71st OREGON LEGISLATIVE ASSEMBLY--2001 Regular Session
SA to SB 5545
LC 9545/SB 5545-3
SENATE AMENDMENTS TO
SENATE BILL 5545
By JOINT COMMITTEE ON WAYS AND MEANS
June 6
On page 1 of the printed bill, delete lines 5 through 26 and
delete page 2 and insert:
' { + SECTION 1. + } { + There are appropriated to the
Department of Transportation, for the biennium beginning July 1,
2001, out of the General Fund, the following amounts for the
following purposes: + }
____NOTE_TO_GOPHER_CUSTOMERS:__________________________________
THE FOLLOWING TABULAR TEXT MAY BE IRREGULAR.
FOR COMPLETE INFORMATION PLEASE SEE THE PRINTED MEASURE.
_______________________________________________________________
{ +
(1Transportation program
development..........$220,346
(2) Driver and motor vehicle
services.............$152,882
(3) Rail................9,373,597
(4) Public transit......8,332,000
(5) Motor carrier tran116,568i+n}
____________________________________________________________
END OF POSSIBLE IRREGULAR TABULAR TEXT
____________________________________________________________
' { + SECTION 2. + } { + Notwithstanding any other law, the
following amounts are established for the biennium beginning July
1, 2001, as the maximum limits for payment of expenses from fees,
moneys or other revenues, including Miscellaneous Receipts and
federal funds received as reimbursement from the United States
Department of Transportation and the Federal Highway
Administration under the Transportation Equity Act for the 21st
Century, collected or received by the Department of
Transportation, to be expended for the following purposes: + }
____NOTE_TO_GOPHER_CUSTOMERS:__________________________________
THE FOLLOWING TABULAR TEXT MAY BE IRREGULAR.
FOR COMPLETE INFORMATION PLEASE SEE THE PRINTED MEASURE.
_______________________________________________________________
{ +
(1Maintenance and emergency
relief programs...284,186,764
(2) Preservation progr284,237,175
(3) Bridge program....128,997,381
(4) Highway safety prog44,199,583
(5) Operations program.56,685,879
(6) Modernization prog169,483,421
(7) Utility permits, inspections
and engineering on highway
rights-of-way.......4,600,000
(8) Special programs..170,390,051
(9) Local government p161,861,218
(10)Driver and motor vehicle
services..........118,244,940
(11)DMV debt service.....$ 66,576
(12)Motor carrier trans35,551,846
(13)Transportation program
development........56,894,072
(14)Public transit......9,644,413
(15)Rail................7,479,755
(16)Transportation safet9,238,071
(17)Oregon Board of Maritime
Pilots...............$249,757
(18)Capital improvement.2,529,970
(19)Central servic114,181,343 + }
____________________________________________________________
END OF POSSIBLE IRREGULAR TABULAR TEXT
____________________________________________________________
' { + SECTION 3. + } { + Notwithstanding any other law, the
following amounts are established for the biennium beginning July
1, 2001, as the maximum limits for payment of expenses from
federal funds collected or received by the Department of
Transportation, other than those funds received as reimbursement
from the United States Department of Transportation and the
Federal Highway Administration under the Transportation Equity
Act for the 21st Century, to be expended for the following
purposes: + }
____NOTE_TO_GOPHER_CUSTOMERS:__________________________________
THE FOLLOWING TABULAR TEXT MAY BE IRREGULAR.
FOR COMPLETE INFORMATION PLEASE SEE THE PRINTED MEASURE.
_______________________________________________________________
{ +
(1Transportation program
development..........$169,476
(2) Motor carrier transp6,156,557
(3) Central services.....$116,016
(4) Public transit.....26,995,470
(5) Rail...............22,862,239
(6) Transportation 13,253,274 + }
____________________________________________________________
END OF POSSIBLE IRREGULAR TABULAR TEXT
____________________________________________________________
' { + SECTION 4. + } { + Notwithstanding any other law, the
amount of $19,994,850 is established for the biennium beginning
July 1, 2001, as the maximum limit for payment of expenses from
lottery moneys allocated from the Administrative Services
Economic Development Fund to the Department of Transportation for
Westside Light Rail debt service. + }
' { + SECTION 5. + } { + Section 2 of this 2001 Act does not
limit, affect or apply to expenditures for debt service,
internally reimbursed expenditures, or costs related to rate
setting hearings conducted by the Oregon Board of Maritime
Pilots. + }
' { + SECTION 6. + } { + Notwithstanding any other law, all
sections of this 2001 Act are subject to Oregon Department of
Administrative Services rules related to allotting, controlling,
and encumbering funds. + }
' { + SECTION 7. + } { + This 2001 Act being necessary for
the immediate preservation of the public peace, health and
safety, an emergency is declared to exist, and this 2001 Act
takes effect July 1, 2001. + } ' .
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