AN ACT making appropriations.

 

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

 

ARTICLE 1

   

    Section 1.  "AN ACT making appropriations", Public Act 93-92, approved July 3, 2003, is amended by changing Section 10 of Article 1 as follows:

    (P.A. 93-92, Art. 1, Sec. 10)

    Sec. 10.  In addition to any amounts heretofore appropriated, the following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Public Aid for Medical Assistance:

  FOR MEDICAL ASSISTANCE UNDER THE ILLINOIS PUBLIC AID CODE

       AND THE CHILDREN'S HEALTH INSURANCE PROGRAM ACT

Payable from General Revenue Fund:

  For Physicians.............................. 513,590,700

  For Dentists.................................. 88,590,800

  For Optometrists.............................. 11,319,800

  For Podiatrists................................ 2,367,200

  For Chiropractors.............................. 1,300,600

  For Hospital In-Patient, Disproportionate

   Share and Ambulatory Care................. 2,256,723,200

  For Skilled, Intermediate, and Other

   Related Long Term Care Services............. 901,304,000

  For Community Health Centers................. 109,485,500

  For Hospice Care.............................. 35,202,300

  For Independent Laboratories.................. 25,364,100

  For Home Health Care, Therapy, and

    Nursing Services............................ 49,940,300

  For Appliances................................ 54,936,000

  For Transportation............................ 78,392,700

  For Other Related Medical Services

   and for development, implementation,

   and operation of managed

   care and children's health

   programs including operating

   and administrative costs and

   related distributive purposes................ 65,654,700

  For Medicare Part A Premiums................... 8,700,000

  For Medicare Part B Premiums................. 121,300,000

  For Medicare Part B Premiums for

   Qualified Individuals under the

   Federal Balanced Budget Act of 1997........... 6,633,700

  For Health Maintenance Organizations and

   Managed Care Entities....................... 182,223,600

  For Division of Specialized Care

   for Children................................. 51,620,900

    Total                                    $4,566,300,100

    In addition to any amounts heretofore appropriated, the following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Public Aid for Medical Assistance under the Illinois Public Aid Code and the Children's Health Insurance Program Act for Prescribed Drugs, including costs associated with the implementation and operation of the SeniorCare program:

Payable from:

  General Revenue Fund...................... $1,042,258,000

  General Revenue Fund........................ 915,258,000

  Drug Rebate Fund............................. 405,000,000

  Tobacco Settlement Recovery Fund............. 298,652,900

  Medicaid Buy-In Program Revolving Fund........... 100,000

    Total                                    $1,647,010,900

    The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Public Aid for the purposes hereinafter named:

FOR MEDICAL ASSISTANCE

Payable from General Revenue Fund:

  For Grants for Medical Care for Persons

   Suffering from Chronic Renal Disease......... 1,214,300

  For Grants for Medical Care for Persons

   Suffering from Hemophilia..................... 4,553,600

  For Grants for Medical Care for Sexual

   Assault Victims................................. 657,800

  For Grants to Altgeld Clinic..................... 400,000

    Total                                        $6,825,700

    The Department, with the consent in writing from the Governor, may reapportion not more than two percent of the total General Revenue Fund appropriations in Section 2 above among the various purposes therein enumerated.

    In addition to any amounts heretofore appropriated, the amount of $8,507,300, or so much thereof as may be necessary, is appropriated to the Department of Public Aid from the General Revenue Fund for expenses relating to the Children's Health Insurance Program Act, including payments under Section 25 (a)(1) of that Act, and related operating and administrative costs.

   

    Section 2.  "AN ACT making appropriations", Public Act 93-92, approved June 3, 2003, is amended by changing Section 3 of Article 5 as follows:

    (P.A. 93-92, Art. 5, Sec. 3)

    Sec. 3.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Veterans' Affairs for the objects and purposes hereinafter named:

ILLINOIS VETERANS' HOME AT ANNA

Payable from General Revenue Fund:

  For Personal Services........................... 142,500

  For Employee Retirement Contributions

   Paid by Employer.................................. 5,700

  For State Contributions to the State

   Employees' Retirement System..................... 19,200

  For State Contributions to

   Social Security.................................. 10,900

  For Contractual Services......................... 806,900

  For Contractual Services....................... 1,606,900

  For Travel............................................. 0

  For Commodities........................................ 0

  For Printing........................................... 0

  For Equipment.......................................... 0

  For Electronic Data Processing......................... 0

  For Telecommunications Services........................ 0

  For Operation of Auto Equipment........................ 0

    Total                                        $1,785,200

    In addition to any amounts heretofore appropriated, the amount of $1,400,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Veterans' Affairs for the ordinary and contingent expenses of operating the Illinois Veterans' Home at Anna.

Payable from the Anna Veterans' Home Fund:

  For Contractual Services...................... 1,993,700

  For Travel......................................... 2,100

  For Commodities...................................... 500

  For Printing......................................... 100

  For Equipment...................................... 9,600

  For Electronic Data Processing....................... 100

  For Telecommunications Services................... 10,400

  For Operation of Auto Equipment.................... 1,800

  For Refunds....................................... 13,000

    Total                                        $2,031,300

 

    Section 3. "AN ACT making appropriations", Public Act 93-62, approved June 30, 2003, is amended by changing Section 3 of Article 11 as follows:

    (P.A. 93-62, Art. 11, Sec. 3)

    Sec. 3.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated from the Savings and Residential Finance Regulatory Fund to the Office of Banks and Real Estate to meet the ordinary and contingent expenses of the Office of Banks and Real Estate and the Illinois Residential Mortgage Board and the Illinois Board of Savings Institutions in the Office of Banks and Real Estate:

MORTGAGE BANKING AND THRIFT REGULATION

  For Personal Services......................... 2,534,410

  For Personal Services......................... 2,416,300

  For Personal Services:

   Per Diem.......................................... 1,000

  For Employee Retirement Contributions

   Paid by Employer................................ 100,468

   Paid by Employer................................. 96,700

  For State Contributions to State

   Employees' Retirement System.................... 340,573

   Employees' Retirement System.................... 324,700

  For State Contributions to

   Social Security................................. 193,835

   Social Security................................. 184,800

  For Group Insurance.............................. 484,000

  For Group Insurance.............................. 451,000

  For Contractual Services......................... 571,900

  For Contractual Services......................... 550,300

  For Travel....................................... 148,900

  For Travel....................................... 134,500

  For Commodities................................... 27,800

  For Commodities................................... 25,400

  For Printing...................................... 42,100

  For Equipment.................................... 106,300

  For Equipment..................................... 76,300

  For Electronic Data Processing................... 258,300

  For Electronic Data Processing................... 228,300

  For Telecommunications Services................... 49,280

  For Telecommunications Services................... 45,500

  For Operation of Automotive Equipment.............. 3,500

  For Refunds........................................ 1,500

  For Refunds.......................................... 500

    Total                                        $4,580,900

 

    Section 4.  "AN ACT making appropriations", Public Act 93-587, approved August 22, 2003, is amended by adding new Sections 17, 18, 19 and 20 (also new section) to Article 1 as follows:

     

    (P.A. 93-587, Art. 1, Sec. 17, new)

    Sec. 17.  In addition to any funds heretofore appropriated for such purposes, the sum of $2,650,000 is appropriated from the Capital Development Fund to the Capital Development Board for the Secretary of State for planning and design, providing a study, historical analysis, asbestos abatement and all other costs associated with the upgrade of the HVAC system in the Capitol Building.

    (P.A. 93-587, Art. 1, Sec. 18, new)

    Sec. 18.  The sum of $2,500,000 is appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for equipment, remodeling and all other costs related to the maintenance, renovation or restoration of areas located in the Capitol Building.

    (P.A. 93-587, Art. 1, Sec. 19, new)

    Sec. 19.  The sum of $7,500,000 is appropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for all costs related to asbestos and environmental abatement in the Capitol Building.

    (P.A. 93-587, Art. 1, Sec. 20, new)

    Sec. 20.  In addition to any funds heretofore appropriated for such purposes, the sum of $1,000,000 is appropriated from the Capital Development Fund to the Capital Development Board for the Secretary of State for all costs related to the planning and design of life safety and fire protection system improvements, hazardous material abatement, historical restoration and construction in the Capitol Building.

 

    Section 5.  "AN ACT making appropriations", Public Act 93-587, approved August 22, 2003, is amended by changing Section 30 of Article 2 as follows:

    (P.A. 93-587, Art. 2, Sec. 30)

    Sec. 30.    The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2003, from appropriations and reappropriations heretofore made in Article 1, Section 14 and Article 2, Sections 24, 24.1, 28, 33, 43, 45, 96, 97 and 108 of Public Act 92-717, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

CHICAGO STATE UNIVERSITY

(From Article 1, Section 14 of Public Act 92-717)

For roof replacement projects.................... 4,400,000

For the construction of a conference

  center......................................... 5,000,000

For the construction of a day care

  facility....................................... 4,982,104

For the construction of a student

  financial outreach building.................... 5,000,000

(From Article 2, Section 28 of Public Act 92-717)

For constructing a new library facility,

  site improvements, utilities, and

  purchasing equipment, in addition

  to funds previously appropriated.............. 15,021,338

For technology improvements and

  deferred maintenance........................... 1,792,800

For remodeling Building K, in addition

  to funds previously appropriated............... 9,127,174

(From Article 2, Section 33 of Public Act 92-717)

For planning and beginning to remodel

  Building K and improving site.................. 1,005,474

For planning, site improvements, utilities,

  construction, equipment and other costs

  necessary for a new library facility.......... 10,946,401

(From Article 2, Section 96 of Public Act 92-717)

For a grant to Chicago State University for

  all costs associated with construction of

  a Convocation Center........................... 8,623,383

(From Article 2, Section 33 of Public Act 92-717)

For upgrading campus infrastructure,

  in addition to the funds

  previously appropriated........................ 1,052,466

For renovating buildings and upgrading

  mechanical systems............................... 679,179

EASTERN ILLINOIS UNIVERSITY

(From Article 2, Section 28 of Public Act 92-717)

For renovating and expanding the

  Fine Arts Center, in addition to

  funds previously appropriated................. 39,705,500

For planning and beginning to renovate

  and expand the Fine Arts Center -

  Phase 1, in addition to funds

  previously appropriated........................ 1,621,559

(From Article 2, Section 33 of Public Act 92-717)

For planning and beginning to renovate

  and expand the Fine Arts Center................ 1,824,490

For upgrading campus buildings for health,

  safety and environmental improvements............ 386,432

For constructing an addition and

  renovating Booth Library......................... 164,611

GOVERNORS STATE UNIVERSITY

(From Article 2, Section 28 of Public Act 92-717)

For constructing addition and

  remodeling the teaching & learning

  complex, in addition to funds

  previously appropriated....................... 15,979,731

(From Article 2, Section 97 of Public Act 92-717)

For costs associated with establishing

  a campus-wide fire alarm system at

  Governor's State University...................... 865,796

(From Article 2, Section 33 of Public Act 92-717)

For constructing a child development center

  and an addition to the main building

  and remodeling Wings E and F..................... 354,731

For planning and beginning the

  main building renovations,

  a child development center, and

  faculty offices.................................... 7,464

For upgrading and replacing cooling

  and refrigeration systems and

  equipment........................................ 260,036

For remodeling the main building................... 171,802

ILLINOIS STATE UNIVERSITY

(From Article 2, Section 28 of Public Act 92-717)

For the upgrade and remodeling

  of Schroeder Hall............................. 17,345,093

(From Article 2, Section 33 of Public Act 92-717)

For planning and beginning to rehabilitate

  Schroeder Hall................................... 527,176

For planning, site improvements, utilities,

  construction, equipment and other costs

  necessary for a new facility for the

  College of Business........................... 10,814,323

For remodeling Julian and Moulton Halls.......... 1,355,468

NORTHEASTERN ILLINOIS UNIVERSITY

(From Article 2, Section 28 of Public Act 92-717)

For renovating Building "C" and

  remodeling and expanding Building "E"

  and Building "F"............................... 9,064,300

(From Article 2, Section 33 of Public Act 92-717)

For planning and beginning to remodel

  Buildings A, B and E........................... 3,718,870

For remodeling in the Science Building

  to upgrade heating, ventilating and air

  conditioning systems........................... 2,021,400

For replacing fire alarm systems, lighting

  and ceilings................................... 1,871,089

For renovating the auditorium in

  Building E..................................... 2,345,730

For renovation of Buildings E, F, and

  the auditorium, and demolition and

  replacement of Buildings G, J and M,

  in addition to amounts previously

  appropriated..................................... 102,848

For remodeling the library.......................... 84,571

NORTHERN ILLINOIS UNIVERSITY

(From Article 2, Section 28 of Public Act 92-717)

For renovating the Founders Library

  basement, in addition to funds previously

  appropriated..................................... 768,745

(From Article 2, Section 33 of Public Act 92-717)

For planning a classroom building and

  developing site in Hoffman Estates............. 1,314,500

For completing the construction of the

  Engineering Building, in addition to

  amounts previously appropriated for

  such purpose................................... 3,777,651

For renovating Altgeld Hall and

  purchasing equipment........................... 1,853,450

For upgrading storm waterway controls in

  addition to funds previously appropriated...... 1,265,161

SOUTHERN ILLINOIS UNIVERSITY

(From Article 2, Section 24.1 of Public Act 92-717)

For planning, construction and equipment

  for a cancer center........................... 14,314,690

SOUTHERN ILLINOIS UNIVERSITY – CARBONDALE

(From Article 1, Section 14 of Public Act 92-717)

For renovating and constructing an

  addition to the Morris Library, in

  addition to funds previously

  appropriated.................................. 25,690,000

(From Article 2, Section 108 of Public Act 92-717)

For planning a renovation and

  addition to the Morris Library................. 1,523,552

(From Article 2, Section 28 of Public Act 92-717)

For renovating Altgeld Hall and Old

  Baptist Foundation, in addition to funds

  previously appropriated........................ 4,924,540

(From Article 2, Section 33 of Public Act 92-717)

For upgrading and remodeling Anthony Hall................ 0

For site improvements and purchasing

  equipment for the Engineering and

  Technology Building............................... 11,190

(From Article 2, Section 43 of Public Act 92-717)

For construction of an engineering building

  annex............................................. 61,448

         SOUTHERN ILLINOIS UNIVERSITY - EDWARDSVILLE

(From Article 2, Section 24.1 of Public Act 92-717)

For planning, construction and equipment

  for an advanced technical worker

  training facility.............................. 1,029,729

(From Article 2, Section 33 of Public Act 92-717)

For construction of the Engineering Facility

  building and related site improvements............ 24,511

(From Article 2, Section 43 of Public Act 92-717)

For replacement of the high temperature water

  distribution system.............................. 168,709

SIU SCHOOL OF MEDICINE – SPRINGFIELD

(From Article 2, Section 24 of Public Act 92-717)

For constructing and for equipment for

  an addition to the combined laboratory,

  in addition to funds previously

  appropriated.................................. 12,368,319

UNIVERSITY OF ILLINOIS AT CHICAGO

(From Article 1, Section 14 of Public Act 92-717)

Plan, construct, and equip the Chemical

  Sciences Building............................. 57,600,000

(From Article 2, Section 24.1 of Public Act 92-717)

For planning, construction and equipment

  for a chemical sciences building............... 6,400,000

To plan and begin construction of

  a medical imaging research/clinical

  facility....................................... 3,326,338

(From Article 2, Section 33 of Public Act 92-717)

For remodeling the Clinical

  Sciences Building.............................. 1,906,902

For the renovation of the court area and

  Lecture Center, in addition to funds

  previously appropriated........................ 1,571,369

UNIVERSITY OF ILLINOIS AT CHICAGO

(From Article 2, Section 45 of Public Act 92-717)

For remodeling Alumni Hall, Phase II,

  including utilities............................... 22,874

         UNIVERSITY OF ILLINOIS AT CHAMPAIGN-URBANA

(From Article 1, Section 14 of Public Act 92-717)

Expansion of Microelectronics Lab............... 18,000,000

(From Article 2, Section 24.1 of Public Act 92-717)

For planning, construction and equipment

  for a biotechnology genomic facility.......... 67,500,000

For planning, construction and equipment

  for a supercomputing application facility..... 24,713,878

For planning, construction and equipment

  for a technology transfer incubator

  facility......................................... 130,165

To plan and begin construction of a

  biotechnology/genomic facility................. 3,224,471

To plan and begin construction of a

  supercomputing application

  facility......................................... 868,928

To plan and begin construction of a

  technology transfer incubator

  facility......................................... 179,276

(From Article 2, Section 33 of Public Act 92-717)

For remodeling the Mechanical Engineering

  Laboratory Building.............................. 125,428

(From Article 2, Section 45 of Public Act 92-717)

For initiating a campus flood

  control project................................... 75,852

UNIVERSITY CENTER OF LAKE COUNTY

(From Article 1, Section 14 of Public Act 92-717)

For constructing a university center and

  purchasing equipment, in addition to

  funds previously appropriated.................. 8,000,000

(From Article 2, Section 33 of Public Act 92-717)

For land, planning, remodeling, construction

  and all costs necessary to construct a

  facility...................................... 11,000,000

  facility...................................... 10,622,467

WESTERN ILLINOIS UNIVERSITY – MACOMB

(From Article 1, Section 14 of Public Act 92-717)

Plan and construct performing arts

  center......................................... 4,000,000

(From Article 2, Section 28 of Public Act 92-717)

For improvements to Memorial

  Hall.......................................... 11,931,823

(From Article 2, Section 33 of Public Act 92-717)

For constructing a utility tunnel system, in

  addition to funds previously appropriated........ 113,118

For remodeling Horrabin Hall and

  beginning to convert Simpkins Hall

  gymnasium and adjacent areas into

  a performing arts facility........................ 56,564

    Total                                      $495,841,044

 

    Section 6.  "AN ACT making appropriations", Public Act 93-62, approved June 30, 2003, is amended by adding new Section 5 to Article 12 as follows:

    (P.A. 93-62, Art. 12, Sec. 5, new)

    Sec. 5.  The amount of $15,000, or so much thereof as may be necessary, is appropriated to the Prisoner Review Board from the General Revenue Fund for expenses relating to the victim notification units.

   

   Section 7.  “AN ACT making appropriations”, Public Act 93-91, approved July 3, 2003, is amended by changing Section 5 of Article 7 as follows:

 

    (P.A. 93-91, Art. 7, Sec. 5)

    Sec. 5.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of State Police for the following purposes:

DIVISION OF ADMINISTRATION

Payable from General Revenue Fund:

  For Personal Services......................... 7,239,000

  For Personal Services......................... 7,364,000

For Employee Retirement Contributions

   Paid by Employer................................ 306,900

  For State Contributions to State

   Employees' Retirement System.................... 989,600

  For State Contributions to

   Social Security................................. 496,300

  For Contractual Services....................... 4,208,200

  For Travel........................................ 86,100

  For Commodities.................................. 416,200

  For Printing...................................... 99,800

  For Equipment.................................... 121,700

  For Telecommunications Services.................. 231,900

  For Operation of Auto Equipment.................. 232,400

  For Repairs and Maintenance and

   Permanent Improvements........................... 54,000

  For Expenses of Apprehension of

   Fugitives............................................. 0

  For Contractual Services:

   For Payment of Tort Claims....................... 60,500

  For Refunds........................................ 7,400

  For Expenses regarding implementation

   of the Juvenile Justice Reform

   provisions...................................... 548,000

  For Expenses associated with the

   Videotaping of Interrogations................. 1,000,000

    Total...................................... $16,223,000

Payable from Missing and Exploited Children

 Trust Fund:

  For the Administration and fulfillment

   of its responsibilities under the

   Intergovernmental Missing Child

   Recovery Act of 1984.................................. 0

Payable from the State Police Wireless

 Service Emergency Fund:

  For costs associated with the

   administration and fulfillment

   of its responsibilities under

   the Wireless Emergency Telephone

   Safety Act..................................... $500,000

Payable from the State Police Vehicle Fund:

  For equipment:

   Purchase of Police Cars - FY04.................. $50,000

   

    Section 8.  “AN ACT making appropriations”, Public Act 93-65, approved July 1, 2003, is amended by changing Section 1 of Article 7 as follows:

 

    (P.A. 93-65, Art. 7, Sec. 1)

    Sec. 1.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated from the General Revenue Fund for the objects and purposes hereinafter named, to meet the ordinary and contingent expenses of the State Police Merit Board:

  For Personal Services........................... 344,900

  For Employee Retirement Contributions

   Paid by Employer................................. 13,800

  For State Contributions to State

   Employees' Retirement System..................... 46,400

  For State Contributions to

   Social Security.................................. 27,700

  For Contractual Services......................... 447,800

  For Contractual Services......................... 322,800

  For Travel......................................... 5,000

  For Commodities.................................... 8,000

  For Printing....................................... 6,000

  For Equipment...................................... 8,100

  For Electronic Data Processing..................... 8,000

  For Telecommunications Services................... 12,000

  For Operation of Automotive Equipment.............. 2,700

    Total                                          $805,400

 

    Section 9.  Item and reduction veto not restored.  Nothing in this Article shall be construed to restore an item or reduction veto.

 

ARTICLE 2

 

    Section 1. The following named amounts are appropriated from the General Revenue Fund to the Court of Claims to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    No. 99-CC-0134, Home Care Medical

Services Inc and Behavioral Service Providers, Inc.

Contract, against the Departments of Human

Services and Public Aid........................ $660,316.46

    No. 93-CC-0554, Aubrey Volious.  Tort,

against Chicago State University................ $13,500.00

    No. 93-CC-0556, Ronald Eskridge.  Tort,

against Chicago State University................ $33,000.00

    No. 01-CC-2609, Kimberly Colbert. 

Personal injury, against the Department

 of Corrections................................. $22,000.00

    No. 02-CC-3662, Lawrence Hayes. 

Medical Malpractice, against the

Department of Corrections........................ $6,250.00

    No. 03-CC-2701, Steven Linscott.  Illegal

Incarceration, against the Department

 of Corrections................................. $60,150.00

    No. 03-CC-2702, Paula Gray.  Illegal

Incarceration, against the Department

 of Corrections................................ $120,300.00

    No. 03-CC-3105, Melinda Erickson.

Discrimination, against Northeastern Illinois

University...................................... $85,000.00

    No. 03-CC-4017, Leroy Orange.  Illegal

Incarceration, against the Department of

Corrections.................................... $161,005.24

    No. 03-CC-4227, Franklin Thompson. 

Illegal Incarceration, against the Department

 of Corrections................................ $138,004.49

    No. 03-CC-4364, Gary Dotson.  Illegal

Incarceration, against the Department

 of Corrections................................ $120,300.00

    No. 03-CC-4365, Gary Gauger.  Illegal

Incarceration, against the Department

of Corrections.................................. $60,150.00

    No. 03-CC-4566, Madison Hobley.  Illegal

Incarceration, against the Department

of Corrections................................. $161,005.24

    No. 03-CC-4655, Miguel Castillo.  Illegal

Incarceration, against the Department

of Corrections................................. $127,786.76

    No. 03-CC-4899, Oscar Walden Jr.  Illegal

Incarceration, against the Department

of Corrections................................. $120,300.00

 

    Section 2.  The following named amounts are appropriated from the Road Fund to the Court of Claims to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    No. 91-CC-0927, Commercial Union Insurance Co. 

Personal Injury and Property Damage,

against the Department of Transportation....... $205,144.66

 

    Section 3.  The following named amounts are appropriated to the Court of Claims from State Fund 218, Professional Indirect Cost Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $13,878.01

 

    Section 4.  The following named amounts are appropriated to the Court of Claims from State Fund 304, Statistical Services Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    No. 03-CC-0509, Computer Associates Intl.

Inc., Debt, against the Department of

Central Management Services.................... $154,420.00

 

    Section 5.  The following named amounts are appropriated to the Court of Claims from State Fund 312, Communications Revolving Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $23,019.17

 

    Section 6.  The following named amounts are appropriated to the Court of Claims from State Fund 344, Care Provider Fund for Persons with Developmental Disability, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $65,028.38

    No. 03-CC-4509, Shore Community Services,

Inc, Debt, against the Department of

Central Management Services..................... $62,388.49

 

    Section 7.  The following named amounts are appropriated to the Court of Claims from Federal Fund 488, Criminal Justice Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $16,363.76

 

    Section 8.  The following named amounts are appropriated to the Court of Claims from State Fund 523, Department of Corrections Reimbursement Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $22,466.56

 

    Section 9.  The following named amounts are appropriated to the Court of Claims from State Fund 528, Domestic Violence Abuser Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $16,568.01

 

    Section 10.  The following named amounts are appropriated to the Court of Claims from State Fund 718, Community Mental Health Medicaid Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000......... $127,274.88

    No. 03-CC-4203, Human Service Center of

Illinois, Debt, against the Department

of Human Services............................... $76,467.18

 

    Section 11.  The following named amounts are appropriated to the Court of Claims from Federal Fund 726, Federal Industrial Services Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $21,000.00

 

    Section 12.  The following named amounts are appropriated to the Court of Claims from State Fund 828, Hazardous Waste Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000........... $7,961.00

 

    Section 13.  The following named amounts are appropriated to the Court of Claims from Federal Fund 911, Juvenile Justice Trust Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $14,270.38

    No. 03-CC-0966, Department of Corrections.

Debt, against the Department of

Human Services.................................. $94,884.30

 

    Section 14.  The following named amounts are appropriated to the Court of Claims from State Fund 920, Metabolic Screening and Treatment Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $35,137.51

 

    Section 15.  The following named amounts are appropriated to the Court of Claims from State Fund 944, Environmental Protection Permit and Inspection Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000........... $5,532.00

 

    Section 16.  The following named amounts are appropriated to the Court of Claims from State Fund 997, Insurance Financial Regulation Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    For payments of awards for lapsed

appropriation claims less than $50,000.......... $14,577.50

 

    Section 17.  The following named amounts are appropriated to the Court of Claims from State Fund 323, Motor Vehicle Review Board Fund, to pay claims in conformity with awards and recommendations made by the Court of Claims as follows:

    No. 04-CC-0082, William Collins & Bax, P.C.

Contract, against the Secretary of State........ $24,562.50

 

ARTICLE 3

 

    Section 1.  "An Act regarding appropriations", Public Act 93-91, approved July 3, 2003, with certain items vetoed or reduced is amended by changing Sections 5 and 15 of Article 15 as follows:

    (P.A. 93-91, Art. 15, Sec. 5)

    Sec. 5.  The following named sums, or so much thereof as may be necessary, respectively, are appropriated to the Supreme Court to pay the ordinary and contingent expenses of certain officers of the court system of Illinois as follows:

For Personal Services:

   Judges' Salaries........................... $126,750,800

For Judges appointed after

     December 1, 2003.............................. 190,200

For Travel:

   Judges of the

    Supreme Court................................... 28,500

   Judges of the

    Appellate Court................................ 143,400

   Judges of the

    Circuit Court.................................. 737,900

   Judicial Conference and

   Supreme Court Committees........................ 699,800

For State Contributions

   to Social Security............................ 1,871,100

    Total, this Section                          $130,231,500

    Sec. 15.  The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Supreme Court to meet the ordinary and contingent expenses of the Judges of the Appellate Courts, and the Clerks of the Appellate Courts, and the Appellate Judges Research Projects:

       Administration of the First Appellate District

For Personal Services........................... $6,455,400

For State Contributions

  to State Employees' Retirement................... 666,200

For State Contributions

  to Social Security............................... 493,900

For Contractual Services........................... 426,300

For Travel........................................... 2,100

For Commodities..................................... 56,000

For Printing........................................ 39,800

For Equipment....................................... 84,000

For Telecommunications............................. 122,000

    Total                                        $8,345,700

       Administration of the Second Appellate District

For Personal Services........................... 2,629,900

For State Contributions

  to State Employees' Retirement................... 271,400

For State Contributions

  to Social Security............................... 201,300

For Contractual Services........................... 618,700

For Travel........................................... 4,800

For Commodities..................................... 25,800

For Printing........................................ 12,900

For Equipment...................................... 159,200

For Operation of

  Automotive Equipment.................................. 00

For Telecommunications.............................. 52,300

    Total                                        $3,977,100

       Administration of the Third Appellate District

For Personal Services........................... $1,971,100

For Extra Help........................................... 0

For State Contributions to

  State Employees' Retirement...................... 209,000

For State contributions

  to Social Security............................... 150,800

For Contractual Services........................... 486,000

For Travel........................................... 4,600

For Commodities..................................... 23,900

For Printing........................................ 20,600

For Equipment...................................... 268,900

For Telecommunications.............................. 58,700

For Operations of the Third Appellate

District upon the appointment of Judges

following December 1, 2003........................ $276,500

    Total                                        $3,193,600

       Administration of the Fourth Appellate District

For Personal Services........................... 1,993,200

For State Contributions

  to State Employees' Retirement................... 205,700

For State Contributions

  to Social Security............................... 152,500

For Contractual Services........................... 500,000

For Travel........................................... 5,800

For Commodities..................................... 12,200

For Printing......................................... 9,400

For Equipment...................................... 125,600

For Telecommunications.............................. 53,800

    Total                                        $3,058,200

       Administration of the Fifth Appellate District

For Personal Services........................... 2,017,700

For Extra Help........................................... 0

For State Contributions to

  State Employees' Retirement...................... 208,200

For State Contributions to

  Social Security.................................. 154,300

For Contractual Services........................... 390,600

For Travel........................................... 5,200

For Commodities..................................... 23,100

For Printing........................................ 15,700

For Equipment...................................... 168,600

For Telecommunications.............................. 40,000

For Operation of

  Automotive Equipment............................... 1,200

    Total                                        $3,024,600

 

    Section 2.  "An Act making appropriations", Public Act 93-91, approved July 3, 2003, is amended by changing Sections 5, 10, and 15 of Article 20 as follows:

    (P.A. 93-91, Art. 20, Sec. 5)

    Sec. 5.  The following amounts, or so much of those amounts as may be necessary, respectively, are appropriated to the State Board of Elections for its ordinary and contingent expenses as follows:

The Board

For Contractual Services........................... $17,600

For Travel.......................................... 15,600

For Equipment.......................................... 500

    TOTAL........................................... 33,700

Administration

For Personal Services.............................. 526,200

For Employee Retirement Contributions

    Paid By Employer................................ 21,000

For State Contributions to State Employees'

    Retirement System............................... 54,300

For State Contributions to

    Social Security................................. 38,300

For Contractual Services........................... 347,300

For Travel.......................................... 13,300

For Commodities..................................... 16,200

For Printing........................................ 10,500

For Equipment........................................ 1,900

For Telecommunications.............................. 81,200

For Operation of Automotive Equipment................ 2,900

    TOTAL........................................ 1,113,100

Elections

For Personal Services............................ 1,231,700

For Employee Retirement Contributions

    Paid By Employer................................ 49,300

For State Contributions to State

    Employees' Retirement System................... 127,100

For State Contributions to

    Social Security................................. 93,500

For Contractual Services............................ 20,400

For Travel.......................................... 42,900

For Printing........................................ 28,600

For Equipment........................................ 2,800

For Software Development and

    implementation of the Statewide

    Voter Registration System...................... 550,000

    TOTAL........................................ 2,146,300

General Counsel

For Personal Services.............................. 221,900

For Employee Retirement Contributions

    Paid By Employer................................. 8,900

For State Contributions to State

    Employees' Retirement System.................... 22,900

For State Contributions to

    Social Security................................. 16,300

For Contractual Services........................... 138,400

For federal litigation

    regarding the punch-card

    voting system in Illinois...................... $61,000

For Travel........................................... 4,800

For Equipment.......................................... 500

    TOTAL.......................................... 413,700

Campaign Financing

For Personal Services.............................. 650,400

For Employee Retirement Contributions

    Paid By Employer................................ 26,000

For State Contributions to State

    Employees' Retirement System.................... 67,100

For State Contributions to

    Social Security................................. 49,800

For Contractual Services............................ 11,200

For Travel.......................................... 11,600

For Printing........................................ 16,900

For Equipment....................................... 12,800

    TOTAL.......................................... 845,800

EDP

For Personal Services.............................. 312,700

For Personal Services.............................. 285,700

For Employee Retirement Contributions

    Paid By Employer................................ 12,500

    Paid by Employer................................ 11,400

For State Contributions to State

    Employees' Retirement System.................... 43,200

    Employees' Retirement System.................... 29,500

For State Contributions to

    Social Security................................. 23,900

    Social Security................................. 21,900

For Contractual Services........................... 314,300

For Travel.......................................... 11,300

For Commodities..................................... 14,000

For Printing........................................... 700

For Equipment....................................... 94,500

    TOTAL.......................................... 783,300

    (P.A. 93-91, Article 20, Section 10)

    Sec. 10.  The following amounts, or so much of those amounts as may be necessary, respectively, are appropriated to the State Board of Elections for grants to local governments as follows:

For Reimbursement to Counties for increased

    Compensation to Judges and other

    Election Officials, as provided in

    Public Acts 81-850, 81-1149, and 90-672..... $1,419,100

    Public Acts 81-850, 81-1149, and 90-672..... $1,364,100

For Payment of Lump Sum Awards to County

    Clerks, County Recorders, and Chief Election Clerks as

    Compensation for Additional Duties required

    of such officials by consolidation of

    elections law, as provided in Public Acts

    82-691 and 90-713.............................. 812,500

For Payment to Election Authorities for expenses

    in supplying voter registration tapes to the

    State Board of Elections pursuant to

    Public Act 85-958............................... 19,500

    Public Act 85-958............................... 12,400

         (Total, this Section $2,189,000)

    (P.A. 93-91, Art. 20, Sec. 15)

    Sec. 15.  In addition to all other amounts appropriated in fiscal year 2004 2003, the amount of $75,000,000, or so much of that amount as may be necessary, is appropriated from the Help Illinois Vote Fund to the State Board of Elections for the purposes provided in the Election Code for that Fund.

 

    Section 3.  "An Act regarding appropriations", Public Act 93-92, approved July 3, 2003, with certain items vetoed or reduced is amended by changing  Section 55 and Section 65 of Article 4 as follows:

    (P.A. 93-92, Art. 4, Sec. 55)

    Sec. 55.  The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Public Health for the objects and purposes hereinafter named:

OFFICE OF HEALTH PROMOTION

Payable from the General Revenue Fund:

    For Grants for Vision and Hearing

      Screening Programs.......................... 690,300

    For a Grant to SIU Parkinson

      Disease Center for Research,

      Treatment, Diagnostic Services

      and Counseling............................... 375,000

    For a Grant to Robert Morris

      College Hygiene Program...................... 100,000

    For Grants Associated with Donated

      Dental Services............................... 75,000

    For a Grant to the Amyotrophic Lateral

      Sclerosis (ALS) Association for

      research into discovering the cause

      and cure for Amyotrophic Lateral

      Sclerosis.................................. 1,000,000

    For a Grant to Study the Increase of

      Asthma among African-Americans in

      the City of Chicago.......................... 200,000

        Total                                      $2,440,300

 

    (P.A. 93-92, Art. 4, Section 65)

    Sec. 65.  In addition to any amounts previously appropriated, the sum of $1,000,000, or so much thereof as may be necessary, is appropriated from the Tobacco Settlement Recover Fund for the research, evaluation, and assessment of tobacco control programs.

 

Payable from the Prostate Cancer Research Fund:

  For Grants to Public and Private

    Entities in Illinois for Prostate

    Cancer Research................... $100,000    $300,000

 

    Section 6.  "An Act regarding appropriations", Public Act 93-115, approved July 9, 2003, with certain items vetoed or reduced is amended by changing Section 25 of Article 1 as follows:

    (P.A. 93-115, Art. 1, Sec. 25)

    Sec. 25.  The following amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes named, are appropriated to the Illinois State Board of Education for Grants-In-Aid:

From the General Revenue Fund:

  For orphanage tuition claims

  and State-owned housing

  claims as provided under Section

  18-3 of the School Code...................... $14,651,000

 

  For tuition of disabled children

  attending schools under

  Section 14-7.02 of the School Code........... $59,423,000

 

  For reimbursement to school

  districts for extraordinary special

  education and facilities

  under Section 14-7.02a of

  the School Code............................. $229,502,000

 

  For reimbursement to school

  districts for services

  and materials used in programs

  for the use of disabled

  children under Section 14-13.01

  of the School Code.......................... $314,860,000

 

  For reimbursement on a

  current basis only to school

  districts that provide

  for education of handicapped

  orphans from residential

  institutions as well as foster

  children who are mentally

  impaired or behaviorally

  disordered as provided under

  Section 14-7.03 of the

  School Code.................................. $97,370,000

 

  For financial assistance to

  Local Education Agencies with over

  500,000 population to meet the

  needs of those children who

  come from environments

  where the dominant language

  is other than English

  under Section 34-18.2 of the

  School Code.................................. $34,896,600

 

  For financial assistance to

  Local Education Agencies

  with under 500,000 population

  to meet the needs of those

  children who come from

  environments where the dominant

  language is other than

  English under Section 10-22.38a

  of the School Code........................... $27,655,400

 

  For reimbursement to school

  districts qualifying

  under Section 29-5 of the

  School Code for a portion

  of the cost of transporting

  common school pupils........................ $242,424,000

 

  For reimbursement to school

  districts for a portion of

  the cost of transporting

  disabled students under

  subsection (b) of Section

  14-13.01 of the School  Code................ $263,081,000

 

  For all costs associated with

  the supplementary payments to school

  districts as provided in Section 18-8.2,

  Section 18-18.3, Section 18-8.5, and

  Section 18-8.05 (I) of the School Code........ $1,669,400

 

  For reimbursement to school

  districts and for providing

  free lunch and breakfast

  programs under the provision of

  the School Breakfast and

  Lunch Program Act............................ $19,565,000

 

  For Tax-Equivalent Grants pursuant

  to Section 18-4.4 of the School Code............ $222,600

 

  For grants associated with the

  School Breakfast Incentive Program.............. $723,500

 

  For the Regional Offices of Education,

  including, but not limited to, ROE,

  School Bus Driver Training, ROE

  School Services, and ROE Supervisory

  Expense....................................... $6,500,000

 

  For a grant to the South Cook

  Intermediate Service Center

  for ordinary and contingent

  expenses........................................ $300,000

 

  For grants associated with

  Reading for Blind and Dyslexic

  Persons, and for programs

  and services in support of

  Illinois citizens with visual and

  reading impairments............................. $168,800

 

  For Grants to the Local Education

  Agencies to Conduct Agricultural

  Education Programs............................ $1,881,200

 

  For grants associated with the

  Metro East Consortium

  for Child Advocacy.............................. $217,100

 

  For financial assistance to Local

  Education Agencies for the

  purpose of maintaining an

  educational materials coordinating

  unit as provided for by Section 14-11.01

  of the School Code............................ $1,121,000

 

  For grants associated with the

  Transition of Minority Students................. $578,800

 

  For Residential Services Authority (RSA)

  for Behavior Disorders and Severely

  Emotionally Disturbed Children and

  Adolescents:

   For Personal Services.......................... $320,100

   For Personal Services.......................... $352,100

   For Employee Retirement Paid by Employer......... 15,500

   For Retirement Contributions..................... 20,000

   For Social Security Contributions................ 16,400

   For Other RSA Operations........................ 100,700

   For Other RSA Operations......................... 68,700

    Total......................................... $472,700

 

  For financial assistance to Local

  Education Agencies for the

  Philip J. Rock Center and School as

  provided by Section 14-11.02 of the

  School Code................................... $2,855,500

 

  For supplementary payments

  (General State Aid - Hold

  Harmless) to school districts

  under subsection (J) of Section

  18-8.05 of the School Code................... $38,600,000

 

  For summer school payments

  as provided by Section

  18-4.3 of the School Code..................... $6,370,000

 

  For costs associated with Teach for America..... $450,000

  For transitional assistance................... $5,200,000

  For Reading Improvement Block Grant.......... $79,221,100

  For Early Childhood Block Grant............. $213,405,700

 

For the Charter Schools Program:

  For Personal Services........................... $159,200

  For Employee Retirement Paid by Employer........... 6,800

  For Retirement Contributions...................... 12,100

  For Social Security Contributions.................. 8,700

  For Other Charter Schools Operations............. 319,600

  For Grants..................................... 3,693,600

    Total....................................... $4,200,000

 

  For all costs associated with providing

  the loan of textbooks to Students

  under Section 18-17 of the School Code....... $29,126,500

 

From the Common School Fund:

  For compensation of Regional

   Superintendents of Schools

   and Assistants under Section

   18-5 of the School Code...................... $8,500,000

 

From the Common School Fund:  For general apportionment

  (General State Aid)

  provided by Section

  18-8.05 of the

  School Code............................... $2,763,700,000

 

From the School District Emergency Financial District Assistance Fund:

  For emergency financial assistance

  pursuant to Section

  1B-8 of the School Code....................... $5,333,000

 

From the Education Assistance Fund:

  For general apportionment

  (General State Aid) as provided

  by Section 18-8.05 of the School Code....... $681,900,000

 

From the Temporary Relocation Expenses Revolving Grant Fund:

  For temporary relocation

  expenses as provided in Section

  2-3.77 of the School Code..................... $1,130,000

 

From the Illinois Future Teacher Corps Scholarship Fund:

  For grants to the Golden

  Apple Foundation................................. $10,000

Total, Section 25........................... $5,156,984,900

 

    Section 7.  "An Act regarding appropriations", Public Act 93-0091, approved July 3, 2003, with certain items vetoed or reduced is amended by changing Section 10 of Article 16 as follows:

    (P.A. 93-91, Art. 16, Sec. 10)

    Sec. 10.  The following named amounts, or so much of those amounts as may be necessary, respectively, are appropriated for the objects and purposes hereinafter named to meet the ordinary and contingent expenses of the Commission on Intergovernmental Cooperation for the Springfield Office:

For Personal Services............................. $500,604

For Employee Retirement Contributions

    Paid by Employer.................. 20,024        67,276

For State Contributions to State

    Employees' Retirement

    System............................ 67,276        20,024

For State Contributions to

    Social Security................................. 38,296

For Contractual Services........................... 547,500

For Model Illinois Government Activities............. 3,000

For Travel........................................... 5,000

For Commodities...................................... 3,200

For Printing......................................... 3,500

For Equipment.......................................... 100

For Electronic Data Processing......................... 500

For Telecommunication Services....................... 9,000

    Total                                        $1,198,000

 

    Section 8.  "An Act making appropriations", Public Act 93-68, approved July 1, 2003, is amended by changing Section 4 of Article 1 as follows:

    (P.A. 93-68, Art. 1, Sec. 4)

    Sec 4.  The following named amounts, or so much thereof as may be necessary, are appropriated to the Illinois Emergency Management  Agency for the objects and purposes hereinafter named:

DISASTER RELIEF, PUBLIC

    Whenever it becomes necessary for the State or any governmental unit to furnish in a disaster area emergency services directly related to or required by a disaster and existing funds are insufficient to provide such services, the Governor may, when he considers such action in the best interest of the State, release funds from the General Revenue disaster relief appropriation in order to provide such services or to reimburse local governmental bodies furnishing such services.  Such appropriation may be used for payment of the Illinois National Guard when called to active duty in case of disaster, and for the emergency purchase or renting of equipment and commodities.  Such appropriation shall be used for emergency services and relief to the disaster area as a whole and shall not be used to provide private relief to persons sustaining property damages or personal injury as a result of a disaster.

Payable from General Revenue Fund................. 220,200

Payable from General Revenue Fund................. 420,200

Payable from General Revenue Fund:

  For costs incurred in prior years................ 250,000

Payable from General Revenue Fund:

  For costs incurred in prior years................. 50,000

    Total                                          $470,200

Payable from the Federal Aid

 Disaster Fund:

  For Federal Disaster Declarations:

   In Prior Years.............................. 45,000,000

  Federal Disaster Declarations:

   In Fiscal Year 2004.......................... 30,000,000

  For State Administration of the

   Federal Disaster Relief Program............... 1,000,000

  For State Administration of the

   Hazard Mitigation Program..................... 1,000,000

  Disaster Relief - Hazard Mitigation............ 8,000,000

  Disaster Relief - Hazard Mitigation

   in Prior Years............................... 35,000,000

    Total                                      $120,000,000

 

    Section 9.  "An Act regarding appropriations", Public Act 93-90, approved July 3, 2003, with certain items vetoed or reduced is amended by inserting new Section 30 immediately after Section 25 of Article 12 as follows:

 

   (P.A. 93-90, Art. 12, Sec. 30, new)

    Sec. 30.  The amount of $200,000, or so much thereof of that amount as may be necessary, is appropriated from the General Revenue Fund to the Board of Trustees of Chicago State University for all costs associated with the Illinois Commission of the 50th anniversary of Brown v. Board of Education.

 

    Section 10.  "An Act making appropriations", Public Act 93-93, approved July 3, 2003, is amended by changing Sections 12 and 13 of Article 1 as follows:

 

    (P.A. 93-93, Art. 1, Sec. 12)

    Sec. 12.  The sum of $437,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 71, Section 12 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Historic Preservation Agency for costs associated with the acquisition or improvements of Sugar Loaf and/or Fox Mounds or other properties within the Cahokia Mounds National Historic Landmark boundary.

 

    (P.A. 93-93, Art. 1, Sec. 13)

    Sec. 13.  The sum of $460,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 71, Section 13 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Historic Preservation Agency for support facilities, acquisition, or improvements for Sugar Loaf and/or Fox Mounds or other properties within the Cahokia Mounds National Historic Landmark boundary.

 

    Section 11.  "An Act making appropriations", Public Act 93-90, approved July 3, 2003, is amended by changing Section 35 of Article 2 as follows:

 

    (P.A. 93-93, Art. 2, Sec. 35)

    Sec. 35.  The following named amounts, or so much thereof as may be necessary, respectively, are  appropriated from the General  Revenue  Fund  to the  Illinois  Student Assistance Commission for the following purposes:

Grants and Scholarships

For payment of matching grants to Illinois

    institutions to supplement scholarship

    programs, as provided by law.................. $950,000

For payment of Merit Recognition Scholarships

    to undergraduate students under the Merit

    Recognition Scholarship Program provided

    for in Section 31 of the Higher Education

    Student Assistance Act....................... 5,400,000

For the payment of scholarships to students

    who are children of policemen or firemen

    killed in the line of duty, or who are

    dependents of correctional officers killed

    or permanently disabled in the line of

    duty, as provided by law....................... 275,000

For payment of Illinois National Guard and

    Naval Militia Scholarships at

    State-controlled  universities and public

    community colleges in Illinois to students

    eligible to receive such awards, as

    provided by law.............................. 4,500,000

For payment of military Veterans' scholarships

    at State-controlled universities and at

    public community colleges for students

    eligible, as provided by law................ 19,250,000

For college savings bond grants to students

    eligible to receive such awards................ 650,000

For payment of Minority Teacher Scholarships..      3,100,000

For payment of ITEACH Teacher Shortage

    Scholarships................................. 2,900,000

For payment of Illinois Incentive for Access

    grants, as provided by law................... 7,200,000

For payment of Illinois Scholars

    Scholarships................................. 3,514,300

    Scholarships................................. 2,914,300

    Total                                       $47,139,300

 

    Section 12.  "AN ACT making appropriations", Public Act 93-76, approved July 1, 2003, is amended by changing Section 5 of Article 1 as follows:

 

    (P.A. 93-76, Art. 1, Sec. 5)

    Sec. 5.  The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to meet the ordinary and contingent expenses of the Department of Military Affairs:

FOR OPERATIONS

OFFICE OF THE ADJUTANT GENERAL

Payable from General Revenue Fund:

  For Personal Services......................... 1,269,600

  For Employee Retirement Contributions

   Paid By Employer................................. 50,800

  For State Contributions to State

   Employees' Retirement System.................... 170,600

  For State Contributions to

   Social Security.................................. 97,100

  For Contractual Services.......................... 19,000

  For Travel........................................ 15,400

  For Commodities.................................... 6,200

  For Printing....................................... 4,400

  For Equipment...................................... 5,500

  For Electronic Data Processing.................... 24,000

  For Telecommunications Services................... 39,200

  For Operation of Auto Equipment................... 32,000

  For State Officer's Candidate School................. 800

  For Lincoln's Challenge Stipend Payments......... 528,000

  For Lincoln's Challenge........................ 3,248,800

    Total                                        $5,511,400

Payable from Federal Support Agreement Revolving Fund:

    Army/Air Reimbursable Positions............. 6,951,050

    Army/Air Reimbursable Positions............. 6,613,300

  Lincoln's Challenge............................ 4,889,700

  Lincoln's Challenge Stipend Payments........... 1,200,000

    Total                                       $12,703,000

FACILITIES OPERATIONS

Payable from General Revenue Fund:

  For Personal Services......................... 4,760,200

  For Employee Retirement Contributions

   Paid by Employer................................ 190,400

  For State Contributions to State

   Employees' Retirement System.................... 639,700

  For State Contributions to

   Social Security................................. 364,200

  For Contractual Services....................... 1,959,300

  For Commodities................................... 89,400

  For Equipment..................................... 17,600

    Total                                        $8,020,800

 

    Section 13.  "An Act regarding appropriations", Public Act 93-91, approved July 3, 2003, with certain items vetoed or reduced is amended by adding Section 96 of Article 3 as follows:

 

    (P.A. 93-91, Art. 3, Sec. 96, new)

    Sec. 96.  The amount of $500,000 is appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity for the purpose of funding Public Act 93-46.

 

    Section 14.  "An Act regarding appropriations", Public Act 93-98, approved July 3, 2003, with certain items vetoed or reduced is amended by adding Section 80 as follows:

 

    (P.A. 93-98, Sec. 80, new)

    Sec. 80.  The sum of $150,000, or so much thereof as may be necessary, is appropriated to the Attorney General to meet the ordinary and contingent expenses for the Office of Inspector General.

 

    Section 15.  "An Act regarding appropriations", Public Act 93-91, approved July 3, 2003, with certain items vetoed or reduced is amended by adding Section 75 of Article 17 as follows:

 

    (P.A. 93-91, Art. 17, Sec. 75, new)

    Sec. 75.  The sum of $150,000, or so much thereof as may be necessary, is appropriated to the General Assembly’s Office of the Inspector General to meet their ordinary and contingent expenses.

 

    Section 16.  "An Act regarding appropriations", Public Act 93-91, approved July 3, 2003, with certain items vetoed or reduced is amended by adding Section 6 of Article 11 as follows:

 

    (P.A. 93-91, Art. 11, Sec. 6, new)

    Sec. 6.  The sum of $150,000, or so much thereof as may be necessary, is appropriated to the Office of the Comptroller to meet the ordinary and contingent expenses for the Office of Inspector General.

 

    Section 17.  "An Act making appropriations", Public Act 93-587, approved in part and item-vetoed in part on August 22, 2003, is amended by changing Section 27 of Article 2 as follows:

 

    (P.A. 93-587, Article 2, Section 27)

    Sec. 27.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2003, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 14 and Article 2, Sections 25 and 110 of Public Act 92-717, are reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

 

      ILLINOIS MATHEMATICS AND SCIENCE ACADEMY - AURORA

(From Article 1, Section 14 of Public Act 92-717)

For constructing a mezzanine level in

  east gymnasium and purchasing equipment,

  in addition to funds previously

  appropriated.................................. $5,943,800

(From Article 2, Section 110 of Public Act 92-717)

To plan and begin construction of a

  space for the delivery of teacher

  training and development and

  student enrichment programs

  mezzanine level in the east gymnasium.......... 1,996,393

(From Article 2, Section 25 of Public Act 92-717)

For replacing carpeting, constructing storage

  building and various site improvements,

  including extending communications

  conduit system................................... 188,823

For the purchase, renovation and improvement

  of the North Campus High School site of

  the Aurora West School District 129,

  including construction of four dormitories,

  equipment purchases and other expenses for

  use by the Illinois Mathematics and Science

  Academy.......................................... 185,532

    Total                                        $8,314,548

 

    Section 18.  "An Act regarding appropriations", Public Act 93-0091, approved July 3, 2003, with certain items vetoed or reduced is amended by changing Section 5 of Article 6 as follows:

 

    (P.A. 93-91, Art. 6, Sec. 5)

    Sec. 5.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the objects and purposes hereinafter named, to meet the ordinary and contingent expenses of the Property Tax Appeal Board:

 

Payable from the General Revenue Fund:

For Personal Services........................... $1,325,300

For Employee Retirement Contributions

    Paid by Employer................................ 51,300

For State Contributions to State

    Employees' Retirement

    System......................................... 179,300

For State Contributions to

    Social Security................................ 102,100

For Contractual Services............................ 44,000

For Travel.......................................... 32,000

For Commodities..................................... 10,000

For Printing......................................... 1,000

For Equipment........................................ 8,000

For Electronic Data

    Processing...................................... 50,000

For Telecommunication

    Services........................................ 44,500

For Operation of Auto

    Equipment....................................... 11,300

For Refunds............................................ 200

For the purpose of reestablishing the

Cook County Office................................. 220,000

    Total                                         1,862,000

 

    Section 19.  "An Act regarding appropriations", Public Act 93-72, approved July 1, 2003, is amended by adding Section 30 of Article 1 as follows:

 

    (P.A.93-72, Art. 1, Sec. 30, new)

    Sec. 30.  The sum of $1,000,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Arts Council for the purpose of providing grants and related operational expenses.

 

    Section 20.  "An Act regarding appropriations", Public Act 93-90, approved July 3, 2003, with certain items vetoed or reduced is amended by adding Section 125 of Article 3 as follows:

 

    (P.A.93-90, Art. 3, Sec. 125, new)

    Sec. 125.  The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Illinois Community College Board for a grant to Kishwaukee College for technology and computer related equipment.

 

    Section 21.  "An Act regarding appropriations", Public Act 93-91, approved July 3, 2003, with certain items vetoed or reduced is amended by adding Section 27 of Article 8 as follows:

 

    (P.A.93-91, Art. 8, Sec. 27, new)

    Sec. 27.  The sum of $320,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for traffic signalization and road construction improvements for Illinois Route 57 at Radio Road.

 

    Section 22.  Item and reduction veto not restored.  Nothing in this Article shall be construed to restore an item or reduction veto.

 

ARTICLE 4

 

    Division FY 01. This Division contains appropriations initially made for the fiscal year beginning July 1, 2000, for the purposes of the Illinois FIRST Program.

 

    Section 26.  The amount of $228,836, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 3, Division FY01, Section 26 of Public Act 92-0717, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for a grant to the Chicago Zoological Society for development and improvements at Brookfield Zoo.

 

    Section 2-81.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-81 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for a grant to the Village of Downers Grove for the Nigas bikeway in Woodbridge and Downers.

 

    Section 2-83.  The sum of $87,574, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purpose in Article 3, Division FY 00, Section 2-83 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for a grant to the Village of Glenview for a bike trail extension from Lake Avenue to Metra Station.

 

    Section 2-103.  The sum of $141,727, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-103 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for a grant to the Village of Antioch for a bike path at Longview and Deep Lake Road.

 

    Section 2-104.  The sum of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-104 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for a grant to the Village of Hanover Park for a bike path.

 

    Division FY87a. The reappropriations in this Division continue certain appropriations initially made for the fiscal year beginning July 1, 1986, for the purposes of the Build Illinois Program set forth below.

 

ARTICLE 5

 

    Section 66.  The sum of $750,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 66 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Chicago Park District for all costs associated with the acquisition, development, renovation, repair or construction, and equipment for a regional indoor youth athletic facility.

 

    Section 67.  The sum of $53,200, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 67 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Chicago Park District for all costs associated with acquisition, construction, development, and purchase of equipment for the planned park at the corner of Roscoe and Racine.

 

    Section 67a.  The sum of $21,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 67a of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Lakeview Citizens Council for all costs associated with infrastructure improvements at Gil Park.

 

    Section 68.  The sum of $300,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 68 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Chicago Park District for all costs of developing, planning, and constructing recreational facilities at Fosco Park.

 

    Section 94.  The sum of $100,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 94 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Department of Natural Resources for a grant to the Deerfield Park District.

 

    Section 99.  The sum of $75,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 99 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Department of Natural Resources for a grant to the City of East Moline for the park garage and ravine flood repair in the City of East Moline.

 

    Section 113.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 113 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the Village of Arlington for the purpose of improving parks and creating recreational opportunities.

 

    Section 115.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purposes in Article 35, Section 115 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the City of Chicago for the purpose of redeveloping Burton Place Park.

 

    Section 117.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 117 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the Chicago Park District for the purpose of landscaping and restoration of a field house at McKiernan Park.

 

    Section 118.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 118 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the Chicago Park District for the purpose of landscaping and restoration of a field house at Palmer Park.

 

    Section 127.  The amount of $300,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 127 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the Village of Orland Park for the purpose of connecting bike paths.

 

    Section 128.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 128 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the City of Chicago for the purpose of redeveloping a bus turnaround into a public park at Clark and Wisconsin in the 43rd Ward.

 

    Section 129.  The amount of $55,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 129 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to F.P.D. of Cook County for the purpose of capital improvements for Edgebrook Community Center.

 

    Section 136.  The sum of $1,100,786, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 136 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to Bronzeville Children's Museum for land acquisition and construction of a new museum.

 

    Section 138.  The sum of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 138 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the City of Pekin for Pekin Lake.

 

    Section 140.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 140 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the Dolton Park District for the purpose of a playground and maintenance equipment.

 

    Section 141.  The sum of $125,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 141 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for a grant to the Illinois Valley YMCA to construct a walking/biking path, toboggan run, ice hockey rink and rollerblade park.

 

    Section 147.  The sum of $635,629, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 147 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for grants to units of local government for infrastructure improvements including but not limited to park and recreational projects, facilities, bike paths, and equipment.

 

    Section 149.  The amount of $4,214,737, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 35, Section 149 of Public Act 92-538, approved June 10, 2002, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for grants to units of local government and not-for-profit entities for park and recreational projects, museums, facilities, infrastructure improvements and equipment.

 

    Section 161.  The sum of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 161 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for the purpose of a grant to the Village of Cahokia for the Lewis and Clark Visitors Center.

 

    Section 164.  No contract shall be entered into or obligation incurred or any expenditure made from a appropriation herein made in Sections 31, 32, 33, 34, 39, 41, 52, 59, 61, 66, 67, 68, 109, 115, 153, 156, 160 and 161 until after the purpose and amount of such expenditure has been approved in writing by the Governor.

 

    Section 167.  The sum of $700,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purpose in Article 57, Division FY00, Section 2-101 of Public Act 92-8, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources, Office of Water Resources for construction of the Rand Park Flood Control Project in the City of Des Plaines and for costs associated with the rehabilitation of Farmers and Prairie Creeks.

 

ARTICLE 6

 

    Section 1.  "AN ACT making appropriations", Public Act 93-97, approved July 3, 2003, is amended by changing Sections 10, 20, 35, 65, 90, 130, 135, 145, 200, 215, 240 and 270 of Article 1 as follows:

 

    (P.A. 93-97, Art. 1, Sec. 10)

    Sec. 10.  The sum of $5,400,000, new appropriation, is appropriated, and the sum of $5,182,982 $4,688,500, less $2,929,000, to be lapsed from the unexpended balance, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations and reappropriations heretofore made in Article 35, Section 2 of Public Act 92-538, as amended, are reappropriated from the Conservation 2000 Fund to the Department of Natural Resources for the Conservation 2000 Program to implement ecosystem-based management for Illinois' natural resources.

 

    (P.A. 93-97, Art. 1, Sec. 20)

    Sec. 20.  The sum of $11,575,646 $7,645,400 or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made for such purposes in Article 35, Sections 3 and 4 of Public Act 92-538, as amended, is reappropriated from the Conservation 2000 Projects Fund to the Department of Natural Resources for the acquisition, planning and development of land and long-term easements, and cost-shared natural resource management practices for ecosystem-based management of Illinois' natural resources, including grants for such purposes.

 

    (P.A. 93-97, Art. 1, Sec. 35)

    Sec. 35.  The sum of $7,087,237 $3,725,800, less $1,000,000, to be lapsed from the unexpended balance, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 6 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Department of Natural Resources for the non-federal cost share of a Conservation Reserve Enhancement Program to establish long-term contracts and permanent conservation easements in the Illinois River Basin; to fund cost-share assistance to landowners to encourage approved conservation practices in environmentally sensitive and highly erodible areas of the Illinois River Basin; and to fund the monitoring of long term improvements of these conservation practices as required in the Memorandum of Agreement between the State of Illinois and the United States Department of Agriculture.

 

    (P.A. 93-97, Art. 1, Sec. 65)

    Sec. 65.  The sum of $820,389 $476,800, less $150,000 to be lapsed from the unexpended balance, or so much thereof as may be necessary and as remains unexpended, at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Sections 12 and 13 of Public Act 92-538, as amended, is reappropriated from the Plugging and Restoration Fund to the Department of Natural Resources for plugging and restoration projects.

 

    (P.A. 93-97, Art. 1, Sec. 90)

    Sec. 90.  The sum of $1,651,800, new appropriation, is appropriated, and the sum of $3,974,832 $2,324,800, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 8, on page 277, lines 2-5 and Section 9, on page 277, of Public Act 92-538, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for wildlife conservation and restoration plans and programs from federal funds provided for such purposes.

 

    (P.A. 93-97, Art. 1, Sec. 130)

    Sec. 130.  The following named sums, or so much thereof as may be necessary, and is available for expenditure as provided herein, are appropriated from the Park and Conservation Fund to the Department of Natural Resources for the following purposes:

    The sum of $500,000, new appropriation, is appropriated and the sum of $5,056,610 $4,056,600, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 25 on page 298, lines 10 and 11 of Public Act 92-538, as amended, is reappropriated for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths.

    The sum of $65,300 or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 25, on page 298, lines 19-25 of Public Act 92-538, as amended, is reappropriated for land acquisition, development and grants, for the following bike paths at the approximate costs set forth below:

  Great River Road/Vadalabene Bikeway

   through Grafton.................................. $1,700

  Super Trail between the Quad Cities

   and Savannah..................................... 52,000

  Illinois Prairie Path in

   Cook County...................................... 11,700

    The sum of $2,500,000, new appropriation, is appropriated, and the sum of $14,593,202 $11,593,200, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 25, on page 298, lines 32-33 and page 299, lines 1-6 of Public Act 92-538, as amended, is reappropriated for grants to units of local government for the acquisition and development of bike paths.

    The sum of $56,700, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 35, Section 25, on page 299, lines 7-13 of Public Act 92-538, as amended, is reappropriated for land acquisition, development, grants and all other related expenses connected with the acquisition and development of bike paths.

    No funds in this Section may be expended in excess of the revenues deposited in the Park and Conservation Fund as provided for in Section 2-119 of the Illinois Vehicle Code.

 

    (P.A. 93-97, Art. 1, Sec. 135)

    Sec. 135.  The sum of $1,500,000, new appropriation, is appropriated, and the sum of $4,582,508 $2,482,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 26 of Public Act 92-538, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for the development and maintenance of recreational trails and trail-related projects authorized under the Intermodal Surface Transportation Efficiency Act of 1991, provided such amount shall not exceed funds to be made available for such purposes from state or federal sources.

 

    (P.A. 93-97, Art. 1, Sec. 145)

    Sec. 145.  The following named sums, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made for such purposes, are reappropriated to the Department of Natural Resources for the objects and purposes set forth below:

Payable from General Revenue Fund:

    (From Article 35, Section 28, on page

    300, lines 28-33 and on page 301, lines 1-3,

    and Section 29 on page 303, lines 5-13 of

    Public Act 92-538)

  For multiple use facilities and programs

   for conservation purposes provided by

   the Department of Natural Resources,

   including construction and development,

   all costs for supplies, material,

   labor, land acquisition, services,

   studies and all other expenses required

   to comply with the intent of this

   appropriation, less $65,100 to be lapsed

   from the unexpended balance.................. 1,903,032

   from the unexpended balance.................. 1,021,700

Payable from State Boating Act Fund:

    (From Article 35, Section 28 on

    page 301, lines 9-16, and Section

    29 on page 303, lines 15-23 of

    Public Act 92-538)

  For multiple use facilities and programs

   for boating purposes provided by the

   Department of Natural Resources including

   construction and development, all costs

   for supplies, materials, labor, land

   acquisition, services, studies and all

   other expenses required to comply with

   the intent of this appropriation.............. 1,941,452

   the intent of this appropriation................ 741,500

Payable from the Illinois Beach Marina Fund:

    (From Article 35, Section 28 on

    page 301, lines 21-25, and Section 29

    on page 303, lines 25-28 of Public Act 92-538)

  For rehabilitation, reconstruction,

   repair, replacing, fixed assets,

   and improvement of facilities at

   North Point Marina at Winthrop

   Harbor.......................................... 178,600

Payable from Natural Areas Acquisition Fund:

    (From Article 35, Section 28 on

    page 302, lines 12-18, and Section

    29 on page 303, lines 30-34, and on

    page 304, line 1 of Public

    Act 92-538)

  For the acquisition, preservation and

   stewardship of natural areas,

   including habitats for endangered and

   threatened species, high quality natural

   communities, wetlands and other areas

   with unique or unusual natural

   heritage qualities, less $8,000,000

   to be lapsed from the unexpended balance..... 10,896,169

   to be lapsed from the unexpended balance...... 5,496,200

Payable from the State Parks Fund:

    (From Article 35, Section 28 on

    page 302, lines 24-31, and Section 29

    on page 304, lines 3-10 of Public

    Act 92-538)

  For multiple use facilities and programs

   for park and trail purposes provided

   by the Department of Natural Resources, including

   construction and development, all costs

   for supplies, materials, labor, land

   acquisition, services, studies, and

   all other expenses required to comply with

   the intent of this appropriation................ 501,422

   the intent of this appropriation................ 368,900

    Total                                       $16,116,500

 

    (P.A. 93-97, Art. 1, Sec. 200)

    Sec. 200.  The sum of $725,000, new appropriation, is appropriated and the sum of $2,840,308 $2,115,300 or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 60 of Public Act 92-538, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for the administration and payment of grants to local governmental units for the construction, maintenance, and improvement of boat access areas.

 

    (P.A. 93-97, Art. 1, Sec. 215)

    Sec. 215.  To the extent federal funds including reimbursements are available for such purposes, the sum of $100,000, new appropriation, is appropriated, and the sum of $237,058 $137,100 or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 71 of Public Act 92-538, as amended, is reappropriated from the Wildlife and Fish Fund to the Department of Natural Resources for construction and renovation of waste reception facilities for recreational boaters, including grants for such purposes authorized under the Clean Vessel Act.

 

    (P.A. 93-97, Art. 1, Sec. 240)

    Sec. 240.  The sum of $120,000, new appropriation, is appropriated and the sum of $181,648 $120,200, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 77 of Public Act 92-538, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for the purposes of the Snowmobile Registration and Safety Act and for the administration and payment of grants to local governmental units for the construction, land acquisition, lease, maintenance and improvement of snowmobile trails and access areas.

 

    (P.A. 93-97, Art. 1, Sec. 270)

    Sec. 270.  The sum of $6,000,000, new appropriation, is appropriated and the sum of $10,472,502 $6,415,800, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made in Article 35, Section 83 of Public Act 92-538, as amended, is reappropriated to the Department of Natural Resources from the Abandoned Mined Lands Reclamation Council Federal Trust Fund for grants and contracts to conduct research, planning and construction to eliminate hazards created by abandoned mines, and any other expenses necessary for emergency response.

 

ARTICLE 7

 

    Section 1.  "AN ACT making appropriations", Public Act

93-91, approved July 3, 2003, is amended by changing Section

20 of Article 4 as follows:

 

    (P.A. 93-91, Art. 4, Sec. 20)

    Sec. 20.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated from the Working Capital Revolving Fund to the  Department of Corrections:

ILLINOIS CORRECTIONAL INDUSTRIES

  For Personal Services........................ 10,185,200

  For Employee Retirement Contributions

   Paid by Employer................................ 560,100

  For the Student, Member and Inmate

   Compensation.................................. 2,800,000

  For State Contributions to State

   Employees' Retirement System.................. 1,074,600

  For State Contributions to

   Social Security................................. 779,200

  For Group Insurance............................ 1,979,200

  For Contractual Services....................... 3,900,000

  For Travel....................................... 154,500

  For Commodities............................... 35,000,000

  For Printing...................................... 51,000

  For Equipment.................................. 3,200,000

  For Telecommunications Services................... 75,000

  For Operation of Auto Equipment.................. 800,000

  For Repairs, Maintenance and Other

   Capital Improvements............................ 750,000

  For Refunds....................................... 20,000

    Total                                       $61,328,800

 

    Section 2.  "AN ACT making appropriations", Public Act 93-91, approved July 3, 2003, is amended by changing Section 45 of Article 3 as follows:

 

    (P.A. 93-917, Art. 3, Sec. 45)

    Sec. 45.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Commerce and Economic Opportunity:

     BUREAU OF TECHNOLOGY AND INDUSTRIAL COMPETITIVENESS

GRANTS-IN-AID

Payable from General Revenue Fund:

  For the Job Training and Economic Development

   Grant Program Act of 1997, as amended,

   including grants, contracts, and administrative

   expenses, including prior year costs......... 1,450,000

  For Grants, Contracts and Administrative

   Expenses for the Industrial Training

   Program, Pursuant to 20 ILCS 605/

   605-800 and 20 ILCS 605/605-802,

   Including Prior Year Costs.................... 9,521,500

  For Grants and Administrative Expenses

   Pursuant to the High Technology School-

   to-Work Act, Including Prior Year

   Costs........................................... 981,500

  For Grants and Administrative Expenses

   for the Illinois Technology

   Enterprise Corporation Program,

   including prior year costs...................... 454,000

  For all costs relating to the Center

   for Safe Food for Small Business

   at the Illinois Institute of Technology......... 200,000

  For Current Workforce Training Grants.......... 2,300,000

  For Grants for the Workplace Skills

   Enhancement Program............................. 400,000

  For a grant to match private

   funds available to the Higher

   Education & Business

   Partnership Initiative........................ 2,200,000

    Total                                       $17,507,000

Payable from the New Technology Recovery Fund:

  For Grants, Loans, Investments,

   and Administrative Expenses

   Pursuant to the Technology

   Advancement and Development Act,

   Including Prior Year Costs................... 3,155,400

Payable from the Workforce, Technology, and Economic Development Fund:

  For Grants, Contracts, and Administrative

   Expenses Pursuant to 20 ILCS 605/

   605-420, Including Prior Year Costs......... 11,400,000

Payable from the Tobacco Settlement Recovery Fund:

  For Grants and Administrative Expenses

   For the Illinois Technology Enterprise

   Corporation Program, Including Prior

   Year Costs................................... 1,500,000

Payable from the Illinois Equity Fund:

  For Grants, Loans, and Investments in

   Accordance with the Provisions of

   Public Act 84-0109, as amended............... 2,850,000

Payable from the Digital Divide Elimination Fund:

  For Grants, Contracts, and Administrative

   Expenses Pursuant to 30 ILCS 780,

   Including Prior Year Costs................... 4,250,000

Payable from the Federal Workforce Training Fund:

  For Grants, Contracts and Administrative

   Expenses and refunds Associated with the Workforce

   Investment Act and other workforce

   training programs including prior

   year costs................................. 240,000,000

 

    Section 3.  "AN ACT making appropriations", Public Act 93-92, approved July 3, 2003, is amended by changing Section 100 of Article 2 as follows:

 

    (P.A. 93-92, Art. 2, Sec. 100)

    Sec. 100.  The following named sums, or so much thereof as may be necessary, are appropriated to the Department of Human Services for the following purposes:

  For costs related to Developmental

   Disability Community Transitions,

   Including Operations and Administration...... 2,450,000

  For a Grant to the Autism Project

   for an Autism Diagnosis Education

   Program for Young Children:

    Payable from the General Revenue Fund........ 2,500,000

  For Intermediate Care Facilities for the

   Mentally Retarded and Alternative

   Community Programs in fiscal year 2004 2003

   and in all prior fiscal years:

    Payable from the General Revenue Fund...... 336,614,900

    Payable from the Care Provider Fund for

      Persons With A Developmental Disability ..   36,000,000

For Costs Associated with Mental

  Health Services for Youths in the

  Juvenile Justice System:

    Payable from the General Revenue Fund........ 1,864,300

    Total                                      $379,564,900

 

    Section 4.  "AN ACT making appropriations", Public Act 93-76, approved July 1, 2003, is amended by changing Section 60 of Article 1 as follows:

 

    (P.A. 93-76, Art. 1, Sec. 60)

    Sec. 60.  No contract shall be entered into or obligation incurred for any expenditures made from an appropriation herein made in Sections 20, 45, 50 and 55 4, 8 and 9 until after the purpose and amount have been approved in writing by the Governor.

 

    Section 5.  "AN ACT making appropriations", Public Act 93-91, approved July 30, 2003, is amended by changing Section 30 of Article 8 as follows:

 

    (P.A. 93-91, Art. 8, Sec. 30)

    Sec. 30.  No contract shall be entered into or obligation incurred or any expenditure made from an appropriation herein made in

Section 2        Permanent Improvements

Section 16b2     Series A Road Program

Section 18b1     Series B (Aeronautics)

Section 18b1a    Series B Land Acquisition Third Airport Section 18b2  GRF Capital (Aeronautics)

Section 18b3     Airport Land Loan Revolving Fund

Section 19b      GRF Reduced Fares Downstate

Section 19b1     GRF Reduced Fares RTA

Section 19b2     Series B (Transit)

Section 19b4     SCIP Debt Service I

Section 19b5     SCIP Debt Service II

Section 19b9     GRF Capital (Transit)

Section 20a      GRF Rail Passenger

Section 20a1     GRF Rail Freight Program

Section 20a2     State Rail Freight Loan Repayment

Section 20a3     Fed Rail Freight Loan Repayment

Section 20a4     GRF Rail Freight Match

Section 20a5     Fed High Speed Rail Trust

Section 20a6     Series B Rail

of this Article until after the purpose and the amount of such expenditure has been approved in writing by the Governor.

 

    Section 6.  "AN ACT making appropriations", Public Act 93-91, approved July 30, 2003, is amended by changing Sections 3a1, 5b9, 5b16, 5b17, 8b3, 9a, and 64 of Article 8A as follows:

 

    (P.A. 93-91, Art. 8A, Sec. 3a1)

    Sec. 3a1.  The sum of $13,483,052 $10,757,102, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the appropriations and reappropriations heretofore made for Local Traffic Signal Maintenance Agreements and City, County and other State Maintenance Agreements in Article 51, Section 4b1 and Article 52, Section 3a1 of Public Act 92-538, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    (P.A. 93-91, Art. 8A, Sec. 5b9)

    Sec. 5b9.  The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the appropriations heretofore made in Article 51, Section 16b1 16b2 of Public Act 92-538, are reappropriated from the State Construction Account Fund to the Department of Transportation for preliminary engineering and construction engineering and contract costs of construction, including reconstruction, extension and improvement of state highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities and sanitary facilities, and such other purposes as provided by the "Illinois Highway Code"; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0850; and for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations as follows:

 District 1, Schaumburg....................... $134,821,328

 District 2, Dixon.............................. 19,623,072

 District 3, Ottawa............................. 12,028,771

 District 4, Peoria.............................. 9,045,128

 District 5, Paris.............................. 11,151,855

 District 6, Springfield........................ 20,617,417

 District 7, Effingham.......................... 14,081,835

 District 8, Collinsville....................... 28,335,330

 District 9, Carbondale......................... 10,883,805

 Statewide...................................... 35,773,773

    Total                                      $366,830,300

 

    (P.A. 93-91, Art. 8A, Sec. 5b16)

    Sec. 5b16.  The sum of $121,264,868, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 5b13a 5b13 of Public Act 92-538, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    (P.A. 93-91, Art. 8A, Sec. 5b17)

    Sec. 5b17.  The sum of $12,782,973, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 5b13 5b13a of Public Act 92-538, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    (P.A. 93-91, Art. 8A, Sec. 8b3)

    Sec. 8b3.  The sum of $12,931,527, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from the appropriation and reappropriation concerning Public Transportation heretofore made in Article 51, Section 19b9 and Article 52, Section 8b3 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

    (P.A. 93-91, Art. 8A, Sec. 9a)

    Sec. 9a.  The sum of $4,405,523, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the appropriation and reappropriation concerning Rail Freight Service Assistance Program heretofore made in Article 51, Section 20a1 and Article 52, Section 9a of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

    (P.A. 93-91, Art. 8A, Sec. 64)

    Sec. 64.  No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in

Section 2       Permanent Improvements

Section 3a      Rail Relocation - Federal

Section 3a2     Rail Relocation - State

Section 5b6     CDB - Enhancement

Section 5b7     CDB - Enhancement

Section 5b8     CDB - Enhancement

Section 5b13    Series A (Road Program)

Section 5b15    Series A (Road Program)

Section 5b16    Series A (Road Program)

Section 5b17    Series A (Road Program)

Section 6a1     Series B (Aeronautics)

Section 6a2     GRF Capital (Aeronautics)

Section 6b      Series B (Land Acquisition Third Airport)

Section 8b      Series B (Transit)

Section 8b1     Series B (Transit)

Section 8b2     Series B (Transit)

Section 8b3     GRF Capital (Transit)

Section 9a      GRF Rail Freight Program

Section 9a1     State Rail Freight Loan Repayment

Section 9a2     Federal Rail Freight Loan Repayment

Section 9a3     GRF Rail Freight Match

Section 9a4     GRF High Speed Rail - Federal

Section 9a5     FHSRTF High Speed Rail - Federal

Section 9a6     GRF High Speed Rail - State

Section 9a7     Series B (Rail)

Section 32      Canadian National Railroad Tracks

Section 47      Reconstruction of Industrial Drive

Section 48     Reconstruction of Airport Rd and Chartres St Section 49      Traffic signal at 51st St West in Rock Island Section 53      Various Improvement Projects

Section 55      Reconstruction of Towanda-Barnes Road

of this Article until after the purpose and the amount of such expenditure has been approved in writing by the Governor.

 

    Section 7.  "AN ACT making appropriations", Public Act 93-62, approved June 30, 2003, is amended by changing Section 2 of Article 4 as follows:

 

    (P.A. 93-62, Art. 4, Sec. 2)

    Sec. 2.  The sum of $2,980,300, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made for such purposes in Article 62, Section 1 2 of Public Act 92-538, is reappropriated from the Drycleaner Environmental Response Trust Fund to the Drycleaner Environmental Response Trust Fund Council for use in accordance with the Drycleaner Environmental Response Trust Fund Act.

 

    Section 8.  "AN ACT making appropriations", Public Act 93-587, approved August 27, 2003, is amended by changing Section 80 of Article 4 as follows:

 

    (P.A. 93-587, Art. 4, Sec. 80)

    Sec. 80.  The amount of $40,139, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purpose in Article 12, Section 45 55 of Public Act 92-538, is reappropriated to Southern Illinois University from the Capital Development Fund for digitalization infrastructure for WUSI-TV (Olney).

 

    Section 9.  "AN ACT making appropriations", Public Act 93-95, approved July 3, 2003, is amended by changing Section 10 of Article 2 as follows:

 

    (P.A. 93-95, Art. 2, Sec. 10)

    Sec. 10.  The following amounts, or so much thereof as may be necessary, respectively, are appropriated to the Board of Trustees of the State Universities Retirement System for the State's contribution, as provided by law:

Payable from the Education Assistance Fund.... $175,000,000

Payable from the Common School Fund........... $250,000,000

Payable from the General Revenue Fund.......... 121,080,000

Payable from the General Revenue Fund........... 46,080,000

    Total                                      $296,080,000

 

    Section 10.  "AN ACT making appropriations", Public Act 93-91, approved July 3, 2003, is amended by changing Sections 80 and 85 of Article 16 as follows:

 

    (P.A. 93-91, Art. 16, Sec. 80)

    Sec. 80.  The amount of $205,000, or so much of this amount as may be necessary and remains unexpended on June 30, 2003 from an appropriation heretofore made for such purpose in Section 85 of Article 19 26 of Public Act 92-538 92-8, is reappropriated from the Capital Development Fund to the Legislative Space Needs Commission for plans, specifications, and continuation of work pursuant to the report and recommendations of the architectural, structural, and mechanical surveys of the State Capitol Building. This is for the continuation of the rehabilitation of the Capitol Building.

 

    (P.A. 93-91, Art. 16, Sec. 85)

    Sec. 85.  The sum of $830,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from appropriations heretofore made for such purposes in Section 90 of Article 19 26 of Public Act 92-538 92-8, is reappropriated from the Capital Development Fund to the Legislative Space Needs Commission for remodeling, planning, relocation, permanent equipment, and other related expenses, including architectural and engineering fees associated with construction, for the remodeling of office space and other support areas under the jurisdiction of the House of Representatives and the Senate.

 

    Section 11.  "AN ACT making appropriations", Public Act 93-91, approved July 3, 2003, is amended by changing Sections 55 and 70 of Article 17 as follows:

 

    (P.A. 93-91, Art. 17, Sec. 55)

    Sec. 55.  The following named sums, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made for such purposes in Article 18 53 of Public Act 92-538 91-706 as amended by this Act, are appropriated for expenses in connection with the planning and preparation of redistricting of legislative and representative districts as required by Article IV, Section 3 of the Illinois Constitution of 1970:

    For the Speaker............................... 441,600

    For the Minority Leader.............................. 0

    Total                                          $441,600

 

    (P.A. 93-91, Art. 17, Sec. 70)

    Sec. 70.  As used in Sections 35 and 40 30 and 35 hereof, except where the approval of the Speaker of the House of Representatives is expressly required for the expenditure of or the incurring of indebtedness against an appropriation for certain purchases on contract, "Speaker" means the leader of the party having the largest number of members of the House of Representatives as of January 13, 2003 2001, and "Minority Leader" means the leader of the party having the second largest number of members of the House of Representatives as of January 13, 2003 2001.

 

ARTICLE 8A

 

    Section 1. The amount of $1,354,435, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from an appropriation made in Article 34, Section 88 of Public Act 92-538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for all costs associated with grants to various units of local government, community, civic, not-for-profit, educational facilities and business development organizations for the purpose of grants which include, but are not limited to, one-time operating assistance, construction, rehabilitation, equipment purchases, and any other necessary costs.

 

    Section 2. The amount of $2,998,305, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from an appropriation made in Article 34, Section 92 of Public Act 92-538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for all costs associated with grants to governmental units, community, civic, not-for-profit, educational facilities and business development organizations for the purpose of grants which include, but are not limited to, one-time operating assistance, construction, rehabilitation, equipment purchases, and any other necessary costs.

 

    Section 3. The amount of $15,772,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from an appropriation made in Article 34, Section 93 of Public Act 92-538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for all costs associated with grants to governmental units, community, civic, not-for-profit, educational facilities and business development organizations for the purpose of grants which include, but are not limited to, one-time operating assistance, construction, rehabilitation, equipment purchases, and any other necessary costs.

 

    Section 4. The amount of $8,408,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from an appropriation made in Article 34, Section 94 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for all costs associated with various construction and/or rehabilitation projects, and equipment purchases for various units of local government, educational facilities and other eligible entities.

 

    Section 5. The sum of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation made in Article 34, Section 2.4 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity for grants to local governments and not-for-profit entities.

 

    Section 6. The sum of $1,060,912, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purposes in Article 34, Section 58 of Public Act 92-0538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for a grant to the DuPage County Board for all costs associated with the expansion of the Sheriff's Administration Building in DuPage County.

 

    Section 7. The sum of $69,632, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 34, Section 59 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for a grant to the DuPage County Board for all costs associated with the completion of the DuPage Veterans' Memorial.

 

    Section 8. The sum of $1,459,799, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 34, Section 60 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for grants to units of local government, educational facilities and not-for-profit organizations for infrastructure improvements including but not limited to planning, construction, reconstruction, equipment, utilities and vehicles, and all costs associated with economic development, community programs, educational programs, public health, and public safety.

 

    Section 9. The sum of $1,599,125, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purposes in Article 34, Section 61 of Public Act 92-0538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to units of local government and educational facilities for all costs associated with infrastructure improvements and capital projects, including equipment and vehicles.

 

    Section 10. The sum of $6,548,727 or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made for such purposes in Article 34, Section 89 of Public Act 92-0538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to units of local government, and educational facilities for all costs associated with infrastructure improvements and capital projects, including equipment and vehicles.

 

    Section 11. The sum of $14,846,409, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from a reappropriation heretofore made in Article 34, Section 90 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for grants to units of local government, educational facilities and not-for-profit organizations for infrastructure improvements including, but not limited to planning, construction, reconstruction, equipment, utilities and vehicles, and all costs associated with economic development, community programs, educational programs, public health, and public safety.

 

ARTICLE 8B

 

    Section 1.  The sum of $5,630,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the appropriation heretofore made in Article 52, Section 10 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction and contract costs of construction, including, but not limited to, reconstruction, extension and improvement of highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities, storage and sanitary facilities, equipment, traffic control, sidewalks, pedestrian overpasses and such other purposes as provided by the "Illinois Highway Code"; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0500; and for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; for signage and warning lights; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations; and for any grants to units of local government to undertake any of the aforementioned activities.

 

    Section 2.  The sum of $9,815,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the appropriation heretofore made in Article 52, Section 11 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction and contract costs of construction, including, but not limited to, reconstruction, extension and improvement of highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities, storage and sanitary facilities, equipment, traffic control, sidewalks, pedestrian overpasses and such other purposes as provided by the "Illinois Highway Code"; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0500; and for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; for signage and warning lights; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations; and for any grants to units of local government to undertake any of the aforementioned activities.

 

    Section 3.  The sum of $9,671,700, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the appropriation heretofore made in Article 52, Section 12 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction and contract costs of construction, including, but not limited to, reconstruction, extension and improvement of highways, arterial highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities, storage and sanitary facilities, equipment, traffic control, sidewalks, pedestrian overpasses and such other purposes as provided by the "Illinois Highway Code"; for purposes allowed or required by Title 23 of the U.S. Code; for bikeways as provided by Public Act 78-0500; and for land acquisition and signboard removal and control, junkyard removal and control and preservation of natural beauty; for signage and warning lights; and for capital improvements which directly facilitate an effective vehicle weight enforcement program, such as scales (fixed and portable), scale pits and scale installations, and scale houses, in accordance with applicable laws and regulations; and for any grants to units of local government to undertake any of the aforementioned activities.

 

    Section 4.  The sum of $50,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 14a12 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for a grant to the Village of Morrison for road improvements for the Morrison Industrial Spur.

 

    Section 5.  The sum of $32,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 17 of Public Act 92-538, is reappropriated from the General Revenue Fund to the Department of Transportation for the Village of Berkeley for all costs associated with the resurfacing, rebuilding, reconstruction, and replacement of St. Charles Road between Interstate 290 and Wolf Road.

   

    Section 6.  The sum of $247,900, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 23 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for the Village of LaGrange to resurface LaGrange Road from Ogden to I-55.

 

    Section 7.  The sum of $165,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 26 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for a study of the expansion of Route 23 to four lanes from Streator to Ottawa.

 

    Section 8.  The sum of $12,600, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 27 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for topical resurfacing of existing roadway from Kedzie Avenue to Bell Avenue.

 

    Section 9.  The sum of $385,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 28 of Public Act 92-538, as amended, is reappropriated from the Road Fund to the Illinois Department of Transportation for the City of Chicago for the same purposes.

 

    Section 10.  The sum of $325,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 29 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for intersection improvements and traffic lights installation at 94th and Kedzie Avenue in Evergreen Park.

 

    Section 11.  The sum of $27,700, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 30 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for the City of Chicago for curbs and roadway improvements on Foster Avenue.

 

    Section 12.  The sum of $75,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 31 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for the City of Chicago for curbs and roadway improvements along Elston Avenue between Central and Milwaukee Avenues.

 

    Section 13.  The sum of $26,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 32 of Public Act 92-538, as amended, is reappropriated from the Capital Development Fund to the Illinois Department of Transportation for the City of Chicago for preliminary engineering for a pedestrian crossing over the Canadian National Railroad tracks at West 79th Street and South Central Park Avenue.

 

    Section 14.  The sum of $233,800, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 33 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for the City of Chicago for resurfacing Pulaski Road from 79th to 87th.

 

    Section 15.  The sum of $250,900, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 34 of Public Act 92-538, as amended, is reappropriated from the Road Fund to the Illinois Department of Transportation for all costs associated with preliminary planning, design, engineering and construction of the system of access roads parallel to I-190 between Mannheim Road and the Tri-State Tollway.

 

    Section 16.  The sum of $204,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 35 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation to resurface or repair Martin Luther King Drive between 67th and 79th Streets.

 

    Section 17.  In addition to any other funds that may be appropriated for the same purpose, the sum of $4,800, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 36 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for necessary studies for sound barriers along I-90/94 Dan Ryan Expressway between 35th and 95th.

 

    Section 18.  The sum of $175,700, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52 Section 37 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for resurfacing and cold milling on the Illinois River Bridge in Morris.

 

    Section 19.  The sum of $5,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 38 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for Lake County for intersection improvements at Route 132 and Deep Lake Road.

 

    Section 20.  The sum of $870,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 39 of Public Act 92-538, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for reconstructing and resurfacing Wood Street from Illinois Route 83 to 171st Street and traffic lights at 162nd Street in Markham.

 

    Section 21.  The sum of $22,700, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 40 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for a grant to the Village of Olympia Fields for the purpose of completing Phase I of Transit Oriented Development.

 

    Section 22.  The sum of $30,200, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 41 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for an engineering study for an interchange of I-80 at Mile Marker 101 in LaSalle County.

 

    Section 23.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 42 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for a grant to the City of Wheeling for the purpose of pedestrian crossing improvements.

 

    Section 24.  The sum of $373,400, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 44 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for a grant to the Madison County Transit District for the construction of the Collinsville Transit Center.

 

    Section 25.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 45 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for the installation of crossing gates at Westleigh Road and the installation of crossing gates at Old Elm Road grade crossing.

 

    Section 26.  The sum of $300,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 46 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for a grant to Metra for the purpose of landscaping, remodeling, and repairing of the embankments and viaducts from 47th to 57th Streets.

 

    Section 27.  The sum of $23,800, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 47 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Transportation for costs associated with the reconstruction of Industrial Drive.

 

    Section 28.  The sum of $10,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 48 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Transportation for costs associated with the reconstruction of Airport Road and Chartres Street.

 

    Section 29.  The sum of $75,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 49 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Transportation for a traffic signal at 51st Street West in Rock Island.

 

    Section 30.  The sum of $8,300, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 50 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for repair of 1st Street from Water Street and Brunner Street to Bucklin Street in LaSalle.

 

    Section 31.  The sum of $616,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 51 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for infrastructure improvements, including but not limited to engineering and construction engineering, extension and improvements of highways, roads, access areas, roadside shelters, rest areas, fringe parking facilities, storage and sanitary facilities, equipment, traffic controls, sidewalks, signage.

 

    Section 32.  The sum of $50,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 52 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for renovation of the Wood Dale METRA station.

 

    Section 33.  The sum of $493,700, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 53 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Transportation for the contract or intergovernmental agreement costs associated with the projects described below and having the estimated costs as follows:

  For a pedestrian overpass and

   other transportation related

   activities in the Village

   of Buffalo Grove..................................... $0

  For improvements to St. Clair

   Avenue and drainage improvements

   in Granite City...................................... $0

  For improvements to streets,

   sewers and sidewalks in

   Washington Park................................ $450,000

  For traffic signal intersection

   improvements at Manhattan Road,

   Route 52 and Foxford Drive in

   the Village of Manhattan........................ $36,100

  For improvements to Matherville Road in

   Mercer County.................................... $7,600

 

    Section 34.  The sum of $1,200,600, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2003, from the reappropriation heretofore made in Article 52, Section 54 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 35.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 52, Section 57 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the purpose of a grant to the City of Rockford for all costs associated with the construction of a road around the Rockford airport.

 

    Section 36.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 52, Section 58 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the purpose of a grant to the Chicago Department of Transportation for installation of a traffic light at 103rd and Corliss Street.

 

    Section 37.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 51, Section 59 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the purpose of a grant to the Chicago Department of Transportation for installation of a traffic light at 127th and Stewart Street.

 

    Section 38.  The amount of $1,320,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 51, Section 60 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the purpose of a grant to the Chicago Department of Transportation for street resurfacing, sidewalks, curbs, and gutters on Michigan Avenue from 103rd Street to 127th Street.

 

    Section 39.  The amount of $800,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 51, Section 61 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the purpose of a grant to the Chicago Department of Transportation for street resurfacing, sidewalks, curbs, and gutters on King Drive from 100th Street to 115th Street.

 

    Section 40.  The amount of $1,350,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 51, Section 62 of Public Act 92-538, is reappropriated from the Road Fund to the Department of Transportation for the purpose of a grant to the Chicago Department of Transportation for street resurfacing, sidewalks, curbs, and gutters on 111th Street from Bishop Ford Expressway to State Street.

 

    Section 41.  The sum of $2,300,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2003, from an appropriation heretofore made in Article 1a, Section 11 of Public Act 92-717, is reappropriated from the Capital Development Fund to the Department of Transportation for corridor protection along Route 158.

 

    Section 42.  The sum of $1,000,000 is appropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity, in addition to any named sums, for Grants, Contracts and Administrative Expenses for the Industrial Training Program, Pursuant to 20 ILCS 605/605-800 and 20 ILCS 605/605-802, Including Prior Year Costs.

 

                        ARTICLE 99

     

Section 99.  Effective date.  This Act takes effect immediately upon becoming law.