74th OREGON LEGISLATIVE ASSEMBLY--2007 Regular Session
Note: For budget, see 2007-2009 Biennial Budget
NOTE: Matter within { + braces and plus signs + } in an
amended section is new. Matter within { - braces and minus
signs - } is existing law to be omitted. New sections are within
{ + braces and plus signs + } .
LC 9047
A-Engrossed
House Bill 5047
Ordered by the House June 18
Including House Amendments dated June 18
Ordered printed by the Speaker pursuant to House Rule 12.00A (5).
Presession filed (at the request of Budget and Management
Division, Oregon Department of Administrative Services)
SUMMARY
The following summary is not prepared by the sponsors of the
measure and is not a part of the body thereof subject to
consideration by the Legislative Assembly. It is an editor's
brief statement of the essential features of the measure.
Appropriates moneys from General Fund to Department of
Transportation for { - certain biennial expenses - } { + rail
programs + }.
Limits certain biennial expenditures from fees, moneys or other
revenues, including Miscellaneous Receipts and certain federal
funds, but excluding lottery funds and other federal funds,
collected or received by department.
Limits biennial expenditures by department from federal funds.
Limits certain biennial expenditures by department from lottery
moneys.
Authorizes specified nonlimited expenditures.
{ + Increases, for biennium ending June 30, 2007, limitation
on expenditures from federal funds by department for public
transit. + }
Declares emergency, effective { - July 1, 2007 - } { + on
passage + }.
A BILL FOR AN ACT
Relating to financial administration of the Department of
Transportation; appropriating money; limiting expenditures; and
declaring an emergency.
Be It Enacted by the People of the State of Oregon:
SECTION 1. { + There is appropriated to the Department of
Transportation, for the biennium beginning July 1, 2007, out of
the General Fund, the amount of $4,504,713 for rail programs. + }
SECTION 2. { + Notwithstanding any other law limiting
expenditures, the following amounts are established for the
biennium beginning July 1, 2007, 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, but excluding lottery funds and federal funds not
described in this section, collected or received by the
Department of Transportation, for the following purposes: + }
____NOTE_TO_WEB_CUSTOMERS:__________________________________
THE FOLLOWING TABULAR TEXT MAY BE IRREGULAR.
FOR COMPLETE INFORMATION PLEASE SEE THE PRINTED MEASURE.
_______________________________________________________________
{ +
(1Capi....................$3,171,000
(2) Maintenance and emergency
relief programs...352,445,774
(3) Preservation progr242,114,529
(4) Bridge program....932,400,558
(5) Highway safety prog52,034,379
(6) Operations program.48,441,635
(7) Modernization prog396,580,357
(8) Special programs..201,259,011
(9) Local government p260,703,471
(10)Connect Oregon.....95,339,800
(11)Driver and motor vehicle
services..........146,145,120
(12)Motor carrier trans52,093,496
(13)Transportation program
development........71,858,347
(14)Public transit.....20,867,014
(15)Rail...............19,031,202
(16)Transportation safe13,252,747
(17)Oregon Board of Maritime
Pilots...............$277,046
(18)Central services..157,132,221
(19)Debt service..185,530,273 + }
____________________________________________________________
END OF POSSIBLE IRREGULAR TABULAR TEXT
____________________________________________________________
SECTION 3. { + Notwithstanding any other law limiting
expenditures, the following amounts are established for the
biennium beginning July 1, 2007, as the maximum limits for
payment of expenses from federal funds other than those described
in section 2 of this 2007 Act, collected or received by the
Department of Transportation, for the following purposes: + }
____NOTE_TO_WEB_CUSTOMERS:__________________________________
THE FOLLOWING TABULAR TEXT MAY BE IRREGULAR.
FOR COMPLETE INFORMATION PLEASE SEE THE PRINTED MEASURE.
_______________________________________________________________
{ +
(1Moto....................$5,372,359
(2) Transportation program
development..........$208,210
(3) Public transit.....42,263,180
(4) Rail...............15,862,746
(5) Transportation safe13,875,548
(6) Central services.....$ 29,959
(7) Driver and motor
vehicle services1,619,219 + }
____________________________________________________________
END OF POSSIBLE IRREGULAR TABULAR TEXT
____________________________________________________________
SECTION 4. { + Notwithstanding any other law limiting
expenditures, the following amounts are established for the
biennium beginning July 1, 2007, as the maximum limits for
payment of expenses from lottery moneys allocated from the
Administrative Services Economic Development Fund to the
Department of Transportation for debt service for the following
purposes: + }
____NOTE_TO_WEB_CUSTOMERS:__________________________________
THE FOLLOWING TABULAR TEXT MAY BE IRREGULAR.
FOR COMPLETE INFORMATION PLEASE SEE THE PRINTED MEASURE.
_______________________________________________________________
{ +
(1West....................$19,927,285
(2) Short Line Infrastructure
Assistance...........$811,248
(3) Industrial Rail Spur
Infrastructure Assis1,417,846
(4) South Metro Commuter4,353,319
(5) Multimodal Connect 15,118,766
(6) Multimodal Conne4,931,493 +I}
____________________________________________________________
END OF POSSIBLE IRREGULAR TABULAR TEXT
____________________________________________________________
SECTION 5. { + For the biennium beginning July 1, 2007,
expenditures by the Department of Transportation from the Oregon
Transportation Infrastructure Fund established under ORS 367.015
for debt service and for internally reimbursed expenditures are
not limited. + }
SECTION 6. { + Notwithstanding any other law limiting
expenditures of the Department of Transportation for the payment
of expenses from federal funds, for the biennium ending June 30,
2007, the limitation on expenditures by the department for public
transit established by section 3 (3), chapter 721, Oregon Laws
2005, as modified by Emergency Board action, is increased by
$2,022,471. + }
SECTION 7. { + This 2007 Act being necessary for the immediate
preservation of the public peace, health and safety, an emergency
is declared to exist, and this 2007 Act takes effect on its
passage. + }
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