Illinois General Assembly - Full Text of HB4813
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Full Text of HB4813  94th General Assembly

HB4813ham001 94TH GENERAL ASSEMBLY

State Government Administration Committee

Filed: 2/1/2006

 

 


 

 


 
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1
AMENDMENT TO HOUSE BILL 4813

2     AMENDMENT NO. ______. Amend House Bill 4813 by replacing
3 everything after the enacting clause with the following:
 
4     "Section 5. The Riverboat Gambling Act is amended by adding
5 Section 13.2 as follows:
 
6     (230 ILCS 10/13.2 new)
7     Sec. 13.2. Rialto Square Theatre Improvement Fund. In
8 addition to any other monies required to be paid under this
9 Act, a riverboat with a home dock located within the City of
10 Joliet shall pay to the Illinois Gaming Board $1,500,000 on
11 July 1, 2006 or within 30 days after the effective date of this
12 amendatory Act of the 94th General Assembly, whichever is
13 later. The payments required under this Section shall be
14 deposited into the Rialto Square Theatre Improvement Fund, a
15 special fund created in the State treasury. Subject to
16 appropriation to the governing board of the Will County
17 Metropolitan Exposition and Auditorium Authority, moneys in
18 the Rialto Square Theatre Improvement Fund shall be used for
19 repairs and improvements to the Rialto Square Theatre.
 
20     Section 10. The State Finance Act is amended by adding
21 Section 5.663 and by amending Section 8h as follows:
 
22     (30 ILCS 105/5.663 new)

 

 

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1     Sec. 5.663. The Rialto Square Theatre Improvement Fund.
 
2     (30 ILCS 105/8h)
3     Sec. 8h. Transfers to General Revenue Fund.
4     (a) Except as provided in subsection (b), notwithstanding
5 any other State law to the contrary, the Governor may, through
6 June 30, 2007, from time to time direct the State Treasurer and
7 Comptroller to transfer a specified sum from any fund held by
8 the State Treasurer to the General Revenue Fund in order to
9 help defray the State's operating costs for the fiscal year.
10 The total transfer under this Section from any fund in any
11 fiscal year shall not exceed the lesser of (i) 8% of the
12 revenues to be deposited into the fund during that fiscal year
13 or (ii) an amount that leaves a remaining fund balance of 25%
14 of the July 1 fund balance of that fiscal year. In fiscal year
15 2005 only, prior to calculating the July 1, 2004 final
16 balances, the Governor may calculate and direct the State
17 Treasurer with the Comptroller to transfer additional amounts
18 determined by applying the formula authorized in Public Act
19 93-839 to the funds balances on July 1, 2003. No transfer may
20 be made from a fund under this Section that would have the
21 effect of reducing the available balance in the fund to an
22 amount less than the amount remaining unexpended and unreserved
23 from the total appropriation from that fund estimated to be
24 expended for that fiscal year. This Section does not apply to
25 any funds that are restricted by federal law to a specific use,
26 to any funds in the Motor Fuel Tax Fund, the Intercity
27 Passenger Rail Fund, the Hospital Provider Fund, the Medicaid
28 Provider Relief Fund, the Teacher Health Insurance Security
29 Fund, the Reviewing Court Alternative Dispute Resolution Fund,
30 or the Voters' Guide Fund, the Foreign Language Interpreter
31 Fund, the Lawyers' Assistance Program Fund, the Supreme Court
32 Federal Projects Fund, the Supreme Court Special State Projects
33 Fund, or the Low-Level Radioactive Waste Facility Development

 

 

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1 and Operation Fund, or the Hospital Basic Services Preservation
2 Fund, or to any funds to which subsection (f) of Section 20-40
3 of the Nursing and Advanced Practice Nursing Act applies. No
4 transfers may be made under this Section from the Pet
5 Population Control Fund. Notwithstanding any other provision
6 of this Section, for fiscal year 2004, the total transfer under
7 this Section from the Road Fund or the State Construction
8 Account Fund shall not exceed the lesser of (i) 5% of the
9 revenues to be deposited into the fund during that fiscal year
10 or (ii) 25% of the beginning balance in the fund. For fiscal
11 year 2005 through fiscal year 2007, no amounts may be
12 transferred under this Section from the Road Fund, the State
13 Construction Account Fund, the Criminal Justice Information
14 Systems Trust Fund, the Wireless Service Emergency Fund, or the
15 Mandatory Arbitration Fund.
16     In determining the available balance in a fund, the
17 Governor may include receipts, transfers into the fund, and
18 other resources anticipated to be available in the fund in that
19 fiscal year.
20     The State Treasurer and Comptroller shall transfer the
21 amounts designated under this Section as soon as may be
22 practicable after receiving the direction to transfer from the
23 Governor.
24     (b) This Section does not apply to: (i) the Ticket For The
25 Cure Fund; (ii) or to any fund established under the Community
26 Senior Services and Resources Act; or (iii) (ii) on or after
27 January 1, 2006 (the effective date of Public Act 94-511) this
28 amendatory Act of the 94th General Assembly, the Child Labor
29 and Day and Temporary Labor Enforcement Fund.
30     (c) This Section does not apply to the Demutualization
31 Trust Fund established under the Uniform Disposition of
32 Unclaimed Property Act.
33     (d) This Section does not apply to the Rialto Square
34 Theatre Fund established under the Riverboat Gambling Act.

 

 

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1 (Source: P.A. 93-32, eff. 6-20-03; 93-659, eff. 2-3-04; 93-674,
2 eff. 6-10-04; 93-714, eff. 7-12-04; 93-801, eff. 7-22-04;
3 93-839, eff. 7-30-04; 93-1054, eff. 11-18-04; 93-1067, eff.
4 1-15-05; 94-91, eff. 7-1-05; 94-120, eff. 7-6-05; 94-511, eff.
5 1-1-06; 94-535, eff. 8-10-05; 94-639, eff. 8-22-05; 94-645,
6 eff. 8-22-05; 94-648, eff. 1-1-06; 94-686, eff. 11-2-05;
7 94-691, eff. 11-2-05; revised 11-15-05.)
 
8     Section 99. Effective date. This Act takes effect upon
9 becoming law.".