Appropriations-Public Safety Committee

Adopted in House Comm. on May 27, 2004

 

 

 

 

 

 

 

09300SB3338ham001                   HDS093 00220 CMS 40088 a

AMENDMENT TO SENATE BILL 3338

 

AMENDMENT NO. ______. Amend Senate Bill 3338 by deleting everything after the enacting clause and inserting in lieu thereof the following:

 

“ARTICLE 1

 

    Section 5. The following named amounts, or so much of those amounts as may be necessary, respectively, are appropriated to the Office of the State's Attorney Appellate Prosecutor for the objects and purposes hereinafter named to meet its ordinary and contingent expenses for the fiscal year ending June 30, 2004:

For Personal Services:

  Payable from General Revenue Fund for

   Collective Bargaining Unit.................... 2,273,338

  Payable from General Revenue Fund for

   Administrative Unit............................. 797,667

  Payable from State's Attorney Appellate

   Prosecutor's County Fund........................ 641,071

For State Contribution to the State Employees'

Retirement System Pick Up:

  Payable from General Revenue Fund for

   Collective Bargaining Unit....................... 90,935

  Payable from General Revenue Fund for

   Administrative Unit.............................. 32,217

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 25,953

For State Contribution to the State Employees' Retirement System:

  Payable from General Revenue Fund for

   Collective Bargaining Unit...................... 305,515

  Payable from General Revenue Fund for

   Administrative Unit............................. 107,198

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 86,154

For State Contribution to Social Security:

  Payable from General Revenue Fund for

   Collective Bargaining Unit...................... 178,210

  Payable from General Revenue Fund for

   Administrative Unit.............................. 55,286

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 42,984

For County Reimbursement to State for Group Insurance:

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund........................ 104,500

For Contractual Services:

  Payable from General Revenue Fund................ 300,355

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund........................ 514,689

For Contractual Services for Tax Objection Casework:

  Payable from General Revenue Fund................. 66,666

  Payable from State's Attorneys Appellate

  Prosecutor's County Fund.......................... 33,334

For Contractual Services for Rental of Real Property:

  Payable from General Revenue Fund................ 217,816

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund........................ 126,427

For Travel:

  Payable from General Revenue Fund................. 16,720

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 9,122

For Commodities:

  Payable from General Revenue Fund................. 14,915

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 9,363

For Printing:

  Payable from General Revenue Fund.................. 4,881

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 3,582

For Equipment:

  Payable from General Revenue Fund................. 25,579

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 30,884

For Electronic Data Processing:

  Payable from General Revenue Fund................. 16,150

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 31,387

For Telecommunications:

  Payable from General Revenue Fund................. 20,900

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 34,716

For Operation of Automotive Equipment:

  Payable from General Revenue Fund................. 10,640

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 8,307

For Law Intern Program:

  Payable from General Revenue Fund.................... 100

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 27,419

For Continuing Legal Education:

  Payable from General Revenue Fund.................... 100

  Payable from Continuing Legal Education

   Trust Fund...................................... 150,000

For Legal Publications:

  Payable from General Revenue Fund.................. 3,515

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 13,924

For expenses for assisting County State's Attorneys for services provided under the Illinois Public Labor Relations Act:

For Personal Services:

  Payable from General Revenue Fund................. 77,811

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund......................... 43,758

For State Contribution to the State Employees' Retirement System Pick Up:

  Payable from General Revenue Fund.................. 3,113

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 1,751

For State Contribution to the State Employees' Retirement System:

  Payable from General Revenue Fund................. 10,458

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 5,882

For Contribution to Social Security:

  Payable from General Revenue Fund.................. 5,953

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 3,347

For County Reimbursement to State for Group Insurance:

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 9,167

For Contractual Services:

  Payable from General Revenue Fund.................. 6,316

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund........................ 306,310

For Travel:

  Payable from General Revenue Fund.................. 1,160

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 1,153

For Commodities:

  Payable from General Revenue Fund.................... 570

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund............................ 781

For Equipment:

  Payable from General Revenue Fund.................... 570

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 1,194

For Operation of Automotive Equipment:

  Payable from General Revenue Fund.................. 1,140

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.......................... 1,107

For expenses pursuant to Narcotics Profit Forfeiture Act:

  Payable from Narcotics Profit Forfeiture Fund.......... 0

For Expenses Pursuant to Drug Asset

  Forfeiture Procedure Act:

  Payable from Narcotics Profit Forfeiture Fund.. 1,350,000

For Expenses Pursuant to P.A. 84-1340,

  which requires the Office of the State's

  Attorneys Appellate Prosecutor to conduct

  training programs for Illinois State's

  Attorneys, Assistant State's Attorneys

  and Law Enforcement Officers on techniques

  and methods of eliminating or reducing

  the trauma of testifying in criminal

  proceedings for children who serve as

  witnesses in such proceedings; and

  other authorized criminal justice training programs:

  Payable from General Revenue Fund................. 80,000

For Expenses Related to federally assisted

  Programs to assist local State's

  Attorneys including violent crimes,

  drug related cases and cases arising

  under the Narcotics Profit Forfeiture Act

  on the request of the State's Attorney:

  Payable from Special Federal Grant

    Project Fund................................. 2,800,000

For Local Matching Purposes:

  Payable from State's Attorneys Appellate

   Prosecutor's County Fund.............................. 0

For State Matching Purposes:

  Payable from General Revenue Fund...................... 0

For Expenses Pursuant to Grant Agreements

  For Training Grant Programs:

  Payable from Continuing Legal

    Education Trust Fund........................... 200,000

For Expenses Pursuant to the Capital

  Crimes Litigation Act:

  Payable from the Capital Litigation Trust Fund... 400,000

For Appropriation to the State Treasurer

  for Expenses Incurred by State's Attorneys

  other than Cook County:

  Payable from the Capital Litigation

    Trust Fund................................... 1,000,000

 

    Section 10.  The amount of $2,700,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State Appellate Prosecutor for a grant to the Cook County State's Attorney for expenses incurred in responding to the appeals period.

 

ARTICLE 2

 

    Section 5.  The following named amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes named in this Section are appropriated from the General Revenue Fund to meet the ordinary and contingent expenses of the Office of the State Appellate Defender:

    For Personal Services....................... 12,044,129

    For Employee Retirement Contributions

         Paid by Employer.......................... 481,756

    For State Contribution to State Employees'

         Retirement System....................... 1,258,825

    For State Contributions to

         Social Security........................... 921,356

    For Contractual Services..................... 2,110,271

    For Travel...................................... 70,600

    For Commodities................................. 58,200

    For Printing.................................... 36,750

    For Equipment................................... 50,000

    For Electronic Data Processing................. 486,464

    For Telecommunications......................... 144,700

    For Intern Program.............................. 75,053

    Total, This Section                         $17,663,051

 

    Section 10.  The following named amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes named in this Section, are appropriated to the Office of the State Appellate Defender for the ordinary and contingent expenses of the Capital Litigation Division:

    For Personal Services.......................... 792,200

    For Employee Retirement Contributions

         Paid by Employer........................... 31,688

    For State Contribution to State Employees'

         Retirement System.......................... 82,801

    For State Contributions to

         Social Security............................ 60,603

    For Contractual Services....................... 198,920

    For Travel...................................... 20,000

    For Commodities.................................. 4,000

    For Printing..................................... 3,000

    For Equipment.................................... 6,000

    For Electronic Data Processing................... 4,000

    For Telecommunications.......................... 30,000

    Total, This Section                          $1,233,212

 

    Section 15.  The following named amounts, or so much of those amounts as may be necessary, respectively, for the objects and purposes named in this Section, are appropriated to the Office of the State Appellate Defender for expenses related to federally assisted programs to work on sex crimes and crimes against the family appeals cases to which the agency is appointed, to provide statewide training and services to Illinois Public Defenders, and to enhance the capability of public defenders in rural counties to effectively represent their clients in appropriate cases, making available expert witnesses and investigative services to them:

    Payable from State Appellate Defender

         Federal Trust Fund........................ 525,000

    For State matching purposes:

         Payable from Special State

         Projects Fund............................. 175,000

    Total, This Section                            $700,000

 

    Section 20.  The amount of $2,728,000, or so much thereof as may be necessary, is appropriated from the Capital Litigation Trust Fund to the Office of the State Appellate Defender for expenses incurred in providing assistance to trial attorneys under subdivision (c)(5) of Section 10 of the State Appellate Defender Act.

 

    Section 25.  The amount of $157,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Office of the State Appellate Defender for expenses incurred to operate the Expungement Information Program.

 

ARTICLE 3

 

    Section 5.  The following amounts, or so much of those amounts as may be necessary, respectively, are appropriated for the objects and purposes named, to meet the ordinary and contingent expenses of the Judicial Inquiry Board:

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

For State Contributions to State Employees'

  Retirement System................................. 36,700

For Retirement - Pension Pick-Up.................... 10,900

For State Contributions to Social Security.......... 20,900

For Contractual Services........................... 255,500

For Travel.......................................... 31,600

For Commodities...................................... 2,500

For Printing......................................... 8,700

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

For Electronic Data Processing....................... 1,000

For Telecommunications.............................. 14,000

For Operation of Auto Equipment...................... 2,500

    Total                                          $670,500

 

ARTICLE 4

 

    Section 5.  The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund to meet the ordinary and contingent expenses of the following divisions of the Department of Corrections.

FOR OPERATIONS

GENERAL OFFICE

  For Personal Services......................... 14,721,700

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 1,538,800

  For State Contributions to

   Social Security............................... 1,126,200

  For Contractual Services....................... 6,421,000

  For Travel....................................... 348,900

  For Commodities.................................. 390,900

  For Printing...................................... 49,500

  For Equipment.................................... 244,100

  For Electronic Data Processing................. 8,004,700

  For Telecommunications Services................ 2,922,300

  For Operation of Auto Equipment.................. 266,100

  For Sheriffs' Fees for Conveying Prisoners ...... 390,500

  For support costs associated with the

   Criminal Law and Corrections Task Force............... 0

  For payment of claims as provided by the

   "Workers' Compensation Act" or the "Workers'

   Occupational Diseases Act", including

   Treatment, Expenses and Benefits Payable

   for Total Temporary Incapacity for Work....... 2,811,000

  Expenditures from appropriations for treatment and expense may be made after the Department of Corrections has certified that the injured person was employed and that the nature of the injury is compensable in accordance with the provisions of the Workers' Compensation Act or the Workers' Occupational Diseases Act, and then has determined the amount of such compensation to be paid to the injured person.  Expenditures for this purpose may be made by the Department of Corrections without regard to the fiscal year in which benefit or service was rendered or cost incurred as allowable or provided by the Workers' Compensation Act or the Workers' Occupational Diseases Act.

  For Tort Claims.................................. 490,000

  For the State's share of Assistant

   State's Attorneys' salaries -

   reimbursement to counties pursuant

   to Chapter 53 of the Illinois

   Revised Statutes................................ 435,600

  For Repairs, Maintenance and Other

   Capital Improvements.......................... 1,512,800

    Total                                       $41,674,100

SCHOOL DISTRICT

  For Personal Services......................... 20,273,600

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 39,100

  For State Contributions to State

   Employees' Retirement System.................. 2,119,000

  For State Contributions to Teachers'

   Retirement System................................. 6,500

  For State Contributions to Social Security .... 1,551,000

  For Contractual Services...................... 10,654,400

  For Travel........................................ 84,900

  For Commodities.................................. 816,700

  For Printing...................................... 93,400

  For Equipment..................................... 96,800

  For Telecommunications Services.................... 6,500

  For Operation of Auto Equipment................... 13,500

    Total                                       $35,755,400

FIELD SERVICES

  For Personal Services......................... 44,388,500

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 111,200

  For State Contributions to State

   Employees' Retirement System.................. 4,639,500

  For State Contributions to

   Social Security............................... 3,395,700

  For Contractual Services...................... 29,419,800

  For Travel....................................... 276,300

  For Travel and Allowance for Prisoners............. 4,000

  For Commodities.................................. 793,600

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

  For Equipment.................................... 761,300

  For Telecommunications Services................ 7,628,900

  For Operation of Auto Equipment................ 2,026,600

    Total                                       $93,462,300

 

    Section 10.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Corrections from the General Revenue Fund for:

STATEVILLE CORRECTIONAL CENTER

  For Personal Services......................... 61,084,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 320,400

  For State Contributions to State

   Employees' Retirement System.................. 6,384,600

  For State Contributions to

   Social Security............................... 4,673,000

  For Contractual Services...................... 13,436,600

  For Travel........................................ 78,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 29,700

  For Commodities................................ 6,139,400

  For Printing...................................... 85,000

  For Equipment..................................... 23,600

  For Telecommunications Services.................. 385,600

  For Operation of Auto Equipment.................. 534,400

    Total                                       $93,175,100

THOMSON CORRECTIONAL CENTER

  For Personal Services.................................. 0

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.......................................... 0

  For State Contributions to State

   Employees' Retirement System.......................... 0

  For State Contributions to

   Social Security....................................... 0

  For Contractual Services............................... 0

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

  For Travel and Allowances for

   Committed, Paroled and

   Discharged Prisoners.................................. 0

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

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

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

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

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

    Total                                                $0

DECATUR WOMEN'S CORRECTIONAL CENTER

  For Personal Services......................... 12,217,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 101,200

  For State Contributions to State

   Employees' Retirement System.................. 1,277,000

  For State Contributions to

   Social Security................................. 934,700

  For Contractual Services....................... 3,024,500

  For Travel......................................... 5,900

  For Travel and Allowances for

   Committed, Paroled and

   Discharged Prisoners............................. 24,400

  For Commodities.................................. 916,300

  For Printing...................................... 16,000

  For Equipment..................................... 74,500

  For Telecommunications Services................... 60,700

  For Operation of Auto Equipment................... 49,300

    Total                                       $18,701,900

DWIGHT CORRECTIONAL CENTER

  For Personal Services......................... 20,341,500

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 141,200

  For State Contributions to State

   Employees' Retirement System.................. 2,126,100

  For State Contributions to

   Social Security............................... 1,556,100

  For Contractual Services....................... 6,984,900

  For Travel........................................ 29,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 16,600

  For Commodities................................ 2,416,200

  For Printing...................................... 26,000

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

  For Telecommunications Services.................. 158,700

  For Operation of Auto Equipment.................. 183,400

    Total                                       $34,079,800

LINCOLN CORRECTIONAL CENTER

  For Personal Services......................... 11,565,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 225,800

  For State Contributions to State

   Employees' Retirement System.................. 1,208,900

  For State Contributions to

   Social Security................................. 884,800

  For Contractual Services....................... 4,680,400

  For Travel......................................... 4,500

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 14,100

  For Commodities................................ 1,534,500

  For Printing...................................... 15,100

  For Equipment..................................... 84,700

  For Telecommunications Services................... 83,500

  For Operation of Auto Equipment................... 70,000

    Total                                       $20,372,100

DIXON CORRECTIONAL CENTER

  For Personal Services......................... 26,420,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 465,200

  For State Contributions to State

   Employees' Retirement System.................. 2,761,600

  For State Contributions to

   Social Security............................... 2,021,300

  For Contractual Services....................... 9,000,800

  For Travel........................................ 19,100

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 23,800

  For Commodities................................ 3,195,400

  For Printing...................................... 27,500

  For Equipment.................................... 117,000

  For Telecommunications Services.................. 151,600

  For Operation of Auto Equipment.................. 205,200

    Total                                       $44,409,300

EAST MOLINE CORRECTIONAL CENTER

  For Personal Services......................... 13,514,700

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 302,600

  For State Contributions to State

   Employees' Retirement System.................. 1,412,600

  For State Contributions to

   Social Security............................... 1,033,900

  For Contractual Services....................... 3,172,900

  For Travel........................................ 14,800

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 48,700

  For Commodities................................ 1,647,600

  For Printing...................................... 14,400

  For Equipment..................................... 94,100

  For Telecommunications Services................... 78,400

  For Operation of Auto Equipment................... 81,800

    Total                                       $21,416,500

HILL CORRECTIONAL CENTER

  For Personal Services......................... 15,491,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 346,600

  For State Contributions to State

   Employees' Retirement System.................. 1,619,200

  For State Contributions to Social Security .... 1,185,100

  For Contractual Services....................... 4,934,100

  For Travel......................................... 8,000

  For Travel and Allowance for Committed,

    Paroled and Discharged Prisoners................ 35,200

  For Commodities................................ 2,973,600

  For Printing...................................... 11,100

  For Equipment.................................... 121,500

  For Telecommunications Services................... 48,200

  For Operation of Auto Equipment................... 65,800

    Total                                       $26,839,800

ILLINOIS RIVER CORRECTIONAL CENTER

  For Personal Services......................... 17,820,200

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 420,100

  For State Contributions to State

   Employees' Retirement System.................. 1,862,600

  For State Contributions to Social Security .... 1,363,300

  For Contractual Services....................... 5,461,700

  For Travel........................................ 17,700

  For Travel and Allowance for Committed,

    Paroled and Discharged Prisoners................ 28,200

  For Commodities................................ 2,571,200

  For Printing...................................... 16,700

  For Equipment.................................... 107,800

  For Telecommunications Services................... 72,500

  For Operation of Auto Equipment................... 62,900

    Total                                       $29,804,900

DANVILLE CORRECTIONAL CENTER

  For Personal Services......................... 17,502,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 376,200

  For State Contributions to State

   Employees' Retirement System.................. 1,829,400

  For State Contributions to

   Social Security............................... 1,338,900

  For Contractual Services....................... 4,788,300

  For Travel........................................ 10,900

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 10,900

  For Commodities................................ 2,712,500

  For Printing...................................... 22,900

  For Equipment.................................... 115,800

  For Telecommunications Services................... 93,600

  For Operation of Auto Equipment.................. 162,000

    Total                                       $28,963,400

JACKSONVILLE CORRECTIONAL CENTER

  For Personal Services......................... 23,272,200

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate Compensation...... 485,900

  For State Contributions to State

   Employees' Retirement System.................. 2,432,400

  For State Contributions to

   Social Security............................... 1,780,300

  For Contractual Services....................... 3,442,400

  For Travel........................................ 11,200

  For Travel and Allowance for Committed,

   Paroled and Discharged Prisoners................. 49,400

  For Commodities................................ 2,716,000

  For Printing...................................... 26,800

  For Equipment.................................... 153,500

  For Telecommunications Services................... 93,300  For Operation of Auto Equipment........................ 168,200

    Total                                       $34,631,600

LOGAN CORRECTIONAL CENTER

  For Personal Services......................... 19,836,600

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 445,400

  For State Contributions to State

   Employees' Retirement System.................. 2,073,400

  For State Contributions to

   Social Security............................... 1,517,500

  For Contractual Services....................... 4,246,300

  For Travel......................................... 3,300

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 27,700

  For Commodities................................ 3,119,100

  For Printing...................................... 13,400

  For Equipment.................................... 122,200

  For Telecommunications Services.................. 135,900

  For Operation of Auto Equipment.................. 233,800

    Total                                       $31,774,600

PONTIAC CORRECTIONAL CENTER

  For Personal Services......................... 34,608,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 231,900

  For State Contributions to State

   Employees' Retirement System.................. 3,617,300

  For State Contributions to

   Social Security............................... 2,647,500

  For Contractual Services....................... 7,315,500

  For Travel........................................ 22,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 10,400

  For Commodities................................ 3,795,300

  For Printing...................................... 47,000

  For Equipment.................................... 152,900

  For Telecommunications Services.................. 178,900

  For Operation of Auto Equipment................... 88,600

    Total                                       $52,715,700

WESTERN ILLINOIS CORRECTIONAL CENTER

  For Personal Services......................... 19,398,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 370,400

  For State Contributions to State

   Employees' Retirement System.................. 2,027,500

  For State Contributions to

   Social Security............................... 1,483,900

  For Contractual Services....................... 5,119,800

  For Travel......................................... 7,700

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 44,800

  For Commodities................................ 2,634,000

  For Printing...................................... 34,800

  For Equipment.................................... 113,800

  For Telecommunications Services................... 53,300

  For Operation of Auto Equipment.................. 103,000

    Total                                       $31,391,000

CENTRALIA CORRECTIONAL CENTER

  For Personal Services......................... 19,173,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 304,300

  For State Contributions to State

   Employees' Retirement System.................. 2,004,000

  For State Contributions to

   Social Security............................... 1,466,800

  For Contractual Services....................... 4,548,200

  For Travel........................................ 14,700

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 37,200

  For Commodities................................ 2,012,200

  For Printing...................................... 21,000

  For Equipment..................................... 87,700

  For Telecommunications Services................... 83,800

  For Operation of Auto Equipment................... 94,900

    Total                                       $29,847,800

GRAHAM CORRECTIONAL CENTER

  For Personal Services......................... 21,961,900

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 285,300

  For State Contributions to State

   Employees' Retirement System.................. 2,295,500

  For State Contributions to

   Social Security............................... 1,680,100

  For Contractual Services....................... 6,622,500

  For Travel........................................ 17,100

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 16,000

  For Commodities................................ 2,687,300

  For Printing...................................... 25,900

  For Equipment.................................... 100,900

  For Telecommunications Services................... 77,600

  For Operation of Auto Equipment................... 73,000

    Total                                       $35,843,100

MENARD CORRECTIONAL CENTER

  For Personal Services......................... 41,576,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 390,000

  For State Contributions to State

   Employees' Retirement System.................. 4,345,700

  For State Contributions to

   Social Security............................... 3,180,700

  For Contractual Services....................... 7,670,600

  For Travel........................................ 45,600

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 22,200

  For Commodities................................ 6,044,300

  For Printing...................................... 34,200

  For Equipment.................................... 217,100

  For Telecommunications Services.................. 166,900

  For Operation of Auto Equipment.................. 120,300

    Total                                       $63,814,400

PINCKNEYVILLE CORRECTIONAL CENTER

  For Personal Services......................... 19,578,700

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 320,900

  For State Contributions to State

   Employees' Retirement System.................. 2,046,400

  For State Contributions to

   Social Security............................... 1,497,900

  For Contractual Services....................... 5,675,800

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

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 56,800

  For Commodities................................ 2,928,700

  For Printing...................................... 27,500

  For Equipment..................................... 95,700

  For Telecommunications Services................... 70,000

  For Operation of Auto Equipment................... 36,900

    Total                                       $32,350,700

SOUTHWESTERN ILLINOIS CORRECTIONAL CENTER

  For Personal Services......................... 11,961,100

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 158,000

  For State Contributions to State

   Employees' Retirement System.................. 1,250,200

  For State Contributions to

   Social Security................................. 915,000

  For Contractual Services....................... 3,858,700

  For Travel......................................... 8,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................. 5,600

  For Commodities................................ 1,018,500

  For Printing...................................... 13,900

  For Equipment..................................... 77,600

  For Telecommunications Services................... 37,800

  For Operation of Auto Equipment................... 48,300

    Total                                       $19,352,700

TAYLORVILLE CORRECTIONAL CENTER

  For Personal Services......................... 12,699,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate Compensation...... 250,200

  For State Contributions to State

   Employees' Retirement System.................. 1,327,400

  For State Contribution to

   Social Security................................. 971,600

  For Contractual Services....................... 4,551,100

  For Travel......................................... 3,000

  For Travel and Allowance for Committed,

    Paroled and Discharged Prisoners................ 24,800

  For Commodities................................ 1,438,100

  For Printing...................................... 12,900  For Equipment........................................... 88,200

  For Telecommunications Services................... 59,500

  For Operation of Automotive Equipment............. 56,500

    Total                                       $21,483,100

VANDALIA CORRECTIONAL CENTER

  For Personal Services......................... 20,828,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 390,000

  For State Contributions to State

   Employees' Retirement System.................. 2,670,900

  For State Contributions to

   Social Security............................... 1,606,400

  For Contractual Services....................... 4,465,900

  For Travel........................................ 17,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 51,000

  For Commodities................................ 2,740,300

  For Printing...................................... 23,900

  For Equipment..................................... 58,800

  For Telecommunications Services.................. 102,400

  For Operation of Auto Equipment.................. 127,900

    Total                                       $33,082,900

BIG MUDDY RIVER CORRECTIONAL CENTER

  For Personal Services......................... 19,376,900

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 375,800

  For State Contributions to State

   Employees' Retirement System.................. 2,025,300

  For State Contributions to

   Social Security............................... 1,482,300

  For Contractual Services....................... 7,170,100

  For Travel........................................ 23,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 77,600

  For Commodities................................ 2,677,000

  For Printing...................................... 24,700

  For Equipment.................................... 121,000

  For Telecommunications Services.................. 146,000

  For Operation of Auto Equipment.................. 105,700

    Total                                       $33,605,400

LAWRENCE CORRECTIONAL CENTER

  For Personal Services......................... 18,332,700

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 295,800

  For State Contributions to State

   Employees' Retirement System.................. 1,916,200

  For State Contributions to

   Social Security............................... 1,402,500

  For Contractual Services....................... 4,736,700

  For Travel........................................ 11,800

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 45,000

  For Commodities................................ 2,225,100

  For Printing...................................... 27,100

  For Equipment..................................... 88,600

  For Telecommunications Services.................. 165,100

  For Operation of Auto Equipment................... 68,900

    Total                                       $29,315,500

ROBINSON CORRECTIONAL CENTER

  For Personal Services......................... 12,707,100

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and

   Inmate Compensation............................. 244,900

  For State Contributions to State

   Employees' Retirement System.................. 1,328,200

  For State Contribution to

   Social Security................................. 972,100

  For Contractual Services....................... 3,411,400

  For Travel........................................ 17,700

  For Travel and Allowances for

   Committed, Paroled and Discharged

   Prisoners........................................ 11,600

  For Commodities................................ 1,903,900

  For Printing...................................... 28,300

  For Equipment..................................... 97,200

  For Telecommunications Services................... 34,500

  For Operation of Automotive Equipment............. 86,200

    Total                                       $20,843,100

SHAWNEE CORRECTIONAL CENTER

  For Personal Services......................... 18,167,600

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and

   Inmate Compensation............................. 419,000

  For State Contributions to State

   Employees' Retirement System.................. 1,898,900

  For State Contributions to

   Social Security............................... 1,389,800

  For Contractual Services....................... 5,769,300

  For Travel........................................ 14,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................ 103,100

  For Commodities................................ 3,146,100

  For Printing...................................... 20,200

  For Equipment..................................... 97,000

  For Telecommunications Services................... 88,900

  For Operation of Auto Equipment................... 87,800

    Total                                       $31,201,700

TAMMS CORRECTIONAL CENTER

  For Personal Services......................... 17,940,300

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 130,600

  For State Contributions to State

   Employees' Retirement System.................. 1,875,200

  For State Contributions to

   Social Security............................... 1,372,500

  For Contractual Services....................... 4,523,500

  For Travel........................................ 33,700

  For Travel and Allowance for Committed,

   Paroled and Discharged Prisoners.................. 2,000

  For Commodities................................ 1,220,200

  For Printing...................................... 14,500

  For Equipment.................................... 100,200

  For Telecommunications Services.................. 132,800

  For Operation of Auto Equipment................... 70,900

    Total                                       $27,416,400

VIENNA CORRECTIONAL CENTER

  For Personal Services......................... 17,646,300

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 265,900

  For State Contributions to State

   Employees' Retirement System.................. 1,844,400

  For State Contributions to

   Social Security............................... 1,350,000

  For Contractual Services....................... 3,509,700

  For Travel......................................... 5,600

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 46,500

  For Commodities................................ 3,096,700

  For Printing...................................... 17,100

  For Equipment.................................... 105,300

  For Telecommunications Services................... 75,900

  For Operation of Auto Equipment................... 99,300

    Total                                       $28,062,700

SHERIDAN CORRECTIONAL CENTER

  For Personal Services......................... 19,886,600

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.................................... 421,600

  For State Contributions to State

   Employees' Retirement System.................. 2,078,600

  For State Contributions to

   Social Security............................... 1,521,300

  For Contractual Services...................... 22,185,800

  For Travel........................................ 52,600

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners................. 78,400

  For Commodities.................................. 863,200

  For Printing...................................... 56,400

  For Equipment.................................... 300,000

  For Telecommunications Services.................. 241,600

  For Operation of Auto Equipment.................. 271,400

    Total                                       $47,957,500

 

    Section 15.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of Corrections from the General Revenue Fund:

ILLINOIS YOUTH CENTER - CHICAGO

  For Personal Services.......................... 4,371,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 10,100

  For State Contributions to State

   Employees' Retirement System.................... 457,000

  For State Contributions to

   Social Security................................. 334,500

  For Contractual Services....................... 3,066,700

  For Travel......................................... 7,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................... 300

  For Commodities................................... 84,000

  For Printing....................................... 3,400

  For Equipment..................................... 51,900

  For Telecommunications Services................... 35,800

  For Operation of Auto Equipment................... 25,900

    Total                                        $8,448,400

ILLINOIS YOUTH CENTER - HARRISBURG

  For Personal Services......................... 12,254,100

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 65,500

  For State Contributions to State

   Employees' Retirement System.................. 1,280,800

  For State Contributions to

   Social Security................................. 937,400

  For Contractual Services....................... 2,147,700

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

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................. 4,400

  For Commodities.................................. 499,900

  For Printing...................................... 20,100

  For Equipment..................................... 70,500

  For Telecommunications Services................... 68,600

  For Operation of Auto Equipment................... 37,600

    Total                                       $17,392,400

ILLINOIS YOUTH CENTER - JOLIET

  For Personal Services......................... 11,062,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 48,800

  For State Contributions to State

   Employees' Retirement System.................. 1,156,300

  For State Contributions to

   Social Security................................. 846,200

  For Contractual Services....................... 2,042,300

  For Travel......................................... 4,300

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................. 2,200

  For Commodities.................................. 527,300

  For Printing....................................... 8,200

  For Equipment..................................... 72,100

  For Telecommunications Services................... 62,800

  For Operation of Auto Equipment................... 30,200

    Total                                       $15,862,700

ILLINOIS YOUTH CENTER - KEWANEE

  For Personal Services......................... 10,509,100

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 11,600

  For State Contributions to State

   Employees' Retirement System.................. 1,098,500

  For State Contributions to

   Social Security................................. 805,200

  For Contractual Services....................... 4,152,000

  For Travel......................................... 8,100

  For Travel Allowances for Committed,

   Paroled and Discharged Prisoners.................. 1,100

  For Commodities.................................. 595,900

  For Printing....................................... 8,200

  For Equipment..................................... 45,500

  For Telecommunications Services................... 94,200

  For Operation of Auto Equipment................... 30,200

    Total                                       $17,359,600

ILLINOIS YOUTH CENTER - MURPHYSBORO

  For Personal Services.......................... 5,954,700

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 17,300

  For State Contributions to State

   Employees' Retirement System.................... 622,400

  For State Contributions to

   Social Security................................. 455,600

  For Contractual Services....................... 1,164,700

  For Travel........................................ 12,400

  For Travel Allowances for Committed,

   Paroled and Discharged Prisoners.................. 2,500

  For Commodities.................................. 449,100

  For Printing....................................... 9,000

  For Equipment..................................... 60,500

  For Telecommunications Services................... 40,800

  For Operation of Auto Equipment................... 19,600

    Total                                        $8,808,600

ILLINOIS YOUTH CENTER - PERE MARQUETTE

  For Personal Services.......................... 2,405,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 16,400

  For State Contributions to State

   Employees' Retirement System.................... 251,500

  For State Contributions to

   Social Security................................. 184,100

  For Contractual Services......................... 438,500

  For Travel......................................... 1,000

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................. 1,500

  For Commodities.................................. 274,200

  For Printing....................................... 5,400

  For Equipment..................................... 52,400

  For Telecommunications Services................... 76,200

  For Operation of Auto Equipment................... 17,800

    Total                                        $3,725,800

ILLINOIS YOUTH CENTER - RUSHVILLE

  For Personal Services.................................. 0

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member, and Inmate

   Compensation.......................................... 0

  For State Contribution to State

   Employees' Retirement System.......................... 0

  For State Contributions to

   Social Security....................................... 0

  For Contractual Services............................... 0

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

  For Travel Allowance for Committed,

   Paroled and Discharged Prisoners...................... 0

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

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

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

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

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

  For Deposit into Travel and Allowance

   Revolving Fund........................................ 0

    Total                                                $0

ILLINOIS YOUTH CENTER - ST. CHARLES

  For Personal Services......................... 17,745,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 71,200

  For State Contributions to State

   Employees' Retirement System.................. 2,285,400

  For State Contributions to

   Social Security............................... 1,349,100

  For Contractual Services....................... 3,283,400

  For Travel........................................ 43,300

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................... 900

  For Commodities.................................. 623,900

  For Printing...................................... 20,000

  For Equipment.................................... 105,700

  For Telecommunications Services................... 29,000

  For Operation of Auto Equipment.................. 144,800

    Total                                       $25,701,700

ILLINOIS YOUTH CENTER - VALLEY VIEW

  For Personal Services.................................. 0

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation.......................................... 0

  For State Contributions to State

   Employees' Retirement System.......................... 0

  For State Contributions to

   Social Security....................................... 0

  For Contractual Services............................... 0

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

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners...................... 0

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

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

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

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

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

  For Ordinary and Contingent Expenses................... 0

    Total                                                $0

ILLINOIS YOUTH CENTER - WARRENVILLE

  For Personal Services.......................... 5,646,500

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For Student, Member and Inmate

   Compensation..................................... 21,000

  For State Contributions to State

   Employees' Retirement System.................... 590,200

  For State Contributions to

   Social Security................................. 431,900

  For Contractual Services....................... 1,488,400

  For Travel......................................... 5,400

  For Travel and Allowances for Committed,

   Paroled and Discharged Prisoners.................... 100

  For Commodities.................................. 249,500

  For Printing....................................... 7,200

  For Equipment..................................... 69,700

  For Telecommunications Services................... 54,000

  For Operation of Auto Equipment................... 30,000

    Total                                        $8,593,000

 

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

ILLINOIS CORRECTIONAL INDUSTRIES

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

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For the Student, Member and Inmate

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

  For State Contributions to State

   Employees' Retirement System.................. 1,064,600

  For State Contributions to

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

  For Group Insurance............................ 2,268,000

  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................... 90,600

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

  For Repairs, Maintenance and Other

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

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

    Total                                       $61,063,100

 

    Section 30.  The sum of $104,294,200, or so much thereof as may be necessary, is appropriated from the Department of Corrections Reimbursement and Education Fund to meet the ordinary and contingent expenses of the Department of Corrections described below and having the estimated cost as follows:

  For payment of expenses associated

   with School District Programs................ 14,000,000

  For payment of expenses associated

   with federal programs, including,

   but not limited to, construction of

   additional beds, treatment programs,

   and juvenile supervision..................... 57,200,000

  For payment of expenses associated

   with miscellaneous programs, including,

   but not limited to, medical costs,

   food expenditures, and various

   construction costs........................... 33,094,200

    Total                                      $104,294,200

 

    Section 35.  The amounts appropriated for repairs and maintenance, and other capital improvements in Sections 5 and 30 for repairs and maintenance, roof repairs and/or replacements, and miscellaneous capital improvements at the Department's various institutions, and are to include construction, reconstruction, improvements, repairs and installation of capital facilities, costs of planning, supplies, materials and all other expenses required for roof and other types of repairs and maintenance, capital improvements, and purchase of land.

    No contract shall be entered into or obligation incurred for repairs and maintenance and other capital improvements from appropriations made in Sections 5 and 30 of this Article until after the purposes and amounts have been approved in writing by the Governor.

 

    Section 40.  The amount of $362,700, or so much thereof as may be necessary, is appropriated to the Department of Corrections from the General Revenue Fund for a grant to the City of Thomson for the reimbursement of costs incurred in relation to the construction of the Thomson Correctional Center.

 

    Section 45.  The sum of $7,500,000, or so much thereof as may be necessary, is appropriated to the Department of Corrections from the General Revenue Fund for a grant to the Cook County Sheriff’s Office for expenses associated with the operations of the Cook County Juvenile Detention Center.

 

    Section 50.  The sum of $1,000,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Corrections for a grant to Cook County Sheriff’s Office for the expenses of the Cook County Boot Camp.

 

    Section 55.  The sum of $250,000, or so much thereof as may be necessary, is appropriated from the Sex Offender Management Board Fund to the Sex Offender Management Board for the purposes of planning, research, and operations.  Funding received from private sources is to be expended in accordance with the terms and conditions placed upon the funding.

 

    Section 60.  The sum of $10,887,400, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Corrections for salaries and benefits to avoid the layoff of 282 employees under the planned Standardization and Efficiency reductions.

 

ARTICLE 5

 

    Section 1.  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 Labor:

FOR OPERATIONS - GENERAL OFFICE

Payable from General Revenue Fund:

  For Personal Services............................ 583,800

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System.................... 61,100

  For State Contributions to

    Social Security................................. 44,700

  For Contractual Services......................... 208,600

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

  For Commodities.................................... 8,900

  For Printing...................................... 12,200

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

  For Electronic Data Processing.................... 87,300

  For Telecommunications Services................... 23,700

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

  For Administration and operations of

   Displaced Homemaker Grant Program................ 49,000

  For Refunds.......................................... 100

    Total                                        $1,111,550

 

    Section 2.  The following named amount of $0, or so much thereof as may be necessary, is appropriated to the Department of Labor for Displaced Homemaker Grants.

 

    Section 3.  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 Labor:

PUBLIC SAFETY

Payable from General Revenue Fund:

  For Personal Services............................ 818,800

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 90,600

  For State Contributions to

   Social Security.................................. 66,300

  For Contractual Services.......................... 36,900

  For Travel....................................... 108,750

  For Commodities.................................... 5,200

  For Printing....................................... 7,300

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

  For Telecommunications Services................... 18,100

    Total                                        $1,152,950

 

    Section 4.  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 Labor:

FAIR LABOR STANDARDS

Payable from General Revenue Fund:

  For Personal Services.......................... 2,049,750

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System................... 214,300

  For State Contributions to

    Social Security................................ 156,850

  For Contractual Services.......................... 75,200

  For Travel....................................... 117,850

  For Commodities.................................... 6,400

  For Printing...................................... 21,700

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

  For Telecommunications Services................... 41,500

    Total                                        $2,683,650

Payable From the Child Labor and Day and

 Temporary Labor Services Enforcement Fund:

  For Administration of the Child

   Labor Law and Day and Temporary

   Labor Services Act.............................. 157,700

 

    Section 5.  In addition to any other funds appropriated for that purpose, the sum of $206,600 is appropriated from the General Revenue Fund to the Department of Labor for all costs associated with conducting the study mandated by P.A. 87-405, regarding the employment progress of women and minorities.

 

    Section 6. The sum of $200,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Labor for all costs associated with monitoring compliance with minority participation requirements in State-funded projects.

 

    Section 7.  In addition to any other funds appropriated for that purpose, the sum of $250,000, or as much as may be unexpended and is allowable under Section 11c of the Prevailing Wage Act is appropriated from the Child Labor, Day and Temporary Labor Services, and Prevailing Wage Enforcement Fund for all costs associated with Section 17.3 of the Child Labor Law.

 

ARTICLE 6

 

    Section 1.  The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Capital Development Board:

GENERAL OFFICE

Payable from Capital Development Fund:

  For Personal Services.......................... 3,807,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

    Employees' Retirement System................... 398,000

  For State Contributions to

    Social Security................................ 291,600

  For Group Insurance.............................. 888,000

  For Contractual Services......................... 294,000

  For Travel........................................ 33,000

  For Commodities................................... 30,300

  For Equipment..................................... 29,400

  For Telecommunications Services................... 92,000

  For Operation of Auto Equipment................... 22,300

  For Expenses of the Illinois

   Building Commission................................... 0

    Total                                        $5,886,000

Payable from Capital Development Board Revolving Fund:

  For Personal Services.......................... 3,166,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 331,000

  For State Contributions to Social Security ...... 241,600

  For Group Insurance.............................. 828,000

  For Contractual Services......................... 260,600

  For Travel....................................... 265,600

  For Commodities................................... 29,400

  For Printing...................................... 42,200

  For Equipment..................................... 35,800

  For Electronic Data Processing................... 185,200

  For Operational purposes......................... 769,900

  For Telecommunications Services.................. 119,500

  For School Construction Management............... 586,500

  For Review Staff School Construction............. 607,300

Payable from the School Infrastructure Fund:

  For operational purposes relating to

   the School Infrastructure Program............... 600,000

Payable from the Illinois Building Commission Revolving Fund:

  For Expenses to Administer

   the Illinois Building Commission

   Act, including Refunds..........................       0

    Total                                        $8,069,100

 

ARTICLE 7

 

    Section 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.......................... 1,225,000

  For Employee Retirement Contributions

   Paid By Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 128,100

  For State Contributions to

   Social Security.................................. 93,750

  For Contractual Services.......................... 18,000

  For Travel........................................ 14,900

  For Commodities.................................... 5,300

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

  For Equipment...................................... 5,100

  For Electronic Data Processing.................... 16,300

  For Telecommunications Services................... 37,000

  For Operation of Auto Equipment................... 20,000

  For State Officer's Candidate School................. 700

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

  For Lincoln's Challenge........................ 3,248,600

    Total                                        $5,345,150

 

Payable from Federal Support Agreement Revolving Fund:

  Army/Air Reimbursable Positions................ 7,110,350

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

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

    Total                                       $13,200,050

FACILITIES OPERATIONS

Payable from General Revenue Fund:

  For Personal Services.......................... 4,475,300

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 467,800

  For State Contributions to

   Social Security................................. 342,400

  For Contractual Services....................... 1,987,900

  For Commodities................................... 83,400

  For Equipment..................................... 15,100

    Total                                        $7,371,900

 

    Section 10.  The sum of $4,500,000, or so much thereof as may be necessary, is appropriated from the Federal Support Agreement Revolving Fund to the Department of Military Affairs for expenses related to Army National Guard Facilities operations and maintenance as provided for in the Cooperative Funding Agreements, including costs in prior years.

 

    Section 15.  The sum of $285,000, or so much thereof as may be necessary, is appropriated from the Federal Support Agreement Revolving Fund to the Department of Military Affairs for expenses related to the Bartonville and Kankakee armories for operations and maintenance according to the Joint-Use Agreement, including costs in prior years.

 

    Section 20.  The sum of $44,800, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military Affairs for rehabilitation and minor construction at armories and camps.

 

    Section 25.  The sum of $7,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military  Affairs for expenses related to the care and preservation of historic artifacts.

 

    Section 30.  The sum of $1,461,200, or so much thereof as may be necessary, is appropriated from the Military Affairs Trust Fund to the Department of Military Affairs to support youth and other programs, provided such amounts shall not exceed funds to be made available from public or private sources.

 

    Section 35.  The sum of $5,000,000, or so much thereof as may be necessary, is appropriated from the Illinois Military Family Relief Fund to the Department of Military Affairs for the issuance of grants to families of persons who are members of the Illinois National Guard or Illinois residents who are members of the armed forces of the United States and who have been called to active duty as a result of the September 11, 2001 terrorist attacks, including costs in prior years.

 

    Section 40.  The sum of $0, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Military Affairs for grants of $259,038 to the designee of an Armed Forces member "killed in the line of duty."  The Armed Forces member must be on active duty in Operation Enduring Freedom or Operation Iraqi Freedom.

 

    Section 45.  No contract shall be entered into or obligation incurred for any expenditures made from an appropriation herein made in Section 20 until after the purpose and amounts have been approved in writing by the Governor.

 

ARTICLE 8

 

    Section 1.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to meet  the ordinary and contingent expenses of the Prisoner Review Board:

PAYABLE FROM GENERAL REVENUE FUND

  For Personal Services............................ 782,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 81,800

  For State Contributions to

   Social Security.................................. 59,850

  For Contractual Services......................... 183,800

  For Travel....................................... 108,000

  For Commodities................................... 12,600

  For Printing...................................... 11,200

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

  For Electronic Data Processing.................... 18,800

  For Telecommunications Services................... 39,300

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

  For Victim Notification........................... 25,000

    Total                                        $1,354,350

 

ARTICLE 9

 

    Section 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......................... 6,845,300

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 715,500

  For State Contributions to

   Social Security................................. 455,000

  For Contractual Services....................... 4,237,000

  For Travel........................................ 67,200

  For Commodities.................................. 547,700

  For Printing...................................... 98,300

  For Equipment..................................... 88,700

  For Telecommunications Services.................. 192,900

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

  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...................................... 182,000

  For Expenses associated with the

   Videotaping of Interrogations......................... 0

 

    Total                                       $13,729,900

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.................................... 2,000,000

Payable from the State Police Vehicle Fund:

  For equipment.................................... 150,000

 

    Section 15.  The sum of $3,500,000, or so much thereof as may be necessary, is appropriated from the State Asset Forfeiture Fund to the Department of State Police for payment of their expenditures as outlined in the Illinois Drug Asset Forfeiture Procedure Act, the Cannabis Control Act, the Controlled Substances Act, and the Environmental Safety Act.

 

    Section 20.  The sum of $2,500,000, or so much thereof as may be necessary, is appropriated from the Federal Asset Forfeiture Fund to the Department of State Police for payment of their expenditures in accordance with the Federal Equitable Sharing Guidelines.

 

    Section 25.  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:

INFORMATION SERVICES BUREAU

Payable from General Revenue Fund:

  For Personal Services......................... 5,059,300

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 528,800

  For State Contributions to

   Social Security................................. 378,600

  For Contractual Services......................... 987,700

  For Travel........................................ 39,600

  For Commodities................................... 35,400

  For Printing...................................... 36,700

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

  For Electronic Data Processing................. 2,615,300

  For Telecommunications Services.................. 651,600

    Total                                       $10,336,200

Payable from LEADS Maintenance Fund:

  For Expenses Related to LEADS

   System....................................... 3,500,000

 

    Section 30.  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 OPERATIONS

Payable from General Revenue Fund:

  For Personal Services......................... 54,316,800

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 5,677,100

  For State Contributions to

   Social Security............................... 2,331,000

  For Contractual Services....................... 5,831,100

  For Travel....................................... 625,900

  For Commodities.................................. 707,200

  For Printing..................................... 127,500

  For Equipment.................................... 102,900

  For Electronic Data Processing.................... 91,700

  For Telecommunications Services................ 2,461,500

  For Expenses Regarding Implementation

   of the Statewide Radio

   Communication System.................................. 0

  For Operation of Auto Equipment................ 7,369,700

  For Expenses Associated with Project X................. 0

    Total                                       $79,642,400

Payable from the Road Fund:

  For Personal Services......................... 87,487,000

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 9,036,300

  For State Contributions to

   Social Security................................. 786,700

    Total                                       $97,310,000

Payable from Transportation Regulatory Fund:

  For Personal Services............................ 681,950

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 71,300

  For State Contributions to

   Social Security.................................. 52,050

  For Group Insurance.............................. 132,000

  For Contractual Services.......................... 27,600

  For Travel........................................ 16,500

  For Commodities.................................... 7,200

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

  For Telecommunications Services.................. 100,000

  For Operation of Auto Equipment................... 44,000

    Total                                        $1,132,600

Payable from the Traffic and Criminal

 Conviction Surcharge Fund:

  For Personal Services......................... 2,938,500

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 307,100

  For State Contributions to

   Social Security.................................. 81,100

  For Group Insurance.............................. 612,000

  For Contractual Services......................... 480,300

  For Travel........................................ 68,800

  For Commodities.................................. 166,600

  For Printing...................................... 22,000

  For Telecommunications Services.................. 108,200

  For Operation of Auto Equipment.................. 186,800

    Total                                        $4,971,400

Payable from the State Police Services Fund:

  For Payment of Expenses:

   Fingerprint Program........................... 8,000,000

  For Payment of Expenses:

   Federal & IDOT Programs....................... 3,780,000

  For Payment of Expenses:

   Riverboat Gambling............................ 9,300,000

  For Payment of Expenses:

   Miscellaneous Programs........................ 3,270,000

    Total                                       $24,350,000

Payable from the Illinois State Police

 Federal Projects Fund:

  For Payment of Expenses....................... 15,350,000

Payable from the Motor Carrier Safety Inspection Fund:

  For expenses associated with the

   enforcement of Federal Motor Carrier

   Safety Regulations and related

   Illinois Motor Carrier

   Safety Laws................................... 2,400,000

 

    Section 35.  The sum of $14,199,236, or so much thereof as may be necessary is appropriated to the Department of State Police from the Federal Civil Preparedness Administrative Fund for Terrorism Task Force Approved Purchases for Homeland Security.

 

    Section 40.  The following amounts, or so much thereof as may be necessary for the objects and purposes hereinafter named, are appropriated from the General Revenue Fund and the Drug Traffic Prevention Fund to the Department of State Police, Division of Operations, pursuant to the provisions of the "Intergovernmental Drug Laws Enforcement Act" for Grants to Metropolitan Enforcement Groups.

For Grants to Metropolitan

 Enforcement Groups:

  Payable from General Revenue Fund............... 740,000

  Payable from Drug Traffic Prevention Fund....... 120,000

 

    Section 45.  In the event of the receipt of funds from the Motor Vehicle Theft Prevention Council, through a grant from the Criminal Justice Information Authority, the amount of $1,200,000, or so much thereof as may be necessary, is appropriated from the State Police Motor Vehicle Theft Prevention Trust Fund to the Department of State Police for payment of expenses.

 

    Section 50.  The sum of $1,500,000 or so much thereof as may be necessary, is appropriated from the State Police Whistleblower Reward and Prevention Fund to the Department of State Police for payment of their expenditures for state law enforcement purposes in accordance with the State Whistleblower Protection Act.

 

    Section 55.  The following amounts, or so much thereof as may be necessary, respectively, are appropriated from the General Revenue Fund to the Department of State Police for expenses of Racetrack Investigative Services under the "Illinois Horse Racing Act of 1975":

DIVISION OF OPERATIONS

RACETRACK INVESTIGATION UNIT

  For Personal Services............................ 534,400

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 55,900

  For State Contributions to

   Social Security................................... 9,300

    Total                                          $599,600

 

    Section 60.  The following amounts, or so much thereof as may be necessary, respectively, are appropriated from the General Revenue Fund to the Department of State Police for the expenses of Fraud Investigations:

DIVISION OF OPERATIONS

FINANCIAL FRAUD AND FORGERY UNIT

  For Personal Services......................... 4,126,600

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 431,300

  For State Contributions to

   Social Security.................................. 59,900

    Total                                        $4,617,800

 

    Section 65.  The sum of $250,000, or so much thereof as may be necessary, is appropriated from the Medicaid Fraud and Abuse Prevention Fund to the Department of State Police,

Division of Operations - Financial Fraud and Forgery Unit for the detection, investigation or prosecution of recipient or vendor fraud.

 

    Section 70.  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 FORENSIC SERVICES AND IDENTIFICATION

Payable from the General Revenue Fund:

  For Personal Services......................... 35,016,500

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 3,659,900

  For State Contributions to

   Social Security............................... 2,478,200

  For Contractual Services....................... 7,980,000

  For Travel....................................... 121,000

  For Commodities................................ 1,886,000

  For Printing...................................... 81,100

  For Equipment.................................. 2,272,300

  For Electronic Data Processing................... 186,800

  For Telecommunications Services.................. 594,800

  For Operation of Auto Equipment.................. 171,000

  For Administration of a Statewide Sexual

   Assault Evidence Collection Program............. 101,200

  For Operational Expenses Related to the

   Combined DNA Index System..................... 4,273,000

    Total                                       $58,821,800

  For Administration and Operation

   of State Crime Laboratories:

  Payable from State Crime Laboratory Fund......... 650,000

  Payable from State Police

   DUI Fund........................................ 650,000

  Payable from State Offender DNA

   Identification  System Fund................... 1,300,000

 

    Section 75.  The sum of $350,000, or so much thereof as may be necessary, is appropriated to the Department of State Police, Division of Forensic Services and Identification, from the Firearm Owner's Notification Fund for the administration and operation of the Firearm Owner's Identification Card Program.

 

    Section 80.  The following amounts, or so much thereof as may be necessary, respectively, are appropriated to the Department of State Police for Internal Investigation expenses as follows:

DIVISION OF INTERNAL INVESTIGATION

Payable from the General Revenue Fund:

  For Personal Services.......................... 1,528,200

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 159,700

  For State Contributions to

   Social Security.................................. 42,400

  For Contractual Services......................... 128,700

  For Travel........................................ 17,000

  For Commodities................................... 23,300

  For Printing....................................... 3,700

  For Equipment..................................... 17,900

  For Telecommunications Services................... 90,000

  For Operation of Auto Equipment................... 94,600

    Total                                        $2,105,500

 

ARTICLE 10

 

    Section 1.  The following named sums, or so much thereof as may be necessary, for the objects and purposes hereinafter named, are appropriated from the Road Fund to meet the ordinary and contingent expenses of the Department of Transportation:

        CENTRAL OFFICES, ADMINISTRATION AND PLANNING

OPERATIONS

  For Personal Services......................... 14,296,133

  For Employee Retirement Contribution

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 1,494,266

  For State Contributions to Social Security .... 1,062,133

  For Contractual Services....................... 3,315,866

  For Travel....................................... 456,400

  For Commodities.................................. 327,100

  For Printing..................................... 555,800

  For Equipment..................................... 80,800

  For Equipment:

   Purchase of Cars & Trucks............................. 0

  For Telecommunications Services.................. 277,300

  For Operation of Automotive Equipment............ 110,700

    Total                                       $21,976,498

 

LUMP SUMS

 

    Section 1a.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For Planning, Research and Development

   Purposes....................................... 500,000

  For costs associated with asbestos

   abatement....................................... 575,400

  For metropolitan planning and research

   purposes as provided by law, provided

   such amount shall not exceed funds

   to be made available from the federal

   government or local sources.................. 25,000,000

  For metropolitan planning and research

   purposes as provided by law................... 1,300,000

  For federal reimbursement of planning

   activities as provided by the Transportation

   Equity Act for the 21st Century............... 1,750,000

  For the federal share of the IDOT

   ITS Program, provided expenditures

   do not exceed funds to be made available

   by the Federal Government..................... 2,000,000

  For the state share of the IDOT

   ITS Corridor Program.......................... 3,000,000

  For the Department's share of costs

   with the Illinois Commerce

   Commission for  monitoring railroad

   crossing safety................................. 300,000

    Total                                       $34,425,400

 

AWARDS AND GRANTS

 

    Section 1b.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For Tort Claims, including payment

   pursuant to P.A. 80-1078....................... 530,500

  For representation and indemnification

   for the Department of Transportation,

   the Illinois State Police and the

   Secretary of State provided that the

   representation required resulted from

   the Road Fund portion of their normal

   operations...................................... 260,000

  For Transportation Enhancement, Congestion

   Mitigation, Air Quality, High Priority and

   Scenic By-way Projects not eligible for

   inclusion in the Highway Improvement

   Program Appropriation provided expenditures

   do not exceed funds made available by

   the federal government....................... 40,000,000

  For auto liability payments for the

   Department of Transportation, the

   Illinois State Police and the

   Secretary of State provided that

   the liability resulted from the

   Road Fund portion of their

   normal operations............................. 1,932,200

  For grants to Illinois Universities

   for applied research on transportation................ 0

  For payment of claims as provided by the

   "Workers' Compensation Act" or the "Workers'

   Occupational Diseases Act", including

   Treatment, Expenses and Benefits Payable

   for Total Temporary Incapacity for Work

   for State Employees whose salaries are paid

   from the Road Fund:

  For Awards and Grants......................... 14,500,000

    Total                                       $57,222,700

    Expenditures from appropriations for treatment and expense may be made after the Department of Transportation has certified that the injured person was employed and that the nature of the injury is compensable in accordance with the provisions of the Workers' Compensation Act or the Workers' Occupational Diseases Act, and then has determined the amount of such compensation to be paid to the injured person.  Expenditures for this purpose may be made by the Department of Transportation without regard to the fiscal year in which benefit or service was rendered or cost incurred as allowable or provided by the Workers' Compensation Act or the Workers' Occupational Diseases Act.

 

    Section 2.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

BUREAU OF INFORMATION PROCESSING

OPERATIONS

  For Personal Services......................... 5,108,000

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 533,900

  For State Contributions to Social Security ...... 384,300

  For Contractual Services....................... 5,729,500

  For Travel........................................ 55,400

  For Commodities................................... 24,100

  For Equipment...................................... 6,500

  For Electronic Data Processing................... 111,000

  For Telecommunications......................... 1,086,700

    Total                                       $13,039,400

 

    Section 3.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

CENTRAL OFFICES, DIVISION OF HIGHWAYS

OPERATIONS

  For Personal Services......................... 26,589,100

  For Extra Help................................. 1,016,700

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 2,885,400

  For State Contributions to Social Security .... 2,035,400

  For Contractual Services....................... 5,058,400

  For Travel....................................... 519,200

  For Commodities.................................. 372,200

  For Equipment.................................... 253,700

  For Equipment:

   Purchase of Cars and Trucks........................... 0

  For Telecommunications Services................ 2,576,000

  For Operation of Automotive Equipment............ 278,800

    Total                                       $41,584,900

 

LUMP SUMS

    Section 3a.  The sum of $660,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for repair of damages by motorists to state vehicles and equipment or replacement of state vehicles and equipment, provided such amount shall not exceed funds to be made available from collections from claims filed by the Department to recover the costs of such damages.

 

    Section 3a1.  The sum of $500,000, or so much thereof as may be necessary, is appropriated from the Transportation Safety Highway Hire-back Fund to the Department of Transportation for agreements with the Illinois Department of State Police to provide patrol officers in highway construction work zones.

 

AWARDS AND GRANTS

    Section 3b.  The sum of $2,387,500, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for reimbursement to participating counties in the County Engineers Compensation Program, providing those reimbursements do not exceed funds to be made available from their federal highway allocations retained by the Department.

 

    Section 3b1.  The following named sums, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for grants to local governments for the following purposes:

For reimbursement of eligible expenses

  arising from local Traffic Signal

  Maintenance Agreements created by Part

  468 of the Illinois Department of

  Transportation Rules and Regulations.......... 3,000,000

For reimbursement of eligible expenses

  arising from City, County, and other

  State Maintenance Agreements.................. 14,147,000

    Total                                       $17,147,000

 

REFUNDS

    Section 3c.  The following named amount, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For Refunds....................................... 28,000

 

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

TRAFFIC SAFETY

OPERATIONS

  For Personal Services.......................... 5,370,900

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 561,400

  For State Contributions to Social Security ...... 386,800

  For Contractual Services....................... 1,322,200

  For Travel........................................ 53,800

  For Commodities................................... 96,000

  For Printing..................................... 285,000

  For Equipment..................................... 11,500

  For Equipment:

    Purchase of Cars and Trucks.......................... 0

  For Telecommunications Services.................. 106,600

  For Operation of Automotive Equipment............. 73,300

    Total                                        $8,267,500

 

LUMP SUMS

    Section 4a.  The sum of $7,750,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for improvements to traffic safety, provided such amount not exceed funds to be made available from the federal government pursuant to the primary seatbelt enforcement incentive grant.

 

REFUNDS

    Section 4b.  The following named amount, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For Refunds....................................... 9,200

 

    Section 4c.  The following named sums, or so much thereof as may be necessary, for the objects and purposes hereinafter named, are appropriated from the Cycle Rider Safety Training Fund, as authorized by Public Act 82-0649, to the Department of Transportation for the administration of the Cycle Rider Safety Training Program by the Division of Traffic Safety:

OPERATIONS

  For Personal Services............................ 151,700

  For Employee Contribution to

   Retirement System by Employer......................... 0

  For State Contributions to State

   Employees' Retirement System..................... 15,900

  For State Contributions to Social Security ....... 11,400

  For Group Insurance............................... 33,000

  For Contractual Services.......................... 10,600

  For Travel........................................ 13,800

  For Commodities.................................... 1,000

  For Printing....................................... 2,300

  For Equipment...................................... 2,400

  For Operation of Automotive Equipment.............. 5,200

    Total                                          $247,300

 

AWARDS AND GRANTS

    Section 4c1.  The sum of $2,600,000, or so much thereof as may be necessary, is appropriated from the Cycle Rider Safety Training Fund, as authorized by Public Act 82-0649, to the Department of Transportation for reimbursement to State and local universities and colleges for Cycle Rider Safety Training Programs.

 

    Section 5.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DAY LABOR

OPERATIONS

  For Personal Services.......................... 4,526,100

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 473,100

  For State Contributions to Social Security ...... 345,100

  For Contractual Services......................... 950,700

  For Travel....................................... 236,300

  For Commodities................................... 99,400

  For Equipment.................................... 194,400

  For Equipment:

   Purchase of Cars and Trucks...................... 74,400

  For Telecommunications Services................... 23,200

  For Operation of Automotive Equipment............ 258,600

    Total                                        $7,181,300

 

    Section 6.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 1, SCHAUMBURG OFFICE

OPERATIONS

  For Personal Services......................... 79,694,900

  For Extra Help................................. 5,942,470

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 8,950,900

  For State Contributions to Social Security .... 6,434,200

  For Contractual Services...................... 14,949,300

  For Travel....................................... 216,100

  For Commodities................................ 5,524,300

  For Equipment.................................. 1,726,600

  For Equipment:

   Purchase of Cars and Trucks................... 2,935,300

  For Telecommunications Services................ 1,633,700

  For Operation of Automotive Equipment.......... 6,425,800

    Total                                      $134,433,570

 

    Section 7.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 2, DIXON OFFICE

OPERATIONS

  For Personal Services......................... 26,036,100

  For Extra Help................................. 2,155,600

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 2,946,600

  For State Contributions to Social Security .... 2,098,500

  For Contractual Services....................... 3,404,900

  For Travel....................................... 216,500

  For Commodities................................ 2,956,300

  For Equipment.................................. 1,135,900

  For Equipment:

   Purchase of Cars and Trucks................... 1,061,600

  For Telecommunications Services.................. 368,800

  For Operation of Automotive Equipment.......... 2,125,100

    Total                                       $44,505,900

 

    Section 8.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 3, OTTAWA OFFICE

OPERATIONS

  For Personal Services......................... 23,527,100

  For Extra Help................................. 2,371,800

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 2,707,000

  For State Contributions to Social Security .... 1,942,500

  For Contractual Services....................... 2,779,400

  For Travel....................................... 105,300

  For Commodities................................ 2,597,700

  For Equipment.................................. 1,220,800

  For Equipment:

   Purchase of Cars and Trucks................... 1,073,100

  For Telecommunications Services.................. 229,300

  For Operation of Automotive Equipment.......... 2,266,200

    Total                                       $40,820,200

 

    Section 9.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 4, PEORIA OFFICE

OPERATIONS

  For Personal Services......................... 20,635,900

  For Extra Help................................. 2,231,000

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 2,390,100

  For State Contributions to Social Security .... 1,706,800

  For Contractual Services....................... 3,745,100

  For Travel....................................... 125,000

  For Commodities................................ 1,203,100

  For Equipment.................................... 941,300

  For Equipment:

   Purchase of Cars and Trucks..................... 781,500

  For Telecommunications Services.................. 237,300

  For Operation of Automotive Equipment.......... 1,523,800

    Total                                       $35,520,900

 

    Section 10.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 5, PARIS OFFICE

OPERATIONS

  For Personal Services......................... 22,332,600

  For Extra Help................................. 1,721,100

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 2,514,200

  For State Contributions to Social Security .... 1,802,600

  For Contractual Services....................... 2,708,100

  For Travel........................................ 80,100

  For Commodities................................ 1,602,200

  For Equipment.................................. 1,019,400

  For Equipment:

   Purchase of Cars and Trucks..................... 814,800

  For Telecommunications Services.................. 142,900

  For Operation of Automotive Equipment.......... 1,838,600

    Total                                       $36,576,600

 

    Section 11.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 6, SPRINGFIELD OFFICE

OPERATIONS

  For Personal Services......................... 24,131,100

  For Extra Help................................. 1,562,500

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 2,685,500

  For State Contributions to Social Security .... 1,917,700

  For Contractual Services....................... 3,097,500

  For Travel....................................... 119,000

  For Commodities................................ 1,760,200

  For Equipment.................................... 842,600

  For Equipment:

   Purchase of Cars and Trucks..................... 740,700

  For Telecommunications Services.................. 234,700

  For Operation of Automotive Equipment.......... 2,312,200

    Total                                       $39,403,700

 

    Section 12.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 7, EFFINGHAM OFFICE

OPERATIONS

  For Personal Services......................... 15,773,300

  For Extra Help................................. 1,160,100

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 1,770,000

  For State Contributions to Social Security .... 1,258,800

  For Contractual Services....................... 1,886,800

  For Travel....................................... 145,700

  For Commodities................................ 1,147,600

  For Equipment.................................... 784,700

  For Equipment:

   Purchase of Cars and Trucks..................... 544,400

  For Telecommunications Services.................. 139,900

  For Operation of Automotive Equipment............ 951,100

    Total                                       $25,562,400

 

    Section 13.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 8, COLLINSVILLE OFFICE

OPERATIONS

  For Personal Services......................... 30,139,600

  For Extra Help................................. 1,926,400

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 3,351,500

  For State Contributions to Social Security .... 2,393,400

  For Contractual Services....................... 5,384,500

  For Travel....................................... 192,500

  For Commodities................................ 1,682,400

  For Equipment.................................. 1,350,600

  For Equipment:

   Purchase of Cars and Trucks................... 1,346,300

  For Telecommunications Services.................. 732,400

  For Operation of Automotive Equipment.......... 1,907,800

    Total                                       $50,407,400

 

    Section 14.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

DISTRICT 9, CARBONDALE OFFICE

OPERATIONS

  For Personal Services......................... 15,582,200

  For Extra Help................................. 1,318,300

  For Employee Retirement Contributions

   Paid by State......................................... 0

  For State Contributions to State

   Employees' Retirement System.................. 1,766,500

  For State Contributions to Social Security .... 1,235,800

  For Contractual Services....................... 2,155,000

  For Travel........................................ 66,200

  For Commodities.................................. 828,800

  For Equipment.................................... 748,700

  For Equipment:

   Purchase of Cars and Trucks..................... 622,800

  For Telecommunications Services.................. 104,500

  For Operation of Automotive Equipment.......... 1,097,600

    Total                                       $25,526,400

 

    Section 15.  The following named sums, or so much thereof as may be necessary, for the objects and purposes hereinafter named, are appropriated to the Department of Transportation for the ordinary and contingent expenses of Aeronautics Operations:

AERONAUTICS DIVISION

OPERATIONS

For Personal Services:

  Payable from the Road Fund..................... 3,446,600

For Employee Retirement Contributions

 Paid by State:

  Payable from the Road Fund............................. 0

For State Contributions to State

 Employees' Retirement System:

  Payable from the Road Fund....................... 360,300

For State Contributions to Social Security:

  Payable from the Road Fund....................... 260,000

For Contractual Services:

  Payable from the Road Fund..................... 3,026,900

  Payable from Air Transportation

   Revolving Fund.................................. 800,000

For Travel:

  Payable from the Road Fund....................... 113,900

For Travel:  Executive Air Transportation

 Expenses of the General Assembly:

  Payable from the General Revenue Fund............ 190,100

For Travel:  Executive Air Transportation

 Expenses of the Governor's Office:

  Payable from the General Revenue Fund............ 181,600

For Commodities:

  Payable from Aeronautics Fund.................... 149,500

  Payable from the Road Fund....................... 472,900

For Equipment:

  Payable from the General Revenue Fund.......... 2,104,900

  Payable from the Road Fund....................... 281,000

For Equipment: Purchase of Cars and Trucks:

  Payable from the Road Fund............................. 0

For Telecommunications Services:

  Payable from the Road Fund........................ 99,000

For Operation of Automotive Equipment:

  Payable from the Road Fund........................ 20,900

    Total                                       $11,507,600

 

REFUNDS

    Section 15a.  The following named amount, or so much thereof as may be necessary, is appropriated from the Aeronautics Fund to the Department of Transportation for the objects and purposes hereinafter named:

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

 

    Section 15a1.  The following named amount, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For Refunds...................................... 35,000

 

AWARDS AND GRANTS

    Section 15b.  The sum of $400,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for such purposes as are described in Sections 31 and 34 of the Illinois Aeronautics Act, as amended.

 

LUMP SUM

    Section 15b1.  The sum of $250,000, or so much thereof as may be necessary, is appropriated from the Tax and Assessment Recovery Fund to the Department of Transportation for payments to the Will County Treasurer for payments of property taxes from rental fees.

 

    Section 16.  The following named sums, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the Road Fund to the Department of Transportation for the ordinary and contingent expenses incident to Public Transportation and Railroads Operations:

PUBLIC TRANSPORTATION DIVISION

OPERATIONS

  For Personal Services.......................... 1,108,900

  For Employee Retirement

   Contributions......................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 115,900

  For State Contributions to Social

   Security......................................... 82,600

  For Contractual Services.......................... 22,300

  For Travel........................................ 17,200

  For Commodities.................................... 2,500

  For Equipment..................................... 12,100

  For Equipment: Purchase of Cars and Trucks........ 18,800

  For Telecommunications Services................... 21,100

  For Operation of Automotive Equipment............. 11,600

    Total                                        $1,413,000

 

LUMP SUMS

    Section 16a.  The sum of $90,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for public transportation technical studies.

 

    Section 16a1.  The sum of $631,000, or so much thereof as may be necessary, is appropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for federal reimbursement of transit studies as provided by the Transportation Equity Act for the 21st Century.

 

    Section 16a2.  The sum of $433,500, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for administrative expenses incurred in connection with the purposes of Section 18 of the Federal Transit Act (Section 5311 of the USC), as amended, provided such amount shall not exceed funds available from the Federal government under that Act.

 

AWARDS AND GRANTS

    Section 16b.  The sum of $350,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for making grants to eligible recipients of funding under Article II of the Downstate Public Transportation Act for the purpose of reimbursing the recipients which provide reduced fares for mass transportation services for students, handicapped persons and the elderly.

 

    Section 16b1.  The sum of $40,000,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for making grants to the Regional Transportation Authority for the purpose of reimbursing the Service Boards for providing reduced fares for mass transportation services for students, handicapped persons, and the elderly to be allocated proportionately among the Service Boards based upon actual costs incurred by each Service Board for such reduced fares.

 

    Section 16b2.  The sum of $186,000,000, or so much thereof as may be necessary, is appropriated from the Public Transportation Fund to the Department of  Transportation for the purpose  stated in Section 4.09 of the  "Regional Transportation  Authority Act", as  amended.

 

    Section 16b3.  The sum of $55,000,000, or so much thereof as may be necessary, is appropriated from the Public Transportation Fund to the Department of Transportation for making a grant to the Regional Transportation Authority for Additional State Assistance to be used for its purposes as provided in the "Regional Transportation Authority Act", but in no event shall this amount exceed the amount provided for in Sections 4.09 (c) and 4.09 (d) with respect to Strategic Capital Improvement bonds issued by the Regional Transportation Authority pursuant to the Regional Transportation Authority Act as amended in 1989.

 

    Section 16b4.  The sum of $93,000,000, or so much thereof as may be necessary, is appropriated from the Public Transportation Fund to the Department of Transportation for making a grant to the Regional Transportation Authority for Additional Financial Assistance to be used for its purposes as provided in the "Regional Transportation Authority Act", but in no event shall this amount exceed the amount provided for in Sections 4.09 (c-5) and 4.09 (d) with respect to Strategic Capital Improvement bonds issued by the Regional Transportation Authority pursuant to the Regional Transportation Authority Act as amended in 1999.

 

    Section 16b5.  The following named sums, or so much thereof as may be necessary, are appropriated from the Downstate Public Transportation Fund to the Department of Transportation for operating assistance grants to provide a portion of the eligible operating expenses for the following carriers for the purposes stated in Article II of Public Act 78-1109, as amended:

URBANIZED AREAS

Champaign-Urbana Mass Transit District......... 11,412,700

Greater Peoria Mass Transit District............. 9,500,600

Rock Island County Metropolitan

  Mass Transit District.......................... 6,690,800

Rockford Mass Transit District................... 6,747,800

Springfield Mass Transit District................ 6,562,100

Bloomington-Normal Public Transit System......... 3,138,500

City of Decatur.................................. 3,138,000

City of Pekin...................................... 471,100

River Valley Metro Mass Transit District......... 1,162,900

City of South Beloit................................ 42,700

City of DeKalb................................... 1,400,000

    Total, Urbanized Areas                        $50,267,200

NON-URBANIZED AREAS

City of Danville................................ 1,166,400

City of Quincy................................... 1,569,000

RIDES Mass Transit District...................... 1,977,300

South Central Illinois Mass Transit District..... 1,879,800

City of Galesburg.................................. 713,400

Jackson County Mass Transit District............... 121,000

City of Macomb..................................... 725,000

Shawnee Mass Transit District...................... 600,000

    Total, Non-Urbanized Areas                     $8,751,900

 

    Section 16b6.  The sum of $17,800,000, or so much thereof as may be necessary, is appropriated from the Metro East Public Transportation Fund to the Department of Transportation for operating assistance grants subject to the provisions of the "Downstate Public Transportation Act", as amended by the 81st General Assembly.

 

    Section 16b7.  The sum of $300,000, or so much thereof as may be necessary, is appropriated from the Downstate Public Transportation Fund to the Department of Transportation for audit adjustments in accordance with Section 15.1 of the "Downstate Public Transportation Act", approved August 9, 1974, as amended.

 

    Section 17.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Transportation Regulatory Fund to the Department of Transportation for the objects and purposes hereinafter named:

RAIL SAFETY

OPERATIONS

  For Personal Services.......................... 1,718,300

  For State Contributions to State

   Employees' Retirement System.................... 179,600

  For State Contributions to Social Security ...... 131,500

  For Group Insurance.............................. 288,000

  For Contractual Services......................... 121,400

  For Travel........................................ 78,000

  For Commodities.................................... 4,700

  For Equipment..................................... 50,000

  For Electronic Data Processing.................... 17,800

  For Telecommunications Services................... 50,000

  For Operation of Automotive Equipment............. 42,700

    Total                                        $2,682,000

 

    Section 90.  In addition to any other funds appropriated for that purpose, the sum of $250,000, or as much as may be unexpended and is allowable under Section 11c of the Prevailing Wage Act is appropriated from the Child Labor, Day and Temporary Labor Services, and Prevailing Wage Enforcement Fund for all costs associated with Section 17.3 of the Child Labor Law.

RAIL PASSENGER

AWARDS AND GRANTS

    Section 18.  The sum of $12,100,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Transportation for funding the State's share of intercity rail passenger service and making necessary expenditures for services and other program improvements.

 

    Section 19.  The following named sums, or so much thereof as may be necessary, are appropriated from the Motor Fuel Tax Fund to the Department of Transportation for the ordinary and contingent expenses incident to the operations and functions of administering the provisions of the "Illinois Highway Code", relating to use of Motor Fuel Tax Funds by the counties, municipalities, road districts and townships:

MOTOR FUEL TAX ADMINISTRATION

OPERATIONS

  For Personal Services.......................... 6,035,300

  For Employee Retirement

   Contributions Paid by State........................... 0

  For State Contributions to State

   Employees' Retirement System.................... 630,900

  For State Contributions to Social Security ...... 440,000

  For Group Insurance............................ 1,056,000

  For Contractual Services.......................... 63,400

  For Travel........................................ 92,300

  For Commodities.................................... 7,500

  For Printing...................................... 38,000

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

  For Telecommunications Services................... 23,200

  For Operation of Automotive Equipment.............. 7,400

    Total                                        $8,406,800

 

AWARDS AND GRANTS

    Section 19a.  The following named sums, or so much thereof as are available for distribution in accordance with Section 8 of the Motor Fuel Tax Law, are appropriated from the Motor Fuel Tax Fund to the Department of Transportation for the purposes stated:

DISTRIBUTIVE ITEMS

  For apportioning, allotting, and paying

   as provided by law:

    To Counties................................ 232,300,000

    To Municipalities.......................... 325,800,000

    To Counties for Distribution to

     Road Districts............................ 105,500,000

    Total                                      $663,600,000

 

    Section 20.  The following named sums, or so much thereof as may be necessary for the agencies hereinafter named, are appropriated from the Road Fund to the Department of Transportation for implementation of the Commercial Motor Vehicle Safety Program under provisions of Title IV of the Surface Transportation Assistance Act of 1982, as amended by the Transportation Equity Act for the 21st Century:

FOR THE DIVISION OF TRAFFIC SAFETY

  For Personal Services........................... 661,600

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 69,150

  For State Contributions to Social Security ....... 49,500

  For Contractual Services......................... 331,500

  For Travel........................................ 73,900

  For Commodities................................... 24,000

  For Printing...................................... 34,300

  For Equipment..................................... 47,600

  For Telecommunications Services.................... 1,900

  For Operation of Automotive Equipment.............. 4,900

    Total                                        $1,298,350

FOR THE DEPARTMENT OF STATE POLICE

  For Personal Services......................... 4,377,600

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 457,500

  For State Contributions to Social Security ....... 68,500

  For Contractual Services......................... 457,100

  For Travel....................................... 325,800

  For Commodities.................................. 249,700

  For Printing...................................... 89,800

  For Equipment.................................... 618,300

  For Equipment:

   Purchase of Cars and Trucks..................... 595,100

  For Telecommunications Services.................. 243,300

  For Operation of Automotive Equipment............ 309,100

    Total                                        $7,791,800

 

    Section 21.  The following named sums, or so much thereof as may be necessary for the agencies hereinafter named, are appropriated from the Road Fund to the Department of Transportation for implementation of the Illinois Highway Safety Program under provisions of the National Highway Safety Act of 1966, as amended:

FOR THE SECRETARY OF STATE

  For Personal Services........................... 165,300

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 17,300

  For State Contributions to Social Security ....... 20,300

  For Contractual Services.......................... 76,000

  For Travel........................................ 12,000

  For Commodities................................... 18,500

  For Printing...................................... 47,700

  For Equipment..................................... 28,500

  For Operation of Automotive Equipment............. 26,000

    Total                                          $411,600

FOR THE DEPARTMENT OF STATE POLICE

  For Personal Services......................... 2,267,300

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 237,000

  For State Contributions to Social Security ....... 32,200

  For Contractual Services.......................... 17,700

  For Travel........................................ 10,200

  For Commodities................................... 12,600

  For Equipment..................................... 14,000

  For Operation of Auto Equipment.................. 150,500

    Total                                        $2,741,500

FOR THE DIVISION OF TRAFFIC SAFETY

  For Personal Services......................... 1,200,600

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For State Contributions to State Employees'

   Retirement System............................... 125,500

  For State Contributions to Social Security ....... 89,100

  For Contractual Services....................... 3,034,500

  For Travel........................................ 79,900

  For Commodities.................................. 192,300

  For Printing..................................... 174,000

  For Equipment..................................... 15,500

  For Telecommunications Services.................... 2,200

    Total                                        $4,913,600

FOR THE DEPARTMENT OF PUBLIC HEALTH

  For Contractual Services........................ 108,900

  For Travel......................................... 1,000

  For Commodities.................................... 1,600

    Total                                          $111,500

FOR THE ILLINOIS LAW ENFORCEMENT

STANDARDS TRAINING BOARD

  For Contractual Services........................ 120,000

  For Printing....................................... 5,000

    Total                                          $125,000

FOR LOCAL GOVERNMENTS

For local highway safety projects by

    county and municipal governments,

    state and private universities and other

    private entities............................. 5,269,200

 

    Section 22.  The following named sums, or so much thereof as may be necessary for the agencies hereafter named, are appropriated from the Road Fund to the Department of Transportation for implementation of the Alcohol Traffic Safety Programs of Title XXIII of the Surface Transportation Assistance Act of 1982, as amended by the Transportation Equity Act for the 21st Century:

 FOR THE ADMINISTRATIVE OFFICE OF THE ILLINOIS COURTS (410)

  For Contractual Services......................... 13,000

  For Travel........................................ 19,000

    Total                                           $32,000

FOR THE DIVISION OF TRAFFIC SAFETY (410)

  For Contractual Services.............................. 0

  For Travel......................................... 3,100

  For Commodities.................................. 142,300

  For Printing..................................... 108,900

  For Equipment.................................... 424,000

    Total                                          $678,300

FOR THE SECRETARY OF STATE (410)

  For Personal Services............................ 32,000

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For the State Contribution to State

   Employees' Retirement System...................... 3,300

  For the State Contribution to Social

   Security............................................ 500

  For Contractual Services.......................... 28,100

  For Travel......................................... 3,000

  For Commodities................................... 70,100

  For Printing...................................... 59,500

  For Equipment..................................... 42,400

  For Telecommunication Services..................... 1,000

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

    Total                                          $241,700

FOR THE DEPARTMENT OF STATE POLICE (410)

  For Personal Services............................ 841,500

  For Employee Retirement Contributions

   Paid by the State..................................... 0

  For the State Contribution to State

   Employees' Retirement System..................... 88,000

  For the State Contribution to Social

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

  For Commodities.................................... 3,500

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

  For Operation of Auto Equipment................... 58,200

    Total                                        $1,002,100

FOR THE ILLINOIS LAW ENFORCEMENT

STANDARDS TRAINING BOARD (410)

  For Contractual Services........................ 220,000

  For Printing....................................... 5,000

    Total                                          $225,000

FOR LOCAL GOVERNMENTS

  For local highway safety projects by

    county and municipal governments,

    state and private universities and other

    private entities............................ $1,593,200

 

    Section 23.  The following named sums or so much thereof as may be necessary for the agencies hereafter named, are appropriated from the Road Fund to the Department of Transportation for implementation of the Section 163 Impaired Driving Incentive Grant Program (.08 Alcohol) as authorized by the Transportation Equity Act for the 21st Century:

FOR THE DIVISION OF TRAFFIC SAFETY (.08)

  For Contractual Services...................... 5,538,400

  For Commodities................................... 22,000

  For Equipment.................................... 262,000

  For Telecommunications............................ 27,500

    Total                                        $5,849,900

FOR THE DEPARTMENT OF STATE POLICE (.08)

  For Equipment.................................... 63,600

    Total                                           $63,600

      FOR THE ILLINOIS LIQUOR CONTROL COMMISSION (.08)

  For Contractual Services........................ 146,500

  For Travel........................................ 11,000

  For Commodities.................................... 9,500

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

  For Telecommunications............................. 2,500

    Total                                          $220,500

FOR LOCAL GOVERNMENTS (.08)

  For local highway safety projects by

    county and municipal governments,

    state and private universities and other

    private entities............................ 1,311,400

 

    Section 24.  The sum of $409,400, or so much thereof as may be necessary is appropriated from the General Revenue Fund to the Department of Transportation for the expenses of an emissions testing/inspection program for diesel powered vehicles in the counties of Cook, DuPage, Lake, Kane, McHenry, Will, Madison, St. Clair and Monroe and the townships of Aux Sable, Goose Lake and Oswego.

 

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

Section 15b       GRF Aeronautics

Section 16b       GRF Reduced Fares Downstate

Section 16b1      GRF Reduced Fares RTA

Section 16b3      SCIP Debt Service I

Section 16b4      SCIP Debt Service II

Section 18        GRF Rail Passenger

 

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

 

ARTICLE 11

CENTRAL ADMINISTRATION AND PLANNING

LUMP SUMS

 

    Section 1a. The sum of $1,174,710 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in the line item, "For Planning, Research and Development Purposes" for the Central Offices, Administration and Planning in Article 8, Section 1a and Article 8A, Section 1a of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 1a1. The sum of $2,080,646, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation concerning Asbestos Abatement heretofore made in Article 8, Section 1a and Article 8A, Section 1a1 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 1a2. The sum of $25,677,356, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made for metropolitan planning in Article 8 Section 1a and Article 8A, Section 1a2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 1a3. The sum of $4,243,359, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in Article 8, Section 1a and Article 8A, Section 1a3 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for metropolitan planning and research purposes.

 

    Section 1a4. The sum of $2,082,882, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation  heretofore made in Article 8A, Section 1a4 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for Phase II of the ADVANCE demonstration project for the state share as provided by law.

 

    Section 1a5.  The sum of $3,535,0702, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 1a5 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for Phase II of the ADVANCE demonstration project for the federal and private share as provided by law.

 

    Section 1a6. The sum of $19,857,705, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in Article 8, Section 1a and Article 8A, Section 1a6 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the federal share of the IDOT ITS program.

 

    Section 1a7. The sum of $15,895,038, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in Article 8, Section 1a and Article 8A, Section 1a7 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the state share of the IDOT ITS program.

 

AWARDS AND GRANTS

    Section 1b. The sum of $40,312,320, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in Article 8, Section 1b and Article 8A, Section 1b of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for Enhancement and Congestion Mitigation and Air Quality Projects.

 

    Section 1b1. The sum of $0, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning the Interstate 355 Southern Extension Corridor Planning Council heretofore made in Article 8A Section 1b1 of Public Act 93-91, as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

    Section 1b2. The sum of $0, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in Article 8, Section 1b and Article 8A, Section 1b2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for grants to Illinois Universities for applied research on Transportation. 

 

CENTRAL OFFICE, DIVISION OF HIGHWAYS

LUMP SUM

    Section 2. The sum of $560,422, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation concerning vehicle damages heretofore made in Article 8, Section 4a and Article 8A, Section 3 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 2a.  The sum of $12,270,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 27 of Public Act 93-91, as amended by the Act, is reappropriated from the Federal Civil Preparedness Administrative Fund to the Illinois Department of Transportation for costs associated with Illinois Terrorism Task Force approved purchases for homeland security.

 

AWARDS AND GRANTS

    Section 2a1. The sum of $14,905,339, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriations and reappropriation heretofore made for Local Traffic Signal Maintenance Agreements and City, County and other State Maintenance Agreements in Article 8, Section 4b1 and Article 8A, Section 3a1 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

DIVISION OF TRAFFIC SAFETY

AWARDS AND GRANTS

    Section 3. The sum of $3,181,284, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made, in Article 8, Section 5b1 and Article 8A, Section 4 of Public Act 93-91, as amended, is reappropriated from the Cycle Rider Safety Training Fund to the Department of Transportation for the same purposes.

 

DIVISION OF AERONAUTICS

AWARDS AND GRANTS

    Section 4. The sum of $1,513,259, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation concerning airport improvements heretofore made in Article 8, Section 18b2 and Article 8A, Section 6a2 of Public Act 93-91, as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

HIGHWAY SAFETY PROGRAM – DIVISION OF TRAFFIC SAFETY

AWARDS AND GRANTS

    Section 5. The sum of $10,444,962, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation concerning Highway Safety Grants heretofore made in Article 8, Section 23 and Article 8A, Section 7a of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the purpose of Local Government Projects by Municipalities and Counties.

 

    Section 5a. The sum of $2,012,497, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation concerning Section 163 Impaired Driving Incentive Grants (.08 alcohol) heretofore made in Article 8, Section 25 and Article 8A, Section 7a1 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the purpose of Local Government Projects by Municipalities and Counties.

 

    Section 5a1. The sum of $3,785,946, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004 from the appropriation and reappropriation concerning Alcohol Traffic Safety Grants (410)  heretofore made in Article 8, Section 24 and Article 8A, Section 7a2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the purpose of Local Government Projects by Municipalities and Counties.

 

PUBLIC TRANSPORTATION DIVISION

LUMP SUMS

    Section 6. The sum of $268,817, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made for public transportation technical studies in Article 8, Section 19a and Article 8A, Section 8a of Public Act 93-91, as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

    Section 6a. The sum of $1,831,499, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation and reappropriation heretofore made in Article 8, Section 19a1 and Article 8A, Section 8a1 of Public Act 93-91, as amended, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for federal reimbursement of transit studies as provided by the Transportation Equity Act for the 21st Century.

 

Section 7. The sum of $0, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 14a11, of Public Act 93-91, as amended, is reappropriated from the General Revenue Fund to the Illinois Department of Transportation for a grant to the University of Illinois at Chicago’s Urban Transportation Center to study the PACE bus system in DuPage County.

 

    Section 8. No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in:

 

Section 4       GRF Aeronautics

 

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

 

ARTICLE 12

 

    Section 5.  The sum of $1,420,700, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Southwestern Illinois Development Authority for replenishment of a draw on the debt service reserve fund backing bonds issued on behalf of Spectrulite Consortium Inc.

 

    Section 10.  The sum of $644,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Southwestern Illinois Development Authority for replenishment of a draw on the debt service reserve fund backing bonds issued on behalf of Waste Recovery-Illinois.

 

ARTICLE 13

 

    Section 5.  The sum of $512,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Upper Illinois River Valley Development Authority for replenishment of a draw on the Debt Service Reserve Fund backing bonds issued on behalf of Waste Recovery - Illinois.

 

ARTICLE 14

 

    Section 1.  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:

MANAGEMENT AND ADMINISTRATIVE SUPPORT

Payable from General Revenue Fund:

  For Personal Services............................ 614,550

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System.................... 64,300

  For State Contributions to

    Social Security................................. 47,050

  For Contractual Services......................... 384,000

  For Travel......................................... 4,000

  For Commodities.................................... 3,600

  For Printing....................................... 7,900

  For Equipment...................................... 7,200

  For Electronic Data Processing.................... 20,400

  For Telecommunications............................ 15,800

  For Operation of Auto Equipment.................... 5,500

  For Training and Education....................... 214,900

    Total                                        $1,389,200

Payable from Radiation Protection Fund:

  For Personal Services............................ 186,900

  For Employee Retirement Contributions

    Paid by Employer..................................... 0  For State Contributions to State

    Employees' Retirement System.................... 19,600

  For State Contributions to

    Social Security................................. 14,300

  For Group Insurance............................... 48,000

  For Contractual Services......................... 220,800

  For Travel........................................ 10,000

  For Commodities.................................... 5,400

  For Printing...................................... 51,500

  For Electronic Data Processing.................... 42,700

  For Telecommunications Services................... 11,700

  For Operation of Auto Equipment................... 16,100

    Total                                          $627,000

Payable from Nuclear Safety Emergency

 Preparedness Fund:

  For Personal Services.......................... 2,406,650

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System................... 251,600

  For State Contributions to

    Social Security................................ 184,150

  For Group Insurance.............................. 540,000

  For Contractual Services......................... 762,200

  For Travel........................................ 18,300

  For Commodities................................... 54,500

  For Printing....................................... 2,000

  For Equipment..................................... 61,500

  For Electronic Data Processing.................... 32,300

  For Telecommunications Services................... 26,200

  For Operation of Auto Equipment................... 31,250

    Total                                        $4,370,650

Payable from Nuclear Civil Protection Planning Fund:

  For Federal Projects............................. 300,000

Payable from the Emergency Management

  Preparedness Fund:

  For an Emergency Management

    Preparedness Program......................... 5,675,000

Payable from Federal Civil Preparedness

  Administrative Fund:

  For Training and Education....................... 717,300

  For Terrorism Preparedness and

    Training costs in the current

    and prior years............................ 281,093,000

    Total                                      $287,785,300

 

    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:

  For disaster relief costs incurred

    in current and prior years..................... 300,000

   

    Section 2.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated  to the Illinois Emergency Management Agency for grants to local emergency organizations for objects and purposes hereinafter named:

 

Payable from the Federal Hardware

 Assistance Fund:

  For Communications and Warning Systems........... 500,000

  For Emergency Operating Centers.................. 500,000

Payable from the Federal Civil Prepared-

 ness Administrative Fund:

  For Urban Search and Rescue.................... 2,000,000

    Total                                        $3,000,000

 

    Section 3.  The amount of $611,641, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Public Act 93-68, Article 1, Section 8, is reappropriated from the General Revenue Fund to the Illinois Emergency Management Agency for providing services and for costs associated with homeland security.

 

    Section 4.  The sum of $63,300, or so much thereof as may be necessary, is appropriated from the Radiation Protection Fund to the Illinois Emergency Management Agency for licensing facilities where radioactive uranium and thorium mill tailings are generated or located, and related costs for regulating the decontamination and decommissioning of such facilities and for identification, decontamination and environmental monitoring of unlicensed properties contaminated with such radioactive mill tailings.

 

    Section 5.  The amount of $100,000, or so much thereof as may be necessary, is appropriated to the Illinois Emergency Management Agency from the September 11th Fund for grants, contracts and administrative expenses pursuant to 625 ILCS 5/3-653, including prior year costs.

 

    Section 6.  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:

OPERATIONS

Payable from General Revenue Fund:

  For Personal Services.......................... 1,184,750

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State Employees'

    Retirement System.............................. 123,900

  For State Contributions to Social Security ....... 90,650

  For Contractual Services.......................... 88,200

  For Travel......................................... 6,200

  For Commodities.................................... 2,900

  For Printing....................................... 4,700

  For Equipment..................................... 40,000

  For Electronic Data Processing.................... 11,000

  For Telecommunications........................... 198,500

  For Operation of Auto Equipment................... 23,200

    Total                                        $1,774,000

Payable from Nuclear Safety Emergency

  Preparedness Fund:

  For Personal Services............................ 810,300

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State Employees'

    Retirement System............................... 84,700

  For State Contributions to Social Security ....... 62,000

  For Group Insurance.............................. 240,000

  For Contractual Services......................... 373,900

  For Travel........................................ 39,500

  For Commodities................................... 54,300

  For Printing....................................... 4,000

  For Equipment..................................... 84,500

  For Electronic Data Processing..................... 7,000

  For Telecommunications........................... 383,500

  For Operation of Auto Equipment................... 18,000

    Total                                        $2,161,700

Payable from the Emergency Management

  Preparedness Fund:

  For an Emergency Management

    Preparedness Program......................... 1,500,000

Payable from Federal Civil Preparedness

  Administrative Fund:

  For Training and Education....................... 350,000

 

    Section 7.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Illinois Emergency Management Agency for the objects and purposes hereinafter enumerated:

RADIATION SAFETY

Payable from Radiation Protection Fund:

  For Personal Services.......................... 2,634,000

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System................... 275,400

  For State Contributions to

    Social Security................................ 201,500

  For Group Insurance.............................. 516,000

  For Contractual Services......................... 211,300

  For Travel....................................... 100,000

  For Commodities................................... 13,200

  For Equipment..................................... 53,700

  For Electronic Data Processing.................... 42,700

  For Telecommunications............................ 11,700

  For Operation of Auto............................. 37,000

  For Refunds...................................... 100,000

    Total                                        $4,196,500

 

    Section 8.  The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Radiation Protection Fund to the Illinois Emergency Management Agency for reimbursing other governmental agencies for their assistance in responding to radiological emergencies.

 

    Section 9.  The sum of $250,000, or so much thereof as may be necessary, is appropriated from the Radiation Protection Fund to the Illinois Emergency Management Agency for recovery and remediation of radioactive materials and contaminated facilities or properties when such expenses cannot be paid by a responsible person or an available surety.

 

    Section 10.  The amount of $380,000, or so much thereof as may be necessary, is appropriated from the Indoor Radon Mitigation Fund to the Illinois Emergency Management Agency for expenses relating to the federally funded State Indoor Radon Abatement Program.

 

    Section 11.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Illinois Emergency Management Agency for the objects and purposes hereinafter enumerated:

NUCLEAR FACILITY SAFETY

Payable from Nuclear Safety Emergency

 Preparedness Fund:

  For Personal Services.......................... 3,660,150

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System................... 382,600

  For State Contributions to

    Social Security................................ 280,000

  For Group Insurance.............................. 612,000

  For Contractual Services......................... 651,800

  For Travel....................................... 101,100

  For Commodities.................................. 135,300

  For Printing....................................... 4,000

  For Equipment.................................... 152,700

  For Electronic Data Processing................... 397,900

  For Telecommunications Services.................. 383,000

  For Operation of Auto............................. 14,500

    Total                                        $6,775,050

 

    Section 12.  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 ASSISTANCE AND PREPAREDNESS

Payable from General Revenue Fund:

  For Personal Services............................ 410,400

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees’ Retirement System.................... 42,900

  For State Contributions to Social

    Security........................................ 31,400

  For Commodities.................................... 1,000

  For Printing....................................... 1,400

  For Electronic Data Processing..................... 5,300

  For Telecommunications Services.................... 8,500

  For Operation of Automotive Equipment.............. 6,800

  State Share of Individual and Household

    Grant Program for Disaster

    Declarations:

    In current year............................... 312,200

    In prior years................................. 200,000

    Total                                        $1,019,900

Payable from Nuclear Safety Emergency Preparedness Fund:

  For Personal Services............................ 437,050

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees’ Retirement System.................... 45,700

  For State Contributions to Social

    Security........................................ 33,450

  For Group Insurance.............................. 108,000

  For Contractual Services.......................... 82,250

  For Travel........................................ 38,000

  For Commodities................................... 11,850

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

  For Equipment..................................... 20,800

  For Electronic Data Processing..................... 5,000

  For Telecommunications Services.................... 7,500

  For Operation of Automotive Equipment............. 14,000

  For compensation to local governments

    for expenses attributable to implementation

    and maintenance of plans and programs

    authorized by the Nuclear Safety

    Preparedness Act including expenses

    incurred prior to July 1, 1997................. 650,000

    Total                                        $1,459,600

 

Payable from the Federal Aid Disaster Fund:

  Federal Share of Individual and Household

    Program for Disaster Declarations:

    In Current Year............................. 21,000,000

    In prior years............................... 1,500,000

  For State administration of the

    Individual and Household Grant Program....... 1,000,000

  For Federal Disaster Declarations:

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

    In Current Year............................. 30,000,000

  For State administration of the

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

  Disaster Relief - Hazard Mitigation

    in Current Year.............................. 8,000,000

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

  For State administration of the

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

    Total                                      $143,500,000

Payable from the Emergency Planning and Training Fund:

  For Activities as a Result of the Illinois

    Emergency Planning and Community Right

    To Know Act.................................... 150,000

Payable from the Nuclear Civil Protection Planning Fund:

  For Federal Projects............................. 500,000

  For Flood Mitigation Assistance................ 3,000,000

    Total                                        $3,500,000

Payable from the Federal Civil Preparedness Administrative Fund:

  For Training and Education..................... 1,194,000

Payable from the Emergency Management Preparedness Fund:

  For Emergency Management Preparedness.......... 3,025,000

 

    Section 13.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Illinois Emergency Management Agency for the objects and purposes hereinafter enumerated:

ENVIRONMENTAL SAFETY

Payable from Nuclear Safety Emergency

 Preparedness Fund:

  For Personal Services.......................... 1,567,900

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to State

    Employees' Retirement System................... 163,900

  For State Contributions to

    Social Security................................ 119,950

  For Group Insurance.............................. 300,000

  For Contractual Services......................... 421,600

  For Travel........................................ 41,500

  For Commodities................................... 72,100

  For Printing....................................... 4,000

  For Equipment.................................... 146,200

  For Electronic Data Processing.................... 17,500

  For Telecommunications............................ 28,000

  For Operation of Auto............................. 14,500

    Total                                        $2,897,150

Payable from Low-Level Radioactive Waste

  Facility Development and Operation Fund:

  For Refunds for Overpayments made by Low-

    Level Waste Generators.......................... $5,000

 

    Section 14.  The sum of $1,865,450, or so much thereof as may be necessary, is appropriated from the Radiation Protection Fund to the Illinois Emergency Management Agency for licensing facilities where radioactive uranium and thorium mill tailings are generated or located, and related costs for regulating the decontamination and decommissioning of such facilities and for identification, decontamination and environmental monitoring of unlicensed properties contaminated with such radioactive mill tailings.

 

    Section 15. The sum of $150,000, or so much thereof as may be necessary, is appropriated from the Radiation Protection Fund to the Illinois Emergency Management Agency to conduct studies, investigations, training, research and demonstrations relating to the control or measurement of radiation, the effects on health of exposure to radiation, and related problems under funding agreements with the Federal Government, interstate agencies or other sources.

 

    Section 16.  The sum of $713,700, or so much thereof as may be necessary, is appropriated from the Radiation Protection Fund to the Illinois Emergency Management Agency for the purpose of funding costs related to environmental cleanup of the Ottawa Radiation Areas Superfund Project under cooperative agreements with the Federal Government.

 

    Section 17.  The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Nuclear Safety Emergency Preparedness Fund to the Illinois Emergency Management Agency for related training and travel expenses and to reimburse the Illinois State Police and the Illinois Commerce Commission for costs incurred for activities related to inspecting and escorting shipments of spent nuclear fuel, high-level radioactive waste, and transuranic waste in Illinois as provided under the rules of the Agency.

 

    Section 18.  The sum of $200,000, or so much thereof as may be necessary, is appropriated from the Sheffield Agreed Order Fund to the Illinois Emergency Management Agency for the care, maintenance, monitoring, testing, remediation and insurance of the low-level radioactive waste disposal site near Sheffield, Illinois.

 

    Section 19.  The sum of $828,550, or so much thereof as may be necessary, is appropriated from the Low-Level Radioactive Waste Facility Development and Operation Fund to the Illinois Emergency Management Agency for use in accordance with Section 14(a) of the Illinois Low-Level Radioactive Waste Management Act for costs related to establishing a low-level radioactive waste disposal facility.

 

    Section 20.  Certain Federal receipts shall be placed in the General Revenue Fund, pursuant to law and regulation, as reimbursement for the Federal share of expenditures made from General Revenue appropriations in Sections 1, 6 and 12 of this Article.  Other Federal receipts shall be paid into the proper trust fund and shall be available for expenditure only pursuant to the trust fund appropriations in Sections 1, 2, 6, 10 and 12 of this Article or suitable appropriation made by the General Assembly.

 

ARTICLE 15

 

    Section 1.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the ordinary and contingent expenses of the Office of the State Fire Marshal, as follows:

GENERAL OFFICE

Payable from the Fire Prevention Fund:

  For Personal Services.......................... 6,664,400

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to the State

    Employees' Retirement System................... 696,600

  For State Contributions to Social Security....... 446,600

  For Group Insurance............................ 1,560,000

  For Contractual Services......................... 726,000

  For Travel....................................... 100,000

  For Commodities................................... 50,000

  For Printing...................................... 40,900

  For Equipment.................................... 410,000

  For Electronic Data Processing................... 240,000

  For Telecommunications........................... 196,700

  For Operation of Auto Equipment.................. 260,000

  For Refunds........................................ 4,000

    Total                                       $11,395,200

 

Payable from the Underground Storage Tank Fund:

  For Personal Services.......................... 1,334,100

  For Employee Retirement Contributions

    Paid by Employer..................................... 0

  For State Contributions to the State

    Employees' Retirement System................... 139,500

  For State Contributions to Social Security....... 102,100

  For Group Insurance.............................. 319,000

  For Contractual Services......................... 235,900

  For Travel........................................ 23,500

  For Commodities.................................... 6,000

  For Printing....................................... 2,600

  For Equipment...................................... 9,500

  For Electronic Data Processing................... 115,000

  For Telecommunications............................ 47,000

  For Operation of Auto Equipment................... 60,000

  For Refunds....................................... 50,000

  For Expenses of Hearing Officers.................. 75,000

    Total                                        $2,519,200

 

    Section 2.  The sum of $375,000, or so much thereof as may be necessary, is appropriated from the Fire Prevention Fund to the Office of the State Fire Marshal for administrative expenses of the Elevator Safety and Regulation Act.

 

    Section 3.  The sum of $50,000, or so much thereof as may be necessary, is appropriated from the Illinois Firefighters' Memorial Fund to the Office of the State Fire Marshal for expenses related to the maintenance of the Illinois Firefighters' Memorial, holding the annual Fallen Firefighter Ceremony, and other expenses as allowed under Public Act 91-0832.

 

    Section 4.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated to the Office of the State Fire Marshal as follows:

Payable from the Fire Prevention Fund:

  For Fire Prevention Training...................... 45,000

  For Expenses of Fire Prevention

    Awareness Program............................... 75,000

  For Expenses of Arson Education

    and Seminars.................................... 23,500

  For expenses of new fire chiefs training.......... 25,000

  For expenses of hearing officers.................. 25,000

    Total                                          $193,500

Payable from the Fire Prevention Division Fund:

  For Expenses of the U.S. Resource

    Conservation and Recovery Act

    Underground Storage Program.................... 299,800

Payable from the Emergency Response

  Reimbursement Fund:

  For Hazardous Material Emergency

    Response Reimbursement.......................... 5,000

 

    Section 5.  The following named amounts, or so much thereof as may be necessary, respectively, are appropriated for the ordinary and contingent expenses of the Office of the State Fire Marshal, as follows:

GRANTS

Payable from the Fire Prevention Fund:

  For Chicago Fire Department Training Program... 1,646,900

  For payment to local governmental agencies

    which participate in the State Training

    Programs....................................... 550,000

  For Regional Training Grants..................... 300,000

  For payments in accordance with

    Public Act 93-0169.............................. 45,000

    Total                                        $2,541,900

 

    Section 6.  The sum of $2,000, or so much thereof as may be necessary, is appropriated from the Fire Prevention Fund to the Office of the State Fire Marshal for grants available for the development of new fire districts.

 

    Section 7.  The sum of $550,000, or so much thereof as may be necessary, is appropriated from the Underground Storage tank Fund to the Environmental Protection Agency for a grant to the City of Chicago for Administrative Costs incurred as a result of the State’s Underground Storage Program.

 

ARTICLE 16

 

    Section 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........................... 230,100

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 24,100

  For State Contributions to

   Social Security.................................. 17,700

  For Contractual Services......................... 221,300

  For Travel......................................... 6,100

  For Commodities.................................... 4,000

  For Printing....................................... 4,000

  For Equipment...................................... 1,300

  For Electronic Data Processing..................... 5,300

  For Telecommunications Services.................... 8,000

  For Operation of Automotive Equipment.............. 2,000

    Total                                          $523,900

 

ARTICLE 17

 

    Section 5.  The sum of $250,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Finance Authority for the purpose of interest buy-back as authorized under the Illinois Farm Development Act.

 

ARTICLE 18

 

    Section 1.  The following named amounts, 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 Illinois Criminal Justice Information Authority:

OPERATIONS

Payable from General Revenue Fund:

  For Personal Services......................... 1,332,600

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 139,300

  For State Contributions to

   Social Security................................. 105,000

  For Contractual Services......................... 679,150

  For Travel........................................ 17,000

  For Commodities................................... 16,100

  For Printing...................................... 17,000

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

  For Electronic Data Processing................... 274,100

  For Telecommunications Services................... 85,650

  For Operation of Auto Equipment.................... 7,000

    Total                                        $2,675,900

Payable from Criminal Justice Information

 Systems Trust Fund:

  For Personal Services........................... 879,300

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 91,900

  For State Contributions to

   Social Security.................................. 68,000

  For Group Insurance.............................. 204,000

  For Contractual Services......................... 233,650

  For Travel........................................ 14,150

  For Commodities.................................... 6,100

  For Printing....................................... 4,000

  For Equipment...................................... 4,500

  For Electronic Data Processing................. 1,177,450

  For Telecommunications Services.................. 241,000

  For Operation of Auto Equipment.................... 7,400

    Total                                        $2,931,450

 

    Section 2.  The sum of $39,579,300, or so much thereof as may be necessary, is appropriated from the Criminal Justice Trust Fund to the Illinois Criminal Justice Information Authority for awards and grants to local units of government and non-profit organizations.

 

    Section 3.  The following named sums, or so much thereof as may be necessary, are appropriated to the Illinois Criminal Justice Information Authority for awards and grants to state agencies:

Payable from the General Revenue Fund........... 1,428,650

Payable from the Criminal Justice

 Trust Fund..................................... 13,359,600

    Total                                       $14,788,250

 

    Section 4.  The following named sums, or so much thereof as needed, are appropriated to the Illinois Criminal Justice Information Authority for activities undertaken in support of federal assistance programs administered by units of state and local government and non-profit organizations:

Payable from the General Revenue Fund............. 830,000

Payable from the Criminal Justice

 Trust Fund...................................... 5,600,000

    Total                                        $6,430,000

 

    Section 5.  The following named amounts, or so much thereof as may be necessary, are appropriated to the Illinois Criminal Justice Information Authority for awards and grants and other monies received from federal agencies, from other units of government, and from private/not-for-profit organizations for activities undertaken in support of investigating issues in criminal justice and for undertaking other criminal justice information projects:

Payable from the Criminal Justice

 Trust Fund..................................... 1,700,000

Payable from the Criminal Justice

 Information Projects Fund......................... 200,000

    Total                                        $1,900,000

 

    Section 6.  The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Illinois Criminal Justice Information Authority for awards, grants and operational support to implement the Motor Vehicle Theft Prevention Act:

Payable from the Motor Vehicle

  Theft Prevention Trust Fund:

  For Personal Services........................... 203,950

  For other Ordinary and Contingent Expenses ...... 206,000

  For Awards and Grants to federal

   and state agencies, units of local

   government, corporations, and

   neighborhood, community and business

   organizations to include operational

   activities and programs undertaken

   by the Authority in support of the

   Motor Vehicle Theft Prevention Act............ 7,000,000

  For Refunds....................................... 50,000

    Total                                        $7,459,950

 

    Section 7.  The sum of $40,000,000, or so much thereof as may be necessary, is appropriated from the Criminal Justice Trust Fund to the Illinois Criminal Justice Information Authority for awards and grants to state agencies and units of local government, to include operational activities and programs undertaken by the Authority, in support of Federal Crime Bill Initiatives.

 

    Section 8.  The following amount, or so much thereof as may be necessary, is appropriated to the Illinois Criminal Justice Information Authority for awards and grants to state agencies and units of local government, including operational expenses of the Authority in support of the Juvenile Accountability Incentive Block Grant program:

Payable from the Juvenile Accountability

 Incentive Block Grant Trust Fund............... 17,540,000

 

ARTICLE 19

 

    Section 1.  The following named amounts, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated from the Industrial Commission Operations Fund to the Industrial Commission:

GENERAL OFFICE

  For Personal Services:

   Regular Positions............................. 4,491,850

   Arbitrators................................... 3,422,700

   Court Reporters............................... 1,245,150

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System.................... 469,500

  For Arbitrators' Retirement System............... 357,800

  For Court Reporters' Retirement System........... 130,150

  For State Contributions to

   Social Security................................. 700,750

For Group Insurance.............................. 2,160,000

For Contractual Services........................... 397,000

  For Travel....................................... 224,000

  For Commodities................................... 45,500

  For Printing...................................... 35,000

  For Equipment..................................... 50,000

  For Telecommunications Services.................. 101,450

    Total                                       $13,830,850

ELECTRONIC DATA PROCESSING

  For Personal Services............................ 653,950

  For State Contributions to State

   Employees' Retirement System..................... 68,400

  For State Contributions to

   Social Security.................................. 50,050

  For Contractual Services......................... 142,750

  For Travel......................................... 2,000

  For Commodities.................................... 1,500

  For Equipment..................................... 11,000

  For Printing....................................... 2,000

  For Telecommunications Services................... 56,500

    Total                                          $988,150

 

    Section 2.  In addition to the amounts heretofore appropriated, the following named amount, or so much thereof as may be necessary, is appropriated from the Industrial Commission Operations Fund to the Industrial Commission for the project hereinafter enumerated:

PEORIA OFFICE

For rent, staffing and equipment to operate

  an office in Peoria............................. $132,300

 

    Section 3.  The amount of $119,800, or so much thereof as may be necessary, is appropriated from the Industrial Commission Operations Fund to the Industrial Commission for printing and distribution of Workers' Compensation handbooks containing information as to the rights and obligations of employers.

 

    Section 4.  The amount of $279,300, or so much thereof as may be necessary, is appropriated from the Industrial Commission Operations Fund to the Industrial Commission for the implementation and operation of an accident reporting system.

 

    Section 5.  The sum of $120,600, or so much thereof as may be necessary, is appropriated from the Industrial Commission Operations Fund to the Industrial Commission for all costs associated with the establishment and operation of a satellite office in the Metro East area.

 

ARTICLE 20

 

    Section 1.  The following named amounts, 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 Law Enforcement Training Standards Board:

OPERATIONS

Payable from the Traffic and Criminal

  Conviction Surcharge Fund:

For Personal Services............................ 1,163,200

For Employee Retirement Contributions

  Paid by Employer....................................... 0

For State Contributions to State

  Employees' Retirement System..................... 121,600

For State Contributions to

  Social Security................................... 89,450

For Group Insurance................................ 312,000

For Contractual Services........................... 134,050

For Travel.......................................... 42,200

For Commodities..................................... 13,000

For Printing......................................... 5,000

For Equipment....................................... 39,000

For Electronic Data Processing...................... 69,000

For Telecommunications Services..................... 36,600

For Operation of Auto Equipment..................... 18,200

For Expenses Related to the Audit of

  Assessment Collection and Remittance To

  and Expenditures From the Traffic and

  Criminal Conviction Surcharge Fund..................... 0

  For payment of and/or services

    related to the administration

    of HB576 investigations......................... 50,000

    Total                                        $2,093,300

Payable from the Police Training Board Services Fund:

  For payment of and/or services

   related to law enforcement training

   in accordance with statutory provisions

   of the Law Enforcement Intern

   Training Act.................................... 100,000

Payable from the Death Certificate Surcharge Fund:

  For payment of and/or services

   related to death investigation

   in accordance with statutory

   provisions of the Vital Records

   Act............................................. 126,100

 

    Section 1a.  The following named amount, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, is appropriated to the Law Enforcement Training Standards Board as follows:

GRANTS-IN-AID

Payable from the Traffic and Criminal

  Conviction Surcharge Fund:

For payment of and/or reimbursement

  of training and training services

  in accordance with statutory provisions....... 10,667,400

 

ARTICLE 21

 

    Section 1.  The following amounts, or so much thereof as may be necessary, respectively, are appropriated for the objects and purposes named, to meet the ordinary and contingent expenses of the Illinois Violence Prevention Authority:

Payable from the Violence Prevention Fund:

  For Personal Services........................... 500,200

  For Employee Retirement Contributions

   Paid by Employer...................................... 0

  For State Contributions to State

   Employees' Retirement System..................... 52,300

  For State Contribution to

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

  For Group Insurance............................... 96,000

  For Contractual Services.......................... 40,100

  For Travel........................................ 20,000

  For Commodities.................................... 2,000

  For Printing...................................... 10,000

  For Equipment...................................... 1,000

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

  For Telecommunications Services.................... 5,000

    Total                                          $772,900

Payable from the General Revenue Fund:

  For Contractual Services.......................... 40,000

    Total                                           $40,000

 

    Section 2.  The sum of $1,800,000, or so much thereof as may be necessary, is appropriated from the Violence Prevention Fund to the Illinois Violence Prevention Authority for the purpose of awarding grants under the provisions of the Violence Prevention Act of 1995.

 

    Section 3.  The sum of $2,332,800, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority for the purpose of awarding grants under the provisions of the Violence Prevention Act of 1995.

 

    Section 4.  The amount of $931,600, or so much of that amount as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority for the Illinois Family Violence Coordinating Council Program.

 

    Section 5.  The amount of $6,500,000, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Illinois Violence Prevention Authority for a grant to Operation Cease Fire.

 

ARTICLE 22

 

    Section 1.  The amount of $253,600, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the East St. Louis Financial Advisory Authority for the operating expenses of the City of East St. Louis Financial Advisory Authority.

 

ARTICLE 23

 

    Section 1.  The sum of $31,590,000, or so much thereof as may be necessary, is appropriated from the Metropolitan Fair and Exposition Authority Improvement Bond Fund to the Metropolitan Pier and Exposition Authority for debt service on the Authority's Dedicated State Tax Revenue Bonds, issued pursuant to the "Metropolitan Fair and Exposition Authority Act", as amended.

 

    Section 2.  The sum of $96,991,000, or so much thereof as may be necessary, is appropriated from the McCormick Place Expansion Project Fund to the Metropolitan Pier and Exposition Authority for debt service on the Authority's McCormick Place Expansion Project Bonds, issued pursuant to the "Metropolitan Pier and Exposition Authority Act", as amended.

 

ARTICLE 24

 

    Section 1.  The sum of $36,131,000, or so much thereof as may be necessary, is appropriated from the Illinois Sports Facilities Fund to the Illinois Sports Facilities Authority for its corporate purposes.

 

ARTICLE 25

 

    Section 98.  Except as limited by this Section, in each instance where there is a line item appropriation for the fiscal year beginning July 1, 2004 to an entity for Personal Services, then, in addition, there is appropriated to that entity for Employee Retirement Contributions Paid by Employer, from the same fund from which the appropriation for Personal Services is made, a dollar amount, or so much of that amount as may be necessary, equal to 4% of the amount appropriated for Personal Services together with an additional 1.5% of the amount of the Personal Services line allocated to salaries payable to employees who qualify for the alternative retirement annuity under Section 14-110 of the Illinois Pension Code or for the retirement annuity available under subsection (g) or (h) of Section 14-108 of the Illinois Pension Code (reduced by any other amounts appropriated for that fiscal year to that entity from that fund for Employee Retirement Contributions Paid by Employer).  This Section applies only to the extent that the employee retirement contributions are paid on behalf of employees who are members of the State Employees' Retirement System.  The Comptroller shall compute the amount appropriated to each entity under this Section.

 

ARTICLE 26

LT. GOVERNOR

 

    Section 5.  The sum of $35,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Section 3 of Public Act 93-0587, is reappropriated to the Office of Lieutenant Governor from the Clean Water Trust Fund to for the purpose of making grants to local governments pursuant to Section 10 of the Clean Water Bond Act.

 

Total, Article 26                               $35,000,000

 

ARTICLE 27

SECRETARY OF STATE

 

    Section 10.  The sum of $100,000, or so much of this amount as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Section 105 of Article 13 of Public Act 93-91, is reappropriated from the Capital Development Fund to the Office of Secretary of State for a grant to the Chicago Public Library for planning a new library for Grand Crossing.

 

    Section 15.  The amount of $100,000, or so much of this amount as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Section 110 of Article 21 of Public Act 92-8, is reappropriated from the Capital Development Fund to the Office of the Secretary of State for making grants to the Chicago Library System for land acquisition, planning, construction, rehabilitation, and all necessary costs associated with the establishment of regional library.

 

    Section 20.  The sum of $375,000, or so much of this amount as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Section 110 of Article 13 of Public Act 93-91, is reappropriated from the Capital Development Fund to the Office of the Secretary of State for new construction and alterations, and maintenance of the interiors and exteriors of the following facilities under jurisdiction of the Secretary of State: Chicago West Facility, 5301 N. Lexington Ave., Chicago, Illinois 60644; Roger McAuliffe Facility, 5401 N. Elston Ave., Chicago, Illinois 60630; Charles Chew Jr. Facility, 9901 S. King Drive, Chicago, Illinois 60628; and Capital Complex buildings located in Springfield, Illinois.

 

    Section 25.  The amount of $20,400, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriation heretofore made for such purposes in Article 4, Division FY90, Section 3-6.2e of Public Act 91-0708, as amended, is reappropriated from the Build Illinois Bond Fund to the Office of the Secretary of State for making grants to the City of Chicago for planning, construction, reconstruction, rehabilitation, and all necessary costs for the following branches of the Chicago Public Library at the approximate costs set forth below:

 

  North Austin Branch Library.................... 1,150,025

  Legler Library.................................... 26,886

  Auburn/Hamilton Park Library..................... 879,056

  Near West Side Branch Library.................. 1,136,419

  Carter G. Woodson Regional Library................ 68,696

  Clearing Branch Library.......................... 258,398

  McKinley Park Branch Library..................... 829,124

  South Chicago Branch Library..................... 551,657

  North Pulaski/Humboldt Library................. 2,753,474

  Roosevelt Branch................................. 204,000

  Rockwell Gardens Reading & Study Center................ 0

  Pullman Branch Library........................... 632,063

    Total                                        $8,489,798

 

Total, Article 27                                  $595,400

 

ARTICLE 28

DEPARTMENT OF AGRICULTURE

 

    Section 5.  The following named amounts, or so much thereof as may be necessary, are appropriated to the Department of Agriculture for repairs, maintenance, and capital improvements including construction, reconstruction, improvement, repair and installation of capital facilities, cost of planning, supplies, materials, equipment, services and all other expenses required to complete the work:

Payable from Agricultural Premium Fund:

  For various projects at the State

   Fairgrounds.................................... 600,000

  For various projects at the DuQuoin State

   Fairgrounds..................................... 225,000

    Total                                          $825,000

 

Total, Article 28                                  $825,000

 

ARTICLE 29

DEPARTMENT OF COMMERCE AND ECONOMIC OPPORTUNITY

 

    Section 45.  The amount of $16,562,392, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 55 of Public Act 93-91, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for a grant to the DuPage Airport Authority for planning, design, construction and access infrastructure related to the hi-tech business campus.

 

    Section 50.  The amount of $6,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 60 of Public Act 93-91, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for a grant for planning, design, construction, and all other costs associated with a new Ford Technical Training Center.

 

    Section 55.  The sum of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Section 95 of Public Act 93-91, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the "TRUE GRID I WIRE" Program.

 

    Section 60.  The amount of $11,679,805, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 605 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities and not-for-profit organizations for all costs associated with but not limited to infrastructure improvements.

 

    Section 65.  The sum of $35,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Section 6 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for grants for economic development and infrastructure purposes.  No contract shall be entered into or obligation incurred for any expenditures from the appropriation made in this section until after the purposes and amounts have been approved in writing by the Director of Commerce and Economic Opportunity.

 

    Section 70. The amount of $2,604,609, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1395 of Public Act 93-587, 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 75.  The amount of $253,471, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 1400 of Public Act 93-587, 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 80. The sum of $3,808,878, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 8A, Section 10 of Public Act 93-664, 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 85.  The amount of $75,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 560 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Grayville CUSD #1 for building an addition on the high school.

 

    Section 90.  The sum of $1,000,000, or so much thereof as may be necessary, is appropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Sparta for infrastructure improvements necessary for the World Shooting Complex.

 

    Section 95.  The amount of $60,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 565 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Niles for all costs associated with the resurfacing of Dee Road from Golf Road to the northern border or Niles.

 

    Section 100. The amount of $7,019,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation made in Article 8A, Section 4 of Public Act 93-664, 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 105.  The amount of $205,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 570 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Niles for watermain improvements.

 

    Section 110.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 430 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Centreville for all costs associated with rebuilding the Community Village Theater.

 

    Section 115.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6 Section 575 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Staunton Community School District #6 for the repair and/or construction of a running track.

 

    Section 120.  The sum of $4,250,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1605 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to William Rainey Harper College for bondable infrastructure improvements.

 

    Section 125.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 435 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Berwyn Fire Department for all costs associated with purchasing a fire truck.

 

    Section 130.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 580 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Gillespie Community Unit School District #7 for the repair and/or construction of a running track.

 

    Section 135.  The amount of $600,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 440 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to The Frankfort Community Park District for all costs associated with the development and construction of an activities center.

 

    Section 140.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 585 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Girard High School for the repair and/or construction of a running track.

 

    Section 145.  The amount of $130,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 445 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Evanston School District 65 for all costs associated with the renovation of an Oakton Elementary School wall containing WPA murals.

 

    Section 150.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 590 of Public Act 93-587, as amended, is appropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Virden Community Unit School District #4 for the repair and/or construction of a running track.

 

    Section 155.  The amount of $8,591,677, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1390 of Public Act 93-587, is reappropriated to the Department of Commerce and Economic Opportunity from the Capital Development Bond Fund for grants to units of local government and educational facilities for municipal, recreational, educational and public safety infrastructure improvements and other expenses, including but not limited to planning, construction, reconstruction, renovation, utilities, equipment, public safety vehicles and related costs.

 

    Section 160.  The amount of $70,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 450 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Housing Authority for all costs associated with the purchase of individual light fixtures with bullet proof lenses and poles for fixtures.

 

    Section 165.  The amount of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 500 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Morrisonville-Palmer Fire Protection District for the repair and/or construction of a fire house.

 

    Section 170.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 455 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Jewish Federation of Metropolitan Chicago for all costs associated with security installations and upgrades at several community facilities.

 

    Section 175.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 510 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Sawyerville for the repair of water lines.

 

    Section 180.  The amount of $75,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 460 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Village of Riverside for all costs associated with capital expenses.

 

    Section 185.  The amount of $75,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 465 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Maywood for all costs associated with a parking lot along the prairie path.

 

    Section 190.  The amount of $112,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 520 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Hillsboro to upgrade a sports complex.

 

    Section 195.  The amount of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 470 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Park District for all costs associated with the renovation of the Broadway Armory Park.

 

    Section 200.  The amount of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 525 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Livingston for the construction, repair, or renovation of a public recreational facility.

 

    Section 205.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 475 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of McHenry for all costs associated with the construction of the Riverwalk.

 

    Section 210.  The amount of $67,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 530 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Litchfield Park District for park improvements.

 

    Section 215.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 480 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Stone Park for all costs associated with making emergency repairs to stop water from leaking from water mains.

 

    Section 220.  The amount of $9,430, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 535 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Morrisonville for sidewalk upgrades.

 

    Section 225.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 485 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Melrose Park for all costs associated with demolishing existing structures and for construction of a new training center.

 

    Section 230.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 540 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Taylorville for the construction, repair, or renovation of an emergency services building.

 

    Section 235.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 505 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Channahon School District #17 for all costs associated with Sunset Boulevard construction.

 

    Section 240.  The amount of $25,000, or so much thereof as may be necessary remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 545 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Harvel for the renovation of two buildings in the Village Park.

 

    Section 245.  The amount of $75,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 550 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Montgomery County for courthouse improvements.

 

    Section 250.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 555 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Calumet Park Library for roof construction and repairs.

 

    Section 255.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 495 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Dolton School District 148 to replace the furnace and air conditioner at Franklin Elementary School.

 

    Section 260. The sum of $1,049,254, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 8A, Section 6 of Public Act 93-664, 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 265. The sum of $1,392,927, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 8A, Section 9 of Public Act 93-664, 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 270.  The sum of $1,381,661, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 600 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunities for grants to governmental units and educational facilities for all costs associated with infrastructure improvements.

 

    Section 275.  The amounts of $22,000,000 and $551,947, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Section 115 of Public Act 93-91, are reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the purpose of providing partial funds for planning, design, engineering and testing, and construction of a low emissions boiler system for Illinois high-sulfur coals.

 

No contract shall be entered into or obligation incurred for any expenditure made in this Section of this Article until after the purpose and amounts have been approved in writing by the Governor.

 

    Section 280.  The sum of $6,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 110 of Public Act 93-91, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the Coal Demonstration Program.

 

    Section 285.  The sum of $6,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Section 105 of Public Act 93-91, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for Coal Development Programs.

 

    Section 290.  The sum of $50,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Section 105 of Public Act 93-91, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for grants pursuant to 20 ILCS 605/605-332 – Coal Revival Program.

 

    Section 295.  The amount of $1,039,300, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 200 of Public Act 93-91, is reappropriated from the Coal Development Fund to the Department of Commerce and Economic Opportunity for the development of other forms of energy.

 

No contract shall be entered into or obligation incurred for any expenditure made in this Section of this Article until after the purpose and amounts have been approved in writing by the Governor.

 

    Section 300.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1465 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Village of Shorewood for development of and improvements to the DuPage River property.

 

    Section 305.  The sum of $48,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1470 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the City of Oakbrook Terrace for water system expansion.

 

    Section 310.  The sum of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, less the amount of $275,000 from a reappropriation heretofore made for such purpose in Article 6, Section 1475 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Village of Glendale Heights for water system infrastructure and other community improvements.

 

    Section 315.  The sum of $10,901, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1485 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Village of Woodson for wastewater system improvements.

 

    Section 320.  The sum of $286,020, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1490 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the City of Rochelle for water system improvements.

 

    Section 325.  The sum of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1495 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Senior Center/Aging Hispanic Center for infrastructure improvements.

 

    Section 330.  The amount of $3,970,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 1-11 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of local government for infrastructure improvements including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 335.  The sum of $5,907,448, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 2-174 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond 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.

 

    Section 340.  The sum of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1235 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities, and not-for-profit organizations for all costs associated with infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 345.  The sum of $26,164,721, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1240 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities and not-for-profit organizations for all costs associated with infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 350.  The sum of $9,918,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 4-1 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units and educational facilities and non-profit organizations for all costs associated with but not limited to infrastructure improvements.

 

    Section 355.  The sum of $31,539,939, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY00, Section 5-1 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units and educational facilities and non-profit organizations for all costs associated with but not limited to infrastructure improvements.

 

    Section 360.  The sum of $15,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 8 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act.

 

    Section 365.  The sum of $7,045,856, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 1-9 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8 or Article 10 of the Build Illinois Act.

 

    Section 370.  The sum of $5,920,528, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 5 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act.

 

    Section 375.  The sum of $16,737,962, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 5 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act.

 

    Section 380.  The sum of $11,450,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 23 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant but not limited to Article 8, Article 9 or Article 10 of the Build Illinois Act.

 

    Section 385.  The sum of $15,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 15 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to companies to expand or construct ethanol plants in Illinois.

 

    Section 390.  The sum of $65,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Section 5 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants for economic development and infrastructure purposes.  No contract shall be entered into or obligation incurred for any expenditures from the appropriation made in this section until after the purposes and amounts have been approved in writing by the Director of Commerce and Economic Opportunity.

 

    Section 395.  The amount of $700,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 70 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Madison County for sewer system improvements in Eagle Park Acres.

 

    Section 400.  The sum of $1,415,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 18 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities and not-for-profit organizations for various bondable infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities, and equipment.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 405.  The sum of $30,600,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY 04, Section 17 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Chicago Public Schools for all costs associated with capital and infrastructure improvements including but not limited to planning, construction, reconstruction, renovation, utilities and equipment, for small schools programs and for technology improvements.

 

    Section 410.  The sum of $13,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 19 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Argonne National Laboratory for the Rare Isotope Accelerator for bondable infrastructure improvements.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 415.  The sum of $17,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 7 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the Nanotechnology Institute for bondable infrastructure improvements.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 420.  The amount of $2,179,124, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 36 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of local government, educational facilities and not-for-profit organizations for all costs associated with infrastructure improvements.

 

    Section 425.  The sum of $500,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1550 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Lutheran General Hospital for bondable infrastructure expenses at their capital facilities within the state.

 

    Section 430.  The sum of $15,887,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 20 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Argonne National Laboratory for the Nanotechnology Institute for bondable infrastructure improvements.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 435.  The amount of $1,870,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 37 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities, and not-for-profit organizations for all costs associated with infrastructure improvements.

 

    Section 440.  The sum of $34,836,944, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 47 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities and not-for-profit organizations for all costs associated with infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 445.  The sum of $200,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1555 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Lawrence County Hospital for bondable infrastructure expenses at their capital facilities within the state.

 

    Section 450.  The sum of $4,613,241, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 48 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities and non-profit organizations for all costs associated with infrastructure improvements.

 

    Section 455.  The sum of $450,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1335 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Roseland YMCA for bondable capital improvements.

 

    Section 460.  The sum of $1,052,281, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1585 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to AIDsCare for all costs associated with construction and establishment of a center on the west side of Chicago.

 

    Section 465.  The sum of $1,400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1340 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Jewish Federation for bondable capital improvements.

 

    Section 470.  The sum of $5,080,001, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 50 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund 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, renovation, utilities and equipment.

 

    Section 475.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1345 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Blackburn College for bondable capital improvements.

 

    Section 480.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1350 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to St. Anthony's Hospital for bondable capital improvements.

 

    Section 485.  The sum of $1,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1565 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant for Deer Creek flood control for bondable infrastructure expenses within the state.

 

    Section 490.  The sum of $500,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1510 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to St. Anthony's for bondable system upgrades.

 

    Section 495.  The sum of $1,500,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1515 of Public Act 93-587, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to West Central Illinois Telecommunications for construction of telecommunications, facilities, and towers.

 

    Section 500.  The sum of $4,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1575 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Joffrey Ballet for bondable infrastructure expenses at their capital facilities within the state.

 

    Section 505.  The sum of $2,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1520 of Public Act 93-587, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grant to Roosevelt University for life safety enhancements in the historic Auditorium Building and the Herman Crown Center.

 

    Section 510.  The sum of $68,620, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 1360 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Blackburn College for infrastructure expenses associated with the construction of an arts center.

 

    Section 515.  The amount of $89,921, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 1370 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Roseland Hospital for renovations for their emergency room.

 

    Section 520.  The amount of $1,200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 1375 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the City of Chicago for bondable expenses associated with the Mt. Vernon Complex.

 

    Section 525.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1430 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Blessing Hospital Cancer Center.

 

    Section 530.  The amount of $2,392,667, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 49 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 535.  The amount of $650,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1435 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity s for a grant to West Central IL Area Agency on Aging for improvements and construction of the Senior Center.

 

    Section 540.  The amount of $33,375,281, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 50 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 545.  The amount of $34,830,828, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 51 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 550.  The amount of $31,300,607, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 52 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 555.  The amount of $48,801,051, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 53 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 560.  The sum of $2,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1530 of Public Act 93-587, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Lincoln College for the construction of the Lincoln Center.

 

    Section 565.  The amount of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 80 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Park District for various capital improvements.

 

    Section 570.  The amount of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 85 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Justice Park District for the purpose of land acquisition and construction of a multi-purpose facility.

 

    Section 575.  The amount of $350,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Progress Center for Independent Living for all costs associated with building purchase and renovations in Lansing.

 

    Section 580.  The amount of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 95 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Misericordia Home for all costs associated with the construction of a new skilled nursing pediatric facility.

 

    Section 584.  The amount of $10,000,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Misericordia Home for all costs associated with the construction of a new skilled nursing pediatric facility to include all prior incurred costs.

 

    Section 585.  The amount of $750,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 100 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Dixmoor for all costs associated with building repairs for the city hall and public works buildings.

 

    Section 590.  The amount of $90,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 105 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to El Hogar del Nino for capital improvements.

 

    Section 595.  The sum of $5,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1545 of Public Act 93-587, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the University of Chicago for the construction of an Advanced Research Building for biological, medical, and physical sciences.

 

    Section 600.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 110 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Highland Park for the expansion of the Northern Illinois Police Crime Laboratory.

 

    Section 605.  The amount of $5,012,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1440 of Public Act 93-587, is reappropriated to the Department of Commerce and Economic Opportunity from the Build Illinois Bond Fund for grants to units of local government, educational facilities and not-for-profit organizations for municipal, recreational, educational and public safety infrastructure improvements and other expenses, including but not limited to planning, construction, reconstruction, renovation, utilities, equipment, public safety vehicles and related costs.

 

    Section 610.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 115 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Lake County Health Department for construction of a new clinic.

 

    Section 615.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 120 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Lake Forest for all costs associated with the purchase and installation of an elevator at the new senior center located in Dickinson Hall.

 

    Section 620.  The amount of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 125 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Episcopal Charities and Community Services for various capital expenditures.

 

    Section 625.  The amount of $1,750,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 130 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Summit Park District for various capital expenditures.

 

    Section 630.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 135 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of University Park for road improvements.

 

    Section 635.  The amount of $30,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 140 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Pembroke Township for facility improvements at the community center, town hall, and municipal park.

 

    Section 640.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 145 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Momence for expenditures associated with a community center.

 

    Section 645.  The amount of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 155 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for extension of city water main connections on the city's west and northwest boundary.

 

    Section 650.  The amount of $1,170,211, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 160 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for the addition of two levels to the Pioneer parking deck.

 

    Section 655.  The amount of $369,224, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 170 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for reconstruction of neighborhood streets in blighted areas where the city is constructing new single-family homes through its West Side Alive Program.

 

    Section 660.  The amount of $300,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 180 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford to construct an 11th Street fire station.

 

    Section 665.  The amount of $15,750,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 84 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 670.  The amount of $330,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 195 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Jewish Council Youth Services Family Center for all costs associated with various repairs, renovations, improvements to the interior and exterior of the building, as well as furniture purchase.

 

    Section 675.  The amount of $55,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 200 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Counseling Center Real Estate Holding Company for a build-out of loft space for program offices.

 

    Section 680.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 205 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Jewish Federation of Metropolitan Chicago to renovate the third floor of the Ezra Multi-Purpose Center.

 

    Section 685.  The amount of $150,000, or so much thereof as may be necessary, is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Family Focus Inc. for the purchase-installation of an elevator and other building improvements to make the facility ADA compliant.

 

    Section 690.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 215 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Evanston for traffic signal modernization in the Ridge Avenue Historic District.

 

    Section 695.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 220 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the North Shore Senior Center for construction and renovation costs at the House of Welcome Alzheimer facility.

 

    Section 700.  The amount of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 225 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to METRA for redevelopment of the Jefferson Park Terminal.

 

    Section 705.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 235 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Skokie for a street resurfacing project.

 

    Section 710.  The amount of $700,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 240 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Skokie for a sidewalk replacement program.

 

    Section 715.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 245 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Township of Niles for construction costs associated with various renovations to include prior incurred costs.

 

    Section 720.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 250 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Lincolnwood for a flood control program.

 

    Section 725.  The amount of $1,795,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 255 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Jewish Federation of Metropolitan Chicago for capital projects at various facilities.

 

    Section 730.  The amount of $77,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 260 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Indo-American Center for computer lab construction.

 

    Section 735.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 265 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Niles Township Sheltered Workshop for costs associated with constructing a kitchen.

 

    Section 740.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 270 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Jewish Council for Youth Services for construction projects at Camp Red Leaf.

 

    Section 745.  The amount of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 275 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Agudath Israel of America for the construction of a youth center.

 

    Section 750.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 280 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago House and Social Service Agency for the restoration of residences.

 

    Section 755.  The amount of $700,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 285 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Markham for all costs associated with the repair and renovation of the Old McClury School Building.

 

    Section 760.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 290 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Palliative CareCenter and Hospice of the North Shore for the construction of a new Clinical and Administrative Facility.

 

    Section 765.  The amount of $400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 300 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Public Schools for a grant to Mozart Elementary School for construction of a connector.

 

    Section 770.  The amount of $325,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 305 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Calumet Park for the construction or repair of an elevated water tank.

 

    Section 775.  The amount of $225,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 310 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Ford Heights for the construction of a multi-purpose center.

 

    Section 780.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 315 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Lake County Health Department for the construction of a clinic in Highwood/Highland Park.

 

    Section 785.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 325 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Puerto Rican Parade Committee for building rehabilitation.

 

    Section 790.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 330 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Esperanza School for facility improvements at the school and affiliated sites, including the Coleridge Building and Tobias House.

 

    Section 795.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 340 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Segundo Ruiz Belvis Cultural Center for the Latin American Development Services Corp. for building rehabilitation.

 

    Section 800.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 345 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Noble Street Charter School for building rehabilitation/construction.

 

    Section 805.  The amount of $100,000, or so much thereof as may be necessary is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Onward House for building rehabilitation.

 

    Section 810.  The amount of $400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 355 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Puerto Rican Chamber of Commerce for building purchase and/or rehabilitation.

 

    Section 815.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 360 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Tinley Park for sanitary sewer and water main extension to areas of the village that do not have access to public utilities.

 

    Section 820.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 365 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Orland Park for sewer projects.

 

    Section 825.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 370 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the South Suburban Special Recreation Association for the reimbursement for construction of an administration and training building.

 

    Section 830.  The amount of $1,200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 375 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Roseland Community Hospital for emergency room construction.

 

    Section 835.  The sum of $999,660, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 123 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Village of Hartford for the construction of the Lewis and Clark Tower.

 

    Section 840.  The amount of $925,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 385 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Open Hand of Chicago, Inc. to purchase a building.

 

    Section 845.  The amount of $800,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 390 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of East St. Louis for the repair of the Mary Brown Community Center.

 

    Section 850.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 395 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Broadview to replace an alley.

 

    Section 855.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 400 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Bellwood to repave an alley.

 

    Section 860.  The amount of $88,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 405 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Forest Park for parking lot construction.

 

    Section 865.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 410 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Oak Park for village hall renovation.

 

    Section 870.  The amount of $135,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 415 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Maywood for infrastructure improvements.

 

    Section 875.  The amount of $33,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 420 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Hillside for water tower refurbishing.

 

    Section 880.  The amount of $75,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 425 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of River Forest for streetscape projects.

 

    Section 885.  The amount of $2,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 5 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Little City Foundation for all costs associated with retiring outstanding debt.

 

    Section 890.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 10 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the United Neighborhood Organization for all costs associated with construction and renovation costs for the UNO Campus in Brighton Park.

 

    Section 895.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 15 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Metropolitan Family Services for all costs associated with the purchase of a building.

 

    Section 900.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 20 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Harkness Outreach Center for all costs associated with the renovations including, but not limited to asbestos removal, handicap accessibility, and the addition of air conditioning.

 

    Section 905.  The amount of $3,400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 25 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to The Resurrection Project for all costs associated with capital expenses.

 

    Section 910.  The amount of $2,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 30 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to El Valor for all costs associated with capital expenses.

 

    Section 915.  The amount of $300,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 35 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Children's Memorial Hospital for all costs associated with capital expenses.

 

    Section 920.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 40 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Concordia Avondale Child Care Center for all costs associated with rehabilitating a building for a child care center.

 

    Section 925.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 45 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Marengo Park District for all costs associated with the construction of a teen center.

 

    Section 930.  The amount of $4,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 50 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Easter Seals Metropolitan Chicago for all costs associated with capital expenses.

 

    Section 935.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 55 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Crusader Clinic for all costs associated with renovating the clinic.

 

    Section 940.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 60 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Trinity Universal Center, Inc. for all costs associated with renovating a facility for the center.

 

    Section 945.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 65 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Waukegan Township for all costs associated with expansion of the Waukegan Township's Park Place Senior Center.

 

    Section 950.  The amount of $70,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 1250 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Weissbourd-Holmes Family Focus Center for the purchase-installation of an elevator and other building improvements to make the facility ADA compliant.

 

    Section 955.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 6, Section 1595 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Advocate Health and Hospitals Corporation to purchase and install a negative pressure exhaust system and related renovations to include prior incurred costs.

 

Total, Article 29                              $789,021,387

 

ARTICLE 30

DEPARTMENT OF NATURAL RESOURCES

 

GRANTS AND REIMBURSEMENTS - GENERAL OFFICE

 

    Section 5.  The amount of $0, or so much thereof as may be necessary, is appropriated from the General Revenue Fund to the Department of Natural Resources for contributions of funds to park districts and other entities as provided by the "Illinois Horse Racing Act of 1975" and to public museums and aquariums located in park districts, as provided by "AN ACT concerning aquariums and museums in public parks" and the "Illinois Horse Racing Act of 1975" as now or hereafter amended.

 

    Section 10. The sum of $725,000, or so much thereof as may be necessary, is appropriated 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.

 

    Section 15.  The sum of $120,000, or so much thereof as may be necessary, is appropriated 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.

 

    Section 20.  To the extent federal funds including reimbursements are available for such purposes, the sum of $1,075,000, or so much thereof as may be necessary, is appropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program.

 

    Section 25.  The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources:

Payable from State Boating Act Fund:

  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.................. 1,200,000

Payable from State Parks Fund:

  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................ 150,000

 

    Section 30.  The sum of $100,000, or so much thereof as may be necessary, is appropriated from the Wildlife and Fish Fund to the Department of Natural Resources for acquisition and development, including grants, for the implementation of the North American Waterfowl Management Plan within the Dominion of Canada or the United States which specifically provides waterfowl for the Mississippi Flyway.

 

    Section 35. To the extent federal funds including reimbursements are available for such purposes, the sum of $100,000, or so much thereof as may be necessary, is appropriated 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.

 

    Section 40.  The sum of $2,000,000, or so much thereof as may be necessary, is appropriated 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.

 

    Section 45.  The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated:

Payable from Forest Reserve Fund:

  For U.S. Forest Service Program.................. 500,000

 

    Section 50.  The sum of $110,000, or so much thereof as may be necessary, is appropriated from the Plugging and Restoration Fund to the Department of Natural Resources, Office of Mines and Minerals for the Landowner Grant Program authorized under the Oil and Gas Act, as amended by Public Act 90-0260.

 

    Section 95.  The sum of $1,500,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the Abandoned Mined Lands Set Aside 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.

 

    Section 100.  The sum of $110,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended.

 

    Section 105.  The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources:

Payable from Natural Areas Acquisition Fund:

  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............................ 0

 

    Section 110.  The sum of $0, or so much thereof as may be necessary, is appropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments as provided in the "Open Space Lands Acquisition and Development Act".

 

    Section 115.  The sum of $550,000, or so much thereof as may be necessary, is appropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended.

 

FOR ILLINOIS HABITAT FUND PROGRAM

 

    Section 120.  The sum of $1,150,000, or so much thereof as may be necessary, is appropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended.

 

    Section 125.  The sum of $250,000, or so much thereof as may be necessary, is appropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates.

 

    Section 130.  The sum of $600,000, or so much thereof as may be necessary, is appropriated to the Department of Natural Resources for expenditure by the Office of Water Resources from the Flood Control Land Lease Fund for disbursement of monies received pursuant to Act of Congress dated September 3, 1954 (68 Statutes 1266, same as appears in Section 701c-3, Title 33, United States Code Annotated), provided such disbursement shall be in compliance with 15 ILCS 515/1 Illinois Compiled Statutes.

 

    Section 135.  The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated:

Payable from Land and Water Recreation Fund:

  For Outdoor Recreation Programs................ 6,200,000

 

    Section 140.  The sum of $600,000, or so much thereof as may be necessary, is appropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including administration, enforcement, planning and implementation of this Act.

 

    Section 145.  The sum of $5,250,000, or so much thereof as may be necessary, is appropriated from the Conservation 2000 Projects Fund to the Department of Natural Resources for the acquisition 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.

 

    Section 150.  The amount of $2,612,500, or so much thereof as may be necessary, is appropriated from the Conservation 2000 Projects Fund to the Department of Natural Resources for the following project at the approximate costs set forth below:

  Conservation Practices Cost-Share program...... 2,612,500

 

    Section 155.  The following named sums, or so much thereof as may be necessary, respectively, herein made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are appropriated to the Department of Natural Resources for refunds and the purposes stated:

Payable from Federal Title IV Fire

 Protection Assistance Fund:

  For Rural Community Fire Protection

   Programs........................................ 325,000

 

    Section 160.  The sum of $80,000, or so much thereof as may be necessary, is appropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles.

 

    Section 165.  The sum of $625,000, or so much thereof as may be necessary, is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended.

 

    Section 170.  To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $300,000, is appropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance.

 

    Section 175.  The sum of $160,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the payment of grants for the implementation of the North American Waterfowl Management Plan within the Dominion of Canada or the United States which specifically provides waterfowl to the Mississippi Flyway as provided in the "Wildlife Code", as amended.

 

    Section 180.  The sum of $160,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the payment of grants for the development of waterfowl propagation areas within the Dominion of Canada or the United States which specifically provide waterfowl for the Mississippi Flyway as provided in the "Wildlife Code", as amended.

 

    Section 185.  The sum of $500,000, or so much thereof as may be necessary, is appropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of attracting waterfowl and improving public migratory waterfowl areas within the State.

 

    Section 190.  The sum of $2,500,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths.

 

    Section 195.  The sum of $500,000, or so much thereof as may be necessary, is appropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths.

 

    Section 200.  The sum of $1,500,000, or so much thereof as may be necessary, is appropriated 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.

 

    Section 210.  The following named sums, new appropriations, or so much thereof as may be necessary, respectively, for the objects and purposes hereinafter named, are appropriated to the Department of Natural Resources:

Payable from the Illinois Beach Marina Fund:

  For rehabilitation, reconstruction, repair,

   replacing, fixed assets, and improvement

   of facilities at North Point Marina at

   Winthrop Harbor................................. 375,000

 

    Section 215.  The sum of $6,000,000, or so much thereof as may be necessary, is appropriated 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.

 

    Section 220.  No contract shall be entered into or obligation incurred or any expenditure made from an appropriation herein made in Sections 55 through 90, 135, 145, 150, and 190 through 205 until after the purpose and amount of such expenditure has been approved in writing by the Governor.

Total, Article 9                                $81,490,000

 

ARTICLE 31

DEPARTMENT OF NATURAL RESOURCES

 

    Section 225.  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, 2004, from a reappropriation heretofore made in Article 5, Section 94 of Public Act 93-664, as amended, is reappropriated from the General Revenue Fund to the Department of Natural Resources for a grant to the Deerfield Park District.

 

    Section 230.  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, 2004, from a reappropriation heretofore made in Article 5, Section 99 of Public Act 93-664, 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 234.  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, 2004, from appropriations heretofore made in Article 1, Section 200, page 43, line 14 of Public Act 93-97, 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.

 

    Section 235.  The sum of $2,429,300, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 200, page 43, line 15 of Public Act 93-97, 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.

 

    Section 240.  The sum of $120,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 240, page 46, line 26 of Public Act 93-97, 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.

 

    Section 245.  The sum of $175,100, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 240, page 46, line 27 of Public Act 93-97, 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.

 

    Section 250.  To the extent federal funds including reimbursements are available for such purposes, the sum of $0, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 220 of Public Act 93-97, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program.

 

    Section 255.  To the extent federal funds including reimbursements are available for such purposes, the sum of $1,598,400, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 220 of Public Act 93-97, as amended, is reappropriated from the State Boating Act Fund to the Department of Natural Resources for all costs for construction and development of facilities for transient, non-trailerable recreational boats, including grants for such purposes and authorized under the Boating Infrastructure Grant Program.

 

    Section 260.  The following named sum, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes, is reappropriated to the Department of Natural Resources for the objects and purposes set forth below:

Payable from State Boating Act Fund:

    (From Article 1, Section 145 on

    page 34, lines 3-10, of

    Public Act 93-97, as amended)

  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.............. 1,608,200

 

    Section 261.  The following named sum, or so much thereof as may be necessary, respectively, and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes, is reappropriated to the Department of Natural Resources for the objects and purposes set forth below:

Payable from State Boating Act Fund:

    (Section

    150 on page 35, lines 29-33 and on

    page 36, lines 1-4 of

    Public Act 93-97, as amended)

  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.............. 1,200,000

 

    Section 265.  The following named sums, or so much thereof as may be necessary, respectively, and as remain unexpended at the close of business on June 30, 2004, 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 the State Parks Fund:

    (From Article 1, Section 150

    on page 36, lines 18-25 of Public

    Act 93-97, as amended)

  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............... 150,000

Payable from the State Parks Fund:

(From Article 1, Section 145 on

    page 35, lines 5-12, of Public

    Act 93-97, as amended)

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................ 493,200

 

    Section 270.  The sum of $1,651,800, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 90, page 28, line 6 of Public Act 93-97, 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.

 

    Section 275. The sum of $3,312,800, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 90, page 28, line 7 of Public Act 93-97, 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.

 

    Section 280.  To the extent federal funds including reimbursements are available for such purposes, 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, 2004, from appropriations heretofore made in Article 1, Section 215, page 44, line 15 of Public Act 93-97, 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.

 

    Section 285. To the extent federal funds including reimbursements are available for such purposes, the sum of $227,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 215, page 44, line 16 of Public Act 93-97, 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.

 

    Section 290.  The sum of $567,100, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 6, Section 1160 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Danda Preserve.

 

    Section 295.  The sum of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 6, Section 1165 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Salt Creek Greenway.

 

    Section 300.  The sum of $368,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 6, Section 1170 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Oak Meadows, Maple Meadows and Green Meadows.

 

    Section 305.  The sum of $32,600, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 6, Section 1175 of Public Act 93-587, is reappropriated from the Capital  Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Fullersburg Woods.

 

    Section 310.  The sum of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Section 161 of Public Act 93-664, 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 315.  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, 2004, from an appropriation heretofore made in Article 5, Section 66 of Public Act 93-664, 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 320.  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, 2004, from an appropriation heretofore made in Article 5, Section 67 of Public Act 93-664, 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 325.  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, 2004, from an appropriation heretofore made in Article 5, Section 68 of Public Act 93-664, 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 330.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 5, Section 115 of Public Act 93-664, 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 335.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1140 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with the West Branch Regional Trail.

 

    Section 340.  The sum of $2,786,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 6, Section 1145 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Salt Creek Greenway.

 

    Section 345.  The sum of $21,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Section 67a of Public Act 93-664, 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 350.  The sum of $2,000,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 155, page 36, line 27 of Public Act 93-97, is reappropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers.

 

    Section 355.  The sum of $3,362,600, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 155, page 36, line 28 of Public Act 93-97, is reappropriated from the Capital Development Fund to the Department of Natural Resources for planning, design and construction of ecosystem rehabilitation, habitat restoration and associated development in cooperation with the U.S. Army Corps of Engineers.

 

    Section 360.  The sum of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 115, page 29, line 29 of Public Act 93-97, and Article 6, Section 1285 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands.

 

    Section 365.  The sum of $71,326,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 115, page 29, line 30 of Public Act 93-97, and Article 6, Section 1285 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands.

 

    Section 370.  The sum of $4,555,400, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 40, page 6, line 12, Public Act 93-97 as amended, is reappropriated from the Capital Development 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 State Department of Agriculture.

 

    Section 375. The sum of $1,191,200, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 40, page 6, line 13, of Public Act 93-97 as amended, is reappropriated from the Capital Development 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 State Department of Agriculture.

 

    Section 380.  The sum of $2,304,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 170 of Public Act 93-97, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for the acquisition of lands, buildings, and structures, including easements and other property interests, located in the 100-year floodplain in counties or portions of counties authorized to prepare stormwater management plans and for removing such buildings and structures and preparing the site for open space use.

 

    Section 385.  The sum of $11,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 175 of Public Act 93-97, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for water development projects at the approximate cost set forth below:

Union - McHenry County - for flood control

 and drainage improvement of unnamed

 Kishwaukee River tributary........................ 200,000

Wood River - Madison County - for partial

 payment of the non-federal cost requirements

 to construct Grassy Lake Pump Station Project

 in cooperation with the Wood River Drainage

 and Levee District................................ 200,000

Flood Hazard Mitigation - For implementation

 of flood hazard mitigation plans, and

 acquisition of wetland and tree mitigation

 sites for state and local joint

 flood control projects in

 cooperation with federal agencies, state

 agencies, and units of local government,

 in various counties............................. 3,300,000

Fox Chain of Lakes - Lake and McHenry

 Counties - For the state cost share in

 implementation of the comprehensive

 Dredging and Disposal Plan, including

 beneficial use of dredge material and

 island creation, for the Fox River and

 Chain of Lakes.................................. 2,000,000

Fox River Dams - Kane County - For

 rehabilitation, modification, and

 reconstruction of Batavia

 and Yorkville Dams.............................. 2,600,000

Field Service Facility - Sangamon County -

 For site development and construction

 of a field survey service building

 and storage facility.............................. 200,000

East St. Louis & Vicinity Flood Control -

 Madison and St. Clair Counties - For

 partial payment of the non-federal cost

 requirement of an interior flood protection

 project and ecosystem restoration at East

 St. Louis and Vicinity area..................... 1,800,000

Prairie/Farmers Creeks - Cook County -

 For costs associated with the implementation

 of flood damage reduction measures along

 Prairie/Farmers Creeks and the Des Plaines

 River, including for partial payment of the

 non-federal cost requirements of the U.S.

 Army Corps of Engineers' Upper Des Plaines

 River Flood Control Project....................... 600,000

Small Drainage and Flood Control Projects -

 For implementation of

 small drainage and flood control

 improvements in accordance with plans

 developed in cooperation with local

 governments and school districts, not

 to exceed $100,000 at any single

 locality.......................................... 100,000

    Total                                       $11,000,000

 

FOR WATERWAY IMPROVEMENTS

 

    Section 390.  The sum of $35,603,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 160 of Public Act 93-97, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources for the following projects at the approximate costs set forth below:

Addison Creek Watershed - Cook

 and DuPage Counties............................... 214,800

Chandlerville/Panther Creek -

 Cass County....................................... 342,100

Chicago Harbor Leakage Control -

 Cook County - For implementation

 of a project to identify, measure,

 control, and eliminate leakage

 flows through controlling structures at

 the mouth of the Chicago River in

 cooperation with federal agencies and

 units of local government......................... 990,500

Crisenberry Dam - Jackson County:

 For complete rehabilitation of the

 dam and spillway, including the

 required geotechnical investigation,

 the preparation of plans and

 specifications, and the construction

 of the proposed rehabilitation.................... 633,000

Crystal Creek - Cook County...................... 2,866,800

East Chicago (Ford Heights) - Cook

 County - For partial payment of the

 non-federal cost requirements of the

 Deer Creek federal flood control and

 ecosystem restoration project in

 cooperation with the Village of East

 Chicago........................................... 925,600

East Peoria - Tazewell County.................... 1,920,600

East St. Louis and Vicinity Flood Control -

 Madison and St. Clair Counties - For

 partial payment of the non-federal cost

 requirements of an interior flood protection

 project and ecosystem restoration at

 East St. Louis and Vicinity area.................. 500,000

Floor Service Facility – Sangamon County........... 200,000

Flood Mitigation - Disaster

 Declaration Areas............................... 3,281,300

Fox Chain O'Lakes - Lake and McHenry

 Counties  ...................................... 2,775,700

Fox River Dams - Kane, Kendall

 and McHenry Counties............................ 5,709,100

Granite City - Area  Groundwater-

 Madison County.................................... 300,000

Havana Facilities - Mason County................... 199,400

Hickory Hills - Cook County........................ 158,500

Hickory/Spring Creeks Watershed -

 Cook and Will Counties.......................... 2,752,000

Illinois River Mitigation - Calhoun,

 Jersey, Peoria and Woodford

 Counties........................................... 81,000

Indian Creek - Kane County......................... 100,100

Kaskaskia River System - Randolph,

 Monroe and St. Clair Counties...................... 34,000

Kyte River - Rochelle, Ogle County............... 1,450,900

Lake Michigan Artificial Reef -

 Cook County........................................ 28,100

Little Calumet Watershed -

 Cook County........................................ 14,200

Loves Park - Winnebago County...................... 489,800

Lower Des Plaines River Watershed -

 Cook and Lake Counties............................ 975,000

Metro-East Sanitary District -

 Madison and St. Clair Counties..................... 60,600

North Branch Chicago River Watershed -

 Cook and Lake Counties............................. 25,700

Prairie du Rocher - Randolph County:

  For partial payment to implement the

  federal flood protection project for

  the Village of Prairie du Rocher in

  cooperation with local units of

  government........................................ 10,000

Prairie/Farmers Creek - Cook County.............. 5,234,000

Asian Carp Barrier - Cook County................. 1,800,000

Rock River Dams - Rock Island and

 Whiteside Counties................................ 186,000

Small Drainage and Flood Control

 Projects - Statewide (not to exceed

 $100,000 at any locality)......................... 464,900

Union - McHenry County.............................. 30,000

Village of Justice - Cook County................... 100,000

W. B. Stratton (McHenry) Lock

 and Dam - McHenry County.......................... 750,000

    Total                                       $35,603,700

 

    Section 395.  The sum of $342,600, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 165 of Public Act 93-97, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for expenditure by the Office of Water Resources in cooperation with federal agencies, state agencies and units of local government in the implementation of flood hazard mitigation plans in counties that received a Presidential Disaster Declaration as a result of flooding in calendar years 1993 and thereafter, in accordance with reports filed under Section 5 of the "Flood Control Act of 1945".

 

    Section 400.  The sum of $5,000,000, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 1, Section 290, page 50, line 1 of Public Act 93-97, and Article 3, Section 4 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements.

 

    Section 405.  The sum of $21,256,200, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 1, Section 290, page 50, line 2 of Public Act 93-97, and Article 3, Section 4 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements.

 

    Section 410.  The amount of $30,200, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 1, Section 285 of Public Act 93-97, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements.

 

    Section 415.  The amount of $4,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 4 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Department of Natural Resources for grants to public museums for permanent improvements.

 

    Section 420.  The sum of $110,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 95, page 28, line 17 of Public Act 93-97, as amended, is reappropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended.

 

    Section 425. The sum of $122,100, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 95, page 28, line 18 of Public Act 93-97, as amended, is reappropriated to the Department of Natural Resources from the State Furbearer Fund for the conservation of fur bearing mammals in accordance with the provisions of Section 5/1.32 of the "Wildlife Code", as now or hereafter amended.

 

    Section 430.  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, 2004, 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 Natural Areas Acquisition Fund:

    (From Article 1, Section

    150 on page 36, lines 11-16, of Public

    Act 93-97, as amended)

  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............................ 3,665,400

Payable from Natural Areas Acquisition Fund:

(From Article 1, Section 145 on

    page 34, lines 26-33, of Public

    Act 93-97, as amended)

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............................ 2,896,200

 

    Section 440.  The sum of $20,000,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 225, page 45, line 4 of Public Act 93-97, as amended, is reappropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments as provided in the "Open Space Lands Acquisition and Development Act".

 

    Section 445.  The sum of $41,813,300, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 225, page 45, line 5 of Public Act 93-97, as amended, is reappropriated from the Open Space Lands Acquisition and Development Fund to the Department of Natural Resources for expenses connected with and to make grants to local governments as provided in the "Open Space Lands Acquisition and Development Act".

 

FOR STATE PHEASANT PROGRAM

 

    Section 450.  The sum of $550,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 100, page 28, line 28 of Public Act 93-97, as amended, is reappropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended.

 

    Section 455.  The sum of $530,700, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 100, page 28, line 29 of Public Act 93-97, as amended, is reappropriated from the State Pheasant Fund to the Department of Natural Resources for the conservation of pheasants in accordance with the provisions of Section 5/1.31 of the "Wildlife Code", as now or hereafter amended.

 

    Section 460.  The sum of $1,150,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 105, page 29, line 7 of Public Act 93-97, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended.

 

    Section 465.  The sum of $726,100, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 105, page 29, line 8 of Public Act 93-97, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of high quality habitat lands in accordance with the provisions of the "Habitat Endowment Act", as now or hereafter amended.

 

    Section 470.  The sum of $223,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 110, page 29, line 17 of Public Act 93-97, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates.

 

    Section 475.  The sum of $707,800, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 110, page 29, line 18 of Public Act 93-97, as amended, is reappropriated from the Illinois Habitat Fund to the Department of Natural Resources for the preservation and maintenance of a high quality fish and wildlife habitat and to promote the heritage of outdoor sports in Illinois from revenue derived from the sale of Sportsmen Series license plates.

 

    Section 480.  The following named sums, or so much thereof as may be necessary and as remain unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Sections 230 and 235 of Public Act 93-97, as amended, made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are reappropriated to the Department of Natural Resources for refunds and the purposes stated:

Payable from Land and Water Recreation Fund:

    (From Article 1, Section

    235, page 46, line 18 of Public

    Act 93-97, as amended)

  For Outdoor Recreation Programs................ 6,200,000

Payable from Land and Water Recreation Fund:

    (From Article 1, Section 230

    on page 45, line 31, of Public

    Act 93-97, as amended)

  For Outdoor Recreation Programs............... 10,623,700

 

    Section 485.  The sum of $599,100, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 205, page 43, line 24 of Public Act 93-97, as amended, is reappropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including administration, enforcement, planning and implementation of this Act.

 

    Section 490.  The sum of $955,900, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 205, page 43, line 25 of Public Act 93-97, as amended, is reappropriated from the Off Highway Vehicle Trails Fund to the Department of Natural Resources for grants to units of local governments, not-for-profit organizations, and other groups to operate, maintain and acquire land for off-highway vehicle trails and parks as provided for in the Recreational Trails of Illinois Act, including administration, enforcement, planning and implementation of this Act.

 

    Section 495.  The sum of $5,000,300, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 1, Section 15 of Public Act 93-97, 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.

 

    Section 500.  The sum of $10,194,900, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 1, Section 20 of Public Act 93-97, 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.

 

    Section 505.  The sum of $2,551,600, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6 Section 1290, of Public Act 93-578, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for all costs associated with grants to various governmental units and not-for-profit entities for infrastructure improvements including but not limited to park and recreational projects, facilities, bike paths, equipment and any other necessary costs.

 

    Section 510.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 113 of Public Act 93-664, 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 515.  The sum of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 138 of Public Act 93-664, 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 520.  The sum of $635,629, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 147 of Public Act 93-664, 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 525.  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, 2004, from a reappropriation heretofore made in Article 5, Section 149 of Public Act 93-664, 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 530.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 140 of Public Act 93-664, 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 535.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 117 of Public Act 93-664, 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 540.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 118 of Public Act 93-664, 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 545.  The amount of $300,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 127 of Public Act 93-664, 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 550.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 128 of Public Act 93-664, 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 555.  The amount of $55,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 129 of Public Act 93-664, 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 560.  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, 2004, from a reappropriation heretofore made in Article 5, Section 136 of Public Act 93-664, 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 565.  The sum of $125,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Section 141 of Public Act 93-664, 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 570.  The sum of $200, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 6, Section 1155 of Public Act 93-587, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for all costs associated with a showerhouse at Nauvoo State Park.

 

    Section 575.  The following named sums, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Sections 230 and 235 of Public Act 93-97, as amended, made either independently or in cooperation with the Federal Government or any agency thereof, any municipal corporation, or political subdivision of the State, or with any public or private corporation, organization, or individual, are reappropriated to the Department of Natural Resources for refunds and the purposes stated:

Payable from Federal Title IV Fire Protection Assistance Fund:

    (From Article 1, Section 235

    on page 46, lines 23-34 of Public

    Act 93-97, as amended)

For Rural Community Fire

 Protection Program............................... 313,300

 

    Section 585.  Payable from Federal Title IV Fire

 Protection Assistance Fund:

    (From Article 1, Section 230 on page

    46, lines 6-7, of Public

    Act 93-97, as amended)

For Rural Community Fire

 Protection Program................................ 291,900

 

    Section 590.  The sum of $82,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 245, page 47, line 6 of Public Act 93-97, as amended, is reappropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles.

 

    Section 595.  The sum of $71,400, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 245, page 47, line 7 of Public Act 93-97, as amended, is reappropriated from the Snowmobile Trail Establishment Fund to the Department of Natural Resources for the administration and payment of grants to nonprofit snowmobile clubs and organizations for construction, maintenance, and rehabilitation of snowmobile trails and areas for the use of snowmobiles.

 

    Section 600.  The sum of $625,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 250, page 47, line 18 of Public Act 93-97, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended.

 

    Section 605.  The sum of $557,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 250, page 47, line 19 of Public Act 93-97, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for the payment of grants to timber growers for implementation of acceptable forestry management practices as provided in the "Illinois Forestry Development Act" as now or hereafter amended.

 

    Section 610.  To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $236,900, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 255, page 48, line 1 of Public Act 93-97, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance.

 

    Section 615. To the extent Federal Funds including reimbursements are made available for such purposes, the sum of $225,300, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 255, page 48, line 2 of Public Act 93-97, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Forest Stewardship Technical Assistance.

 

    Section 620.  To the extent federal funds including reimbursements are made available for such purposes, the sum of $35,300, or so much thereof as may be necessary and as remains unexpended, at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 260 of Public Act 93-97, as amended, is reappropriated from the Illinois Forestry Development Fund to the Department of Natural Resources for Urban Forestry programs, including technical assistance, education and grants.

 

    Section 625.  The sum of $493,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 140, page 32, line 32 of Public Act 93-97, as amended, is reappropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of attracting waterfowl and improving public migratory waterfowl areas within the State.

 

    Section 630.  The sum of $2,360,100, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 140, page 33, line 1 of Public Act 93-97, as amended, is reappropriated from the State Migratory Waterfowl Stamp Fund to the Department of Natural Resources for the purpose of attracting waterfowl and improving public migratory waterfowl areas within the State.

 

FOR BIKEWAYS PROGRAMS

 

    Section 635.  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:

 

  Section 640.  The sum of $10,900 or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 130, on page 31, lines 20-26 of Public Act 93-97, 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................................... 5,300

  Super Trail between the Quad Cities

   and Savannah.......................................... 0

  Illinois Prairie Path in

   Cook County....................................... 5,600

 

    Section 645.  The sum of $2,500,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 130, on page 31, line 33 Public Act 93-97, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths.

 

    Section 650. The sum of $14,044,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 130, on page 32, lines 1-7 of Public Act 93-97, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for grants to units of local government for the acquisition and development of bike paths.

 

    Section 655.  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, 2004, from an appropriation heretofore made in Article 1, Section 130, on page 32, lines 8-14 of Public Act 93-97, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources 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.

 

    Section 660.  The sum of $995,300, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 125 of Public Act 93-97, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for multiple use facilities and programs for conservation purposes provided by the Department of Natural Resources, including repairing, maintaining, reconstructing, rehabilitating, replacing fixed assets, construction and development, marketing and promotions, all costs for supplies, materials, labor, land acquisition and its related costs, services, studies, and all other expenses required to comply with the intent of this appropriation.

 

    Section 665.  The sum of $500,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 130 on page 31, line 11 of Public Act 93-97, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths.

 

    Section 670.  The sum of $2,034,600, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from  appropriations heretofore made in Article 1, Section 120 of Public Act 93-97, as amended, is reappropriated to the Department of Natural Resources from the Park and Conservation Fund for multiple use facilities and programs for conservation purposes provided by the Department of Natural Resources, including repairing, maintaining, reconstructing, rehabilitating, replacing fixed assets, construction and development, marketing and promotions, all costs for supplies, materials, labor, land acquisition and its related costs, services, studies, and all other expenses required to comply with the intent of this appropriation.

 

    Section 675.  The sum of $4,589,500, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 130 on page 31, line 12 of Public Act 93-97, as amended, is reappropriated from the Park and Conservation Fund to the Department of Natural Resources for land acquisition, development and maintenance of bike paths and all other related expenses connected with the acquisition, development and maintenance of bike paths.

 

    Section 680.  The sum of $1,500,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 135, page 32, line 19 of Public Act 93-97, 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.

 

    Section 685.  The sum of $4,427,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 135, page 32, line 20 of Public Act 93-97, 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.

 

    Section 690.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 1 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants and contracts for well plugging and restoration projects.  The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 700.  The amount of $228,836, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 4, Section 26 of Public Act 93-664, 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 705.  The sum of $15,591,300, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY03, Section 24 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants to museums for permanent improvements.

 

    Section 710.  The sum of $7,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 2 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the Division of Water Resources for costs associated with the repair of the Lake Michigan shoreline in Chicago.  The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 715.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 2-81 of Public Act 93-664, 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 720.  The sum of $87,574, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 2-83 of Public Act 93-664, 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 725.  The sum of $141,727, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 2-103 of Public Act 93-664, 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 730.  The sum of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 2-104 of Public Act 93-664, 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.

 

    Section 735.  The sum of $27,131, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 1-5 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants and contracts for well plugging and restoration projects.

 

    Section 740.  The sum of $382,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 1 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants and contracts for well plugging and restoration projects. The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 745.  The sum of $1,198,600, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY03, Section 1 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants and contracts for well plugging and restoration projects.  The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 750.  The sum of $571,700, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 2 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the Division of Water Resources for costs associated with the repair of the Lake Michigan shoreline in Chicago.  The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 755.  The sum of $7,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY03, Section 2 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the Division of Water Resources for costs associated with the repair of the Lake Michigan shoreline in  Chicago.  The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 760.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 6, Section 380 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the purpose of carrying out Phase 7 of the Willow-Higgins Creek improvement.

 

    Section 765.  The amount of $33,311, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY86, Section 8-1.22 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for costs associated with drainage, flood control and related improvements.

 

    Section 770.  The amount of $20,058, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY87a, Section 6-1.21 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for costs associated with drainage, flood control and related improvements.

 

    Section 775.  The amount of $189,520, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY86, Section 8-1.21 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the completion of the following projects at the approximate costs set forth below:

Lower Des Plaines River at Tributaries Watershed -

   Cook and DuPage Counties - for

   construction of drainage, flood control,

   recreation and related improvements and

   facilities in the Lower Des Plaines

   Watershed; and for necessary land

   acquisition, relocation, and related

   expenses, all in general conformance with

   the Lower Des Plaines River and Tributaries

   Watershed Work plan in cooperation with the

   U.S. Soil Conservation Service and local

   governments sponsoring this Federal

   Flood Control project........................... 189,520

 

    Section 780.  The amount of $132,507, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY89, Section 4-1.13 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the following projects at the approximate costs set forth below:

Des Plaines Watershed Mitigation - Cook,

DuPage, and Lake Counties - For

   implementation of flood hazard mitigation

   plans, developed in cooperation with units

   of local government in the Des Plaines

   Watershed, filed in accordance with Section

   5 of the Flood Control Act of 1945, as

   amended (Ill. Rev. Stat., Ch. 19, par. 126e) .... 70,935

Indian Creek - Kane County - For implementation

   of the Indian Creek flood control project

   in Kane County in cooperation with the City

   of Aurora ....................................... 13,850

Midlothian Creek - Cook County - Improvement of

   Midlothian Creek channel to provide flood

   damage reduction for Fernway Subdivision in

   cooperation with the Villages of Orland

   Park and Tinley Park...........................   47,722

    Total                                          $132,507

 

    Section 795.  The sum of $660,629, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY97, Section 32 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for all costs associated with flood control projects for the DuPage County Forest Preserve District.

 

    Section 800.  The amount of $136,000, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY87a, Section 6-2.27 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the design, construction and land acquisition of a retention basin in East Chicago Heights.

 

    Section 805.  The sum of $700,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Section 167 of Public Act 93-664, 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.

 

    Section 810.  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, 2004, 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 the Illinois Beach Marina Fund:

    (From Article 1, Section 145 on

    page 34, lines 15-19, of Public Act

    93-97, as amended)

  For rehabilitation, reconstruction,

   repair, replacing, fixed assets,

   and improvement of facilities at

   North Point Marina at Winthrop

   Harbor........................................... 97,500

 

    Section 815.  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, 2004, 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 the Illinois Beach Marina Fund:

    (From Article 1, Section 150

    on page 36, lines 6-9 of Public Act

    93-97, as amended)

  For rehabilitation, reconstruction,

   repair, replacing, fixed assets,

   and improvement of facilities at

   North Point Marina at Winthrop

   Harbor.......................................... 250,000

 

    Section 820.  The sum of $5,770,900, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 270, page 48, line 26 of Public Act 93-97, 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.

 

    Section 825.  The sum of $8,289,700, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 270, page 48, line 27 of Public Act 93-97, 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.

 

    Section 830.  No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in Sections:

  290 through 415,

  480,

  495 through 570, and

  640 through 805

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

Total, Article 31                              $394,251,945

 

ARTICLE 32

DEPARTMENT OF MILITARY AFFAIRS

 

    Section 5.  The sum of $243,700, or so much thereof as may be necessary, is appropriated from the Illinois National Guard Armory Construction Fund to the Department of Military Affairs for land acquisition and construction of parking facilities at armories.

Total, Article 32                                  $243,700

 

ARTICLE 33

DEPARTMENT OF MILITARY AFFAIRS

 

    Section 10.  The sum of $3,134, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 55 of Public Act 93-0076, as amended, is reappropriated from the Illinois National Guard Armory Construction Fund to the Department of Military Affairs for land acquisition and construction of parking facilities at armories.

Total, Article 33                                    $3,134

 

ARTICLE 34

DEPARTMENT OF STATE POLICE

 

    Section 10.  The sum of $23,734,522, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 7, Section 10 of Public Act 93-91, as amended, is reappropriated from the Capital Development Fund to the Department of State Police for the cost associated with a statewide voice communication system.

Total, Article 34                               $23,734,522

 

ARTICLE 35

DEPARTMENT OF TRANSPORTATION

 

    Section 5.  The sum of $9,000,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Department of Transportation for Permanent Improvements to Illinois Department of Transportation facilities, including but not limited to the purchase of land, construction, repair, alterations and improvements to maintenance and traffic facilities, district and central headquarters facilities, storage facilities, grounds, parking areas and facilities, fencing and underground drainage, including plans, specifications, utilities and fixed equipment installed and all costs and charges incident to the completion thereof at various locations.

 

    Section 10.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For costs associated with the

   identification and disposal of hazardous

   materials at storage facilities............... 1,158,600

  For Maintenance, Traffic and Physical

   Research Purposes (A)........................ 26,129,100

  For repair of damages by motorists

   to highway guardrails, fencing,

   lighting units, bridges, underpasses,

   signs, traffic signals, crash

   attenuators, landscaping, roadside

   shelters, rest areas, fringe parking

   facilities, sanitary facilities,

   maintenance facilities including salt

   storage buildings, vehicle weight

   enforcement facilities including scale

   houses, and other highway appurtenances,

   provided such amount shall not exceed

   funds to be made available from collections

   from claims filed by the Department

   to recover the costs of such

   damages....................................... 5,500,000

  For Maintenance, Traffic and Physical

   Research Purposes (B)........................ 12,207,100

    Total                                       $44,994,800

 

    Section 15.  The following named amounts, or so much thereof as may be necessary, are appropriated from the Road Fund to the Department of Transportation for the objects and purposes hereinafter named:

  For apportionment to counties for

   construction of township bridges 20

   feet or more in length as provided

   in Section 6-901 through 6-906 of the

   "Illinois Highway Code"...................... 15,000,000

  For apportionment to needy Townships and

   Road Districts, as determined by the

   Department in consultation with the County

   Superintendents of Highways, Township

   Highway Commissioners, or Road District

   Highway Commissioners........................ 10,014,300

  For apportionment to high-growth cities over

   5,000 in population, as determined by the

   Department in consultation with the Illinois

   Municipal League.............................. 4,000,000

  For apportionment to counties

   under 1,000,000 in population,

   $8,000,000 of the total apportioned

   in equal amounts to each eligible

   county, and $13,800,000 apportioned

   to each eligible county in proportion

   to the amount of motor vehicle license

   fees received from the residents of

   eligible counties............................ 21,800,000

    Total                                       $50,814,300

 

    Section 20.  The following sums, or so much thereof as may be necessary, are appropriated from the Road 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.................................. 0

 District 2, Dixon....................................... 0

 District 3, Ottawa...................................... 0

 District 4, Peoria...................................... 0

 District 5, Paris....................................... 0

 District 6, Springfield................................. 0

 District 7, Effingham................................... 0

 District 8, Collinsville................................ 0

 District 9, Carbondale.................................. 0

 Statewide..................................... 134,200,000

 Engineering............................................. 0

    Total                                      $134,200,000

 

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

 

    Section 30.  The sum of $204,042,900 or so much thereof as may be necessary, is appropriated from the Federal/Local Airport Fund to the Department of Transportation for funding the local or federal share of airport improvement projects undertaken pursuant to pertinent state or federal laws, provided such amounts shall not exceed funds available from federal and/or local sources.

 

    Section 35.  The sum of $3,500,000, or so much thereof as may be necessary, is appropriated from the State Rail Freight Loan Repayment Fund for funding the State Rail Freight Loan Repayment Program created by Section 49.25g-1 of the Civil Administrative Code of Illinois.

 

    Section 40.  The sum of $5,000,000, or so much thereof as may be necessary, is appropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for the federal share of the High Speed Rail Project.

 

    Section 45.  The sum of $16,157,400, or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation for financial assistance to airports pursuant to Section 34 of the Illinois Aeronautics Act, as amended, for such purposes as are described in that Section and for airport acquisition and development pursuant to Section 72 of the Illinois Aeronautics Act, as amended, for such purposes as are described in that Section and for making deposits into the Airport Land Loan Revolving Fund for loans pursuant to Section 34b of The Illinois Aeronautics Act, as amended, for such purposes as are described in that Section.

 

    Section 50.  The sum of $5,000,000 or so much thereof as may be necessary, is appropriated from the Transportation Bond Series B Fund to the Department of Transportation, pursuant to Section 4(c) of the General Obligation Bond Act, for expenses associated with land acquisition for the third Chicago area major airport.

 

    Section 55.  The following named sums, or so much thereof as may be necessary, are appropriated from the Transportation Bond Series B Fund to the Department of Transportation for construction costs, making grants and providing project assistance to municipalities, special transportation districts, private non-profit carriers, mass transportation carriers, and the Intercity Rail Program for the acquisition, construction, extension, reconstruction, and improvement of mass transportation facilities, including rapid transit, intercity rail, bus and other equipment used in connection therewith, as provided by law, as follows:

Pursuant to Section 4(b)(1) of the

  General Obligation Bond Act,

  as amended.................................... 76,000,000

For the counties of the state outside

  the counties of Cook, DuPage, Kane,

  McHenry, and Will pursuant to

  Section 4(b)(1) of the General

  Obligation Bond Act, as amended................ 5,000,000

For Operation Green Light Program............... 15,000,000

    Total                                       $96,000,000

 

    Section 60.  The sum of $1,500,000, or so much thereof as may be necessary, is appropriated from the Airport Land Loan Revolving Fund to the Department of Transportation for loans to airport sponsors for all costs associated with land acquisition.

 

    Section 65.  The sum of $15,039,000, or so much thereof as may be necessary, is appropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government.

 

    Section 70.  The following sums, or so much thereof as may be necessary,  are appropriated 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........................ 382,087,000

 District 2, Dixon.............................. 59,539,000

 District 3, Ottawa............................. 27,077,000

 District 4, Peoria............................ 175,071,000

 District 5, Paris.............................. 22,938,000

 District 6, Springfield........................ 47,420,000

 District 7, Effingham.......................... 17,657,000

 District 8, Collinsville....................... 84,992,000

 District 9, Carbondale......................... 24,424,000

 Statewide..................................... 116,330,000

  Engineering........................           107,465,000

    Total                                    $1,065,000,000

 

    Section 75.  The sum of $1,100,000, or so much thereof as may be necessary, is appropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the Rail Freight Service Assistance Program, created by Section 49.25a through 49.25g-1 of the Civil Administrative Code of Illinois.

 

    Section 80.  No contract shall be entered into or obligation incurred or any expenditure made from an appropriation herein made in

Section 1        Permanent Improvements

Section 7        State Rail Freight Loan Repayment

Section 8        Fed High Speed Rail Trust

Section 10       Series B (Aeronautics)

Section 11       Series B Land Acquisition Third Airport

Section 12       Series B (Transit)

Section 13       Airport Land Loan Revolving Fund

Section 16       Fed Rail Freight Loan Repayment

 

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

Total, Article 35                            $1,677,598,400

 

ARTICLE 36

DEPARTMENT OF TRANSPORTATION

    Section 1.  The sum of $50,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for a grant to the Village of Morrison for road improvements for the Morrison Industrial Spur.

 

    Section 2.  The sum of $31,970, or so much thereof as may be necessary, is appropriated from the Road 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 3.  The sum of $5,000, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for Lake County for intersection improvements at Route 132 and Deep Lake Road.

 

    Section 4.  The sum of $247,893, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for the Village of LaGrange to resurface LaGrange Road from Ogden to I-55.

 

    Section 5.  The sum of $165,435, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for a study of the expansion of Route 23 to four lanes from Streator to Ottawa.

 

    Section 6.  The sum of $12,501, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for topical resurfacing of existing roadway from Kedzie Avenue to Bell Avenue.

 

    Section 7.  The sum of $325,001, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for intersection improvements and traffic lights installation at 94th and Kedzie Avenue in Evergreen Park.

 

    Section 8.  The sum of $27,661, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for the City of Chicago for curbs and roadway improvements on Foster Avenue.

 

    Section 9.  The sum of $75,000, or so much thereof as may be necessary, is appropriated from the Road 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 10.  The sum of $233,769, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for the City of Chicago for resurfacing Pulaski Road from 79th to 87th.

 

    Section 11.  The sum of $870,000, or so much thereof as may be necessary, is appropriated from the Road 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 12.  The sum of $204,066, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation to resurface or repair Martin Luther King Drive between 67th and 79th Streets.

 

    Section 13.  In addition to any other funds that may be appropriated for the same purpose, the sum of $4,707, is appropriated from the Road 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 14.  The sum of $175,700, or so much thereof as may be necessary, is appropriated from the Road Fund to the Illinois Department of Transportation for resurfacing and cold milling on the Illinois River Bridge in Morris.

 

    Section 17. The sum of $14,330,994, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning Permanent Improvements heretofore made in Article 8A, Section 2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 18. The sum of $7,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation concerning Permanent Improvements heretofore made in Article 8, Section 2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 19. The sum of $5,390,104, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning railroad relocation demonstration projects heretofore made in Article 8A, Section 3a of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes, provided such amount does not exceed funds to be made available from the federal government.

 

    Section 20. The sum of $155,595, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning the State share of railroad relocation demonstration projects heretofore made in Article 8A, Section 3a2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 21. The sum of $14,405,287, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 3b1 of Public Act 93-91, as amended, for Engineering and Consultant Contracts only, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 22. The sum of $41,483,251, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 3b of Public Act 93-91, as amended, for Engineering and Consultant Contracts only, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 23. The sum of $100,918,676, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 3b3 of Public Act 93-91, as amended, for Engineering and Consultant Contracts only, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 24. The sum of $6,624,021, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made for “Engineering and Consultant Contracts” in Article 8A, Section 3b2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 25. The sum of $500,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 3b4 of Public Act 93-91, as amended, for preliminary engineering for western access to O'Hare Airport, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 26. The sum of $5,233,211, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning hazardous materials made in Article 8A, Section 3b5 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 27. The sum of $1,052,636, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation concerning hazardous materials made in Article 8, Section 4c of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 28. The sum of $3,690,818, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made for Formal Contracts in the line item, “For Maintenance, Traffic and Physical Research Purposes (A)” for the Central Offices, Division of Highways, in Article 8A, Section 3b6 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 29. The sum of $17,200,122, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation made for Formal Contracts in the line item, “For Maintenance, Traffic and Physical Research Purposes (A)” for the Central Offices, Division of Highways, in Article 8, Section 4c of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 30. The sum of $2,180,502, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning Highway Damage Claims heretofore made in Article 8A, Section 3b7 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 31.  The sum of $4,223,524, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation concerning Highway Damage Claims heretofore made in Article 8, Section 4c of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 32.  The amount of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 8B, Section 35 of Public Act 93-664, 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 33.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 8B, Section 36 of Public Act 93-664, 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 34.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 8B, Section 37 of Public Act 93-664, 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 35.  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, 2004, from an appropriation heretofore made in Article 8B, Section 38 of Public Act 93-664, 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 36.  The amount of $800,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 8B, Section 39 of Public Act 93-664, 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 37.  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, 2004, from an appropriation heretofore made in Article 8B, Section 40 of Public Act 93-664, 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 38. The sum of $7,477,399, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made for township bridges in Article 8A, Section 5a of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 39. The sum of $11,602,694, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made for township bridges in Article 8, Section 16 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 40. The sum of $43,302,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b4 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 41.  The sum of $131,430,678, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b3 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 42.  The sum of $123,163,576, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b2 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 43. The sum of $93,678,309, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made  in Article 8A Section 5b6 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 44. The sum of $19,218,795, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made  in Article 8A Section 5b5 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 45. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriations heretofore made in Article 8A, Section 5b1 of Public Act 93-91, as amended, are reappropriated from the Road 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 78-850; 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...................... 325,485,021

   District 2, Dixon............................. 8,689,602

   District 3, Ottawa............................ 7,772,033

   District 4, Peoria........................... 10,000,314

   District 5, Paris............................ 10,467,167

   District 6, Springfield...................... 10,291,113

   District 7, Effingham........................ 28,299,332

   District 8, Collinsville..................... 39,194,105

   District 9, Carbondale........................ 6,893,241

   Statewide.................................... 39,508,756

  Total                                        $486,600,684

 

    Section 46. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriations heretofore made in Article 8, Section 16b of Public Act 93-91, as amended, are reappropriated from the Road 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 78-850; 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...................... 251,604,260

   District 2, Dixon............................ 16,112,128

   District 3, Ottawa........................... 14,794,889

   District 4, Peoria............................ 9,151,544

   District 5, Paris............................. 9,769,805

   District 6, Springfield...................... 18,362,064

   District 7, Effingham......................... 6,994,491

   District 8, Collinsville..................... 11,939,179

   District 9, Carbondale........................ 9,673,387

   Statewide ................................... 31,618,019

    Total                                      $380,019,766

 

    Section 47.  The sum of $963,018, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 34 of Public Act 93-664, is reappropriated from the Road Fund to the Department of Transportation for the same purposes.

 

    Section 48.  The sum of $320,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 8, Section 27 of Public Act 93-91, as amended, is reappropriated from the Road Fund to the Department of Transportation for traffic signalization and road construction improvements for Illinois Route 57 at Radio Road.

 

    Section 49.  The sum of $385,032, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 9 of Public Act 93-664, as amended, is reappropriated from the Road Fund to the Illinois Department of Transportation for the City of Chicago for the same purposes.

 

    Section 50.  The sum of $250,804, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 15 of Public Act 93-664, 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 51.  The sum of $24,545, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 22 of Public Act 93-664, 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 52.  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, 2004, from the appropriation heretofore made in Article 8B, Section 1 of Public Act 93-664, 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 53.  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, 2004, from the appropriation heretofore made in Article 8B, Section 2 of Public Act 93-664, 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 54.  The sum of $9,671,658, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8B, Section 3 of Public Act 93-664, 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 55.  The sum of $9,546,383, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore  made in Article 6, Section 1180 of Public Act 93-587, as amended, is reappropriated from the Road Fund to the Department of Transportation for preliminary engineering and construction engineering 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 56. The sum of $46,263,998, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made for grade crossing protection or grade separation in Article 8A, Section 5b18 of Public Act 93-91, as amended, is reappropriated from the Grade Crossing Protection Fund to the Department of Transportation for the same purpose.

 

    Section 57. The sum of $25,879,731, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made for grade crossing protection or grade separation in Article 8, Section 17 of Public Act 93-91, as amended, is reappropriated from the Grade Crossing Protection Fund to the Department of Transportation for the same purpose.

 

    Section 58. The sum of $152,968,049, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 6a of Public Act 93-91, as amended, is reappropriated from the Federal/Local Airport Fund to the Department of Transportation for the same purposes.

 

    Section 59. The sum of $71,763,100, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 18b of Public Act 93-91, as amended, is reappropriated from the Federal/Local Airport Fund to the Department of Transportation for the same purposes.

 

    Section 60.  The sum of $23,800, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 27 of Public Act 93-664, is reappropriated from the Capital Development Fund to the Department of Transportation for costs associated with the reconstruction of Industrial Drive.

 

    Section 61.  The sum of $1,590, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 28 of Public Act 93-664, 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 62.  The sum of $75,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 29 of Public Act 93-664, is reappropriated from the Capital Development Fund to the Department of Transportation for a traffic signal at 51st Street West in Rock Island.

 

    Section 63.  The sum of $493,597, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 33 of Public Act 93-664, 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 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......................... 36,064

  For improvements to Matherville Road in

   Mercer County.................................... $7,533

 

    Section 64.  The sum of $2,073,520, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 8B, Section 41 of Public Act 93-664, is reappropriated from the Capital Development Fund to the Department of Transportation for corridor protection along Route 158.

 

    Section 65. The sum of $155,802 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A Section 5b7 of Public Act 93-91, as amended, is reappropriated from the Capital Development Fund to the Department of Transportation for use as matching funds for the Illinois Transportation Enhancement program for the Historic Preservation Agency.

 

    Section 66.  The sum of $27,151, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b8 of Public Act 93-91, as amended, is reappropriated from the Capital Development Fund to the Department of Transportation for use as matching funds for the Illinois Transportation Enhancement program for the Department of Natural Resources.

 

    Section 67.  The sum of $26,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 13 of Public Act 93-664, 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 68. The sum of $12,549,710, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 9a1 of Public Act 93-91, as amended, is reappropriated from the State Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes.

 

    Section 69. The sum of $3,341,000 or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 20a2 of Public Act 93-91, as amended, is reappropriated from the State Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes.

 

    Section 70. The sum of $8,306,882, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 9a5 of Public Act 93-91, as amended, is reappropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for the federal share of the High Speed Rail Project.

 

    Section 71. The sum of $4,512,375, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 20a5 of Public Act 93-91, as amended, is reappropriated from the Federal High Speed Rail Trust Fund to the Department of Transportation for the federal share of the High Speed Rail Project.

 

    Section 72.  The sum of $8,869,810, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, less the reappropriations from Sections 72a and 72b, from the reappropriation heretofore made in Article 8A, Section 5b17 of Public Act 93-91, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    Section 72a.  The sum of $1,154,600, from the reappropriation heretofore made in Article 8A, Section 5b17 of Public Act 93-91, for statewide purposes, is reappropriated from the Road Fund to the Department of Transportation for expenditures on projects consistent with the purposes of the Road Fund.

 

    Section 72b.  The sum of $1,921,200, from the reappropriation heretofore made in Article 8A, Section 5b17 of Public Act 93-91, for statewide purposes, is reappropriated from the State Construction Account Fund to the Department of Transportation for expenditures on projects consistent with the purposes of the State Construction Account Fund.

 

    Section 73.  The sum of $68,957,348, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, less the reappropriations from Sections 73a and 73b, from the reappropriation heretofore made in Article 8A, Section 5b16 of Public Act 93-91, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    Section 73a.  The sum of $25,783,800, from the reappropriation heretofore made in Article 8A, Section 5b16 of Public Act 93-91, for statewide purposes, is reappropriated from the Road Fund to the Department of Transportation for expenditures on projects consistent with the purposes of the Road Fund.

 

    Section 73b.  The sum of $4,205,500, from the reappropriation heretofore made in Article 8A, Section 5b16 of Public Act 93-91, for statewide purposes, is reappropriated from the State Construction Account Fund to the Department of Transportation for expenditures on projects consistent with the purposes of the State Construction Account Fund.

 

    Section 74.  The sum of $265,866,720, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, less the reappropriations from Sections 74a and 74b, from the reappropriation heretofore made in Article 8A, Section 5b15 of Public Act 93-91, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    Section 74a.  The sum of $59,371,300, from the reappropriation heretofore made in Article 8A, Section 5b15 of Public Act 93-91, for statewide purposes, is reappropriated from the Road Fund to the Department of Transportation for expenditures on projects consistent with the purposes of the Road Fund.

 

    Section 74b.  The sum of $7,180,200, from the reappropriation heretofore made in Article 8A, Section 5b15 of Public Act 93-91, for statewide purposes, is reappropriated from the State Construction Account Fund to the Department of Transportation for expenditures on projects consistent with the purposes of the State Construction Account Fund.

 

    Section 75. The sum of $446,345,407, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 16b2 of Public Act 93-91, as amended, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    Section 76. The sum of $100,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 3, Section 1 of Public Act 93-587, as amended, for statewide purposes, is reappropriated from the Transportation Bond Series A Fund to the Department of Transportation for the same purposes.

 

    Section 77. The sum of $34,008,567, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning airport improvements heretofore made in Article 8A, Section 6a1 of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 78. The sum of $16,032,300, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation concerning airport improvements heretofore made in Article 8, Section 18b1 of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 79. The sum of $27,885,567, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 6b of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 80. The sum of $5,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 18b1a of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 81.  The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriations heretofore made in Article 8A, Section 8b of Public Act 93-91, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows:

 

  Pursuant to Section 4(b)(1) of

    the General Obligation Bond Act,

    as amended................................. 176,194,451

  For the counties of the State

    outside the counties of Cook,

    DuPage, Kane, McHenry, and Will,

    pursuant to Section 4(b)(1)

    of the General Obligation Bond

     Act, as amended............................ 19,664,879

  For the Department of Transportation's

    Greenlight Program pursuant to

    Section 4(b)(1) of the General

    Obligation Bond Act, as amended............ 52,033,678

  To extend the metrolink rail line

  to Mid-America Airport......................... 5,000,002

    Total                                      $252,893,010

 

    Section 82.  The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriations heretofore made in Article 8, Section 19b2 of Public Act 93-91, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows:

 

  Pursuant to Section 4(b)(1) of

    the General Obligation Bond Act,

    as amended.................................. 76,000,000

  For the counties of the State

    outside the counties of Cook,

    DuPage, Kane, McHenry, and Will,

    pursuant to Section 4(b)(1)

    of the General Obligation Bond

     Act, as amended............................. 5,000,000

  For the Department of Transportation's

    Greenlight Program pursuant to

    Section 4(b)(1) of the General

    Obligation Bond Act, as amended............. 15,000,000

    Total                                       $96,000,000

 

    Section 83. The sum of $4,963,616, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 8b2 of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 84.  The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriations heretofore made in Article 8A Section 8b1 of Public Act 93-91, as amended, are reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes as follows:

  Pursuant to Section 4(b)(1) of the General

    Obligation Bond Act, as amended.............. 3,007,142

  For the counties of Cook, DuPage,

    Kane, Lake, McHenry and Will,

    pursuant to Section 4(b)(2) of

    the General Obligation Bond Act,

    as amended................................... 3,072,263

  For the counties of the State

    outside the counties of Cook,

    DuPage, Kane, Lake, McHenry and

    Will, pursuant to Section

    4(b)(3) of the General Obligation

    Bond Act, as amended........................... 871,759

    Total                                        $6,951,164

 

    Section 85. The sum of $26,358,536, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 9a7 of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 86. The sum of $20,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 20a6 of Public Act 93-91, as amended, is reappropriated from the Transportation Bond Series B Fund to the Department of Transportation for the same purposes.

 

    Section 87.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 23 of Public Act 93-664, 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 88.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 25 of Public Act 93-664, 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 89.  The sum of $8,289, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 30 of Public Act 93-664, 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 90.  The sum of $320,052, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 31 of Public Act 93-664, 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 91. The sum of $3,671,276, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 6, Section 1185 of Public Act 93-587, as amended, is reappropriated from the Fund for Illinois’ Future to the Department of Transportation for preliminary engineering and construction engineering 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 78-850; 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 92.  The sum of $474,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 6, Section 1195 of Public Act 93-587, as amended by the Act, is reappropriated from the Fund for Illinois’ Future to the Department of Transportation for preliminary engineering and construction engineering 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 78-850; 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 94.  The sum of $356,969, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 24 of Public Act 93-664, 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 95.  The sum of $300,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 26 of Public Act 93-664, 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 96.  The sum of $50,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8B, Section 32 of Public Act 93-664, is reappropriated from the Fund for Illinois' Future to the Department of Transportation for renovation of the Wood Dale METRA station.

 

    Section 97. The sum of $47,367,738, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section  8b4 of Public Act 93-91, as amended, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government. 

 

    Section 98. The sum of $15,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 8, Section 19b8 of Public Act 93-91, as amended, is reappropriated from the Federal Mass Transit Trust Fund to the Department of Transportation for the federal share of capital, operating, consultant services, and technical assistance grants, as well as state administration and interagency agreements, provided such amounts shall not exceed funds to be made available from the Federal Government.

 

    Section 99. The sum of $168,585,848, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriations heretofore made in Article 8, Section 16b1 of Public Act 93-91, as amended, for Engineering and Consultant Contracts only, is reappropriated from the State Construction Fund to the Department of Transportation for the same purposes.

 

    Section 100. The sum of $5,729,119, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b12 of Public Act 93-91, as amended, is reappropriated from the State Construction Account Fund to the Department of Transportation for the same purposes.

 

    Section 101. The sum of $25,595,890, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b11 of Public Act 93-91, as amended, is reappropriated from the State Construction Account Fund to the Department of Transportation for the same purposes.

 

    Section 102. The sum of $56,070,088, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b10 of Public Act 93-91, as amended, is reappropriated from the State Construction Account Fund to the Department of Transportation for the same purposes.

 

    Section 103. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriations heretofore made in Article 8A, Section 5b9 of Public Act 93-91, as amended, 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....................... 45,851,186

   District 2, Dixon............................. 5,330,733

   District 3, Ottawa............................ 1,023,558

   District 4, Peoria............................ 2,706,282

   District 5, Paris............................... 868,053

   District 6, Springfield....................... 1,180,665

   District 7, Effingham......................... 5,204,326

   District 8, Collinsville...................... 9,776,972

   District 9, Carbondale.......................... 454,584

   Statewide.................................... 14,834,129

    Total                                       $87,230,488

 

    Section 104.  The sum of $13,037,344, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b14 of Public Act 93-91, as amended, is reappropriated from the State Construction Account Fund to the Department of Transportation for the same purposes.

 

    Section 105.  The sum of $5,166,906, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 8A, Section 5b13 of Public Act 93-91, as amended, is reappropriated from the State Construction Account Fund to the Department of Transportation for the same purposes.

 

    Section 106. The following named sums, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriations heretofore made in Article 8, Section 16b1 of Public Act 93-91, as amended, 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....................... 78,634,172

   District 2, Dixon............................ 60,912,248

   District 3, Ottawa........................... 41,716,704

   District 4, Peoria........................... 17,358,566

   District 5, Paris............................ 32,907,416

   District 6, Springfield...................... 53,726,128

   District 7, Effingham........................ 24,951,580

   District 8, Collinsville..................... 46,558,929

   District 9, Carbondale....................... 31,105,562

   Statewide.................................... 95,906,896

    Total                                      $483,778,201

 

    Section 107. The sum of $3,389,212, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning the federal share of the Rail Freight Loan Repayment Program heretofore made in Article 8A, Section 9a2 of Public Act 93-91, as amended, is reappropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes. 

 

    Section 108. The sum of $1,100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation concerning the federal share of the Rail Freight Loan Repayment Program heretofore made in Article 8, Section 20a3 of Public Act 93-91, as amended, is reappropriated from the Rail Freight Loan Repayment Fund to the Department of Transportation for the same purposes. 

 

    Section 109. The sum of $11,228,887, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning Public Transportation heretofore made in Article 8A, Section 8b3 of Public Act 93-91 as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

    Section 110. The sum of $2,916,954, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation concerning Rail Freight Service Assistance Program heretofore made in Article 8A, Section 9a of Public Act 93-91, as amended, is reappropriated from the General Revenue Fund to the Department of Transportation for the same purposes.

 

    Section 111. No contract shall be entered into or obligation incurred or any expenditure made from a reappropriation herein made in:

 

Section 17        Permanent Improvements

Section 18        Permanent Improvements

Section 19        Rail Relocation – Federal

Section 20        Rail Relocation - State

Section 65        CDB  Enhancement

Section 66        CDB - Enhancement

Section 68        State Rail Freight Loan Repayment

Section 69        State Rail Freight Loan Repayment

Section 70        FHSRTF High Speed Rail - Federal

Section 71        FHSRTF High Speed Rail - Federal

Section 72        Series A - (Road Program)

Section 73        Series A - (Road Program)

Section 74        Series A - (Road Program)

Section 75        Series A - (Road Program)

Section 76        Series A - (Road Program)

Section 77        Series B - (Aeronautics)

Section 78        Series B - (Aeronautics)

Section 79        Series B (Land Acquisition 3rd Airport)

Section 80        Series B (Land Acquisition 3rd Airport)

Section 82        Series B (Transit)

Section 81        Series B (Transit)

Section 83        Series B (Transit)

Section 84        Series B (Transit)

Section 85        Series B (Rail)

Section 86        Series B (Rail)

Section 107       Federal Rail Freight Loan Repayment

Section 108       Federal Rail Freight Loan Repayment

Section 109       Build Illinois Bond Fund (Transit)

Section 110       Build Illinois Bond Fund (Rail Freight

                   Program)

 

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

Total, Article 36                            $4,304,075,996

 

ARTICLE 37

CAPITAL DEVELOPMENT BOARD

 

    Section 1.  The sum of $16,604 is appropriated from the Capital Development Fund to the Capital Development Board for the Department of Agriculture to replace horse barn windows at the DuQuoin State Fairgrounds.

 

    Section 1a.  The sum of $977,309 is appropriated from the Capital Development Fund to the Capital Development Board for the Department of Agriculture for the purpose of replacing or upgrading the 14 series barns at the Illinois State Fairgrounds at Springfield.

 

    Section 1b.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purposes in Article 2, Section 1a of Public Act 93-587, as amended, is reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Department of Agriculture for the project hereinafter enumerated:

ILLINOIS STATE FAIRGROUNDS - SPRINGFIELD

(From Article 2, Section 1a of Public Act 93-587)

For upgrading the chemistry/seed

  laboratory systems................................ 46,156

 

    Section 1c.  The sum of $733,109 is appropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Agriculture to construct a multi-purpose building and the DuQuoin State Fairgrounds.

 

    Section 2.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 2, Section 2 of Public Act 93-587, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

 

MT. VERNON APPELLATE COURT BUILDING

(From Article 2, Section 2 of Public Act 93-587)

For expanding the courthouse........................ 90,860

For expanding the courthouse, in

  addition to funds previously

  appropriated..................................... 238,320

SPRINGFIELD - SUPREME COURT BUILDING

For replacing the roofing system, in addition

  to funds previously appropriated.................. 19,090

For replacing the roof.............................. 23,575

For renovating the HVAC system on

  the 3rd Floor.................................... 140,000

For installing humidifier and water

  filtration systems............................. 1,570,950

APPELLATE COURT SECOND DISTRICT - ELGIN

For miscellaneous improvements..................... 297,432

    Total                                        $2,380,227

 

    Section 2a.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made in Article 2, Section 2a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

APPELLATE COURT THIRD DISTRICT - OTTAWA

For tuckpointing, repairing the exterior

  and replacing the roof, in addition to

  funds previously appropriated.................... 144,476

 

    Section 2b.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 5, Division FY01, Section 20 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SUPREME COURT BUILDING - SPRINGFIELD

For renovating the Library and

  completing HVAC, in addition to funds

  previously appropriated.......................... 235,000

 

    Section 2.5.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Sections 18 and 19 of Public Act 93-587, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Office of the Architect of the Capitol for the projects hereinafter enumerated:

 

CAPITOL BUILDING - SPRINGFIELD

(From Article 1, Section 18 of Public Act 93-587)

For equipment, remodeling and all other

  costs related to the maintenance, renovation

  or restoration of areas located in the

  Capitol Building............................... 2,500,000

(From Article 1, Section 19 of Public Act 93-587)

For all costs related to asbestos and

  environmental abatement in the

  Capitol Building............................... 7,500,000

    Total                                       $10,000,000

 

    Section 3.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made in Article 1, Sections 9, 17 and 20, and Article 2, Section 3 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL BUILDING - SPRINGFIELD

(From Article 1, Section 17 of Public Act 93-587)

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....................................... 2,650,000

 (From Article 1, Section 20 of Public Act 93-587)

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

 (From Article 2, Section 3 of Public Act 93-587)

For upgrading the HVAC systems, in

  addition to funds previously

  appropriated................................... 3,043,966

CAPITOL COMPLEX - SPRINGFIELD

For completing the stone restoration, in

  addition to funds previously appropriated...... 1,520,119

For renovating the exterior of the Capitol

  and Howlett Buildings............................. 31,784

For demolition of 222 S. College,

  and landscaping of Capitol Complex

  in addition to funds previously

  appropriated................................... 1,200,000

For demolition of 222 South College

  Building and landscaping of

  Capitol Complex................................ 2,387,894

DRIVER'S FACILITY WEST - CHICAGO

For renovating the building........................ 855,000

MOTOR VEHICLE SERVICES FACILITY - SPRINGFIELD

(From Article 1, Section 9 of Public Act 93-587)

For upgrading the fire alarm and

  security systems................................. 430,000

STATE POWER PLANT - SPRINGFIELD

(From Article 2, Section 3 of Public Act 93-587)

For installing new water service and

  repairing power plant systems..................... 72,377

WILLIAM G. STRATTON BUILDING - SPRINGFIELD

For the planning, design, reconstruction,

  and construction to renovate or replace

  the Stratton Office Building, in addition

  to funds previously appropriated.............. 11,582,631

    Total                                       $21,123,771

 

    Section 3b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 5, Division FY02, Section 24 and Division FY01, Section 21 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL COMPLEX – SPRINGFIELD

(From Article 5, Division FY02, Section 24 of Public Act 93-587)

For upgrading fire alarm systems in

  two buildings................................... 150,642

(From Article 5, Division FY01, Section 21 of Public Act 93-587

For expanding the shipping and

  receiving dock................................... 227,746

    Total                                          $378,388

 

    Section 4.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 3 and Article 2, Section 4 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

STATEWIDE

(From Article 1, Section 3 of Public Act 93-587)

For upgrading the building security

  system at the James R. Thompson Center

  and the State of Illinois building

  in addition to funds previously

  appropriated..................................... 655,000

(From Article 2, Section 4 of Public Act 93-587)

For replacing roofing systems at the

  following locations at the approximate

  costs set forth below............................ 175,358

    Effingham State Garage........ 190,000 ????

OFFICE AND LAB BUILDING, CHICAGO MEDICAL CENTER

For planning and beginning the renovation

  of the facility................................ 1,624,703

DIXON STATE GARAGE - LEE COUNTY

For upgrading the lighting and

  replacing the roof............................... 240,981

JAMES R. THOMPSON CENTER - CHICAGO

(From Article 1, Section 3 of Public Act 93-587)

For installing an emergency generator............ 3,545,000

(From Article 2, Section 4 of Public Act 93-587)

For rehabilitating exterior columns, in

  addition to funds previously appropriated...... 1,000,000

For upgrading mechanical systems, in

  addition to funds previously appropriated........ 834,994

For upgrading mechanical systems.................... 29,708

MEDICAL CENTER (DCFS DISTRICT OFFICE) - CHICAGO

For replacing roof and upgrading

  mechanical and electrical systems................ 336,425

PARIS STATE GARAGE

For replacing the roof and improving

  the exterior...................................... 62,001

ROCKFORD REGIONAL OFFICE BUILDING

(From Article 1, Section 3 of Public Act 93-587)

For replacing Halon and upgrading

  the air conditioning............................. 450,000

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION

ROOSEVELT ROAD - CHICAGO

(From Article 2, Section 4 of Public Act 93-587)

For upgrading electrical systems................... 436,295

For upgrading the HVAC system....................... 98,237

ILLINOIS CENTER FOR REHABILITATION AND

EDUCATION (WOOD) - CHICAGO

For upgrading fire and safety systems.............. 118,253

SPRINGFIELD - RESEARCH AND COLLECTION CENTER

For expanding surplus warehouse.................... 772,082

SPRINGFIELD STATE GARAGE

For renovating the interior of the

  central garage................................... 120,410

SPRINGFIELD - COMPUTER FACILITY

(From Article 2, Section 4 of Public Act 93-587)

For upgrading the computer room and the

  electrical system.............................. 1,130,929

For installing a cooling tower and fire alarm

  system and various other improvements............ 162,911

For replacement of the halon fire

  suppression system................................ 18,598

STATE OF ILLINOIS BUILDING - CHICAGO

For restoring exterior and rebuilding

  foundation....................................... 728,590

SUBURBAN NORTH REGIONAL OFFICE BUILDING -

DES PLAINES

For planning and beginning

  rehabilitation of the exterior and

  upgrading the atrium.............................. 43,499

For renovating offices for Environmental

  Protection Agency, in addition to funds

  previously appropriated.......................... 175,498

For renovation of Suburban North Regional

  Office Building (formerly Maine Township

  North High School building), in addition

  to funds previously appropriated for such

  purpose, Phase III................................ 67,470

    Total                                       $12,826,942

 

    Section 4.2.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made for such purposes in Article 2, Section 4.2 of Public Act 93-587, are reappropriated from the General Revenue Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

 

JAMES R. THOMPSON CENTER – CHICAGO

(From Article 2, Section 4.2 of Public Act 93-587)

For restoring the exterior plaza.................... 78,933

 

    Section 4a.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 2, Section 4a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

CHICAGO-READ - MEMORIAL CEMETERY

(From Article 2, Section 4a of Public Act 93-587)

For upgrading site.................................. 19,564

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION

(ROOSEVELT ROAD) - CHICAGO

For tuckpointing exterior.......................... 809,945

For upgrading lighting & paging systems............ 125,000

For constructing a parking lot..................... 132,600

    Total                                        $1,087,109

 

    Section 4b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 8, Division FY02, Section 15 and Division FY01, Section 10 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

STATEWIDE

(From Article 5, Division FY03, Section 8 of Public Act 93-587)

Telecommunications Building - Springfield

  Roof Replacement................................. 283,693

ILLINOIS CENTER FOR REHABILITATION AND EDUCATION

(ROOSEVELT) – CHICAGO

(From Article 5, Division FY02, Section 15 of Public Act 93-587)

For replacing the roofing system.................. 282,522

For upgrading the kitchen and plumbing............. 248,489

CHAMPAIGN REGIONAL OFFICE BUILDING

For upgrading the HVAC system...................... 16,289

JAMES R. THOMPSON CENTER - CHICAGO

 (From Article 5, Division FY01, Section 10 of Public Act 93-587)

For rehabilitating exterior columns, in

  addition to funds previously appropriated........ 48,157

SPRINGFIELD REGIONAL OFFICE BUILDING

For rehabilitating the HVAC system................... 7,393

    Total                                          $886,543

 

    Section 5.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 7, and Article 2, Section 5 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

ARGYLE LAKE STATE PARK - MCDONOUGH COUNTY

(From Article 1, Section 7 of Public Act 93-587)

For upgrading the sewage treatment system.......... 275,000

BABE WOODYARD STATE NATURAL AREA -

VERMILION COUNTY

(From Article 2, Section 5 of Public Act 93-587)

For developing the site and associated

  land acquisition............................... 2,610,485

BEAVER DAM STATE PARK - MACOUPIN COUNTY

For replacing the sewage system.................... 628,814

CARLYLE LAKE STATE PARKS

For cabin construction and site

  improvements at Eldon

  Hazlet State Park, Phase II...................... 165,910

For road and site improvements at

  Carlyle Lake................................... 1,477,424

For infrastructure and site

  improvements at Carlyle Lake..................... 863,871

CASTLE ROCK STATE PARK - OGLE COUNTY

For rehabilitating the scenic

  overlook and water system...................... 1,045,188

CHAIN O' LAKES STATE PARK - MCHENRY COUNTY

For upgrading sewage treatment system............... 41,491

EAGLE CREEK STATE PARK - SHELBY COUNTY

For constructing lake access boat

  docks at resort.................................. 356,503

ELDON HAZLET STATE PARK - CLINTON COUNTY

For replacing the main waterline.................... 13,354

FERNE CLYFFE STATE PARK - JOHNSON COUNTY

(From Article 1, Section 7 of Public Act 93-587)

For replacing the campground

  sewage treatment system.......................... 400,000

FORT MASSAC STATE PARK - MASSAC COUNTY

(From Article 2, Section 5 of Public Act 93-587)

For reconstructing the fort......................... 81,514

FOX RIDGE STATE PARK - COLES COUNTY

For replacing spillway............................. 160,000

GOOSE LAKE PRAIRIE NATURAL AREA - GRUNDY COUNTY

For replacing floating boardwalk................... 485,000

HENNEPIN CANAL PARKWAY STATE PARK AND ACCESS AREA

For rehabilitating/repairing railroad

  bridges, in addition to funds

  previously appropriated.......................... 859,185

For rehabilitating aqueducts

  #3, #4 and #8.................................... 374,411

HORSESHOE LAKE CONSERVATION AREA - ALEXANDER COUNTY

For dam rehabilitation and the State's share

  to implement the ecological restoration

  plan in cooperation with the U.S.

  Army Corps of Engineers, and

  land acquisition................................. 842,605

I & M Canal - CHANNAHON STATE PARK - WILL COUNTY

For improving DuPage River Spillway................ 110,000

ILLINOIS BEACH STATE PARK - LAKE COUNTY

For replacing sanitary sewer line................... 79,748

For replacing sanitary sewer lines................. 362,372

KANKAKEE RIVER STATE PARK - KANKAKEE/WILL COUNTIES

For constructing sanitary sewer system, in

  addition to funds previously appropriated...... 5,000,000

For planning and constructing a

  sanitary sewer system............................. 32,923

KICKAPOO STATE PARK - VERMILION COUNTY

For replacing stairway to Long Pond................ 217,450

For rehabilitating the water

  system and day-use areas......................... 181,796

LAKE LE-AQUA-NA STATE PARK - STEPHENSON COUNTY

For replacing sewage treatment plant............... 158,077

LAKE MURPHYSBORO STATE PARK - JACKSON COUNTY

For replacing the district office

  building.......................................... 97,310

LINCOLN TRAIL STATE RECREATION AREA - CLARK COUNTY

For renovating the concession

  building.......................................... 40,010

For upgrading campground electrical

  and drainage..................................... 143,087

MASON STATE FOREST TREE NURSERY

For expanding the cold storage facility............. 33,004

For expanding the seed cleaning facility........... 210,659

MORAINE HILLS STATE PARK - MCHENRY COUNTY

For replacement of restrooms and upgrading

  the water system.................................. 82,922

MORAINE VIEW STATE PARK - MCLEAN COUNTY

For upgrading the water plant...................... 165,475

MORRISON-ROCKWOOD STATE PARK

For improving the water system and

  rehabilitating the campground water............... 59,276

NORTH POINT MARINA - LAKE COUNTY

For construction of a breakwater structure....... 1,012,492

RED HILLS STATE PARK - LAWRENCE COUNTY

For miscellaneous improvements..................... 824,760

RESEARCH & COLLECTIONS CENTER - SPRINGFIELD

For renovating the interior........................ 239,668

ROCK CUT STATE PARK - WINNEBAGO COUNTY

For upgrading the sewage system.................. 1,936,593

NEW OFFICE BUILDING - SPRINGFIELD

For completing construction of an

  office building, in addition to funds

  previously appropriated........................... 65,000

SAM PARR STATE PARK - JASPER COUNTY

For renovating recreational facilities........... 1,915,000

SILOAM SPRINGS STATE PARK - ADAMS COUNTY

For rehabilitating office/service

  area........................................... 1,200,000

SNAKEDEN HOLLOW FISH AND WILDLIFE AREA - KNOX COUNTY

For rehabilitating the Spillway, in

  addition to funds previously

  appropriated...................................... 50,391

SPRING GROVE FISHERIES CENTER - MCHENRY COUNTY

For planning and beginning renovation

  of hatchery...................................... 144,480

SPRINGFIELD

For constructing an office building and

  interpretive center.............................. 425,203

SPRING LAKE CONSERVATION AREA - TAZEWELL COUNTY

For stabilizing levee and

  shoreline........................................ 410,806

STARVED ROCK STATE PARK - LASALLE COUNTY

For construction of a visitors center, in

  addition to funds previously appropriated......... 24,820

For rehabilitating the sewer system................. 36,399

STARVED ROCK STATE PARK AND LODGE - LASALLE COUNTY

For upgrading water and sewer systems.............. 600,000

WASTE MANAGEMENT & RESEARCH CENTER

For constructing a garage and

  storage area..................................... 368,284

WELDON SPRINGS STATE PARK - DE WITT COUNTY

For upgrading residence utilities................... 40,000

WHITE PINES FOREST STATE PARK - OGLE COUNTY

(From Article 1, Section 7 of Public Act 93-587)

For completing the replacement of the

  sewer system, in addition to funds

  previously appropriated.......................... 665,000

(From Article 2, Section 5 of Public Act 93-587)

For planning and beginning sewer system

  replacement....................................... 57,278

For planning and beginning lodge and cabin

  restoration....................................... 49,021

WILDLIFE PRAIRIE PARK

(From Article 1, Section 7 of Public Act 93-587)

For rehabilitating the sewage

  treatment plant.................................. 780,000

(From Article 2, Section 5 of Public Act 93-587)

For planning and beginning the upgrade

  of the park...................................... 137,296

WILLIAM W. POWERS FISH AND WILDLIFE AREA – COOK COUNTY

For replacing sanitary sewer lines and

  lift station..................................... 481,155

TUNNEL HILL-CACHE RIVER STATE NATURAL AREA

For constructing a visitor center and

  purchasing land.................................. 367,593

STATE MUSEUM - SPRINGFIELD

Plan, begin construction of Illinois

  State Museum................................... 3,573,090

For renovating or replacing exhibits, in

  addition to funds previously appropriated........ 414,340

For planning and replacement of the main

  museum exhibits, in addition to funds

  previously appropriated........................... 20,822

STATEWIDE

(From Article 1, Section 7 of Public Act 93-587)

For replacing/repairing the roofing systems

  at the following locations at the approximate

  cost set forth below............................ 245,000

  Clinton Lake Recreational

   Area - DeWitt County................. 65,000

  Ferne Clyffe State Park-

   Johnson County....................... 20,000

  Hennepin Canal Parkway

   State Park........................... 26,000

  Lake Le-Aqua-Na State Park-

   Stephenson County.................... 39,000

  Mermet Lake Conservation Area-

   Massac County........................ 95,000

(From Article 2, Section 5 of Public Act 93-587)

For replacing/repairing the roofing systems

  at the following locations at the approximate

  costs set forth below........................... 240,000

  Jubilee College State

   Park-Peoria County................... 45,000

  Starved Rock State Park &

   Lodge-LaSalle County................. 60,000

  Kaskaskia River Fish & Wildlife

   Area-Randolph County................. 25,000

  Pyramid State Park-

   Perry County......................... 55,000

  Region V Office (Benton)

   Franklin County...................... 55,000

For rehabilitating dams and bridges................ 925,644

For constructing, replacing and

  renovating lodges and concession

  buildings...................................... 6,076,457

For replacing roofs at the following locations,

  at the approximate cost set forth below.......... 168,860

  Shabbona Lake State

   Park................................. 42,215

  Hennepin Canal Parkway

   State Park........................... 42,215

  Randolph Fish &

   Wildlife Area........................ 42,215

  Dixon Springs State

   Park................................. 42,215

For replacing and constructing vault

  toilets at the following locations,

  at the approximate cost set forth

  below............................................ 904,567

   Wayne Fitzgerrell State Park........ 225,799

   Hennepin Canal Parkway

   State Trail......................... 570,843

   Kaskaskia River Fish &

   Wildlife Area....................... 107,925

For rehabilitating bridges at the

  following locations, at the approximate

  cost set forth below............................. 257,944

   Frank Holten State Park............. 257,944

For rehabilitating dams at the

  following locations, at the

  approximate cost set forth below................. 663,641

   Rock Cut State Park................. 450,000

   Snakeden Hollow State Park.......... 213,641

For replacing roofs at the following

  locations, at the approximate

  cost set forth below............................. 243,211

   Southern IL Arts &

    Crafts Center....................... 40,000

   Frank Holten State Park.............. 30,000

   DNR Geological Survey-

    Champaign............................ 9,364

   Sangchris Lake State

    Park................................. 5,000

   Illini State Park..................... 1,692

   Shelbyville Fish &

    Wildlife Area....................... 45,000

   Trail of Tears State

    Forest............................... 8,921

   Sanganois Conservation Area........... 5,291

   Rice Lake State Park................. 28,090

   Hidden Spring State Park............. 43,613

   Siloam Springs State Park............. 2,417

   Mississippi Palisades

    State Park.......................... 23,823

For replacing roofing systems at the

  following locations, at the approximate

  cost set forth below............................. 325,528

    Beall Woods Conservation Area -

     Wabash County....................... 2,500

    Eldon Hazlet State Park -

     Clinton County...................... 2,475

    Fox Ridge State Park -

     Coles County....................... 21,532

    Giant City State Park -

     Jackson/Union Counties.................. 1

    Goose Lake Prairie State Park -

     Grundy County....................... 9,450

    Hennepin Canal Parkway State Trail . 41,303

    Illinois Beach State Park -

     Lake County....................... 146,682

    Illinois Caverns Natural Area -

     Monroe County...................... 21,000

    Kankakee River State Park -

     Kankakee/Will Counties............. 38,647

    Moraine Hills State Park -

     McHenry County..................... 23,387

    Moraine View State Park -

     McLean County....................... 3,601

    Ramsey Lake State Park -

     Fayette County...................... 1,000

    Randolph County Conservation Area...... 160

    Stephen A. Forbes State Park -

     Marion County....................... 6,857

    Ten Mile Creek State Fish &

     Wildlife Area - Jefferson/

     Hamilton Counties...................... 63

    Union County Conservation Area.......... 23

    Washington County Conservation Area . 3,453

    William W. Powers Conservation Area -

     Cook County......................... 2,394

    Wolf Creek State Park -

     Shelby County....................... 1,000

For replacing vault toilets at the following

  locations, at the approximate cost set forth

  below............................................ 440,666

    Anderson Lake Conservation Area -

     Fulton/Schuyler Counties.......... 150,919

    Giant City State Park -

     Jackson/Union Counties............ 177,162

    Randolph County Conservation Area.. 100,370

    Silver Springs State Park -

      Kendall County.................... 12,215

For constructing vault toilets at the following

  locations at the approximate costs set forth

  below............................................ 106,610

    Cave-In-Rock State Park............. 50,000

    Golconda/Rauchfuss Hill............. 10,000

    Prophetstown State Park............. 40,000

    William W. Powers State Park......... 6,610

For constructing hazardous material storage

  buildings......................................... 15,514

For constructing vault toilets at the

  following locations at the approximate

  cost set forth below:............................ 137,897

   Apple River Canyon State Park........ 19,699

   Des Plaines Conservation Area........ 19,700

   Kankakee River State Park............ 19,700

   Lake Le-Aqua-Na State Park........... 19,699

   Marshall County Conservation Area.... 19,700

   Morrison-Rockwood State Park......... 19,699

   Rice Lake Conservation Area.......... 19,700

For land acquisition............................... 274,539

For planning, construction, reconstruction,

  land acquisition and related costs,

  utilities, site improvements, and all other

  expenses necessary for various capital

  improvements at parks, conservation areas,

  and other facilities under the jurisdiction

  of the Department of Natural Resources......... 1,423,927

    Total                                       $45,944,360

 

    Section 5.1.  The sum of $1,650,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 5.1 of Public Act 93-587, as amended, is reappropriated from the Capital Development Fund to the Capital Development Board for a grant to the City of Chicago for acquiring land, planning and beginning construction of a visitor center at Lake Calumet.

 

    Section 5.2.  The following named amounts are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

HENNEPIN CANAL PARKWAY - ROCK ISLAND COUNTY

For rehabilitating Aqueduct #6...................... 33,760

SPRING GROVE HATCHERY - MCHENRY COUNTY

For upgrading the septic system..................... 25,007

STATEWIDE

For rehabilitation of trail systems................. 70,895

    Total                                          $129,662

 

    Section 5.3.  The sum of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 5.3 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for a grant to the City of Carlyle for all costs associated with resort development at Carlyle Lake.

 

    Section 5a.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 2, Section 5a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

STATEWIDE PROGRAM

(From Article 2, Section 5a of Public Act 93-587)

For maintaining lodge and concession

  facilities........................................ 74,567

For maintaining lodge

  and concession facilities......................... 20,018

For rehabilitating or

  replacing playground equipment................... 190,796

For land acquisition

  relocation costs................................. 100,000

ILLINOIS BEACH STATE PARK - LAKE COUNTY

For stabilizing the shoreline...................... 390,055

KASKASKIA RIVER FISH & WILDLIFE AREA - RANDOLPH COUNTY

For providing boat access

  safety improvements.............................. 180,158

PRAIRIE RIDGE SANCTUARY NATURAL AREA

For upgrading electrical

  and providing insulation.......................... 99,274

REAVIS SPRING HILL PRAIRIE NATURE PRESERVE - MASON COUNTY

For developing natural resources

  protection........................................ 42,600

WAYNE FITZGERRELL STATE PARK - JEFFERSON COUNTY

For stabilizing the watershed shoreline............ 188,499

    Total                                        $1,285,967

 

    Section 5b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from an appropriation and reappropriations heretofore made in Article 5, Division FY03, Section 12, Division FY02, Section 20, and Division FY01, Section 15 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Natural Resources for the project hereinafter enumerated:

GOOSE LAKE PRAIRIE NATURAL AREA - GRUNDY COUNTY

(From Article 5, Division FY03, Section 12 of Public Act 93-587)

For rehabilitating visitor's center

  exterior......................................... 674,600

STATEWIDE PROGRAM

(From Article 5, Division FY02, Section 20 of Public Act 93-587)

For replacing roofs at the following

 locations, at the approximate costs set

 forth below....................................... 93,663

  Castle Rock State Park................ 60,000

  Morrison-Rockwood State Park.......... 33,663

WELDON SPRINGS STATE PARK - DEWITT COUNTY

For improving the campgrounds...................... 321,737

CLINTON LAKE – DEWITT COUNTY

(From Article 5, Division FY01, Section 15 of Public Act 93-587)

For upgrading campground electrical............... 125,510

PERE MARQUETTE STATE PARK - JERSEY COUNTY

For replacing Camp Ouatoga

  shower building.................................... 3,081

DES PLAINES GAME FARM - WILL COUNTY

For replacing the office building

  and rehabilitating the shop

  building......................................... 217,797

    Total                                        $1,530,051

 

    Section 6.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 4, and Article 2, Section 6 of Public Act 93-587, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

CENTRALIA CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For replacing the cooling tower................... $660,000

(From Article 2, Section 6 of Public Act 93-587)

For upgrading the electrical system, in

  addition to funds previously appropriated...... 1,600,000

For planning upgrade of electrical system.......... 101,567

For upgrading building automation system........... 172,439

DANVILLE CORRECTIONAL CENTER

For upgrading the power plant, in

  addition to funds previously appropriated...... 2,200,000

For planning upgrade of the boilers................ 180,050

DECATUR CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For upgrading smoke and fire doors................. 140,000

(From Article 2, Section 6 of Public Act 93-587)

DIXON CORRECTIONAL CENTER

For planning the upgrade and expansion

  of the medical care facility..................... 701,710

For constructing a gun range and

  classroom building................................ 25,941

DWIGHT CORRECTIONAL CENTER

For renovating C9 and Old Hospital................. 927,701

For renovating Housing Unit C8, in

  addition to funds previously

  appropriated..................................... 270,000

For renovating buildings, in addition

  to funds previously appropriated................. 274,847

For renovation of buildings......................... 30,261

EAST MOLINE CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For completing replacement of the

  absorption chiller, in addition to

  funds previously appropriated.................... 400,000

For upgrading the roofing system................... 715,000

(From Article 2, Section 6 of Public Act 93-587)

For replacing windows, in addition to

  funds previously appropriated.................. 1,800,000

For replacing windows.............................. 494,899

For replacing the chiller/absorber................. 384,700

For upgrading fire alarm and building

  automation systems............................... 268,189

For upgrading the electrical

  system........................................... 666,821

GRAHAM CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For upgrading the cooling tower.................... 290,000

For upgrading the mechanical system................ 410,000

(From Article 2, Section 6 of Public Act 93-587)

For upgrading the building automation

  system, in addition to funds previously

  appropriated..................................... 900,000

For planning upgrade of building automation

  system and fire alarm system..................... 128,020

For upgrading electrical system.................... 512,112

HOPKINS PARK

For infrastructure improvements

  in connection with the Hopkins Park

  Correctional Center............................ 6,423,960

ILLINOIS YOUTH CENTER - KEWANEE - HENRY COUNTY

For constructing a 60-bed inmate

  housing addition................................. 340,016

ILLINOIS YOUTH CENTER - HARRISBURG

(From Article 1, Section 4 of Public Act 93-587)

For utility upgrade, including gas

  and sewer...................................... 5,540,000

(From Article 2, Section 6 of Public Act 93-587)

For constructing a multi-purpose medical,

  vocational and confinement building............ 9,757,548

ILLINOIS YOUTH CENTER - RUSHVILLE

For planning, design, construction, equipment

  and all other necessary costs to add

  a cellhouse.................................... 4,728,662

ILLINOIS YOUTH CENTER - ST. CHARLES

For constructing an R & C building 

  and other improvements......................... 5,000,000

ILLINOIS YOUTH CENTER - WARRENVILLE

For upgrading site utilities........................ 51,139

For rehabilitation of the administration

  building......................................... 330,715

JOLIET CORRECTIONAL CENTER

For replacing the transfer switch and

  emergency generator.............................. 948,968

KANKAKEE MSU - KANKAKEE COUNTY

(From Article 2, Section 6 of Public Act 93-587)

For fencing improvements............................ 79,349

LAWRENCE COUNTY CORRECTIONAL CENTER - LAWRENCEVILLE

For constructing two cellhouses, in

  addition to funds previously appropriated........ 158,637

LINCOLN CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For replacing doors and locks...................... 920,000

For upgrading the dietary freezers............... 1,830,000

(From Article 2, Section 6 of Public Act 93-587)

For replacing water supply lines................... 346,562

LOGAN CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For planning and beginning the upgrade

  of the power plant............................... 700,000

For renovating the electrical

  distribution system............................ 1,720,000

(From Article 2, Section 6 of Public Act 93-587)

For constructing a medical building

  and dietary building........................... 4,407,432

MENARD CORRECTIONAL CENTER - CHESTER

For replacing the administration building,

  in addition to funds previously

  appropriated.................................. 12,300,000

For replacing the Administration

  Building....................................... 1,000,000

For replacing the sally port........................ 63,269

For stabilizing dam, in addition to funds

  previously appropriated........................... 49,653

For correcting slope failure & MSU

  improvements...................................... 47,156

For improving ventilation and dehumidification

  systems in the kitchen and dining rooms........... 75,183

For completing upgrade of North Cellhouse

  plumbing system, in addition to funds

  previously appropriated........................... 35,051

For replacing toilets and waste lines

  at E/W Cellhouse and upgrade

  North Cellhouse plumbing......................... 418,214

For renovation or replacement of the

  Old Hospital Building, in addition to

  funds previously appropriated.................... 153,586

For planning and construction of the

  Administration Building.......................... 897,201

PONTIAC CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For replacing doors and frames................... 1,620,000

For replacing the roof on the Training

  Center and Industry.............................. 390,000

SHAWNEE CORRECTIONAL CENTER

For replacing the emergency generator............ 1,075,000

SOUTHWESTERN CORRECTIONAL CENTER

(From Article 2, Section 6 of Public Act 93-587)

For replacing sewer lines........................... 68,475

STATEVILLE CORRECTIONAL CENTER - JOLIET

(From Article 1, Section 4 of Public Act 93-587)

For replacing doors and locks...................... 580,000

(From Article 2, Section 6 of Public Act 93-587)

For replacing windows in Cellhouse B,

  in addition to funds previously

  appropriated................................... 2,500,000

For planning and beginning renovation of

  H & I houses..................................... 390,775

For replacing the water line....................... 730,771

For constructing a housing unit, cellhouse,

  vehicle maintenance building and

  warehouse for the reception and

  classification center, in addition to

  funds previously appropriated.................... 381,733

For replacing windows in B House................. 2,831,344

For replacing cell fronts in F House............... 139,090

For upgrading plumbing system in F House,

  in addition to funds previously

  appropriated..................................... 822,356

For replacing power plant and

  utility distribution system.................... 2,025,822

For planning, design, construction,

  equipment and all other necessary costs

  for an Adult Reception and Classification

  Center......................................... 1,519,562

For upgrading electrical system and elevator

  and installing HVAC system..................... 1,156,777

TAMMS CORRECTIONAL CENTER

Construct bar screen............................... 556,763

THOMSON CORRECTIONAL CENTER

For constructing three cellhouses and

  expanding educational and vocational

  space, in addition to funds previously

  appropriated..................................... 339,688

VANDALIA CORRECTIONAL CENTER

For constructing a multi-purpose program

  building.......................................... 90,656

For converting Administration Building and

  planning construction of an Administration/

  Health Care Unit................................. 333,846

For planning and beginning construction

  for a slaughter house and meat plant............. 215,641

VIENNA CORRECTIONAL CENTER

(From Article 1, Section 4 of Public Act 93-587)

For replacing the cooler and freezer............. 2,290,000

For upgrading the power plant.................... 4,670,000

(From Article 2, Section 6 of Public Act 93-587)

For upgrading the HVAC system and replacing

  water lines in six housing units................. 710,480

For renovating the kitchen.......................... 44,164

WESTERN ILLINOIS CORRECTIONAL CENTER - MT. STERLING

For replacing warehouse freezers.................... 36,738

STATEWIDE

For upgrading roofing systems at the

 following locations at the approximate

 costs set forth below.......................... 1,395,435

  Hardin County Work

     Camp................................. 8,808

   Illinois Youth Center

     Joliet............................. 978,251

   Pontiac Correctional

    Center............................. 408,376

For replacing windows at the following

 locations at the approximate costs

 set forth below, in addition to funds

 previously appropriated......................... 1,850,000

  Dixon Correctional Center.......... 1,850,000

For replacing doors and locks

  at the following locations at the

  approximate costs set forth below.............. 1,775,842

   Dixon Correctional Center......... 1,229,188

   Hill Correctional Center............ 472,616

   Vienna Correctional Center........... 74,038

For replacing roofing systems at

  the following locations at the

  approximate cost set forth below................. 433,337

   Illinois Youth Center -

    St. Charles......................... 94,132

   Illinois Youth Center -

   Warrenville......................... 307,788

   Logan Correctional Center............ 31,417

For upgrading showers at the following

  locations at the approximate

  cost set forth below............................. 655,730

   Hill Correctional

    Center............................. 652,730

   Illinois River Correctional

    Center............................... 3,000

For upgrading water distribution systems at

  the following locations at the approximate

  cost set forth below............................. 593,203

   Dixon Correctional Center........... 207,295

   Joliet Correctional

    Center............................. 385,908

For upgrading water towers at the following

  locations at the approximate

  cost set forth below........................... 2,064,827

   Dixon Correctional

    Center............................. 812,739

   Illinois Youth Center -

    St. Charles...................... 1,242,558

   Illinois Youth Center -

    Valley View.......................... 9,530

For planning, design, construction, equipment

  and all other necessary costs for a

  maximum security facility.................... 103,942,904

For planning a medium security facility

  and land acquisition........................... 2,629,428

For replacing locks and control panels

  at the following locations at the

  approximate costs set forth below................ 849,512

   Illinois River

    Correctional Center................ 283,171

   Western Illinois

    Correctional Center................ 283,171

   Danville Correctional

    Center............................. 283,170

For replacing roofing systems at

  the following locations at the

  approximate cost set forth below................. 182,924

   Menard Correctional Center............ 7,353

   Vienna Correctional Center........... 81,100

   Illinois Youth Center -

    Harrisburg........................... 4,138

   Dixon Correctional Center............ 27,156

   Pontiac Correctional Center.............. 10

   Illinois Youth Center - Joliet....... 63,167

For replacing or upgrading security and

  monitoring systems at the following

  locations at the approximate cost set

  forth below...................................... 373,156

   Vienna Correctional

    Center............................. 250,000

   Pontiac Correctional

    Center.............................. 94,450

   Joliet Correctional

    Center.............................. 28,706

For planning and replacing windows at the

  following locations at the approximate cost

  set forth below................................ 2,353,255

   Vienna Correctional

    Center........................... 1,780,000

   Sheridan Correctional

    Center............................. 363,674

   Illinois Youth Center -

    Valley View.......................... 8,310

   Illinois Youth Center -

    Joliet.............................. 81,499

   Dixon Correctional

    Center............................. 106,031

   Shawnee Correctional

    Center.............................. 13,741

For upgrading and renovating showers at

  the following locations at the approximate

  cost set forth below............................. 139,678

   Shawnee Correctional

    Center............................. 106,460

   Danville Correctional

    Center.............................. 23,391

   Graham Correctional

    Center............................... 9,827

For replacing security fencing at the

  following locations at the approximate

  cost set forth below............................. 484,909

   Hill Correctional

    Center............................... 3,547

   Western IL Correctional

    Center.............................. 31,427

   Joliet Correctional

    Center.............................. 49,119

   Logan Correctional

    Center............................. 200,000

   Dixon Correctional

    Center............................. 100,000

   Shawnee Correctional

    Center.............................. 35,400

   Graham Correctional

    Center.............................. 24,369

   Danville Correctional

    Center.............................. 41,047

For upgrading roads and parking lots at

  the following locations at the approximate

  cost set forth below............................. 193,314

    Center.............................. 21,148

   Illinois Youth Center -

    Valley View........................ 172,166

For planning, design, construction, equipment

  and all other necessary costs for a

  female multi-security level

  correctional center........................... 65,713,681

For replacing roofing systems at the

  following locations at the approximate

  cost set forth below............................. 189,284

    Vienna Correctional Center......... 150,261

    Sheridan Correctional Center........ 17,785

    Western Illinois Correctional

     Center - Mt. Sterling.............. 21,238

For upgrading security control systems and

  panels in housing units at the following

  locations at the approximate cost set

  forth below....................................... 41,972

    Danville Correctional Center......... 8,394

    Hill Correctional Center -

     Galesburg........................... 8,394

    Western Illinois Correctional

     Center - Mt. Sterling............... 8,394

    Illinois River Correctional

     Center - Canton..................... 8,395

    Shawnee Correctional Center -

     Vienna.............................. 8,395

For planning, design, construction,

  equipment and all other necessary costs

  for a juvenile facility........................ 1,748,879

For replacing roofing systems at the following

  locations at the approximate cost set forth

  below............................................ 213,808

    Dixon Correctional Center,

     four buildings...................... 3,762

    IYC - St. Charles, two buildings... 187,479

    Joliet Correctional Center,

     six buildings...................... 11,441

    Logan Correctional Center - Lincoln

     three buildings..................... 5,584

    Pontiac Correctional Center,

     one building........................ 5,542

For inspecting and upgrading water towers

  at the following locations at the approximate

  costs set forth below............................ 287,081

    Dixon Correctional Center,

     Upgrade Water Tower................ 60,926

    Graham Correctional Center - Hillsboro

     Upgrade Water Tower  .............. 30,990

    Joliet Correctional Center,

     Upgrade Water Tower................ 37,171

    Logan Correctional Center - Lincoln

     Complete Water Tower Upgrade  ..... 13,111

    Menard Correctional Center - Chester

     Upgrade Water Tower  .............. 22,443

    Stateville Correctional Center - Joliet

     Upgrade Water Tower  .............. 36,112

    Statewide, Inspect and Upgrade

     Water Towers....................... 86,328

For upgrading fire and safety systems at

  the following locations at the approximate

  costs set forth below, in addition to

  funds previously appropriated.................. 2,037,256

    Menard Correctional Center -

     Chester......................... 1,854,559

    Sheridan Correctional Center....... 110,620

    Vienna Correctional Center.......... 72,077

For replacing doors and locks at the

  following locations at the approximate

  costs set forth below:........................... 345,466

   IYC - St. Charles................... 160,081

   Lincoln Correctional Center.......... 94,207

   Jacksonville Correctional Center..... 12,473

   Sheridan Correctional Center......... 78,705

For upgrading fire safety systems at the

  following locations at the approximate

  costs set forth below, in addition to

  funds previously appropriated:................... 917,626

   Menard Correctional Center............ 1,370

   Pontiac Correctional Center......... 696,383

   Stateville Correctional Center...... 219,873

For upgrading water and wastewater

  systems at the following locations

  at the approximate costs set forth below:........ 442,131

   Big Muddy Correctional Center

    for installing mechanical

    bar screen........................... 7,348

   Centralia Correctional Center

    for upgrading water

    treatment plant........................ 946

   East Moline Correctional Center

    for upgrading sewer system........... 4,310

   Ed Jenison Work Camp (Paris)

    for installing mechanical

    bar screen........................... 2,530

   IYC - Harrisburg for upgrading

    water distribution system........... 59,198

   Kankakee MSU for constructing

    well #2............................ 288,550

   IYC - St. Charles for upgrading

    sewage/storm system................. 67,475

   IYC - Valley View for installing

    mechanical bar screen............... 11,774

For replacement of locks, windows and

  doors at the following locations

  as set forth below:............................... 30,388

   IYC Harrisburg........................ 9,684

   Menard................................ 5,762

   IYC Valley View...................... 14,942

For planning, design, construction,

  equipment and other necessary costs

  for a Correctional Facility for

  juveniles......................................... 80,247

For planning, design, construction,

  equipment and other necessary costs

  for a Medium Security Correctional

  Facility.......................................... 83,625

For correcting defects in the food preparation

  areas, including roofs............................ 61,031

For replacement of roofs at various Department of

  Corrections locations............................. 29,547

    Total                                      $312,770,215

 

    Section 6.1.  The amounts are appropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

STATEWIDE

For upgrading doors and locking systems at

  the following locations at the approximate

  costs set forth below:........................... 188,064

   Illinois Youth Center-Warrenville

  For replacement of doors

    and locking systems................ 188,064

 

    Section 6.2.  The amount of $99,658 is appropriated from the Capital Development Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated at the approximate costs set forth below:

  Danville Correctional Center -

    For upgrading the hot water

    distribution system..................... 55

  Stateville Correctional Center-

    For upgrading the plumbing systems in

    four buildings...................... 76,389

  Menard Correctional Center -

    For planning and to begin upgrading

    the plumbing systems in two

    buildings........................... 11,426

  Pontiac Correctional Center -

    For upgrading the mechanical systems

    and renovation of shower rooms...... 11,788

    Total                                           $99,658

 

    Section 6b.  The following named amounts, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 5, Division FY04, Section 12, Division FY03, Section 9, Division FY02, Section 16, and Division FY01, Section 11 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

BIG MUDDY CORRECTIONAL FACILITY

(From Article 5, Division FY04, Section 12 of Public Act 93-587)

For replacing door locking controls

  and intercom systems........................... 2,800,000

STATEVILLE CORRECTIONAL CENTER

For installing fire alarm systems................ 1,600,000

(From Article 5, Division FY03, Section 9 of Public Act 93-587)

STATEVILLE CORRECTIONAL CENTER

For upgrading the storm and wastewater

  systems, in addition to funds previously

  appropriated.................................... 648,428

 (From Article 5, Division FY02, Section 16 of Public Act 93-587)

STATEWIDE

For upgrading the water towers at the

 following locations at the approximate

 costs set forth below............................ 490,671

  Joliet Correctional Center........... 970,000

  Vienna Correctional Center........... 323,713

HILL CORRECTIONAL CENTER - GALESBURG

For upgrading building automation.................. 141,702

VANDALIA CORRECTIONAL CENTER

For upgrading the water distribution system

  and replacing the water tower, in addition

  to funds previously appropriated................. 103,914

PONTIAC CORRECTIONAL CENTER - LIVINGSTON COUNTY

(From Article 5, Division FY01, Section 11 of Public Act 93-587)

For repairing and renovating HVAC

  systems in the Administration

  Building.......................................... 44,790

    Total                                        $5,829,505

 

    Section 6.5.  The sum of $3,111,900, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 1, Section 16 of Public Act 93-0635, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Emergency Management Agency for costs associated with a new State Emergency Operations Center.

 

    Section 7.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 2, Section 7 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

BISHOP HILL HISTORIC SITE - HENRY COUNTY

(From Article 2, Section 7 of Public Act 93-587)

For restoring interior and exterior................ 185,523

For rehabilitating Bjorkland Hotel................. 855,025

BLACKHAWK STATE HISTORIC SITE

For rehabilitating lodge............................ 44,764

For a grant to the City of Rock Island

  to relocate the existing sewer line.............. 120,000

BRYANT COTTAGE STATE MEMORIAL - BEMENT

For rehabilitating interior and exterior........... 198,287

CAHOKIA COURTHOUSE STATE MEMORIAL - CAHOKIA

For providing structural stabilization............. 269,978

For renovation of the Cahokia Courthouse

  and the Jarrot House.............................. 31,183

CAHOKIA MOUNDS HISTORIC SITE - COLLINSVILLE

For replacement of Monk's Mounds stairs............ 339,695

For restoration of Monk's Mound.................. 1,009,932

For purchasing private land within historic

  site boundary.................................... 189,979

DAVID DAVIS HOME

To acquire a residence to be

  converted to a Visitors Center................... 249,400

FORT DE CHARTRES HISTORIC SITE - RANDOLPH COUNTY

For rehabilitating the stone gatehouse

  wall and foundation.............................. 200,969

JARROT MANSION STATE HISTORICAL SITE

For restoring the mansion, site improvements

  and land acquisition, in addition

  to funds previously appropriated............... 1,563,314

LEWIS AND CLARK STATE MEMORIAL -

MADISON COUNTY

For constructing interpretive center,

  and development of the historic site

  in addition to funds previously

  appropriated...................................... 22,152

LINCOLN'S TOMB/VIETNAM MEMORIAL - SPRINGFIELD

For rehabilitating site and providing

  irrigation system................................ 201,760

LINCOLN-HERNDON LAW OFFICE - SPRINGFIELD

For rehabilitating interior and exterior............ 46,511

LINCOLN'S NEW SALEM HISTORIC SITE - MENARD COUNTY

For providing electrical at

  campgrounds...................................... 120,000

LINCOLN PRESIDENTIAL CENTER - SPRINGFIELD

For constructing library and museum, in

  addition to funds previously appropriated..... 32,316,455

For constructing a Lincoln Presidential

  Library.......................................... 792,033

For planning and beginning the Lincoln

  Presidential Center, in addition to

  funds previously appropriated..................... 18,811

OLD STATE CAPITOL - SPRINGFIELD

For repairing elevators............................ 405,000

SHAWNEETOWN BANK HISTORIC SITE - GALLATIN COUNTY

For rehabilitating exterior........................ 425,756

UNION STATION - SPRINGFIELD

For purchasing and rehabilitating................ 2,430,282

STATEWIDE

For statewide ISTEA 21 Match....................... 637,000

For replacing roofing systems at the

  following locations at the approximate

  costs set forth below:........................... 115,622

   Fort De Chartres, Randolph County....... 100

   Washburne House, Galena............... 5,378

   David Davis Mansion, Bloomington..... 22,051

   Bishop Hill House, Henry County...... 88,093

For matching ISTEA federal grant funds............. 157,379

    Total                                       $42,946,810

 

    Section 7.2.  The sum of $82,144, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 7.2 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the Historic Preservation Agency for the construction of an interpretive center and development of the historic site at the Lewis and Clark National Trail Site No. 1 in Madison County.

 

    Section 7.3.  The following named amounts are appropriated from the Capital Development Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

DANA THOMAS HOUSE - SPRINGFIELD

For restoring exterior and interior................ 112,961

GALENA HISTORIC SITE

For rehabilitating Washburne House................. 189,240

LINCOLN'S NEW SALEM HISTORIC SITE -

PETERSBURG

For rehabilitating saw mill and grist

  mill.............................................. 33,895

METAMORA COURTHOUSE HISTORIC SITE

For rehabilitating courthouse...................... 102,168

    Total                                          $438,264

 

    Section 7a.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations made for such purposes in Article 2, Section 7a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

LINCOLN LOG CABIN HISTORIC SITE - COLES COUNTY

For providing roads, parking areas and

  pedestrian bridges................................ 55,400

 

    Section 7b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 5, Division FY02, Section 17, Division FY02, Section 23, Division FY01, Section 12 and Division FY00, Section 1-4 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

MT. PULASKI COURTHOUSE HISTORIC SITE - LOGAN COUNTY

(From Article 5, Division FY02, Section 17 of Public Act 93-587)

For rehabilitating interior & exterior............. 206,768

BISHOP HILL HISTORIC SITE – HENRY COUNTY

(From Article 5, Division FY02, Section 23 of Public Act 93-587)

For restoring interior and exterior................ 486,676

VANDALIA STATE HOUSE HISTORIC SITE

(From Article 5, Division FY01, Section 12 of Public Act 93-587)

For rehabilitating the interior and exterior....... 240,009

PULLMAN HISTORIC SITE

(From Article 5, Division FY00, Section 1-4 of Public Act 93-587)

For all costs associated with the

  stabilization and restoration of the

  Pullman Historic Site.......................... 5,697,992

    Total                                        $6,631,445

 

    Section 7c.  The sum of $7,000,000 is appropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for state-operated residential support for individuals with developmental disabilities on the grounds of the former Lincoln Development Center.

 

    Section 8.1.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made for such purposes in Article 2, Section 8.1 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

ILLINOIS SCHOOL FOR THE VISUALLY IMPAIRED - JACKSONVILLE

For constructing a new building to

  replace buildings 2, 3 and 4,

  in addition to funds previously

  appropriated...................................... 86,364

For installation of individual

  package boilers.................................. 224,019

    Total                                          $310,383

 

    Section 8a.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purposes in Article 2, Section 8a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

STATEWIDE PROGRAM

(From Article 2, Section 8a of Public Act 93-587)

For tuckpointing at the following locations

 at the approximate cost set forth below........... 171,772

  Howe Developmental Center -

   Tinley Park......................... 115,000

  Madden Mental Health

   Center - Hines....................... 43,661

  Tinley Park Mental

   Health Center........................ 13,111

For tuckpointing exterior and repairing

  masonry at various facilities.................... 394,844

    Total                                          $566,616

 

    Section 8b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from an appropriation and reappropriations heretofore made for such purpose in Article 5, Division FY04, Section 13, Division FY03, Section 10, Division FY02, Section 18, and Division FY01, Section 13 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Human Services for the project hereinafter enumerated:

ILLINOIS SCHOOL FOR THE DEAF – JACKSONVILLE

(From Article 5, Division FY04, Section 13 of Public Act 93-587)

For replacing dorm doors......................... 2,000,000

JACKSONVILLE DEVELOPMENTAL CENTER – MORGAN

(From Article 5, Division FY03, Section 10 of Public Act 93-587)

For upgrading the mechanicals in the

  power plant, in addition to funds

  previously appropriated....................... 1,000,000

CHESTER MENTAL HEALTH CENTER

(From Article 5, Division FY02, Section 18 of Public Act 93-587)

For renovating kitchen area, in addition to

  funds previously appropriated.................... 20,981

CHOATE MENTAL HEALTH CENTER - ANNA

For installing courtyard/recreation area

  at Dogwood and Rosebud............................ 20,463

SINGER MENTAL HEALTH CENTER

For repair and/or replacement of roofs.............. 71,994

TINLEY PARK MENTAL HEALTH CENTER

For upgrading fire/life safety systems

  and lighting, in addition to funds

  previously appropriated.......................... 293,413

FOX DEVELOPMENTAL CENTER - DWIGHT

(From Article 5, Division FY01, Section 13 of Public Act 93-587)

For renovating the water treatment plant......... 1,236,216

    Total                                        $4,643,067

 

    Section 9.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriation and reappropriations heretofore made in Article 2, Section 9 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Medical District Commission for the projects hereinafter enumerated:

ILLINOIS MEDICAL DISTRICT COMMISSION - CHICAGO

(From Article 2, Section 9 of Public Act 93-587)

For upgrading utility and infrastructure,

  in addition to funds previously

  appropriated..................................... 650,000

For upgrading core utilities....................... 428,574

For upgrading research center...................... 385,621

For constructing a Lab and Research

  Biotech Grad Facility............................ 241,478

    Total                                        $1,705,673

 

    Section 9b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 5, Division FY01, Section 19 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Medical District Commission for the projects hereinafter enumerated:

ILLINOIS MEDICAL DISTRICT COMMISSION - CHICAGO

For upgrading automation system

  and replacing fans................................. 6,339

For installing humidification system................ 14,751

    Total                                           $21,090

 

    Section 10.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 6, and Article 2, Section 10 of Public Act 93-587, as amended, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

BLOOMINGTON ARMORY - McLEAN COUNTY

(From Article 1, Section 6 of Public Act 93-587)

For rehabilitating the mechanical/electrical

  systems and renovating the interior............ 3,000,000

CAIRO ARMORY

(From Article 2, Section 10 of Public Act 93-587)

For replacing roof and renovating the

  interior and exterior.......................... 1,217,518

CAMP LINCOLN - SPRINGFIELD

For converting commissary to a military

  museum, in addition to funds

  previously appropriated.......................... 113,098

For construction of a military academy

  facility......................................... 638,820

For site improvements and construction for

  a military academy facility, including

  repair and reconstruction of access

  roads and drives at Camp Lincoln.................. 24,062

CHAMPAIGN ARMORY

For upgrading mechanical and electrical

  systems and installing a kitchen................. 143,081

DANVILLE ARMORY

For planning and construction of a new armory........ 5,325

EAST ST. LOUIS ARMORY - ST. CLAIR COUNTY

For upgrading mechanical systems

  and rest rooms................................... 224,088

ELGIN ARMORY - KANE COUNTY

For upgrading the interior and exterior............ 856,456

GALVA ARMORY - HENRY COUNTY

For replacing the roof and upgrading the

  interior and exterior............................. 92,807

GENERAL JONES ARMORY

For rehabilitating the armory building,

  in addition to funds previously

  appropriated..................................... 564,660

For renovation of the exterior and interior,

  mechanical areas and expansion of the

  parking lot, in addition to amounts

  previously appropriated........................... 13,004

For replacement of the Assembly Hall

  roofing system including its structural

  system............................................ 14,708

JOLIET ARMORY - WILL COUNTY

For renovating mechanical and electrical

  systems and exterior............................. 116,101

KEWANEE ARMORY

For upgrading electrical and mechanical

  systems and installing a kitchen................. 248,511

LITCHFIELD ARMORY

For remodeling and installing a

  kitchen.......................................... 489,302

MACOMB ARMORY - McDONOUGH

(From Article 1, Section 6 of Public Act 93-587)

For completing the mechanical/electrical

  systems upgrade, renovating the interior,

  and installing a kitchen, in addition to

  funds previously appropriated.................. 2,565,000

(From Article 2, Section 10 of Public Act 93-587)

For replacing the mechanical and electrical

  systems and installing a kitchen................. 891,145

MATTOON ARMORY

For replacing the roof and renovating

  the interior and exterior........................ 924,273

MONMOUTH ARMORY

For replacing the roof and renovating

  the interior and exterior........................ 731,379

NORTH RIVERSIDE ARMORY

For rehabilitating the interior and

  exterior......................................... 345,789

NORTHWEST ARMORY - CHICAGO

(From Article 1, Section 6 of Public Act 93-587)

For upgrading the electrical system.............. 2,815,000

(From Article 2, Section 10 of Public Act 93-587)

For replacing the mechanical systems............. 1,908,229

For renovation of interior and exterior,

  in addition to funds previously

  appropriated for such purposes................... 315,232

ROCK FALLS ARMORY

For replacing the mechanical and

  electrical systems and upgrading

  the interior................................... 1,937,436

SALEM ARMORY

For remodeling and installing a

  kitchen.......................................... 448,940

SYCAMORE ARMORY

For replacing the electrical system,

  renovating the interior and installing

  air conditioning............................... 1,607,004

STATEWIDE

For replacing roofing systems, windows

  and doors, and rehabilitating the

  exterior walls at the following

  locations, at the approximate cost

  set forth below .................................. 76,244

   Bloomington Armory................... 15,248

   Kewanee Armory....................... 15,249

   Macomb Armory........................ 15,249

   Rock Falls Armory.................... 15,249

   Sycamore Armory...................... 15,249

    Total                                       $22,327,212

 

    Section 10b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 5, Division FY03, Section 11, Division FY02, Section 19 and Division FY01, Section 14 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

 

NORTHWEST ARMORY - CHICAGO

(From Article 5, Division FY03, Section 11 of Public Act 93-587)

For renovating the mechanical systems,

  in addition to funds previously

  appropriated................................... 1,000,000

LAWRENCEVILLE ARMORY

(From Article 5, Division FY02, Section 19 of Public Act 93-587)

For rehabilitating the exterior and

  replacing roofing systems....................... 225,370

MT. VERNON ARMORY

For resurfacing floors and replacing

  exterior doors.................................... 33,070

JOLIET ARMORY – WILL COUNTY

(From Article 5, Division FY01, Section 14 of Public Act 93-587)

For replacing low roof.............................. 21,785

    Total                                        $1,280,225

 

    Section 11.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 8 and Article 2, Section 12 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Revenue for the projects hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD

(From Article 1, Section 8 of Public Act 93-587)

For completing the upgrade of

  building management controls,

  in addition to funds

  previously appropriated.......................... 400,000

For replacing the dock exhaust system.............. 590,000

(From Article 2, Section 12 of Public 93-587)

For replacing and repairing concrete

  stairway and completing of parking

  deck, in addition to funds

  previously appropriated.......................... 285,000

For upgrading building management

  controls....................................... 3,521,054

For upgrading the plumbing system................ 1,719,416

For upgrading parking lot/parking deck

  structural repair.............................. 1,250,000

For renovating the interior and

  upgrading HVAC................................. 3,637,868

    Total                                       $11,403,338

 

    Section 11a.  The following named amounts, or so much thereof as may be necessary and as remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made in Article 2, Section 12a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Department of Revenue for the  project hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD

(From Article 2, Section 12a of Public Act 93-587)

For completing security system upgrade, in

  addition to funds previously appropriated........ 178,838

For structural analysis of parking deck............. 16,176

    Total                                          $195,014

 

    Section 11b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 5, Division FY04, Section 10, Division FY03, Section 13 and Division FY01, Section 16 of Public Act 93-587, are appropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Revenue for the project hereinafter enumerated:

WILLARD ICE BUILDING – SPRINGFIELD

(From Article 5, Division FY04, Section 10 of Public Act 93-587)

For completing the upgrade of the

  Plumbing System.................................. 600,000

(From Article 5, Division FY03, Section 13 of Public Act 93-587)

For planning the curtain wall renovation........... 38,950

(From Article 5, Division FY01, Section 16 of Public Act 93-587)

For resealing and replacing atrium

  windows.......................................... 74,930

For installing fire suppression system.............. 39,951

    Total                                          $753,831

 

    Section 12.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 2, Section 13 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of State Police for the projects hereinafter enumerated:

CHICAGO FORENSIC LABORATORY 

(From Article 2, Section 13 of Public Act 93-587)

For construction of a laboratory and

  parking facilities................................ 84,737

DISTRICT 13 HEADQUARTERS - DuQUOIN

For constructing a district 13

  headquarters..................................... 355,310

DISTRICT 6 HEADQUARTERS - PONTIAC

For planning, construction, reconstruction,

  demolition of existing buildings, and

  all costs related to replacing

  the facilities................................... 714,741

PESOTUM - DISTRICT 10

For replacing the sewer and septic

  systems........................................... 43,695

SPRINGFIELD ARMORY

For planning and design of the rehabilitation

  and site improvements of the Springfield

  Armory, in addition to funds previously

  appropriated................................... 1,216,439

STERLING - DISTRICT 1

For planning, construction, reconstruction,

  demolition of existing buildings, and

  all costs related to the relocation of

  the headquarters, in addition to funds

  previously appropriated........................... 51,231

STATEWIDE

For replacing communications towers

  equipment and tower buildings.................. 2,141,042

For upgrading generators and UPS systems............ 39,996

For replacing roofing system at the

  following locations at the approximate

  cost set forth below............................. 297,862

   District 13 Headquarters,

     DuQuoin............................ 46,752

   Joliet Laboratory.................... 40,000

   District 6 Headquarters,

     Pontiac............................ 38,900

   District 9 Headquarters,

     Springfield....................... 109,510

   State Police Training Center,

     Pawnee............................. 10,000

   District 18 Headquarters,

     Litchfield......................... 45,000

   District 19 Headquarters,

     Carmi............................... 7,700

For replacing radio communication towers,

  equipment buildings and installing emergency

  power generators Statewide at the following locations:

  Pecatonica, Elwood, Kingston, Mason

  City    why is this underlining in here???..... 1,115,826

For replacing radio communication

  towers and equipment buildings and

  installing emergency power

  generators at Andover, Eaton,

  Pecatonica, and Cypress........................... 64,211

    Total                                        $6,125,090

 

    Section 12b.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from an appropriation and reappropriation heretofore made for such purpose in Article 5, Division FY04, Section 9, Division FY03, Section 14, Division FY02, Section 21, and Division FY01, Section 17 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of State Police for the project hereinafter enumerated:

SPRINGFIELD STATE POLICE, PAWNEE FACILITY

(From Article 5, Division FY04, Section 9 of Public Act 93-587)

  For safety improvements at

   the firing range............................. $1,200,000

STATEWIDE

(From Article 5, Division FY03, Section 14 of Public Act 93-587)

For upgrading firing range facilities.............. 375,950

DISTRICT 22 – ULLIN

(From Article 5, Division FY02, Section 21 of Public Act 93-587)

For upgrading the HVAC system, in

  Addition to funds previously appropriated......... 36,328

JOLIET DISTRICT 5 – WILL COUNTY

(From Article 5, Division FY01, Section 17 of Public Act 93-587)

For replacing roof.................................. 42,979

    Total                                        $1,655,257

 

    Section 13.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 1, Section 10, and Article 2, Sections 14 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Department of Veterans' Affairs for the projects hereinafter enumerated:

ANNA VETERANS HOME

(From Article 2, Section 14 of Public Act 93-587)

For constructing a garage.......................... 315,292

LASALLE VETERANS' HOME

(From Article 1, Section 10 of Public Act 93-587)

For replacing the roofing system................... 310,000

For replacing the domestic water system............ 110,000

(From Article 2, Section 14 of Public Act 93-587)

For a grant to LaSalle Veterans' home

  for all costs associated with architectural

  and engineering designs........................... 38,152

MANTENO VETERANS' HOME - KANKAKEE COUNTY

(From Article 1, Section 10 of Public Act 93-587)

For replacing air conditioner chillers........... 1,170,000

(From Article 2, Section 14 of Public Act 93-587)

For replacing condensing units..................... 346,180

For upgrading or constructing

  roads and parking lots............................ 55,922

For planning and constructing

  additional storage and support areas.............. 99,590

For upgrading courtyard program spaces............. 706,872

For upgrading storm sewer.......................... 109,179

For construction of a special care facility........ 164,368

QUINCY VETERANS' HOME - ADAMS COUNTY

For constructing a bus and ambulance

  garage........................................... 868,293

For improvements to various buildings

  and replacement of Fletcher Building

  to meet licensure standards.................... 2,562,961

    Total                                        $6,856,809

 

    Section 13.1.  The following named amount is appropriated from the Capital Development Fund to the Capital Development Board for the Department of Veterans' Affairs for the projects hereinafter enumerated:

ILLINOIS VETERANS' HOME - MANTENO

For upgrading generators for emergency power ....... 72,596

 

    Section 13a.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made in Article 2, Section 14a of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the Department of Veterans' Affairs for the projects hereinafter enumerated:

MANTENO VETERANS' HOME - KANKAKEE COUNTY

For installing humidifiers and

  dehumidifiers.................................... 407,950

For resurfacing roads and parking lots.............. 87,556

For demolishing buildings........................ 1,224,881

QUINCY VETERANS' HOME - ADAMS COUNTY

For renovating power plant equipment............... 130,121

    Total                                        $1,850,508

 

    Section 13b.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 5, Division FY04, Section 11, Division FY03, Section 15, and Division FY02, Section 22 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Veterans' Affairs for the project hereinafter enumerated:

MANTENO VETERANS HOME

(From Article 5, Division FY04, Section 11 of Public Act 93-587)

For completing the upgrade of emergency

  generators....................................... 600,000

(From Article 5, Division FY03, Section 15 of Public Act 93-587)

For installing humidifiers and

  dehumidifiers, in addition to funds

  previously appropriated....................... 1,000,000

LASALLE VETERANS HOME - LASALLE COUNTY

(From Article 5, Division FY02, Section 22 of Public Act 93-587)

For planning expansion of facility  ..............  496,961

MANTENO VETERANS HOME - KANKAKEE COUNTY

For constructing an equipment storage

  building......................................... 918,361

    Total                                        $3,015,322

 

    Section 14a.  The amount of $41,980,390 is appropriated from the Capital Development Fund to the Capital Development Board for upgrading and remediating above and underground storage tanks, hazardous materials and for modifications to buildings and sites to meet requirements of the Federal Americans with Disabilities Act (ADA).

 

    Section 15.  The amount of $590,032, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 16 of Public Act 93-587, is reappropriated from the Asbestos Abatement Fund to the Capital Development Board for surveying and abating asbestos-containing materials statewide.

 

    Section 16.  The amount of $994,978, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 17 of Public Act 93-587, is reappropriated from the Asbestos Abatement Fund to the Capital Development Board for asbestos surveys and emergency abatement in relation to asbestos abatement in state governmental buildings or higher education residential and auxiliary enterprise buildings.

 

    Section 17.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 2, Section 18 of Public Act 93-587, are reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for the projects hereinafter enumerated:

STATEWIDE

(From Article 2, Section 18 of Public Act 93-587)

Survey for and abate hazardous

  materials........................................ 780,987

For repairing minor problems and

  emergencies...................................... 994,796

For tuckpointing and repairing exterior

  of buildings..................................... 192,900

For demolition of buildings........................ 396,891

For archeological studies of

  construction sites............................... 100,000

For repairing minor problems and

  emergencies.................................... 3,753,509

    Total                                        $6,219,083

 

    Section 18.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made for such purposes in Article 2, Section 19 of Public Act 93-587, are reappropriated from the General Revenue Fund to the Capital Development Board for the projects hereinafter enumerated:

STATEWIDE

(From Article 2, Section 19 of Public Act 93-587)

For remediating minor problems and

  emergencies.................................... 1,206,443

For conducting construction site

  archeological studies............................ 245,000

For demolition of buildings...................... 1,552,111

For surveying and abating asbestos-

  containing materials........................... 1,000,000

For surveying and abating asbestos-

  containing materials............................. 107,045

For remediating minor problems

  and emergencies.................................. 163,465

For conducting construction site

  archeological studies............................ 195,190

For demolishing buildings........................ 2,323,716

For repair of minor problems and

  emergencies...................................... 229,138

For demolition of buildings........................ 227,812

For repair of minor problems and

  emergencies....................................... 57,454

    Total                                        $7,307,374

 

    Section 19.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made for such purposes in Article 2, Section 20 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for the projects hereinafter enumerated:

CARL SANDBURG COLLEGE

(From Article 2, Section 20 of Public Act 93-587)

For constructing a computer/

  student center.................................... 47,137

CITY COLLEGES OF CHICAGO

For various bondable capital improvements........ 8,887,250

CITY COLLEGES OF CHICAGO/KENNEDY KING

For remodeling for Workforce Preparation

  Centers........................................ 3,695,942

For remodeling for a culinary arts

  educational facility.......................... 10,875,000

CITY COLLEGES OF CHICAGO - MALCOLM X COLLEGE

For remodeling the Allied Health

  program facilities............................. 4,316,750

COLLEGE OF DUPAGE

For upgrading the Instructional Center

  heating, ventilating and air

  conditioning systems............................. 273,534

COLLEGE OF LAKE COUNTY

For planning and beginning construction

  of a technology building -

  Phase 1.......................................... 399,218

ILLINOIS VALLEY COMMUNITY COLLEGE

For planning, construction and renovations

  necessary to abate asbestos containing

  materials at campus facilities................. 1,066,987

JOHN A. LOGAN COMMUNITY COLLEGE - CARTERVILLE

For constructing additions and site

  improvements, in addition to funds

  previously appropriated........................... 13,246

For planning, construction, utilities,

  site improvements, equipment and other

  costs necessary for a new Workforce

  Development and Community Education

  Facility.  The provisions of Article V

  of the Public Community College Act

  are not applicable to this   appropriation....... 271,813

JOHN WOOD COMMUNITY COLLEGE - QUINCY

For planning campus buildings and site

  improvements...................................... 87,647

KANKAKEE COMMUNITY COLLEGE

For constructing a laboratory/classroom

  facility....................................... 2,631,452

LAKELAND COLLEGE

Student Services Building addition............... 6,602,331

LAKE LAND COLLEGE - MATTOON

For constructing a Technology Building, a

  parking area and for site improvements............ 25,555

For constructing a classroom/administration

  building and purchasing equipment, in addition

  to funds previously appropriated................. 185,916

LEWIS AND CLARK COMMUNITY COLLEGE - GODFREY

For a grant to Lewis and Clark Community College

  for all costs associated with construction

  redevelopment, infrastructure and

  engineering costs at the N.O. Nelson

  property in Edwardsville........................... 7,827

For constructing classroom

  and office building and additions,

  and remodeling of Haskell Hall.................... 41,820

LINCOLN LAND COMMUNITY COLLEGE - SPRINGFIELD

For constructing a conference &

  training facility addition to the

  Millenium Center, in addition

  to funds previously appropriated.................. 82,394

For constructing an addition and remodeling

  Sangamon and Menard Halls......................... 42,723

MCHENRY COUNTY COLLEGE

For constructing classrooms and a

  student services building and remodeling

  space, in addition to funds previously

  appropriated..................................... 826,701

MORAINE VALLEY COMMUNITY COLLEGE - PALOS HILLS

For constructing a classroom/administration

  building, providing site improvements and

  purchasing equipment, in addition to

  funds previously appropriated..................... 50,336

OAKTON COMMUNITY COLLEGE

For planning an addition to Ray

  Harstein campus - Phase 1......................... 85,664

PRAIRIE STATE COLLEGE - CHICAGO HEIGHTS

For constructing an addition to the Adult

  Training/Outreach Center, in addition to

  funds previously appropriated.................. 2,632,174

REND LAKE COLLEGE - INA

For site development, design and

  construction of an Industrial &

  Community Training Center at Pinckneyville

  Industrial Park................................... 20,644

RICHLAND COMMUNITY COLLEGE - DECATUR

For remodeling and constructing additions.......... 149,526

SOUTHWESTERN ILLINOIS COLLEGE

(Formerly BELLEVILLE AREA COLLEGE)

For renovating campus buildings and site

  improvements at the Belleville and Red

  Bud campuses...................................... 46,022

SOUTH SUBURBAN COLLEGE

For improving flood retention...................... 437,000

SPOON RIVER COLLEGE

For remodeling Engle Hall and

  constructing a maintenance building.............. 355,901

TRITON COMMUNITY COLLEGE - RIVER GROVE

For rehabilitating the Liberal Arts

  Building....................................... 1,553,487

For rehabilitating the potable water

  distribution system............................... 70,146

STATEWIDE

For the Illinois Community College Board

  miscellaneous capital improvements including

  construction, capital facilities, cost of

  planning, supplies, equipment, materials,

  services and all other expenses required to

  complete the work at the various community

  Colleges.  This appropriated amount shall be

  in addition to any other appropriated amounts

  which can be expended for this purposes........ 1,910,745

STATEWIDE

For miscellaneous capital improvements

  including construction, capital facilities,

  cost of planning, supplies, equipment,

  materials, services and all other expenses

  required to complete the work at the

  various community colleges.  This appropriated

  amount shall be in addition to any other

  appropriated amounts which can be

  expended for these purposes.................... 5,691,847

For miscellaneous capital improvements

  including construction, capital facilities,

  cost of planning, supplies, equipment,

  materials, services and all other expenses

  required to complete the work at the

  various community colleges.  This appropriated

  amount shall be in addition to any other

  appropriated amounts which can be

  expended for these purposes.................... 4,227,309

STATEWIDE - CONSTRUCTION DEFECTS

For planning, construction and renovation

  to correct defectively designed or

  constructed community college facilities,

  provided that monies recovered based upon

  claims arising out of such defective design

  or construction shall be paid to the state

  as required by Section 105.12 of the Public

  Community College Act as reimbursement for

  monies expended pursuant to this

  appropriation.................................... 420,847

    Total                                       $58,032,891

 

    Section 20.  The sum of $7,468, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 2, Section 21 of Public Act 93-587 is reappropriated from the General Revenue Fund to the Capital Development Board for a grant to Lincoln Land Community College for all costs associated with the construction of a new Rural Education and Technology Center.

 

    Section 20b.  The amount of $1,593, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 1-13 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to  the Capital Development Board to plan and construct an industrial training center at Illinois Central College.

 

    Section 20b1.  The amount of $444,171, or so much thereof as may be necessary, and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY91, Section 10G of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for grants to community colleges repair, renovation, and miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 21.  The sum of $1,907,066, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 2, Section 22 of Public Act 93-587 is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 22.  The sum of $2,010,657, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 23 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 23.  The sum of $2,847,981, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 24 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 24.  The sum of $711,865, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 25 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Community College Board for grants to community colleges for miscellaneous capital improvements including construction, reconstruction, remodeling, improvements, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services, and all other expenses required to complete the work. This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 25.  The sum of $3,600,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 2, Section 26 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for miscellaneous capital improvements at various educational facilities statewide, in addition to funds previously appropriated.

 

    Section 26.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 2, Section 27 of Public Act 93-587, 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

To plan and begin construction of a

  space for the delivery of teacher

  training and development and student

  enrichment programs.............................. 108,843

For replacing carpeting, constructing storage

  building and various site improvements,

  including extending communications

  conduit system................................... 186,408

    Total                                          $295,251

 

    Section 27.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made in Article 1, Section 12 and Article 2, Section 28 of Public Act 93-587, are reappropriated from the Capital Development Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

STATEWIDE

(From Article 1, Section 12 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital facilities,

  cost of planning, supplies, equipment,

  materials, services and all other expenses

  required to complete the work at the various

  universities.  This appropriated amount

  shall be in addition to any other appropriated

  amounts which can be expended for these

  purposes...................................... 20,000,000

   Chicago State University............ 322,100

   Eastern Illinois University......... 515,500

   Governors State University.......... 189,700

   Illinois State University......... 1,021,300

   Northeastern Illinois

    University......................... 383,700

   Northern Illinois University...... 1,159,000

   Western Illinois University......... 792,200

   Southern Illinois University -

    Carbondale....................... 1,625,000

   Southern Illinois University -

    Edwardsville....................... 763,100

   University of Illinois -

    Chicago.......................... 2,777,300

   University of Illinois -

    Springfield........................ 229,100

   University of Illinois -

    Urbana/Champaign................. 4,150,300

   Illinois Community

    College Board.................... 6,071,700

(From Article 2, Section 28 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of  planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes...... 19,769,057

   Chicago State University............ 322,100

   Eastern Illinois University......... 515,500

   Governors State University.......... 132,852

   Illinois State University......... 1,021,300

   Northeastern Illinois

    University......................... 383,700

   Northern Illinois University...... 1,159,000

   Western Illinois University......... 792,200

   Southern Illinois University -

    Carbondale....................... 1,450,905

   Southern Illinois University -

    Edwardsville....................... 763,100

   University of Illinois -

    Chicago.......................... 2,777,300

   University of Illinois -

    Springfield........................ 229,100

   University of Illinois -

    Urbana/Champaign................. 4,150,300

   Illinois Community

    College Board.................... 6,071,700

(From Article 2, Section 28 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of  planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes....... 8,100,380

   Chicago State University............ 309,429

   Eastern Illinois University......... 515,500

   Illinois State University......... 1,021,300

   Northeastern Illinois

    University......................... 383,700

   Northern Illinois University...... 1,159,000

   Western Illinois University......... 791,946

   Southern Illinois University -

    Carbondale......................... 250,820

   University of Illinois -

    Chicago.......................... 2,318,054

   University of Illinois -

    Springfield........................ 229,100

   University of Illinois -

    Urbana/Champaign................. 1,121,531

For miscellaneous capital improvements,

  including construction, capital

  facilities, cost of  planning,

  supplies, equipment, materials, services

  and all other expenses required to

  complete the work at the various universities.

  This appropriated amount shall be in

  addition to any other appropriated

  amounts which can be expended

  for these purposes............................. 4,998,188

   Eastern Illinois University......... 477,768

   Illinois State University........... 548,098

   Northeastern Illinois

    University......................... 375,400

   Northern Illinois University...... 1,249,300

   Western Illinois University......... 198,034

   Southern Illinois University -

    Carbondale......................... 110,360

   University of Illinois -

    Chicago............................ 729,267

   University of Illinois -

    Urbana/Champaign................. 1,309,961

For miscellaneous capital improvements

  including construction, reconstruction

  remodeling, improvements, repair

  and installation of capital

  facilities, cost of planning, supplies,

  equipment, materials, services and all

  other expenses required to complete

  the work at the various universities set

  forth below.  This appropriated amount

  shall be in addition to any other

  appropriated amounts which can

  be expended for these purposes................. 2,847,823

  Chicago State University............. 191,127

  Eastern Illinois University.......... 165,140

  Illinois State University............ 317,735

  Northeastern Illinois University..... 164,738

  Northern Illinois University......... 861,486

  Western Illinois University........... 79,906

  Southern Illinois University -

   Carbondale........................... 20,639

  University of Illinois -

   Chicago Campus....................... 72,155

  University of Illinois -

   Champaign/Urbana Campus............. 974,897

(From Article 2, Section 28 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

 all other expenses required to

  complete the work at the various

  universities set forth below.  This

  appropriation shall be in addition

  to any other appropriated amounts

  which can be expended for these purposes....... 2,127,967

For Eastern Illinois University........ 378,390

For Illinois State University........... 52,904

For Northeastern Illinois University .. 275,416

For Northern Illinois University....... 248,136

For Western Illinois University......... 39,423

For University of Illinois –

  Chicago............................. 318,991

For University of Illinois -

  Urbana-Champaign..................... 814,707

For miscellaneous capital improvements,

  including construction, reconstruction,

  remodeling, improvement, repair and

  installation of capital facilities, cost of

  planning, supplies, equipment, materials,

  services and all other expenses

  required to complete the work at the various

  universities set forth below.  This

  appropriation shall be in addition to

  any other appropriated amounts which

  can be expended for these purposes............. 1,613,158

  For Eastern Illinois University....... 36,177

  For Northern Illinois University..... 207,220

  For Southern Illinois University -

   Carbondale........................... 22,188

  For Southern Illinois University -

   Edwardsville......................... 35,137

  For University of Illinois -

   Chicago............................. 803,196

  For University of Illinois -

   Urbana-Champaign.................... 509,240

For miscellaneous capital improvements

  including construction, reconstruction,

  remodeling, improvement, repair and

  installation of capital facilities,

  cost of planning, supplies, equipment,

  materials, services and all other expenses

  required to complete the work at the

  various universities set forth below.

  This appropriation shall be in addition

  to any other appropriated amounts which

  can be expended for these purposes............... 960,637

  For Chicago State University......... 121,395

  For Eastern Illinois University...... 199,051

  For Governors State University........ 71,798

  For Illinois State University......... 90,825

  For Northeastern Illinois University . 36,177

  For Northern Illinois University..... 207,446

  For Southern Illinois University....... 4,764

  For University of Illinois........... 229,181

SOUTHERN ILLINOIS UNIVERSITY

(From Article 2, Section 28 of Public Act 93-587)

For Southern Illinois University

  for miscellaneous capital improvements

  including construction, reconstruction,

  remodeling, improvements, repair and

  installation of capital facilities, cost

  of planning, supplies, equipment, materials

  services, and all other expenses

  required to complete the work.  This

  appropriation shall be in addition to any

  other appropriated amounts which can

  be expended for these purposes................... 121,599

UNIVERSITY OF ILLINOIS

For the Board of Trustees of the University of

  Illinois for miscellaneous capital

  improvements including construction,

  reconstruction, remodeling, improvement,

  repair and installation of capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

  all other expenses required for completing

  the work at the colleges and

  universities.  This appropriation shall

  be in addition to any other

  appropriated amounts which can be

  expended for these purposes...................... 151,343

For the Board of Higher Education for

  miscellaneous capital improvements,

  including construction, reconstruction,

  remodeling, improvements, repair and

  installation of capital facilities, cost

  of planning, supplies, equipment,

  materials, services, and all other

  expenses required to complete the

  work at the colleges and universities

  hereinafter enumerated.  This appropriation

  shall be in addition to any other

  appropriated amounts which can be

  expended for these purposes:

Northern Illinois University........................ 83,324

    Total                                       $60,773,476

 

    Section 28.  The sum of $164,387, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 29 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Higher Education for miscellaneous capital improvements, including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required for completing the work at the colleges and universities.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 28b.  The following named amounts, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made for such purposes in Article 5, Division FY04, Section 6, Division FY03, Section 6, Division FY02, Section 26, Division FY01, Section 23, and Division FY00, Section 1-1 of Public Act 93-587, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Board of Higher Education for the projects hereinafter enumerated:

(From Article 5, Division FY04, Section 6 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities.

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes.

Chicago State University........................... 161,000

Eastern Illinois University........................ 257,800

Governors State University.......................... 94,900

Illinois State University.......................... 510,700

Northeastern Illinois

  University....................................... 191,800

Northern Illinois University....................... 579,500

Western Illinois University........................ 396,100

Southern Illinois University -  Carbondale......... 812,500

Southern Illinois University -  Edwardsville ...... 381,500

University of Illinois -  Chicago................ 1,388,600

University of Illinois -  Springfield.............. 114,600

University of Illinois -  Urbana/Champaign....... 2,075,100

Illinois Community  College Board................ 3,035,900

    Total                                       $10,000,000

(From Article 5, Division FY03, Section 6 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities.

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes.

Chicago State University.......................... 161,000

Eastern Illinois University........................ 256,301

Governors State University.......................... 94,900

Illinois State University.......................... 510,700

Northeastern Illinois University................... 191,800

Northern Illinois University....................... 579,500

Western Illinois University........................ 396,100

Southern Illinois University - Carbondale.......... 788,154

Southern Illinois University - Edwardsville........ 370,079

University of Illinois - Chicago................. 1,388,600

University of Illinois - Springfield............... 114,600

University of Illinois - Urbana/Champaign........ 2,075,100

Illinois Community College Board................. 3,033,258

    Total                                        $9,960,092

(From Article 5, Division FY02, Section 26 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities.

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes.

Chicago State University.......................... 160,400

Eastern Illinois University........................ 257,800

Governors State University.......................... 45,618

Illinois State University.......................... 481,702

Northeastern Illinois University.................... 50,568

Northern Illinois University....................... 579,500

Western Illinois University........................ 359,293

Southern Illinois University - Carbondale.......... 184,460

Southern Illinois University - Edwardsville.............. 1

University of Illinois - Chicago................. 1,352,500

University of Illinois - Springfield................ 78,866

University of Illinois - Urbana/Champaign........ 1,599,698

    Total                                        $5,150,406

(From Article 5, Division FY01, Section 23 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities.

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes.

Chicago State University............................ 34,624

Eastern Illinois University........................ 240,116

Governors State University.......................... 31,326

Illinois State University.......................... 604,900

Northeastern Illinois University.................... 87,701

Northern Illinois University....................... 624,700

Western Illinois University......................... 11,275

Southern Illinois University - Carbondale........... 20,279

University of Illinois - Chicago................... 424,251

University of Illinois - Springfield................ 30,052

University of Illinois - Urbana/Champaign.......... 268,540

    Total                                        $2,377,764

(From Article 5, Division FY00, Section 1-1 of Public Act 93-587)

For miscellaneous capital improvements

  including construction, capital

  facilities, cost of planning, supplies,

  equipment, materials, services and

  all other expenses required to complete

  the work at the various universities.

  This appropriated amount shall be in

  addition to any other appropriated amounts

  which can be expended for these purposes.

Chicago State University........................... 102,879

Eastern Illinois University........................ 134,474

Governors State University............................... 0

Illinois State University.......................... 141,620

Northeastern Illinois University.................... 80,000

Northern Illinois University....................... 340,000

Western Illinois University......................... 38,564

University of Illinois- Champaign/Urbana............ 65,946

University of Illinois-Chicago......................      0

    Total                                          $903,483

 

    Section 28b1.  The sum of $2,943,792, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 25 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated  amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 28b2.  The sum of $2,170,317, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY01, Section 22 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these  purposes.

 

    Section 29.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from appropriations and reappropriations heretofore made in Article 1, Section 12 and Article 2, Section 30 of Public Act 93-587, 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 12 of Public Act 93-587)

For replacing primary electrical

  feeder cable................................... 1,000,000

(From Article 2, Section 30 of Public Act 93-587)

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....................................... 4,927,811

For the construction of a student

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

For constructing a new library facility,

  site improvements, utilities, and

  purchasing equipment, in addition

  to funds previously appropriated.............. 13,492,621

For technology improvements and

  deferred maintenance........................... 1,790,400

For remodeling Building K, in addition

  to funds previously appropriated............... 9,021,380

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........... 7,846,920

For a grant to Chicago State University for

  all costs associated with construction of

  a Convocation Center........................... 8,498,757

For upgrading campus infrastructure,

  in addition to the funds

  previously appropriated.......................... 704,490

For renovating buildings and upgrading

  mechanical systems............................... 535,658

EASTERN ILLINOIS UNIVERSITY

(From Article 1, Section 12 of Public Act 93-587)

For upgrading the electrical

  distribution system............................ 4,217,100

(From Article 2, Section 30 of Public Act 93-587)

For renovating and expanding the

  Fine Arts Center, in addition to

  funds previously appropriated................. 39,702,200

For planning and beginning to renovate

  and expand the Fine Arts Center -

  Phase 1, in addition to funds

  previously appropriated........................ 1,511,247

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......................... 164,441

GOVERNORS STATE UNIVERSITY

For constructing addition and

  remodeling the teaching & learning

  complex, in addition to funds

  previously appropriated....................... 15,145,819

For costs associated with establishing

  a campus-wide fire alarm system at

  Governor's State University...................... 852,829

For constructing a child development center

  and an addition to the main building

  and remodeling Wings E and F..................... 106,006

For upgrading and replacing cooling

  and refrigeration systems and

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

For remodeling the main building................... 169,802

ILLINOIS STATE UNIVERSITY

(From Article 1, Section 12 of Public Act 93-587)

For renovating Stevenson and Turner

  Halls for life/safety......................... 22,145,000

(From Article 2, Section 30 of Public Act 93-587)

For the upgrade and remodeling

  of Schroeder Hall............................. 16,563,925

For planning and beginning to rehabilitate

  Schroeder Hall................................... 435,067

For planning, site improvements, utilities,

  construction, equipment and other costs

  necessary for a new facility for the

  College of Business............................ 3,068,029

For remodeling Julian and Moulton Halls............ 623,305

NORTHEASTERN ILLINOIS UNIVERSITY

For renovating Building "C" and

  remodeling and expanding Building "E"

  and Building "F"............................... 8,790,495

For planning and beginning to remodel

  Buildings A, B and E........................... 3,666,246

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................................... 1,405,413

For renovating the auditorium in

  Building E....................................... 188,362

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.......................... 75,323

NORTHERN ILLINOIS UNIVERSITY

For renovating the Founders Library

  basement, in addition to funds previously

  appropriated..................................... 669,635

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................................... 3,775,481

For renovating Altgeld Hall and

  purchasing equipment........................... 1,730,741

For upgrading storm waterway controls in

  addition to funds previously appropriated...... 1,076,401

SOUTHERN ILLINOIS UNIVERSITY

For planning, construction and equipment

  for a cancer center........................... 14,010,728

SOUTHERN ILLINOIS UNIVERSITY - CARBONDALE

For renovating and constructing an

  addition to the Morris Library, in

  addition to funds previously

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

For planning a renovation and

  addition to the Morris Library................. 1,068,906

For renovating Altgeld Hall and Old

  Baptist Foundation, in addition to funds

  previously appropriated........................ 1,589,801

For site improvements and purchasing

  equipment for the Engineering and

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

For construction of an engineering building

  annex.............................................. 8,073

SOUTHERN ILLINOIS UNIVERSITY - EDWARDSVILLE

For planning, construction and equipment

  for an advanced technical worker

  training facility.............................. 1,027,745

For construction of the Engineering Facility

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

For replacement of the high temperature water

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

SIU SCHOOL OF MEDICINE - SPRINGFIELD

For constructing and for equipment for

  an addition to the combined laboratory,

  in addition to funds previously

  appropriated................................... 3,879,576

UNIVERSITY OF ILLINOIS AT CHICAGO

(From Article 2, Section 30 of Public Act 93-587)

Plan, construct, and equip the Chemical

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

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....................................... 2,747,439

For remodeling the Clinical

  Sciences Building.............................. 1,012,572

For the renovation of the court area and

  Lecture Center, in addition to funds

  previously appropriated.......................... 713,318

UNIVERSITY OF ILLINOIS AT CHICAGO

For remodeling Alumni Hall, Phase II,

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

UNIVERSITY OF ILLINOIS AT CHAMPAIGN-URBANA

(From Article 1, Section 12 of Public Act 93-587)

For planning, analysis and design

  of Lincoln Hall.  Design cannot proceed

  beyond Program Analysis/Preliminary

  Design unless approved in writing by

  the Governor................................... 2,000,000

(From Article 2, Section 30 of Public Act 93-587)

Expansion of Microelectronics Lab............... 17,607,743

For planning, construction and equipment

  for a biotechnology genomic facility.......... 67,302,061

For planning, construction and equipment

  for a supercomputing application facility..... 22,265,960

For planning, construction and equipment

  for a technology transfer incubator

  facility.......................................... 37,057

To plan and begin construction of a

  biotechnology/genomic facility................. 2,713,467

To plan and begin construction of a

  supercomputing application

  facility......................................... 773,243

To plan and begin construction of a

  technology transfer incubator

  facility......................................... 118,932

For remodeling the Mechanical Engineering

  Laboratory Building............................... 36,644

For initiating a campus flood

  control project................................... 60,806

UNIVERSITY CENTER OF LAKE COUNTY

For constructing a university center and

  purchasing equipment, in addition to

  funds previously appropriated.................. 7,993,382

For land, planning, remodeling, construction

  and all costs necessary to construct a

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

WESTERN ILLINOIS UNIVERSITY - MACOMB

Plan and construct performing arts center........ 4,000,000

For improvements to Memorial

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

    Total                                      $458,655,111

 

    Section 30.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 13 of Public Act 93,587, is reappropriated from the Capital Development Fund to the Capital Development Board for Southern Illinois University School of Medicine, Springfield, for the project hereinafter enumerated:

SOUTHERN ILLINOIS UNIVERSITY SCHOOL

OF MEDICINE – SPRINGFIELD

(From Article 1, Section 13 of Public Act 93-587)

  For construction and equipment

   for an addition to the combined

   laboratory for Illinois State Police

   Crime Lab..................................... 2,110,070

 

    Section 30b.  The following named amounts, or so much thereof as may be necessary, and remain unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY91, Section 2-6 of Public Act 93-587, as amended, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

NORTHERN ILLINOIS UNIVERSITY - DEKALB

To construct and equip the Engineering

  Building.......................................... 41,524

To purchase equipment and complete

  construction for Faraday Hall Addition............ 93,085

    Total, Build Illinois Bond Fund                  $134,609

 

    Section 30b1.  The following named amount, or so much thereof as may be necessary, and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY91, Section 2-8 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the University of Illinois for the projects hereinafter enumerated:

UNIVERSITY OF ILLINOIS URBANA-CHAMPAIGN

To construct and equip the Chemical and Life

  Sciences Building................................. 41,746

 

    Section 30b2.  The following named amount, or so much thereof as may be necessary, and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY91, Section 2-20.1 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

NORTHERN ILLINOIS UNIVERSITY - DE KALB

For construction of the Engineering Building

  including extension of utilities, in

  addition to funds previously appropriated

  for such purpose.................................. 55,370

 

    Section 30b3.  The amount of $74,795, or so much thereof as may be necessary, and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 5, Division FY91, Section 10E of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the University of Illinois for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 31.  The sum of $22,390, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 31 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the Board of Trustees of the University of Illinois (formerly for the Department of Human Services) for renovation of the School of Public Health and Psychiatric Institute (formerly the ISPI building).

 

    Section 32.  The sum of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 2, Section 32 Public Act 93-587, is reappropriated from the Tobacco Settlement Recovery Fund to the Capital Development Board for a grant to the University of Illinois College of Medicine at Peoria for planning a Clinical and Basic Research Oncology Center.

 

    Section 33.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 33 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for the project hereinafter enumerated:

EAST ST. LOUIS COLLEGE CENTER

(From Article 2, Section 33 of Public Act 93-587)

For construction of facilities, remodeling,

  site improvements, utilities and other

  costs necessary for adapting the former

  campus of Metropolitan Community College

  for a Community College Center and Southern

  Illinois University, in addition to funds

  previously appropriated........................ 4,918,765

 

    Section 34.  The following named amounts, or so much thereof as may be necessary, are reappropriated from the School Construction Fund to the Capital Development Board for the State Board of Education for the projects hereinafter enumerated:

STATEWIDE

(From Article 1, Section 11 of Public Act 93-587)

Grants for facility construction............... 397,210,828

 

    Section 35.  The sum of $210,816,230, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 2, Section 34 of Public Act 93-587, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes.

 

    Section 36.  The sum of $77,517,195, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 2, Section 35 Public Act 93-587, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes.

 

    Section 37.  The sum of $40,273,862, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 36 of Public Act 93-587, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes.

 

    Section 38.  The sum of $7,273,747, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 37 of Public Act 93-587, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law, in addition to amounts previously appropriated for such purposes.

 

    Section 39.  The sum of $964,824, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 38 of Public Act 93-587, is reappropriated from the School Construction Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law.

 

    Section 40.  The sum of $1,223,663, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 2, Section 39 of Public Act 93-587, is reappropriated from the School Infrastructure Fund to the Capital Development Board for school construction grants pursuant to the School Construction Law.

 

    Section 41.  The amount of $11,828,001 or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 40 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Capital Development Board for grants to units of local government and other eligible entities for all costs associated with land acquisition, construction and rehabilitation projects.

 

    Section 42.  The amount of $3,035,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 45 of Public Act 93-587, is reappropriated from the Fund for Illinois' Future to the Capital Development Board for grants to units of local government, educational facilities, and not-for-profit organizations for expenses and infrastructure improvements including, but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 43.  The sum of $240,000, is appropriated from the Capital Development Fund to the Capital Development Board for a grant to the Village of Bridgeview for all costs associated with infrastructure improvements.

 

    Section 44.  The sum of $50,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY04, Section 5 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 45.  The sum of $46,864,524, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 5 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 46.  The sum of $29,751,093, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 11 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials and all other expenses required to complete the work at the various community colleges.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 47.  The sum of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY03, Section 16 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning and construction of a Bio-Medical Research Facility.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 48.  The sum of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY03, Section 17 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction, and equipment for a Nanofabrication and Molecular Center.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 49.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 6 of Public Act 93-587, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to the Field Museum for planning, construction and equipment for a collection research center.

 

    Section 50.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 58 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for the planning and construction of a biomedical research facility.

 

    Section 51.  The amount of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 59 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction and equipment for a biomedical research facility.

 

    Section 52.  The amount of $1,100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY02, Section 59a of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction and equipment for a nanofabrication and molecular center.

 

    Section 53.  The sum of $1,919,033, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 1-3 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for miscellaneous capital improvements to state facilities including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the facilities.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

Total, Article 37                            $2,153,685,346

 

ARTICLE 38

ILLINOIS COMMERCE COMMISSION

 

    Section 10.  The sum of 3,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 15 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Illinois Commerce Commission for train whistle abatement in counties with over 3,000,000 in population, where a public highway crosses a railroad at grade.

Total, Article 38                                $3,000,000

 

ARTICLE 39

ENVIRONMENTAL PROTECTION AGENCY

 

    Section 5.  The sum of $19,000,000, or so much thereof as may be necessary, is appropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund.

Total, Article 39                               $19,000,000

 

ARTICLE 40

ENVIRONMENTAL PROTECTION AGENCY

 

    Section 10.  The sum of $4,380,100, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 1, Section 24 of Public Act 93-96, is reappropriated to the Environmental Protection Agency from the Anti-Pollution Fund for payment of claims submitted, including claims submitted in prior years, to the state and approved for payment under the Leaking Underground Storage Tank Program established in Title XVI of the Environmental Protection Act.

 

    Section 15.  The sum of $22,600,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made for such purpose in Article 1, Section 49 of Public Act 93-96, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund.

 

    Section 20.  The sum of $11,000,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made for such purpose in Article 1, Section 49 of Public Act 93-96, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for deposit into the Water Revolving Fund.

 

    Section 25.  The sum of $5,848,400, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 1, Section 50 of Public Act 93-96, as amended, is reappropriated from the Anti-Pollution Fund to the Environmental Protection Agency for grants to units of local government for wastewater facilities, pursuant to provisions of the "Anti-Pollution Bond Act."

 

    Section 30.  The sum of $475,000, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 6, Section 1200 of Public Act 93-587, as amended, is reappropriated from the Fund for Illinois' Future to the Environmental Protection Agency 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, renovation, equipment, utilities and vehicles.

 

    Section 35.  The amount of $69,418,300, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from reappropriations heretofore made for such purposes in Article 5, Division FY86-FY93, Section 10B of Public Act 93-0587, as amended, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for wastewater compliance grants to units of local government or sewer systems and wastewater treatment facilities pursuant to procedures and rules established under the Anti-Pollution Bond Act.  These grants are limited to projects for which the local government provides at least 30% of the project cost.  There is an approved project compliance plan, and there is an enforceable compliance schedule prior to the grant award.  The grant award will be based on eligible project cost contained in the approved compliance plan.

 

    Section 40.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 5, Division FY03, Section 3 of Public Act 93-0587, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Brownfields Redevelopment Fund for use pursuant to Sections 58.13 and 58.15 of the Environmental Protection Act.

 

    Section 45.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 3 of Public Act 93-0587, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Brownfields Redevelopment Fund for use pursuant to Sections 58.13 and 58.15 of the Environmental Protection Act.

 

    Section 50.  The sum of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 4, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for deposit into the Hazardous Waste Fund for use pursuant to Section 22.2 of the Environmental Protection Act.

 

    Section 55.  The sum of $1,766,300, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY03, Section 25 of Public Act 93-0587, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for grants and contracts for public drinking water infrastructure, including design and construction, where private drinking water wells have been contaminated by a hazardous substance.

Total, Article 40                              $129,488,100

 

ARTICLE 41

HISTORIC PRESERVATION AGENCY

 

    Section 5.  The sum of $1,017, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 6 of Public Act 93-0093, as amended, is reappropriated from the General Revenue Fund to the Historic Preservation Agency for the restoration of the Jarrot Mansion.

 

    Section 10.  The sum of $1,000,000, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 5c of Public Act 93-0093, as amended, is reappropriated from the Capital Development Fund to the Historic Preservation Agency for a grant to the Lake County Forest Preserve District for planning, construction and renovation of the Adlai Stevenson Home State Historic Site.

 

    Section 15.  The sum of $437,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 12 of Public Act 93-0093, 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.

 

    Section 20.  The sum of $460,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 1, Section 13 of Public Act 93-0093, 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 25.  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, 2004, from an appropriation heretofore made in Article 5, Section 19 of Public Act 93-0587, as amended, is reappropriated from the Build Illinois Bond Fund to the Historic Preservation Agency for repairs, renovation and expansion of historic structures used for training.

Total, Article 41                                $1,998,817

 

ARTICLE 42

ILLINOIS FINANCE AUTHORITY

 

    Section 5.  The sum of $500,000, or so much thereof as may be necessary, is appropriated from the Fire Truck Revolving Loan Fund to the Illinois Finance Authority for loans to fire departments, fire protection districts and township fire departments as successor in interest to the Illinois Rural Bond Bank, pursuant to Section 845-75 of Public Act 93-0205.

Total, Article 42                                  $500,000

 

ARTICLE 43

ILLINOIS FINANCE AUTHORITY

 

    Section 5.  The sum of $10,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 5, Division FY04, Section 14 of Public Act 93-0587, is reappropriated from the Build Illinois Bond Fund to the Illinois Finance Authority for deposit into the Fire Truck Revolving Loan Fund for the purpose of making loans to fire departments, fire protection districts, and township fire departments as successor in interest to the Illinois Rural Bond Bank, pursuant to Section 845-75 of Public Act 93-0205.

 

    Section 10.  The sum of $10,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Section 2 of Public Act 93-0587, is reappropriated from the Fire Truck Revolving Loan Fund to the Illinois Finance Authority for loans to fire departments, fire protection districts, and township fire departments as successor in interest to the Illinois Rural Bond Bank, pursuant to Section 845-75 of Public Act 93-0205.

Total, Article 43                               $20,000,000

 

ARTICLE 44

MEDICAL DISTRICT COMMISSION

 

    Section 10.  The sum of $10,768, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 3 of Public Act 93-69, is reappropriated from the Capital Development Fund to the Illinois Medical District Commission for acquisition of property, demolition and site improvements, and related costs within the Medical Center District, City of Chicago for Phase III and IV of District Development Initiative.

 

    Section 15.  The sum of $1,462,072, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from appropriations heretofore made in Article 1, Section 2 of Public Act 93-69, is reappropriated from the Capital Development Fund to the Illinois Medical District Commission for acquisition of property, demolition and site improvements, and related costs within the Medical Center District, City of Chicago for Phase IV of District Development Initiative.

 

    Section 20.  No contract shall be entered into or obligation incurred for any expenditures from appropriations in Sections 10 and 15 of this Article until the purposes and amounts have been approved in writing by the Governor.

Total, Article 44                                $1,472,840

 

ARTICLE 45

ILLINOIS EMERGENCY MANAGEMENT AGENCY

 

    Section 5.  The amount of $9,335,600, or so much thereof as may be necessary and as remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Public Act 93-68, Article 1, Section 3, as amended, is reappropriated from the Federal Civil Preparedness Fund to the Illinois Emergency Management Agency for costs associated with a new State Emergency Operations Center.

Total, Article 45                                $9,335,600

 

ARTICLE 46

CHICAGO STATE UNIVERSITY

 

    Section 5.  The sum of $2,400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 12, Section 15 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of Chicago State University to purchase equipment to complete the construction of the Convocation Center.  This appropriation is in addition to any funds previously appropriated.

Total, Article 46                                $2,400,000

 

ARTICLE 47

EASTERN ILLINOIS UNIVERSITY

 

    Section 5.  The sum of $185,946, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in  Article 9, Section 10 of Public Act 93-90, is reappropriated from the Capital Development Fund to Eastern Illinois University for digitalization infrastructure for WEIU-TV.

 

    Section 10.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 9, Section 15 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University for digitalization infrastructure for WEIU-TV, in addition to amounts previously appropriated for such purpose for this fiscal year.  No contract shall be entered into or obligation incurred for any expenditure from the appropriation made in this Section until after the purposes and amounts have been approved in writing by the Governor.

 

    Section 15.  The sum of $5,430,384, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 9, Section 25 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University to purchase equipment for the renovation and expansion of the Fine Arts Center.  No contract shall be entered into or obligation incurred for any expenditure from the appropriation made in this Section until after the purpose and amounts have been approved in writing by the Governor.

 

    Section 20.  The sum of $408,631, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 9, Section 20 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of Eastern Illinois University to purchase equipment for the renovation and expansion of Booth Library.  No contract shall be entered into or obligation incurred for any expenditure from the appropriation made in this Section until after the purposes and amounts have been approved in writing by the Governor.

Total, Article 47                                $6,124,961

 

ARTICLE 48

NORTHEASTERN ILLINOIS UNIVERSITY

 

    Section 5.  The sum of $2,071,805, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 10, Section 15 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of Northeastern Illinois University to purchase equipment and remodel buildings A, B and E.  This appropriation is in addition to any funds previously appropriated.

Total, Article 48                                $2,071,805

 

ARTICLE 49

NORTHERN ILLINOIS UNIVERSITY

 

    Section 5.  The sum of $532,748, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for that purpose in Article 4, Section 40 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Board of Trustees of Northern Illinois University for technology infrastructure improvements at Northern Illinois University. No contract shall be entered into or obligation incurred for any expenditures from the reappropriation made in this Section until after the purposes and amounts have been approved in writing by the Governor.

 

    Section 10.  The sum of $43,366, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for that purpose in Article 4, Section 45 of Public Act 93-587, is reappropriated from the Capital Development Fund to the Board of Trustees of Northern Illinois University for purchasing Engineering Building equipment.

Total, Article 49                                  $576,114

 

ARTICLE 50

SOUTHERN ILLINOIS UNIVERSITY

 

    Section 5.  The amount of $42,797, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 70 of Public Act 93-587, is reappropriated to Southern Illinois University from the Capital Development Fund for digitalization infrastructure for WSIU-TV (Carbondale).

 

    Section 10.  The amount of $30,801, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 80 of Public Act 93-587, is reappropriated to Southern Illinois University from the Capital Development Fund for digitalization infrastructure for WUSI-TV (Olney).

 

    Section 15.  The amount of $24,133, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 75 of Public Act 93-587, is reappropriated to Southern Illinois University from the Capital Development Fund for digitalization infrastructure for WUSI-TV (Olney).

Total, Article 50                                   $97,731

 

ARTICLE 51

UNIVERSITY OF ILLINOIS

 

    Section 5.  The sum of $17,681,800, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 35 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois to construct an education and research facility for the College of Medicine in Chicago, including planning, land acquisition, demolition, construction, remodeling, landscaping, site improvements, equipment, extension or modification of campus utility systems, relocation of programs, and such expenses as may be necessary to complete the facility.

 

    Section 10.  The sum of $13,761,948, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 4, Section 80 of Public Act 93-90, as amended, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois for all costs associated with the space needs of the Department of Natural Resources, Illinois Natural History Survey Division and State Water Survey Division on the campus of the University of Illinois in Champaign, including construction, capital facilities, planning, relocation, renovation and rehabilitation, mechanical systems, materials, services and all other costs required to complete the work.

 

    Section 15.  The sum of $13,916,332, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 4, Section 70 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois to plan and construct an Education and Research facility for the College of Medicine in Chicago, including planning, land acquisition, demolition, construction, remodeling, landscaping, site improvements, equipment, extension or modification of campus utility systems, relocation of programs, and such expenses as may be necessary to complete the facility.  This appropriation is in addition to any other funds appropriated for this purpose for this fiscal year.

 

    Section 20.  The sum of $446,170, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 60 of Public Act 93-90, is reappropriated from the Capital Development Fund to the University of Illinois for digitalization infrastructure for WILL-TV (Urbana-Champaign).

 

    Section 25.  The sum of $814,444, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 55 of Public Act 93-90, is reappropriated from the Capital Development Fund to the University of Illinois for digitalization infrastructure for WILL-TV (Urbana-Champaign).

 

    Section 30.  The sum of $814,444, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from an appropriation heretofore made for such purpose in Article 4, Section 65 of Public Act 93-90, is reappropriated from the Capital Development Fund to the University of Illinois for digitalization infrastructure for WILL-TV (Urbana-Champaign).

 

    Section 35.  The sum of $13,752,813, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 4, Section 75 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois to plan and construct a Classroom and Office Building at the Springfield Campus and related utility systems, including planning, land acquisition, demolition, construction, remodeling, landscaping, site improvements, equipment, extension or modification of campus utility systems, and such expenses as may be necessary to complete the facility.  This appropriation is in addition to any other funds appropriated for this purpose for this fiscal year.

 

    Section 40.  The sum of $52,953, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 4, Section 30 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Board of Trustees of the University of Illinois to plan for all aspects of construction and to acquire and develop land, including demolition, landscaping, site improvements, extension and modification of campus utility systems, relocation of programs, and such other expenses as may be necessary to construct a College of Medicine building in Chicago.

 

    Section 45.  The sum of $12,291,197, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from an appropriation heretofore made for such purpose in Article 4, Section 50 of Public Act 93-90, is reappropriated from the Capital Development Fund to the University of Illinois at Springfield for constructing a classroom and office building, in addition to funds previously appropriated.

 

    Section 50.  The sum of $44,998, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from an appropriation heretofore made for such purpose in Article 4, Section 45 of Public Act 93-90, is reappropriated from the Capital Development Fund to the University of Illinois for planning, construction, and equipment for a computer science in engineering facility.

Total, Article 51                               $73,577,099

 

ARTICLE 52

ILLINOIS COMMUNITY COLLEGE BOARD

 

    Section 5.  The sum of $73,396, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation made for such purpose in Article 3, Section 10 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Illinois Community College Board for distribution as grants to community colleges for technology infrastructure improvements. No contract shall be entered into or obligation incurred for any expenditures from the appropriation made in this Section until after the purposes and amounts have been approved in writing by the Governor.

 

    Section 10.  The sum of $143,525, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation made for such purpose in Article 3, Section 5 of Public Act 93-90, is reappropriated from the Capital Development Fund to the Illinois Community College Board for distribution as grants to community colleges for technology infrastructure improvements. No contract shall be entered into or obligation incurred for any expenditures from the appropriation made in this Section until after the purposes and amounts have been approved in writing by the Governor.

 

    Section 15.  The sum of $2,178,358, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 5, Division FY00, Section 1-2 of Public Act 93-587, as amended, is reappropriated from the Build Illinois Bond Fund for the Illinois Community College Board for remodeling of facilities for compliance with the Americans with Disabilities Act.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

Total, Article 52                                $2,395,279

 

ARTICLE 53

 

    Section 98.  All reappropriation amounts contained herein represent unspent balances as of February 29, 2004, as reported by the Illinois Office of the Comptroller, to be reduced to June 30 balances in the final approved public act. All current and prior budget documents present June 30 data for fiscal year comparison purposes.

 

ARTICLE 54

 

    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, 2004, 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 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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, 2004, 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 150. 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, 2004, 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 151. 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, 2004, 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 152. 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, 2004, 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 153. The sum of $69,632, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 154. 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, 2004, 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 155. 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, 2004, 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.

 

    Section 156.  The sum of $22,700, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 157.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 158.  The sum of $373,400, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 159.  The sum of $100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 160.  The sum of $300,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 161.  The sum of $8,300, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 162.  The sum of $616,500, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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 163.  The sum of $50,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, 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.

Total, Article 154                              $44,797,632

 

ARTICLE 55

 

    Section 58.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 58 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for the planning and construction of a biomedical research facility.

 

    Section 59.  The amount of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 56 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction and equipment for a biomedical research facility.

 

    Section 59a.  The amount of $1,100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 59a of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for a grant to Northwestern University for planning, construction and equipment for a nanofabrication and molecular center.

 

    Section 123.  The sum of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Division FY02, Section 123 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Village of Hartford for the construction of the Lewis and Clark Tower.

    Division FY01.  This Division contains appropriations initially made for the fiscal year beginning July 1, 2000, for the purposes of the Illinois FIRST Program.

 

    Section 1.  The sum of $377,007, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Division FY01, Section 1 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants and contracts for well plugging and restoration projects.

 

    Section 2.  The sum of $7,086,553, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Division FY01, Section 2 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the Division of Water Resources for costs associated with the repair of the Lake Michigan shoreline in Chicago.  The appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 5.  The sum of $16,328,052, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Division FY01, Section 5 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants and loans pursuant to Article 8, Article 9 or Article 10 of the Build Illinois Act.

 

    Section 10.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 10 of Public Act 92-717, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Central Management Services for the projects hereinafter enumerated:

JAMES R. THOMPSON CENTER - CHICAGO

For rehabilitating exterior columns, in

  addition to funds previously appropriated....... 102,620

SPRINGFIELD REGIONAL OFFICE BUILDING

For rehabilitating the HVAC system.................. 13,964

    Total                                          $116,584

 

    Section 11.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 11 of Public Act 92-717, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Corrections for the projects hereinafter enumerated:

       PONTIAC CORRECTIONAL CENTER - LIVINGSTON COUNTY

For repairing and renovating HVAC

  systems in the Administration

  Building......................................... 44,790

    Total, Section 11                                 $44,790

 

    Section 12.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 12 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Historic Preservation Agency for the projects hereinafter enumerated:

VANDALIA STATE HOUSE HISTORIC SITE

For rehabilitating the interior & exterior........ 408,354

    Total, Section 12                                $408,354

 

    Section 13.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 13 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Human Services for the projects hereinafter enumerated:

FOX DEVELOPMENTAL CENTER - DWIGHT

For renovating the water treatment plant........ 1,244,600

    Total, Section 13                              $1,244,600

   

    Section 14.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 14 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Military Affairs for the projects hereinafter enumerated:

JOLIET ARMORY - WILL COUNTY

For replacing low roof............................. 24,442

    Total, Section l4                                 $24,442

 

    Section 15.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 15 of Public Act 92-717, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Natural Resources for the projects hereinafter enumerated:

CLINTON LAKE  - DEWITT COUNTY

For upgrading campground electrical............... 125,510

PERE MARQUETTE STATE PARK - JERSEY COUNTY

For replacing Camp Ouatoga

  shower building................................... 71,481

DES PLAINES GAME FARM - WILL COUNTY

For replacing the office building

  and rehabilitating the shop

  building......................................... 432,384

    Total, Section 15                                $629,375

 

    Section 16.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 16 of Public Act 92-717, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of Revenue for the projects hereinafter enumerated:

WILLARD ICE BUILDING - SPRINGFIELD

For resealing and replacing atrium

  windows.......................................... 74,930

For installing fire suppression system.............. 39,951

    Total, Section 16                                $114,881

 

    Section 17.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 17 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Department of State Police for the projects hereinafter enumerated:

JOLIET DISTRICT 5 - WILL COUNTY

For replacing roof................................. 42,979

    Total, Section 17                                 $42,979

 

    Section 19.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 19 of Public Act 92-717, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Medical District Commission for the projects hereinafter enumerated:

       ILLINOIS MEDICAL DISTRICT COMMISSION - CHICAGO

For upgrading automation system

  and replacing fans................................ 6,339

For installing humidification system................ 14,751

    Total, Section 19                                 $21,090

 

    Section 20.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 20 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Courts of Illinois for the projects hereinafter enumerated:

SUPREME COURT BUILDING - SPRINGFIELD

For renovating the Library and

  completing HVAC, in addition to funds

  previously appropriated......................... 235,000

    Total, Section 20                                $235,000

 

    Section 21.  The following named amount, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 21 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Office of the Secretary of State for the projects hereinafter enumerated:

CAPITOL COMPLEX - SPRINGFIELD

For expanding the shipping and

  receiving dock.................................. 609,216

    Total, Section 21                                $609,216

 

    Section 22.  The sum of $2,409,925, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Division FY01, Section 22 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for miscellaneous capital improvements including construction, capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various community colleges. This appropriated  amount shall be in addition to any other appropriated amounts which can be expended for these  purposes.

 

    Section 23.  The following named amounts, or so much thereof as may be necessary and remain unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 3, Division FY01, Section 23 of Public Act 92-717, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

Chicago State University........................... 47,725

Eastern Illinois University........................ 249,854

Governors State University......................... 106,000

Illinois State University.......................... 604,900

Northeastern Illinois University................... 143,864

Northern Illinois University....................... 624,700

Western Illinois University......................... 18,221

Southern Illinois University - Carbondale........... 79,350

University of Illinois - Chicago................... 977,202

University of Illinois - Springfield................ 30,052

University of Illinois - Urbana/Champaign.......... 327,143

    Total                                        $3,209,011

 

    Division FY00.  The reappropriations in this Division continue certain appropriations initially made for the fiscal year beginning July 1, 1999 for the purposes of the Illinois FIRST Program.

 

    Section 1-1.  The sum of $1,962,891, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 1-1 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Board of Higher Education for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the various universities set forth below.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

  Chicago State University......................... 102,879

  Eastern Illinois University...................... 134,474

  Governors State University....................... 153,750

  Illinois State University........................ 147,237

  Northeastern Illinois University................. 210,000

  Northern Illinois University..................... 340,000

  Western Illinois University....................... 39,026

  University of Illinois- Champaign/Urbana......... 205,525

  University of Illinois-Chicago................... 630,000

 

    Section 1-2.  The sum of $2,455,358, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 1-2 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund for the Illinois Community College Board for remodeling of facilities for compliance with the Americans with Disabilities Act.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 1-3.  The sum of $5,279,525, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 1-3 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for miscellaneous capital improvements to state facilities including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, cost of planning, supplies, equipment, materials, services and all other expenses required to complete the work at the facilities.  This appropriated amount shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 1-4.  The sum of $8,420,826, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 1-4 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Historic Preservation Agency for all costs associated with the stabilization and restoration of the Pullman Historic Site.

 

    Section 1-5.  The sum of $27,131, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 1-5 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for grants and contracts for well plugging and restoration projects.

 

    Section 1-13.  The amount of $50,872, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 1-13 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board to plan and construct an industrial training center at Illinois Central College.

 

    Section 2-174.  The sum of $7,089,803, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-174 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond 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.

 

    Division FY98.  The reappropriation in this Division continues an appropriation initially made for the fiscal year beginning July 1, 1997, for the purpose of the Build Illinois Program as set forth below.

 

    Section 32.  The sum of $3,554, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from a reappropriation heretofore made for such purpose in Article 3, Division FY98, Section 32 of Public Act 92-717, as amended, is reappropriated to the University of Illinois (formerly to the Capital Development Board) from the Build Illinois Bond Fund to plan for a medical school replacement at the University of Illinois at Chicago.

    Division FY97.  The reappropriations in this Division continue certain appropriations initially made for the fiscal year beginning July 1, 1996, for the purposes of the Build Illinois Program as set forth below.

 

    Section 32.  The sum of $660,629, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY97, Section 32 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for all costs associated with flood control projects for the DuPage County Forest Preserve District.

    Division FY91.  The reappropriations in this Division continue certain appropriations initially made for the fiscal year beginning July 1, 1990, for the purposes of the Build Illinois Program as set forth below.

 

    Section 2-6.  The following named amounts, or so much thereof as may be necessary, and remain unexpended on June 30, 2004 from appropriations heretofore made for such purposes in Article 3, Division FY91, Section 2-6 of Public Act 92-717, as amended, are reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

NORTHERN ILLINOIS UNIVERSITY - DEKALB

To construct and equip the Engineering

  Building......................................... 41,524

To purchase equipment and complete

  construction for Faraday Hall Addition............ 93,085

    Total, Build Illinois Bond Fund                  $134,609

 

    Section 2-8.  The following named amount, or so much thereof as may be necessary, and remains unexpended on June 30, 2004 from appropriations heretofore made for such purposes in Article 3, Division FY91, Section 2-8 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the University of Illinois for the projects hereinafter enumerated:

UNIVERSITY OF ILLINOIS URBANA-CHAMPAIGN

To construct and equip the Chemical and Life

  Sciences Building................................ 41,746

 

    Section 2-20.1.  The following named amount, or so much thereof as may be necessary, and remains unexpended on June 30, 2004 from appropriations heretofore made for such purposes in Article 3, Division FY91, Section 2-20.1 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Board of Higher Education for the projects hereinafter enumerated:

NORTHERN ILLINOIS UNIVERSITY - DE KALB

For construction of the Engineering Building

  including extension of utilities, in

  addition to funds previously appropriated

  for such purpose................................. 55,370

    Division FY89.  The reappropriations in this Division continue certain appropriations initially made for the fiscal year beginning July 1, 1988, for the purposes of the Build Illinois Program set forth below.

 

    Section 4-1.13.  The amount of $132,507, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division V, Section 4-1.13 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the following projects at the approximate costs set forth below:

Des Plaines Watershed Mitigation - Cook,

    DuPage, and Lake Counties - For

    implementation of flood hazard mitigation

    plans, developed in cooperation with units

    of local government in the Des Plaines

    Watershed, filed in accordance with Section

    5 of the Flood Control Act of 1945, as

    amended (Ill. Rev. Stat., Ch. 19, par.

    126e).......................................... 70,935

Indian Creek - Kane County - For implementation

    of the Indian Creek flood control project

    in Kane County in cooperation with the City

    of Aurora....................................... 13,850

Midlothian Creek - Cook County - Improvement of

    Midlothian Creek channel to provide flood

    damage reduction for Fernway Subdivision in

    cooperation with the Villages of Orland

    Park and Tinley Park............................ 47,722

    Total                                          $132,507

    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.

    Section 6-1.21.  The amount of $20,058, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY87a, Section 6-1.21 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for costs associated with drainage, flood control and related improvements.

 

    Section 6-2.27.  The amount of $136,000, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY87a, Section 6-2.27 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the design, construction and land acquisition of a retention basin in East Chicago Heights.

 

    Section 6-5.44b.  The amount of $8,192, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY87a, Section 6-5.44b of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for units of local government for storm drainage at the approximate cost set forth below:

    Bonnie.......................................... 8,192

    Division FY86.  The reappropriations in this Division continue certain appropriations initially made for the fiscal years beginning July 1, 1985, for the purpose of the Build Illinois Program set forth below.

 

    Section 8-1.21.  The amount of $189,520, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY86, Section 8-1.21 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for the completion of the following projects at the approximate costs set forth below:

Lower Des Plaines River at Tributaries Watershed

    - Cook and DuPage Counties - For

    construction of drainage, flood control,

    recreation and related improvements and

    facilities in the Lower Des Plaines

    Watershed; and for necessary land

    acquisition, relocation, and related

    expenses, all in general conformance with

    the Lower Des Plaines River and Tributaries

    Watershed Work plan in cooperation with the

    U.S. Soil Conservation Service and local

    governments sponsoring this Federal

    Flood Control project......................... 189,520

 

    Section 8-1.22.  The amount of $33,311, or so much thereof as may be necessary and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY86, Section 8-1.22 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Natural Resources for costs associated with drainage, flood control and related improvements.

    Division FY86-FY93.  The reappropriations in this Division continue certain appropriations initially made for the fiscal years beginning July 1, 1985 through 1992, combined for the purpose of the Build Illinois Program set forth below.

 

    Section 10B.  The amount of $70,232,823, or so much thereof as may be necessary, and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY90, Section 10B of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Environmental Protection Agency for wastewater compliance grants to units of local government or sewer systems and wastewater treatment facilities pursuant to procedures and rules established under the Anti-Pollution Bond Act. These grants are limited to projects for which the local government provides at least 30% of the project cost.

There is an approved project compliance plan, and there is an enforceable compliance schedule prior to the grant award. The grant award will be based on eligible project cost contained in the approved compliance plan.

 

    Section 10E.  The amount of $101,572, or so much thereof as may be necessary, and remains unexpended on June 30, 2004 from appropriations heretofore made for such purposes in Article 3, Division FY91, Section 10E of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the University of Illinois for miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

 

    Section 10G.  The amount of $774,870, or so much thereof as may be necessary, and remains unexpended on June 30, 2004, from appropriations heretofore made for such purposes in Article 3, Division FY91, Section 10G of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Capital Development Board for the Illinois Community College Board for grants to community colleges repair, renovation, and miscellaneous capital improvements including construction, reconstruction, remodeling, improvement, repair and installation of capital facilities, costs of planning, supplies, equipment, materials, services, and all other expenses required to complete the work.  This appropriation shall be in addition to any other appropriated amounts which can be expended for these purposes.

    Division 9999.  This Division contains provisions governing the expenditure of funds appropriated in these Articles.

    No contract shall be entered into or obligation incurred for any expenditures from the appropriations made in this Article until after the purposes and amounts have been approved in writing by the Governor.

Total, Article 55                              $142,565,200

 

ARTICLE 56

 

    Section 75.  The amount of $295,960, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 61 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Orland Park for miscellaneous bondable capital improvements.

 

    Section 80.  The amount of $10,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 62 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Park District for various capital improvements.

 

    Section 85.  The amount of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 63 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to Justice Park District for the purpose of land acquisition and construction of a multi-purpose facility.

 

    Section 150.  The amount of $3,878,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 76 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for repairs and improvements of the Metro Center to enhance it as a major downtown venue.

 

    Section 165.  The amount of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 79 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for the purchase of approximately 25 acres of undeveloped land for the city to improve and market for major industrial development along the Illinois 251 corridor and immediately adjacent to the Greater Rockford Airport.

 

    Section 175.  The amount of $800,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 81 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford to purchase and demolish the Brown Building parking deck.

 

    Section 185.  The amount of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 83 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford to erect a 150 foot radio communication tower to expand public safety communication throughout the city.

 

    Section 230.  The amount of $200,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 92 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Morton Grove for costs associated with engineering costs for the Dempster Street Improvement Project.

 

    Section 295.  The amount of $1,225,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 105 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for the purchase of land to include acquisition, demolition, site preparation and relocation of property owners for two city blocks in the Rockford Central Business District that will develop as a new Federal Courthouse facility.

 

    Section 320.  The amount of $1,800,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 111 of Public Act 92-0717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Regional Emergency Dispatch Center to retire debt for the capital costs of the building.

 

    Section 335.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Erie House for building rehabilitation.

 

    Section 430.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 85 of Public Act 92-0538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Centreville for all costs associated with rebuilding the Community Village Theater.

 

    Section 490.  The amount of $28,510, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 17 of Public Act 92-0538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Hardin County Sheriff Department for the purpose of jail repair and equipment.

 

    Section 515.  The amount of $225,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 326 of Public Act 92-0538, as amended, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Pana Fire Department to purchase a fire truck and equipment.

 

    Section 610.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Rockford for the purchase of software for the establishment of a 3-1-1 system.

 

    Section 615.  The amount of $57,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY 02, Section 79 of Public Act 92-0717, as amended, is reappropriated from the Fund for Illinois' Future Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Johnsburg for all costs associated with the purchase/installation of police car computers, a phone system, and playground equipment.

 

    Section 620.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Richmond Fire Department for all costs associated with equipment purchase.

 

    Section 625.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Richmond Police Department for all costs associated with the purchase of police motorcycle equipment.

 

    Section 630.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Ringwood for all costs associated with village hall improvements.

 

    Section 635.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Greenwood for all costs associated with capital improvements.

 

    Section 640.  The amount of $2,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to South Lakeview Neighbors for all costs associated with community outreach programs.

 

    Section 645.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Chicago State University for all costs associated with the purchase of 15 computers and related equipment and the cost of advertising (printed materials, media, etc.).

 

    Section 650.  The amount of $2,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Children's Memorial Foundation for all costs associated with facility improvements at Children's Memorial Hospital.

 

    Section 655.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Park District for all costs associated with Jonquil Park Advisory Council, and for park improvements.

 

    Section 660.  The amount of $2,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Park West Community Association for all costs associated with community outreach programs.

 

    Section 665.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Sheffield Neighborhood Association for all costs associated with assistance for annual community outreach program.

 

    Section 670.  The amount of $1,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Bucktown 5K for all costs associated with assistance for annual community event.

 

    Section 675.  The amount of $7,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Park District for all costs associated with improvements at Juniper Playlot and family programs at Oz, Jonquil and Wrightwood Parks.

 

    Section 680.  The amount of $65,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Peoria for all costs associated with a regional planning study, including prior incurred costs.

 

    Section 685.  The amount of $70,000, or so much thereof as may be necessary is appropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Family Focus Inc. for all costs associated with the installation of an elevator for ADA compliance.

 

    Section 690.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Girl Scouts, Rock River Valley Council for all costs associated with capital improvement projects at properties for area youth.

 

    Section 695.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Westside Health Authority for all costs associated with capital expenses.

 

    Section 700.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Association for the Wolf Lake Initiative for all costs associated with general operating/program expenses.

 

    Section 705.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Support Group, Inc. for all costs associated with general operating/program expenses.

 

    Section 710.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Spring Grove for all costs associated with village improvements.

 

    Section 715.  The amount of $30,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of McCullum Lake for all costs associated with the purchase of police equipment and capital improvements.

 

    Section 720.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of McHenry for all costs associated with the purchase of equipment.

 

    Section 725.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the McHenry Chamber of Commerce for all costs associated with the purchase of banners for the city.

 

    Section 730.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the McHenry Fire Protection District for all costs associated with the purchase of fire equipment.

 

    Section 735.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Challenger Learning Center for all costs associated with an Interactive Exhibit Area.

 

    Section 740.  The amount of $165,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Woodstock for all costs associated with the purchase of fire and police department equipment, the acquisition of recreation fields and equipment, and the purchase of a community van for Woodstock and Walden Oaks.

 

    Section 745.  The amount of $57,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Harvard for all costs associated with Milky Way Park improvements and the purchase of fire and police department equipment.

 

    Section 750.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Marengo Rescue Department for all costs associated with the purchase of an emergency backup system.

 

    Section 755.  The amount of $2,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Union Chamber of Commerce for all costs associated with the purchase of computers and related equipment/software.

 

    Section 760.  The amount of $2,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Marengo Public Library for all costs associated with the purchase of books and library supplies.

 

    Section 765.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Marengo Police Department for all costs associated with the canine unit and equipment purchase.

 

    Section 770.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Wonder Lake Fire Department for all costs associated with the purchase of equipment.

 

    Section 775.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Wonder Lake Police Department for all costs associated with the purchase of equipment.

 

    Section 780.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Wonder Lake for all costs associated with the purchase of a leaf machine, and other miscellaneous equipment.

 

    Section 785.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Spring Grove Fire Department for all costs associated with the purchase of equipment.

 

    Section 790.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Spring Grove Police Department for all costs associated with the purchase of equipment.

 

    Section 795.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Hebron for all costs associated with improvements to the skate park.

 

    Section 800.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Hebron Police Department for all costs associated with the purchase of an eyewitness camera system and defibrillator.

 

    Section 805.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Hebron Fire Department for all costs associated with the purchase of a tanker truck.

 

    Section 810.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Union for all costs associated with the purchase of police equipment and computers.

 

    Section 815.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Union Fire Protection District for all costs associated with the purchase/installation of a warning siren.

 

    Section 820.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Canton YWCA for all costs associated with capital improvements.

 

    Section 825.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Youth Acres for all costs associated with capital improvements.

 

    Section 830.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Tri County Senior Citizens Center for all costs associated with capital improvements.

 

    Section 835.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Cuba Senior Citizens Center for all costs associated with capital improvements.

 

    Section 840.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Farmington Veterans Memorial for all costs associated with capital improvements.

 

    Section 845.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Fulton Mason Crisis Service for all costs associated with capital improvements.

 

    Section 850.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Glasford Senior Citizens Center for all costs associated with capital improvements.

 

    Section 855.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Miller Senior Citizens Center for all costs associated with capital improvements.

 

    Section 860.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Park District for all costs associated with the purchase of cardiovascular fitness equipment for Avalon Park.

 

    Section 865.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Jeffrey Yates Neighbors for all costs associated with programs designed to improve neighborhood safety and beautification.

 

    Section 870.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Chicago State University for all costs associated with promoting programs and activities related to current students and alumni activities.

 

    Section 875.  The amount of $5,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to South East Alcohol & Drug Abuse for all costs associated with program and operating expenses.

 

    Section 880.  The amount of $60,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to St. Ailbe's for all costs associated with physical enhancements for the disabled.

 

    Section 885.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the 87th Street Stony Island Chamber for all costs associated with initiatives related to promoting greater community businesses and shopping opportunities.

 

    Section 890.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Better Unity Means Progress for all costs associated with programs related to neighborhood safety and beautification.

 

    Section 895.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chatham Business Association for all costs associated with programs related to the facilitation of economic growth in the Chatham-Avalon commercial and residential areas.

 

    Section 900.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Marynook Homeowners Association for all costs associated with neighborhood beautification project.

 

    Section 905.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Mr. Malo Youth Center for all costs associated with the enhancement of after school programs and the Jr. Dragster Program.

 

    Section 910.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the South Avalon Improvement Association for all costs associated with programs related to neighborhood safety and beautification.

 

    Section 915.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the United Blocks Association of South Shore for all costs associated with programs related to neighborhood safety and beautification.

 

    Section 920.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Fifth City: Chicago for all costs associated with paying the electric bill.

 

    Section 925.  The amount of $10,000, or so much thereof as may be necessary is appropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Board of Education for Bond Elementary School for all costs associated with general operating expenses.

 

    Section 930.  The amount of $5,000, or so much thereof as may be necessary, is appropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Institute of Women Today for all costs associated with general operating expenses of the Vincennes Senior Center.

 

    Section 935.  The amount of $5,000, or so much thereof as may be necessary, is appropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Institute of Women Today for all costs associated with general operating expenses at the Vincennes Senior Center.

 

    Section 940.  The amount of $2,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 18 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Southern Illinois Cancer Survivors for assistance to cancer patients.

 

    Section 945.  The amount of $2,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 20 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a one-time grant to the Montrose-Irving Chamber of Commerce for all costs associated with Business Programs.

 

    Section 950.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 23 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Sauk Village for all costs associated with field improvements.

 

    Section 955.  The amount of $2,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 30 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a one-time grant to the Monroe County Tourism Committee.

 

    Section 960.  The amount of $3,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 31 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Eugene Field Civil Organization for the purpose of capital projects and equipment.

 

    Section 965.  The amount of $12,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 37 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Bull Valley for the purpose of the renovation of Stickney House and for equipment purchases.

 

    Section 970.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 42 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Chicago Ridge Park District for the purpose of all costs associated with repairs to public swimming pool.

 

    Section 975.  The amount of $1,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 43 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Lathrop Resident Management Corporation for all costs associated with Lathrop Safe Summer Fun Day.

 

    Section 980.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 44 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Dolton Park District for all costs associated with playground equipment for the Dolton Park District.

 

    Section 985.  The amount of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 45 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Dolton Park District for the purpose of a matching grant for a bicycle path for Dolton Park District.

 

    Section 990.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 46 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to North Pullman Development Association for all costs associated with a feasibility study.

 

    Section 995.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 49 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 City of Carlyle for all costs associated with infrastructure improvements and capital projects.

 

    Section 1000.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 50 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Huey Ferrin Shattec Volunteer Fire Department for equipment purchase.

 

    Section 1005.  The amount of $7,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 51 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the National Polish Alliance.

 

    Section 1010.  The amount of $10,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 53 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Mounds for building renovation, equipment, furniture, and miscellaneous purchases.

 

    Section 1015.  The amount of $2,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 62 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Indo-American Center for the purpose of promoting relations within the community.

 

    Section 1020.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 77 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a one-time grant to the Southland Chamber of Commerce.

 

    Section 1025.  The amount of $833,552, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 79 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of administrative costs associated with the department's facilitation of infrastructure improvements, or for grants to governmental units and educational facilities and not-for-profit organizations for all costs associated with infrastructure improvements, miscellaneous purchases, and operating expenses.

 

    Section 1030.  The amount of $13,154,403, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 84 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the administrative costs associated with the department's facilitation of infrastructure improvements, or for grants to governmental units, educational facilities, and not-for-profit organizations for all costs associated with but not limited to infrastructure improvements, miscellaneous purchases, and operating expenses.

 

    Section 1035.  The amount of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 97 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Pastors Network of Illinois.

 

    Section 1040.  The amount of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 98 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Valley Kingdom Ministries International.

 

    Section 1045.  The amount of $35,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 99 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Dolton for various improvements.

 

    Section 1050.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 339 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to St. Bede the Venerable School for the purpose of constructing a playground facility.

 

    Section 1055.  The amount of $175,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 340 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to PAC-CY for all costs associated with operating expenses and/or program expenses.

 

    Section 1060.  The amount of $158,850, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 342 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Calumet City Fire Department for the purchase of a new ambulance.

 

    Section 1065.  The amount of $125,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 343 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Mt. Olive Fire Protection District for the purchase of equipment.

 

    Section 1070.  The amount of $38,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 344 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Calumet City Public Library for the purchase of computer workstations.

 

    Section 1075.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 345 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Sertoma Center to assist in the purchase of Community Integrated Living Arrangements.

 

    Section 1080.  The amount of $15,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 346 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Franklin County Senior Services, Inc. for repair of the roof and air conditioning system.

 

    Section 1085.  The amount of $6,000, or so much thereof as may be necessary, is appropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Immaculate Heart of Mary School for the purchase of new computers.

 

    Section 1090.  The amount of $7,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 348 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Mulberry Grove for purchase of property and plants, demolition and cleanup of buildings, and replacement of a concrete drive on Main Street.

 

    Section 1095.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 349 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Park Lawn School and Activity Center for capital expenditures associated with information technology.

 

    Section 1100.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 350 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Sun River Terrace for the purchase of a public works vehicle.

 

    Section 1105.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 351 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to Papineau Township Fire Protection District for the purchase of fire equipment.

 

    Section 1110.  The amount of $20,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 352 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Martinton for the purchase of playground equipment.

 

    Section 1115.  The amount of $25,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 353 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Manteno for the purchase of a senior citizen van.

 

    Section 1120.  The amount of $270,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 354 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Skokie for the purchase of an emergency vehicle and a hazardous national rescue vehicle.

 

    Section 1125.  The amount of $197,337, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 355 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Skokie for all costs associated with the purchase of equipment, software, vehicles, computers, defibrillators, and program expenses.

 

    Section 1130.  The amount of $175,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 359 of Public Act 92-0538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Leadership Council of Southwestern Illinois for activities associated with the retention of Scott Air Force Base.

 

    Section 1135.  The sum of $883,300, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 35, Section 131 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Lyman Woods.

 

    Section 1140.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 35, Section 132 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with the West Branch Regional Trail.

 

    Section 1145.  The sum of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 35, Section 133 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Salt Creek Greenway.

 

    Section 1150.  The sum of $2,421,374, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made for such purposes in Article 35, Section 134 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Oak Meadows and Maple Meadows and Green Meadows.

 

    Section 1155.  The sum of $53,375, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 35, Section 151 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for all costs associated with a showerhouse at Nauvoo State Park.

 

    Section 1160.  The sum of $671,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 35, Section 156 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Danda Preserve.

 

    Section 1165.  The sum of $3,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 35, Section 157 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Salt Creek Greenway.

 

    Section 1170.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 35, Section 158 of Public Act 92-538,  is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Oak Meadows, Maple Meadows and Green Meadows.

 

    Section 1175.  The sum of $300,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 35, Section 159 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Natural Resources for a grant to the Forest Preserve District of DuPage County for all costs associated with Fullersburg Woods.

 

    Section 1180.  The sum of $10,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the appropriation heretofore made in Article 52, Section 13 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 1190.  The sum of $414,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from the reappropriation heretofore made in Article 52, Section 55 of Public Act 92-538, is reappropriated from the Capital Development Fund to the Department of Transportation for a grant to to McLean County for all costs associated with the resurfacing, reconstruction, and replacement of the Towanda-Barnes Road and its related infrastructure funds.

 

    Section 1200.  The sum of $515,000, or so much thereof as may be necessary, and as remains unexpended at the close of business on June 30, 2004 from reappropriations heretofore made in Article 68, Section 51 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Environmental Protection Agency for grants to units of local government, educational facilities, and not-for-profit organizations for infrastructure improvements including, but not limited to, planning, construction,

 

    Section 1205.  The sum of $171,551, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 71, Section 10 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Historic Preservation Agency 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, renovation, equipment, utilities and vehicles.

 

    Section 1210.  The sum of $10,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made in Article 90, Section 10 of Public Act 92-538, is reappropriated from the Statewide Economic Development Fund to the Illinois Emergency Management Agency for matching grants to hospitals and health care facilities for costs associated with programs or projects related to homeland security and emergency preparedness.

 

    Section 1215.  The sum of $240,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 94 of Public Act 92-717, is reappropriated from the General Revenue Fund to the Capital Development Board for a grant to the Village of Bridgeview for all costs associated with infrastructure improvements.

 

    Section 1220.  The sum of $20,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made in Article 3, Division FY03, Section 31 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Illinois Emergency Management Agency for matching grants for hospitals and health care facilities for bondable expenses related to homeland security and emergency response.

 

    Section 1225.  The amount of $48,907,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY02, Section 53 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities, and not-for-profit organizations for all costs associated with infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 1230.  The amount of $40,837,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 3, Division FY01, Section 47 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities, and not-for-profit organizations for all costs associated with infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 1255.  The sum of $150,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 1, Section 35 of Public Act 92-538, is reappropriated from the General Revenue Fund to the State Board of Education for a grant to the Chicago Public Schools for the Summer Institute at the American Educational Institute.

 

    Section 1260.  The sum of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made for such purposes in Article 1, Section 50 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Illinois State Board of Education for all costs associated with grants to various units of 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 purchase, and any other necessary costs.

 

    Section 1265.  The sum of $125,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 13, Section 100 of Public Act 92-538, is reappropriated from the General Revenue Fund to the Board of Trustees of the University of Illinois for the University Cooperative Extension for the Urban Leadership Center.

 

    Section 1270.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 14, Section 75 of Public Act 92-538, is reappropriated from the General Revenue Fund to the Illinois Community College Board for all costs associated with the CORE program at the City Colleges of Chicago.

 

    Section 1275.  The sum of $135,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 34, Section 8.35 of Public Act 92-538, is reappropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity for a grant to the Chicago Lakefront Partners for Economic Empowerment for Lakefront Development Project.

 

    Section 1280.  The sum of $250,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 34, Section 8.36 of Public Act 92-538, is reappropriated from the General Revenue Fund to the Department of Commerce and Economic Opportunity for a grant to the Southland Chamber of Commerce.

 

    Section 1285.  The sum of $36,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 35, Section 22 of Public Act 92-538, and the sum of $100,798,600, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from reappropriations heretofore made in Article 35, Section 22 of Public Act 92-538, as amended, are reappropriated from the Capital Development Fund to the Department of Natural Resources to acquire, protect and preserve open space and natural lands.

 

    Section 1290.  The sum of $5,980,800, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 35, Section 155 of Public Act 92-538, as amended, is reappropriated from the Fund for Illinois' Future to the Department of Natural Resources for all costs associated with grants to various governmental units and not-for-profit entities for infrastructure improvements including but not limited to park and recreational projects, facilities, bike paths, equipment and any other necessary costs.

 

    Section 1295.  The sum of $140,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 40, Section 41.2 of Public Act 92-538, is reappropriated from the General Revenue Fund to the Department of Human Services for a grant to Youth Guidance.

 

    Section 1305.  The sum of $4,400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation  heretofore made for such purposes in Article 1, Section 14 of Public Act 92-717, is  reappropriated from the Capital Development Fund to the Capital Development Board for  the Illinois Board of Higher Education for roof replacement projects at Chicago State  University.

 

    Section 1310.  The sum of $5,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation  heretofore made for such purposes in Article 1, Section 14 of Public Act 92-717, is  reappropriated from the Capital Development Fund to the Capital Development Board for  the Illinois Board of Higher Education for the construction of a conference center at  Chicago State University.

 

    Section 1315.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 1a, Section 10 of Public Act 92-717, is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for a grant to the Village of Stickney for construction of a new police facility.

 

    Section 1320.  The sum of $2,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 1a, Section 13 of Public Act 92-717, is reappropriated from the Capital Development Fund to the Illinois Community College Board for One Stop Information System of City Colleges of Chicago.

 

    Section 1325.  The amount of $16,527,493, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 2, Section 58 of Public Act 92-717, is reappropriated from the Capital Development Fund to the Capital Development Board for grants to units of local government and other eligible entities for all costs associated with land acquisition, construction and rehabilitation projects.

 

    Section 1330.  The sum of $750,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004 from an appropriation heretofore made for such purposes in Article 3, Section 26 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Museum of Contemporary Art for bondable infrastructure and related improvements.

 

    Section 1355.  The amount of $1,500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 42 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Beverly Arts Center for bondable infrastructure expenses at their capital facilities within the State.

 

    Section 1365.  The amount of $1,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 45 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Metropolitan Family Services for construction of the South Chicago Center.

 

    Section 1380.  The amount of $55,000,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 52 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 1385.  The sum of $13,612,595, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from a reappropriation heretofore made in Article 3, Section 48 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for grants to governmental units, educational facilities and non-profit organizations for all costs associated with infrastructure improvements.

 

    Section 1405.  The sum of $172,500, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 74 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Community Affairs for grants to units of local government and not-for-profit organizations for infrastructure improvements including but not limited to planning, construction, reconstruction, renovation, equipment, supplies and all costs associated with economic development programs, educational training and programs, community services, public health programs, and public safety programs.

 

    Section 1410.  The sum of $183,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 75 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Community Affairs for grants to units of local government, educational facilities and not-for-profit organizations for municipal, recreational, educational, and public safety infrastructure improvements and other expenses, including but not limited to training, planning, construction, reconstruction, renovation, utilities, and equipment, and all costs associated with economic development programs, educational training and programs, community services, public health programs, and public safety programs.

 

    Section 1415.  The sum of $21,146, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 80 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Community Affairs for grants to units of local government, educational facilities and not-for-profit organizations for education and training, infrastructure improvements and other capital projects, including but not limited to planning, construction, reconstruction, equipment, utilities and vehicles, and all costs associated with economic development programs, community service programs, public health programs, public safety programs, and other programs and activities.

 

    Section 1420.  The amount of $10,100,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made in Article 34, Section 86 of Public Act 92-538, is reappropriated from the Fund for Illinois' Future to the Department of Commerce and Community Affairs for grants to units of government, educational facilities and not-for-profit organizations for education and training, infrastructure improvements and other capital projects, including but not limited to planning, construction, reconstruction, equipment, utilities and vehicles, and all costs associated with economic development programs, community service programs, public health programs, public safety programs, and other programs and activities.

 

    Section 1425.  The amount of $400,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY03, Section 45 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to Joliet Area Community Hospice for the Hospice Home.

 

    Section 1435.  The amount of $650,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY03, Section 47 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to West Central IL Area Agency on Aging for improvements and construction of the Senior Center.

 

    Section 1445.  The amount of $40,716,814, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY02,

Section 51 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 1450.  The sum of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY02, Section 60 of Public Act 92-717, as amended, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the City of Quincy for the renovation of the historic Washington Theater.

 

    Section 1455.  The sum of $18,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY02, Section 84 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for grants to units of government, educational facilities, and not-for-profit organizations for infrastructure improvements, including but not limited to planning, construction, reconstruction, renovation, utilities and equipment.

 

    Section 1460.  The amount of $2,360,422, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY01,

Section 36 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for grants to units of local government, educational facilities and not-for-profit organizations for all costs associated with infrastructure improvements.

 

    Section 1465.  The sum of $100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-26 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the Village of Shorewood for development of and improvements to the DuPage River property.

 

    Section 1470.  The sum of $48,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-27 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the City of Oakbrook Terrace for water system expansion.

 

    Section 1475.  The sum of $500,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, less the amount of $275,000 from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-53 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the Village of Glendale Heights for water system infrastructure and other community improvements.

 

    Section 1480.  The sum of $450,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-55 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the Village of Glen Ellyn for infrastructure and lighting improvements along Roosevelt Road.

 

    Section 1485.  The sum of $48,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-64 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the Village of Woodson for wastewater system improvements.

 

    Section 1490.  The sum of $600,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-71 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the City of Rochelle for water system improvements.

 

    Section 1495.  The sum of $50,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-78 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for a grant to the Senior Center/Aging Hispanic Center for infrastructure improvements.

 

    Section 1500.  The sum of $7,100,000, or so much thereof as may be necessary and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY00, Section 2-174 of Public Act 92-717, is reappropriated from the Build Illinois Bond Fund to the Department of Commerce and Community Affairs for grants to units of local government and educational facilities for all costs associated with infrastructure improvements.

 

    Section 1505.  The sum of $1,400,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 28 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Jewish Federation for bondable capital improvements.

 

    Section 1525.  The sum of $400,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 45 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Joliet Area Community Hospice for the Hospice Home.

 

    Section 1530.  The sum of $2,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 54 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Lincoln College for the construction of the Lincoln Center.

 

    Section 1535.  The sum of $1,500,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 56 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Museum of Contemporary Art for various capital bondable improvements.

 

    Section 1540.  The sum of $1,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 57 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Children's Home and Aid Society of Illinois for various bondable infrastructure improvements.

 

    Section 1560.  The sum of $5,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 33 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to the Holocaust Museum for bondable infrastructure expenses at their capital facilities within the state.

 

    Section 1570.  The sum of $1,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 38 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to IIT for Biomedical Research for bondable infrastructure expenses at their capital facilities within the state.

 

    Section 1580.  The sum of $1,500,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 43 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Blackburn College for bondable infrastructure expenses associated with the construction of an art center.

 

    Section 1590.  The sum of $2,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 3, Division FY 03, Section 52 of Public Act 92-717 is appropriated from the Build Illinois Bond Fund to the Department of Commerce and Economic Opportunity for a grant to Adkins LLC for bondable equipment and other costs related to the establishment and operation of an Ethanol plant.

 

    Section 1610.  The sum of $1,000,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 1a, Section 6 of Public Act 92-717 as amended is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the Village of Herscher for bondable improvements associated with Phase 2 of a water main project.

 

    Section 1615.  The sum of $1,250,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 1a, Section 7 of Public Act 92-717 as amended is reappropriated from the Capital Development Fund to the Department of Commerce and Economic Opportunity for the purpose of a grant to the City of Markham for bondable street and drainage improvements.

 

    Section 1620.  The sum of $9,800,000, or so much thereof as may be necessary, and remains unexpended at the close of business on June 30, 2004, from an appropriation heretofore made for such purpose in Article 1a,  Section 8 of Public Act 92-717 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 municipal, recreational, educational and public safety infrastructure improvements and other expenses, including but not limited to planning, construction, reconstruction, renovation, utilities, equipment, public safety vehicles and related costs.

 

ARTICLE 99

 

Section 5.  Effective date.  This Act takes effect July 1, 2004.”