necessary and remains unexpended at  the  close  of
14    business  on  June  30,  1999,  from  the  appropriation  and
15    reappropriation  heretofore made for participation in Section
16    16(b)2 of the Federal Transit Act (Section 5310 of the  USC),
17    as  amended,  in  Article  86,  Section  19b9 and Article 87,
18    Section  8b8  of  Public  Act   90-0585,   as   amended,   is
19    reappropriated  from  the  Federal Mass Transit Trust Fund to
20    the Department of Transportation for the same purposes.

21        Section 8b8.   The sum of $32,700,600, or so much thereof
22    as may be necessary and remains unexpended at  the  close  of
23    business  on  June  30,  1999,  from  the  appropriation  and
24    reappropriation  heretofore made in Article 86, Section 19b10
25    and Article  87,  Section  8b9  of  Public  Act  90-0585,  as
26    amended,  is  reappropriated  from  the  Federal Mass Transit
27    Trust Fund  to  the  Department  of  Transportation  for  the
28    federal  share  of  capital  and operating grants pursuant to
29    Section 3, Section  9,  and  Section  18(I)  of  the  Federal
30    Transit Act, (Section 5307, Section 5309, and Section 5311(f)
31    of the USC), as amended, for the same purposes.
 
                            -85-          SRA91HB0052MJcpam01
 1        Section  8b9.  The sum of $266,500, or so much thereof as
 2    may be necessary and  remains  unexpended  at  the  close  of
 3    business  on  June  30,  1999,  from  the  appropriations and
 4    reappropriation heretofore made in Article 86, Section  19b11
 5    and  Article  87,  Section  8b10  of  Public  Act 90-0585, as
 6    amended, is reappropriated  from  the  Federal  Mass  Transit
 7    Trust  Fund to the Department of Transportation for the Rural
 8    Transit Assistance Program pursuant to Section 18(h)  of  the
 9    Federal  Transit  Act  (Section  5311(b)(2)  of  the USC), as
10    amended.

11                   RAIL PASSENGER AND RAIL FREIGHT
12                          AWARDS AND GRANTS
13        Section 9a.  The sum of $6,338,600, or so much thereof as
14    may be necessary and  remains  unexpended  at  the  close  of
15    business  on  June  30,  1999,  from  the  appropriation  and
16    reappropriation  concerning  Rail  Freight Service Assistance
17    Program heretofore made  in  Article  86,  Section  20a1  and
18    Article  87, Section 9a of Public Act 90-0585, as amended, is
19    reappropriated  from  the  General  Revenue   Fund   to   the
20    Department of Transportation for the same purposes.

21        Section  9a1.  The  sum of $4,099,000, or so much thereof
22    as may be necessary and remains unexpended at  the  close  of
23    business  on  June  30,  1999,  from  the  appropriation  and
24    reappropriation  heretofore  made in Article 86, Section 20a2
25    and Article  87,  Section  9a1  of  Public  Act  90-0585,  as
26    amended,  is  reappropriated from the State Rail Freight Loan
27    Repayment Fund to the Department of  Transportation  for  the
28    same purposes.

29        Section  9a2.  The  sum of $3,511,500, or so much thereof
30    as may be necessary and remains unexpended at  the  close  of
31    business  on  June  30,  1999,  from  the  appropriation  and
 
                            -86-          SRA91HB0052MJcpam01
 1    reappropriation  concerning  the  federal  share  of the Rail
 2    Freight Loan Repayment Program heretofore made in Article 86,
 3    Section 20a3 and  Article  87,  Section  9a2  of  Public  Act
 4    90-0585,  as amended, is reappropriated from the Rail Freight
 5    Loan Repayment Fund to the Department of  Transportation  for
 6    the same purposes.

 7        Section  9a3.  The  sum of $1,534,700, or so much thereof
 8    as may be necessary and remains unexpended at  the  close  of
 9    business  on  June  30,  1999,  from  the  appropriation  and
10    reappropriation  concerning  the  State's  share  of the Rail
11    Freight Loan Repayment Program heretofore made in Article 86,
12    Section 20a4 and  Article  87,  Section  9a3  of  Public  Act
13    90-0585,  as  amended,  is  reappropriated  from  the General
14    Revenue Fund to the Department of Transportation for the same
15    purposes.

16        Section 9a4.  The sum of $3,027,500, or so  much  thereof
17    as  may  be  necessary and remains unexpended at the close of
18    business  on  June  30,  1999,   from   the   reappropriation
19    heretofore  made  in  Article  87,  Section 9a4 of Public Act
20    90-0585, as  amended,  is  reappropriated  from  the  General
21    Revenue  Fund  to  the  Department  of Transportation for the
22    federal share of the High Speed Rail Project.

23        Section 9a5.  The sum of $11,369,700, or so much  thereof
24    as  may  be  necessary and remains unexpended at the close of
25    business  on  June  30,  1999,  from  the  appropriation  and
26    reappropriation heretofore made in Article 86,  Section  20a5
27    and  Article  87,  Section  9a5  of  Public  Act  90-0585, as
28    amended, is reappropriated from the Federal High  Speed  Rail
29    Trust  Fund  to  the  Department  of  Transportation  for the
30    federal share of the High Speed Rail Project.
 
                            -87-          SRA91HB0052MJcpam01
 1        Section 9a6.  The sum of $3,926,500, or so  much  thereof
 2    as  may  be  necessary and remains unexpended at the close of
 3    business  on  June  30,  1999,  from  the  appropriation  and
 4    reappropriation heretofore made in Article 86,  Section  20a6
 5    and  Article  87,  Section  9a6  of  Public  Act  90-0585, as
 6    amended, is reappropriated from the General Revenue  Fund  to
 7    the  Department  of Transportation for the state share of the
 8    High Speed Rail Project.

 9                         GA PROJECT ADD-ONS

10        Section 10a1.  The sum of $900,000, or so much thereof as
11    may be necessary and  remains  unexpended  at  the  close  of
12    business   on   June   30,  1999,  from  the  reappropriation
13    heretofore made in Article 87, Section  10a1  of  Public  Act
14    90-0585,  as amended, is reappropriated from the Road Fund to
15    the Department of Transportation  for  all  costs  associated
16    with  streetscaping and other improvements to the entrance of
17    Oak Ridge Cemetery in Springfield.

18        Section 10a2.  The sum of $2,600, or so much  thereof  as
19    may  be  necessary  and  remains  unexpended  at the close of
20    business  on  June  30,  1999,   from   the   reappropriation
21    heretofore  made  in  Article  87, Section 10a5 of Public Act
22    90-0585, as amended, is reappropriated from the Road Fund  to
23    the  Department  of  Transportation  for all costs associated
24    with the construction of  a  roadway  off  of  Route  177  in
25    Okawville.

26        Section 10a3.  The sum of $444,300, or so much thereof as
27    may  be  necessary  and  remains  unexpended  at the close of
28    business  on  June  30,  1999,   from   the   reappropriation
29    heretofore  made  in  Article  87, Section 10a6 of Public Act
30    90-0585, as amended, is reappropriated from the Road Fund  to
 
                            -88-          SRA91HB0052MJcpam01
 1    the  Department of Transportation for the widening of Route 1
 2    south of Paris.

 3        Section 10a4.  The sum of $400,000, or so much thereof as
 4    may be necessary and  remains  unexpended  at  the  close  of
 5    business   on   June   30,  1999,  from  the  reappropriation
 6    heretofore made in Article 87, Section  10a7  of  Public  Act
 7    90-0585,  as amended, is reappropriated from the Road Fund to
 8    the Department of Transportation  for  all  costs  associated
 9    with infrastructure improvements including replacement of, or
10    closure of the Gaumer bridge near Alvin.

11        Section 10a5.  The sum of $485,000, or so much thereof as
12    may  be  necessary  and  remains  unexpended  at the close of
13    business  on  June  30,  1999,   from   the   reappropriation
14    heretofore  made  in  Article  87, Section 10a8 of Public Act
15    90-0585, as amended, is reappropriated from the Road Fund  to
16    the  Department  of  Transportation  for all costs associated
17    with Phase II planning and  engineering  of  improvements  to
18    East Main Street in Danville.

19        Section  10a6.  The sum of $1,000,000, or so much thereof
20    as may be necessary and remains unexpended at  the  close  of
21    business   on   June   30,  1999,  from  the  reappropriation
22    heretofore made in Article 87, Section  10a9  of  Public  Act
23    90-0585,  as amended, is reappropriated from the Road Fund to
24    the  Department  of  Transportation  for  Phases  I  and   II
25    environmental  studies  and  engineering  for  the Lynch Road
26    beltline.

27        Section 10a7.  The sum of $1,729,900, or so much  thereof
28    as  may  be  necessary and remains unexpended at the close of
29    business  on  June  30,  1999,   from   the   reappropriation
30    heretofore  made  in  Article 87, Section 10a10 of Public Act
 
                            -89-          SRA91HB0052MJcpam01
 1    90-0585, as amended, is reappropriated from the Road Fund  to
 2    the  Department  of  Transportation  for all costs associated
 3    with the upgrade of roads accessing the Catlin  Coal  Company
 4    to make the roads accessible to vehicles up to 80,000 pounds.

 5        Section 10a8.  The sum of $791,400, or so much thereof as
 6    may  be  necessary  and  remains  unexpended  at the close of
 7    business  on  June  30,  1999,   from   the   reappropriation
 8    heretofore  made  in  Article 87, Section 10a11 of Public Act
 9    90-0585, as amended, is reappropriated from the Road Fund  to
10    the  Department of Transportation for traffic improvements at
11    Morton West High School.

12        Section 10a9.  The sum of $278,500, or so much thereof as
13    may be necessary and  remains  unexpended  at  the  close  of
14    business   on   June   30,  1999,  from  the  reappropriation
15    heretofore made in Article 87, Section 10a14  of  Public  Act
16    90-0585,   is  reappropriated  from  the  Road  Fund  to  the
17    Department of Transportation for the resurfacing of Route  25
18    from Bluff City Boulevard to Congdon Avenue in Elgin.

19        Section  10a10.  The  sum of $618,900, or so much thereof
20    as may be necessary and remains unexpended at  the  close  of
21    business   on   June   30,  1999,  from  the  reappropriation
22    heretofore made in Article 87, Section 10a15  of  Public  Act
23    90-0585,  as amended, is reappropriated from the Road Fund to
24    the Department of Transportation for the installation of turn
25    lanes at Route 19 and Shales Parkway and Route 19 and Rohrson
26    road in Elgin.

27        Section 10a11.  The sum of $2,250,000, or so much thereof
28    as may be necessary and remains unexpended at  the  close  of
29    business   on   June   30,  1999,  from  the  reappropriation
30    heretofore made in Article 87, Section 10a19  of  Public  Act
 
                            -90-          SRA91HB0052MJcpam01
 1    90-0585,  as amended, is reappropriated from the Road Fund to
 2    the Department of Transportation  for  all  costs  associated
 3    with stop light synchronization in the City of Springfield.

 4        Section  10a12.  The  sum of $142,200, or so much thereof
 5    as may be necessary and remains unexpended at  the  close  of
 6    business   on   June   30,  1999,  from  the  reappropriation
 7    heretofore made in Article 87, Section 10a20  of  Public  Act
 8    90-0585,  as amended, is reappropriated from the Road Fund to
 9    the Department of Transportation  for  all  costs  associated
10    with the reconstruction of Broadway Avenue in Rockford.

11        Section  10a13.  The  sum of $150,000, or so much thereof
12    as may be necessary and remains unexpended at  the  close  of
13    business   on   June   30,  1999,  from  the  reappropriation
14    heretofore made in Article 87, Section 10a25  of  Public  Act
15    90-0585, is reappropriated from the Road Fund to the Illinois
16    Department   of   Transportation   for  the  installation  of
17    signalization on LaGrange Road in the Village of Hodgkins.

18                         GA PROJECT ADD-ONS

19        Section 11.  The sum of $10,585,000, or so  much  thereof
20    as  may  be  necessary and remains unexpended at the close of
21    business on June 30, 1999 from the reappropriation heretofore
22    made in Article 87, Section 11  of  Public  Act  90-0585,  as
23    amended,   is  reappropriated  from  the  Road  Fund  to  the
24    Department of Transportation for the same purposes.

25                         GA PROJECT ADD-ONS

26        Section 12s1.  The sum of $250,000, or so much thereof as
27    may be necessary and  remains  unexpended  at  the  close  of
28    business   on   June   30,  1999,  from  the  reappropriation
29    heretofore made in Article 87,  Section 12s1  of  Public  Act
 
                            -91-          SRA91HB0052MJcpam01
 1    90-0585, is reappropriated from the Road Fund to the Illinois
 2    Department  of  Transportation  for all costs associated with
 3    rehabilitation  of  the   Old   State   Capitol   Square   in
 4    Springfield.

 5        Section 12s2.  The sum of $388,400, or so much thereof as
 6    may  be  necessary  and  remains  unexpended  at the close of
 7    business  on  June  30,  1999,   from   the   reappropriation
 8    heretofore  made  in  Article  87, Section 12s2 of Public Act
 9    90-0585, as amended, is reappropriated from the Road Fund  to
10    the Department of Transportation for expenses associated with
11    work on the US 20 by-pass at Elgin.

12        Section  13.   The sum of $400,000, or so much thereof as
13    may be necessary and  remains  unexpended  at  the  close  of
14    business  on June 30, 1999, from the appropriation heretofore
15    made in Article 86, Section 27  of  Public  Act  90-0585,  as
16    amended,  is  reappropriated from the General Revenue Fund to
17    the Department of Transportation for the Village of  Berkeley
18    for  all  costs  associated with the resurfacing, rebuilding,
19    reconstruction, and replacement of St. Charles  Road  between
20    Interstate 290 and Wolf Road.

21        Section  14.  The  sum of $550,000, or so much thereof as
22    may be necessary and  remains  unexpended  at  the  close  of
23    business  on June 30, 1999, from the appropriation heretofore
24    made in Article 86, Section 28  of  Public  Act  90-0585,  as
25    amended,  is  reappropriated from the General Revenue Fund to
26    the Illinois Department of Transportation  for  the  City  of
27    Darien   for   all  costs  associated  with  the  rebuilding,
28    reconstruction, resurfacing, removal, and replacement of  the
29    south frontage road of Interstate 55.

30        Section  15.  The  sum of $250,000, or so much thereof as
 
                            -92-          SRA91HB0052MJcpam01
 1    may be necessary and  remains  unexpended  at  the  close  of
 2    business  on June 30, 1999, from the appropriation heretofore
 3    made in Article 86, Section 30  of  Public  Act  90-0585,  as
 4    amended,  is  reappropriated from the General Revenue Fund to
 5    the Illinois Department of Transportation for the Village  of
 6    Prairie  Grove for all costs associated with Phase III of the
 7    installation  of  turn  lanes  and  traffic  signals  at  the
 8    intersection of Illinois Route 176 and Valley  View  Road  in
 9    McHenry County.

10        Section  16.  The  sum of $500,000, or so much thereof as
11    may be necessary and  remains  unexpended  at  the  close  of
12    business  on June 30, 1999, from the appropriation heretofore
13    made in Article 86, Section 35  of  Public  Act  90-0585,  as
14    amended,  is  reappropriated from the General Revenue Fund to
15    the Illinois  Department  of  Transportation  for  all  costs
16    associated  with  the  repair,  resurfacing,  rehabilitation,
17    renovation,  replacement,  and  improvement  of  Cold  Spring
18    Township  Road  one-half  mile  south  of the intersection of
19    Township Roads 825E and 650N.

20        Section 17.  The sum of $679,000, or so much  thereof  as
21    may  be  necessary  and  remains  unexpended  at the close of
22    business on June 30, 1999, from the appropriation  heretofore
23    made  in  Article  86,  Section  36 of Public Act 90-0585, as
24    amended, is reappropriated from the General Revenue  Fund  to
25    the  Illinois Department of Transportation for the Village of
26    Glencoe for all costs associated  with  the  resurfacing  and
27    rehabilitation  of  Dundee Road from Forestway Drive to Green
28    Bay Road in Glencoe, in addition to other appropriated funds.

29        Section 18.  The sum of $200,000, or so much  thereof  as
30    may  be  necessary  and  remains  unexpended  at the close of
31    business on June 30, 1999, from the appropriation  heretofore
 
                            -93-          SRA91HB0052MJcpam01
 1    made  in  Article  86,  Section  41 of Public Act 90-0585, as
 2    amended, is reappropriated from the General Revenue  Fund  to
 3    the   Illinois   Department   of   Transportation   for  road
 4    construction, repair, replacement, and resurfacing in Section
 5    24/Central Township in Bond County.

 6        Section 19.  The sum of $350,000, or so much  thereof  as
 7    may  be  necessary  and  remains  unexpended  at the close of
 8    business on June 30, 1999, from the appropriation  heretofore
 9    made  in  Article  86,  Section  42 of Public Act 90-0585, as
10    amended, is reappropriated from the General Revenue  Fund  to
11    the  Illinois  Department  of  Transportation  for  all costs
12    associated with replacement of the bridge located on Township
13    Road 78, one mile south of Fisher in Newcomb-Condit Township.

14        Section 20.  The sum of $9,978,800, or so much thereof as
15    may be necessary and  remains  unexpended  at  the  close  of
16    business  on June 30, 1999, from the appropriation heretofore
17    made in Article 86, Section 44  of  Public  Act  90-0585,  as
18    amended, is reappropriated from the Road Fund to the Illinois
19    Department  of  Transportation,  in  addition  to  any  funds
20    otherwise  appropriated  for  the same purposes, for, but not
21    limited to, the following projects at the  approximate  costs
22    set forth below:
23      For a traffic study and signalization
24       at the intersection of Bradfordton
25       Road and Route 97 in Sangamon County ...........$  400,000
26      For improvements to, and the extension
27       of, Jackson Street in DuQuoin .....................200,000
28      For the addition of lanes on 143rd Street
29       from U.S. 45 to IL 43 in Orland Park ............4,000,000
30      For installation of traffic signals
31       on Route 1 and on Route 24 in Watseka .............500,000
32      For replacement of the Williams Street
 
                            -94-          SRA91HB0052MJcpam01
 1       bridge over Stony Creek in Danville ...............800,000
 2      For improvements to State Street in
 3       Ridge Farm ......................................1,500,000
 4      For improvements on Harlem Avenue from 16th
 5       Street to 26th Street in North Riverside ..........400,000
 6      For improvements on Sangamon Avenue
 7       from Hastings to Dirksen in
 8       Springfield .....................................1,978,800
 9      For other necessary projects .......................200,000

10        Section  21.  The  sum of $150,000, or so much thereof as
11    may be necessary and  remains  unexpended  at  the  close  of
12    business  on June 30, 1999, from the appropriation heretofore
13    made in Article 86, Section 45  of  Public  Act  90-0585,  as
14    amended,  is  reappropriated from the General Revenue Fund to
15    the Illinois Department of Transportation for the Village  of
16    Prairie  Grove for signalization at Route 176 and Valley View
17    Road.

18        Section 22.  The sum of $150,000, or so much  thereof  as
19    may  be  necessary  and  remains  unexpended  at the close of
20    business on June 30, 1999, from the appropriation  heretofore
21    made  in  Article  86,  Section  46 of Public Act 90-0585, as
22    amended, is reappropriated from the General Revenue  Fund  to
23    the  Illinois  Department  of  Transportation for the City of
24    McHenry for signalization at Route 31 and Shamrock Lane.

25        Section 23.  The sum of $100,000, or so much  thereof  as
26    may  be  necessary  and  remains  unexpended  at the close of
27    business on June 30, 1999, from the appropriation  heretofore
28    made  in  Article  86,  Section  54 of Public Act 90-0585, as
29    amended, is reappropriated from the General Revenue  Fund  to
30    the  Illinois Department of Transportation for the Village of
31    Libertyville for signalization at Route 21 and Condell Drive.
 
                            -95-          SRA91HB0052MJcpam01
 1        Section 24.  The sum of $150,000, or so much  thereof  as
 2    may  be  necessary  and  remains  unexpended  at the close of
 3    business on June 30, 1999, from the appropriation  heretofore
 4    made  in  Article  86,  Section  59 of Public Act 90-0585, as
 5    amended, is reappropriated from the General Revenue  Fund  to
 6    the  Illinois  Department of Transportation for a feasibility
 7    study for extension of 143rd Street from I-55 to Route 30.

 8        Section 25.  The sum of $750,000, or so much  thereof  as
 9    may  be  necessary  and  remains  unexpended  at the close of
10    business on June 30, 1999, from the appropriation  heretofore
11    made  in  Article  86,  Section  63 of Public Act 90-0585, as
12    amended, is reappropriated from the General Revenue  Fund  to
13    the  Illinois Department of Transportation for the Village of
14    LaGrange to resurface LaGrange Road form Ogden to I-55.

15        Section 26.  The sum of $170,000, or so much  thereof  as
16    may  be  necessary  and  remains  unexpended  at the close of
17    business on June 30, 1999, from the appropriation  heretofore
18    made  in  Article  86,  Section  67 of Public Act 90-0585, as
19    amended, is reappropriated from the General Revenue  Fund  to
20    the  Illinois Department of Transportation for the Village of
21    Machesney Park for Route 251 road improvements.

22        Section 27.  The sum of $300,000, or so much  thereof  as
23    may  be  necessary  and  remains  unexpended  at the close of
24    business on June 30, 1999, from the appropriation  heretofore
25    made  in  Article  86,  Section  72 of Public Act 90-0585, as
26    amended, is reappropriated from the General Revenue  Fund  to
27    the   Illinois  Department  of  Transportation  for  Phase  I
28    engineering for an overpass on Veteran's Memorial Drive  over
29    I-57 to Wells Bypass Road in the City of Mt. Vernon.

30        Section  28.  The  sum of $200,000, or so much thereof as
 
                            -96-          SRA91HB0052MJcpam01
 1    may be necessary and  remains  unexpended  at  the  close  of
 2    business  on June 30, 1999, from the appropriation heretofore
 3    made in Article 86, Section 73  of  Public  Act  90-0585,  as
 4    amended, is reappropriated from the Road Fund to the Illinois
 5    Department   of   Transportation  for  road  improvements  in
 6    Pembroke Township/Hopkins Park.

 7        Section 29.  The sum of $100,000, or so much  thereof  as
 8    may  be  necessary  and  remains  unexpended  at the close of
 9    business on June 30, 1999, from the appropriation  heretofore
10    made  in  Article  86,  Section  74 of Public Act 90-0585, as
11    amended, is reappropriated from the General Revenue  Fund  to
12    the  Illinois Department of Transportation for an engineering
13    study at the Route 1 intersection in Beecher.

14        Section 30.  The sum of $500,000, or so much  thereof  as
15    may  be  necessary  and  remains  unexpended  at the close of
16    business on June 30, 1999, from the appropriation  heretofore
17    made  in  Article  86,  Section  75 of Public Act 90-0585, as
18    amended, is reappropriated from the General Revenue  Fund  to
19    the  Illinois Department of Transportation for a study of the
20    expansion of Route 23 to four lanes from Streator to Ottawa.

21        Section 31.  The sum of $250,000, or so much  thereof  as
22    may  be  necessary  and  remains  unexpended  at the close of
23    business on June 30, 1999, from the appropriation  heretofore
24    made  in  Article  86,  Section  77 of Public Act 90-0585, as
25    amended, is reappropriated from the General Revenue  Fund  to
26    the   Illinois   Department  of  Transportation  for  topical
27    resurfacing of existing roadway from Kedzie  Avenue  to  Bell
28    Avenue.

29        Section  32.  The  sum of $500,000, or so much thereof as
30    may be necessary and  remains  unexpended  at  the  close  of
 
                            -97-          SRA91HB0052MJcpam01
 1    business  on June 30, 1999, from the appropriation heretofore
 2    made in Article 86, Section 81  of  Public  Act  90-0585,  as
 3    amended,  is  reappropriated from the General Revenue Fund to
 4    the  Illinois  Department  of  Transportation  for  Phase   I
 5    engineering  for  street  lighting  and  traffic signals from
 6    Western Avenue to Theodore on U.S. Route 30.

 7        Section 33.  The sum of $4,800,000, or so much thereof as
 8    may be necessary and  remains  unexpended  at  the  close  of
 9    business  on June 30, 1999, from the appropriation heretofore
10    made in Article 86, Section 85  of  Public  Act  90-0585,  as
11    amended, is reappropriated from the Road Fund to the Illinois
12    Department  of Transportation for the City of Chicago for the
13    same purposes.

14        Section 34.  The sum of $400,000, or so much  thereof  as
15    may  be  necessary  and  remains  unexpended  at the close of
16    business on June 30, 1999, from the appropriation  heretofore
17    made  in  Article  86,  Section  88 of Public Act 90-0585, as
18    amended, is reappropriated from the General Revenue  Fund  to
19    the  Illinois  Department  of Transportation for intersection
20    improvements and traffic  lights  installation  at  94th  and
21    Kedzie Avenue in Evergreen Park.

22        Section  35.  The  sum of $400,000, or so much thereof as
23    may be necessary and  remains  unexpended  at  the  close  of
24    business  on June 30, 1999, from the appropriation heretofore
25    made in Article 86, Section 91  of  Public  Act  90-0585,  as
26    amended,  is  reappropriated from the General Revenue Fund to
27    the Illinois Department of Transportation for the Village  of
28    Niles  for  intersection  improvements,  traffic signals, and
29    other necessary  road  improvements  near  Touhy  and  Harlem
30    Avenues.
 
                            -98-          SRA91HB0052MJcpam01
 1        Section  36.  The  sum of $100,000, or so much thereof as
 2    may be necessary and  remains  unexpended  at  the  close  of
 3    business  on June 30, 1999, from the appropriation heretofore
 4    made in Article 86, Section 94  of  Public  Act  90-0585,  as
 5    amended,  is  reappropriated from the General Revenue Fund to
 6    the Illinois Department of Transportation for necessary  road
 7    improvements  near the Village of Staunton between Interstate
 8    55 west to the village.

 9        Section 37.  The sum of $325,000, or so much  thereof  as
10    may  be  necessary  and  remains  unexpended  at the close of
11    business on June 30, 1999, from the appropriation  heretofore
12    made  in  Article  86,  Section  96 of Public Act 90-0585, as
13    amended, is reappropriated from the General Revenue  Fund  to
14    the  Illinois  Department  of  Transportation for the City of
15    Chicago for curbs and roadway improvements on Foster Avenue.

16        Section 38.  The sum of $75,000, or so  much  thereof  as
17    may  be  necessary  and  remains  unexpended  at the close of
18    business on June 30, 1999, from the appropriation  heretofore
19    made  in  Article  86,  Section  97 of Public Act 90-0585, as
20    amended, is reappropriated from the General Revenue  Fund  to
21    the  Illinois  Department  of  Transportation for the City of
22    Chicago for  curbs  and  roadway  improvements  along  Elston
23    Avenue between Central and Milwaukee Avenues.

24        Section  39.  The  sum of $150,000, or so much thereof as
25    may be necessary and  remains  unexpended  at  the  close  of
26    business  on June 30, 1999, from the appropriation heretofore
27    made in Article 86, Section 98  of  Public  Act  90-0585,  as
28    amended,  is reappropriated from the Capital Development Fund
29    to the Illinois Department of Transportation for the City  of
30    Chicago for preliminary engineering for a pedestrian crossing
31    over  the  Canadian  National  Railroad  tracks  at West 79th
 
                            -99-          SRA91HB0052MJcpam01
 1    Street and South Central Park Avenue.

 2        Section 40.  The sum of $600,000, or so much  thereof  as
 3    may  be  necessary  and  remains  unexpended  at the close of
 4    business on June 30, 1999, from the appropriation  heretofore
 5    made  in  Article  86,  Section  99 of Public Act 90-0585, as
 6    amended, is reappropriated from the General Revenue  Fund  to
 7    the  Illinois  Department  of  Transportation for the City of
 8    Chicago for resurfacing Pulaski Road from 79th to 87th.

 9        Section 41.  The sum of $5,000,000, or so much thereof as
10    may be necessary and  remains  unexpended  at  the  close  of
11    business  on June 30, 1999, from the appropriation heretofore
12    made in Article 86, Section 101 of  Public  Act  90-0585,  as
13    amended, is reappropriated from the Road Fund to the Illinois
14    Department  of  Transportation  for all costs associated with
15    preliminary planning, design, engineering and construction of
16    the system of access roads parallel to I-190 between Mannheim
17    Road and the Tri-State Tollway.

18        Section 42.  The sum of $274,000, or so much  thereof  as
19    may  be  necessary  and  remains  unexpended  at the close of
20    business on June 30, 1999, from the appropriation  heretofore
21    made  in  Article  86,  Section 102 of Public Act 90-0585, as
22    amended, is reappropriated from the General Revenue  Fund  to
23    the  Illinois  Department  of  Transportation to resurface or
24    repair  Martin  Luther  King  Drive  between  67th  and  79th
25    Streets.

26        Section 43.  In addition to any other funds that  may  by
27    appropriated for the same purpose, the sum of $100,000, or so
28    much  thereof  as  may be necessary and remains unexpended at
29    the  close  of  business  on  June   30,   1999,   from   the
30    appropriation  heretofore  made in Article 86, Section 103 of
 
                            -100-         SRA91HB0052MJcpam01
 1    Public Act 90-0585, as amended, is  reappropriated  from  the
 2    General   Revenue   Fund   to   the  Illinois  Department  of
 3    Transportation for necessary studies for sound barriers along
 4    I-90/94 Dan Ryan Expressway between 35th and 95th.

 5        Section 44.  The sum of $515,000, or so much  thereof  as
 6    may  be  necessary  and  remains  unexpended  at the close of
 7    business on June 30, 1999, from the appropriation  heretofore
 8    made  in  Article  86,  Section 105 of Public Act 90-0585, as
 9    amended, is reappropriated from the General Revenue  Fund  to
10    the Illinois Department of Transportation for resurfacing and
11    cold milling on Illinois River Bridge in Morris.

12        Section  45.  The  sum of $560,000, or so much thereof as
13    may be necessary and  remains  unexpended  at  the  close  of
14    business  on June 30, 1999, from the appropriation heretofore
15    made in Article 86, Section 106 of  Public  Act  90-0585,  as
16    amended,  is  reappropriated from the General Revenue Fund to
17    the Illinois Department of Transportation for resurfacing and
18    shoulder  reconstruction  on  Illinois  Route  115  north  of
19    Cabery.

20        Section 46.  The sum of $105,000, or so much  thereof  as
21    may  be  necessary  and  remains  unexpended  at the close of
22    business on June 30, 1999, from the appropriation  heretofore
23    made  in  Article  86,  Section 110 of Public Act 90-0585, as
24    amended, is reappropriated from the General Revenue  Fund  to
25    the  Illinois Department of Transportation for Crete Township
26    for sewer and water projects, including but not  limited  to,
27    land  acquisition  and  easements  near  the  Calumet Gardens
28    subdivision.

29        Section  47.  No  contract  shall  be  entered  into   or
30    obligation   incurred   or   any   expenditure  made  from  a
 
                            -101-         SRA91HB0052MJcpam01
 1    reappropriation herein made in

 2    Section 2       Permanent Improvements
 3    Section 3a      Rail Relocation - Federal
 4    Section 3a2     Rail Relocation - State
 5    Section 5b10    CDB - Enhancement
 6    Section 5b11    CDB - Enhancement
 7    Section 6a1     Series B (Aeronautics)
 8    Section 6a2     GRF Capital (Aeronautics)
 9    Section 8b      Series B (Transit)
10    Section 8b1     Series B (Transit)
11    Section 8b2     Series B (Transit)
12    Section 8b3     Series B (Transit)
13    Section 8b6     GRF Capital (Transit)
14    Section 9a      GRF Rail Freight Program
15    Section 9a1     State Rail Freight Loan Repayment
16    Section 9a2     Federal Rail Freight Loan Repayment
17    Section 9a3     GRF Rail Freight Match
18    Section 9a4     GRF High Speed Rail - Federal
19    Section 9a5     FHSRTF High Speed Rail - Federal
20    Section 9a6     GRF High Speed Rail - State
21    of this Article until after the purpose  and  the  amount  of
22    such   expenditure  has  been  approved  in  writing  by  the
23    Governor.

24        Section 999.  Effective date.  This Act takes  effect  on
25    July 1, 1999.".

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