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For the state share of services and expenses relating to low interest loans made to students under the federal

nursing student loan program

[36,000] expenses relating to under the federal [1,200,000]

For the federal share of services and
low interest loans made to students
health profession loan program
For the state share of services and
low interest loans made to students under the federal

health profession loan program
Program account sub-total

expenses relating to

..

[134,000] [16,138,000]

50,000

1,529,000

171,000 18,233,000

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EMPLOYEE FRINGE BENEFITS, including costs for those benefits which are related to employees paid from the ployment insurance interest and penalty account

unem

...

....

[1,290,894,339] 1,331,869,914

sub-schedule

State's contribution to the employees' retirement system pension accumulation fund

.....[581,852,291]

582,390,312

State's contribution to the policemen's and firemen's retirement system pension accumulation fund (31,617,685] State's contribution for the retirement incentive program

31,401,536

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Employee benefit fund programs

claimants formerly employed by the
[47,005,042]

[12,782,707]

10,754,333

45,607,000

State's contribution for supplemental pension payments in accordance with the provisions of article IV and article VI of the retirement and social security law [215,000] To the survivors' benefit fund for payments to the survivors of state employees and retired state employees

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§ 3. Section one of chapter fifty-two of the laws of nineteen hundred eighty-four is amended by repealing the items hereinbelow set forth in brackets and by adding to such section the other items italicized in this section.

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For the legal
ats of debt service on tax and
bond anticipation
notes, and short-term series notes in accordance with
the following schedule

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INTEREST ON TAX AND REVENUE ANTICIPATION NOTES

The sum of [two hundred twenty-six million, seven hun-
dred thousand dollars ($226,700,000)] two hundred
forty-five million six hundred seventy-one thousand
fifty-one dollars ($245,671,051), or so much thereof
as may be eces
is hereby appropriated for
payment by the state comptroller of interest on
and revenue anticipation notes during fiscal 1984-85

tax

[226,700,000] 245,671,051

INTEREST ON BOND ANTICIPATION NOTES AND SHORT-TERM SERIES NOTES

The sum of [four hundred eighty-one thousand dollars, ($481,000)) three million, eighteen thousand, six hundred eighty dollars ($3,018,680), or so much thereof as may be necessary, is hereby appropriated for payment by the state comptroller of interest on bond anticipation notes and short-term series notes issued in connection with infrastructure renewal, transportation capital facilities, energy conservation through improved transportation, (and) rail preservation, pure waters, environmental quality and parks and recreation land acquisition during fiscal 1984-85

Total so schedule

..

[481,000] [227,181,000]

3,018,680 248,689,731

§ 4. Section two of chapter fifty-two of the laws of nineteen hundred eighty-four is amended by repealing the items hereinbelow set forth in brackets and by adding to such section the other items italicized in this section.

STATE DEBT SERVICE

DEBT SERVICE FUND

GENERAL DEBT SERVICE FUND (311)

Maintenance undistributed

For the legal requirements of debt service, lease purchase agreement payments, and special contractual obligation payments in accordance with the following schedule

PRINCIPAL AND INTEREST ON SERIAL BONDS

....[577,831,449) 580,771,779

The sum of (four hundred fifty-one million, ninety-eight
thousand
four hundred forty-nine dollars
($451,098,449)] four hundred fifty-four million,
thirty-eight thousand, seven hundred seventy-nine dol-
lars ($454,038,779), or SO much thereof as may be
necessary, is hereby appropriated for payment by the
state comptroller of principal and interest on serial
bonds issued in connection with higher education
struction, mental health construction, pure waters,
environmental quality, highways, transportation capi-
tal facilities, rail preservation, outdoor recreation
development, energy conservation through improved

con

transportation, , and parks and recreation land acquisi

Total of schedule

tion during fiscal 1984-85

..

[451,098,449]

[577,831,449)

454,038,779 580,771,779

§ 5. Section three of chapter fifty-two of the laws of nineteen hundred eighty-four is amended by repealing the items hereinbelow set forth in brackets and by adding to such section the other items italicized in this section.

EXPLANATION-Matter in italics is new; matter in brackets ( ) is old law to be omitted.

DEBT SERVICE FUND

STATE DEBT SERVICE

HOUSING DEBT FUND (316) For the legal requirements of debt service, e, in accordance with the following schedule

INTEREST ON BOND ANTICIPATION NOTES

(43,545,532]

........

The sum of two hundred thirty-one thousand dollars

($231,000)] two hundred sixty-seven thousand, three hundred ninety dollars ($267,390), or so much thereof as may be necessary, is hereby appropriated for payment of interest on bond anticipation notes issued in connection with state housing (urban renewal), dur

ing fiscal 1984-85

[231,000]

Total of schedule

.......[ 43,545,532]

43,581,922

267,390 43,581,922

§ 6. Section five of chapter fifty-two of the laws of nineteen hundred eighty-four is amended by repealing by repealing the items hereinbelow set forth in brackets and by adding to such section the other items italicized in this section.

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For services and expenses, including transfers to other funds, in accordance with the following schedule

much

[62,185,300] The sum of [fifty-three million, seven hundred eightyfive thousand, three hundred dollars ($53,785,300)] fifty million, three hundred eighty-five thousand three hundred dollars ($50,385,300), thereof as may be necessary, is hereby appropriated for transfer by the state comptroller to the health services account during fiscal 1984-85 [53,785,300] Total of schedule

..

or SO

::62,183,3001

58,785,300

50,385,300 58,785,300

§ 7. Section seven of chapter fifty-two of the laws of nineteen hundred eighty-four, as amended by chapter two hundred fifty-seven of the laws of nineteen hundred eighty-four, is amended by repealing the items hereinbelow set forth in brackets and by adding to such section the other items italicized in this section.

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STATE DEBT SERVICE

STATE UNIVERSITY INCOME FUND (345)

For services and expenses, including transfers to other funds, in accordance with the following schedule

[707,565,000] 656,161,000

The sum of [one hundred fifty-seven million, three hundred thousand dollars ($157,300,000)] one hundred fifty-six million, seven hundred seventy-five thousand dollars ($156,775,000), or so much thereof as may be necessary, is hereby appropriated for transfer by the state comptroller to the state university income reimburseable account during fiscal 1984-85 [157,300,000] 156,775,000

The sum of (one hundred seventy-seven million, nine hundred eighty-nine thousand dollars ($177,989,000)] one hundred sixty-seven million, two hundred ninety-six thousand dollars ($167,296,000), or so much thereof as may be necessary, is hereby appropriated for transfer by the state comptroller to the state university hospital income offset account during fiscal 1984-85

[177,989,000] 167,296,000

The sum of (forty million, seven hundred thousand dollars ($40,700,000)] five hundred fourteen thousand dollars ($514,000) or SO much thereof as may be available from collections of state university hospitals from excessive balances of prior years' accounts

receivable or from reimbursement rate appeals related to prior year billing periods, or from reimbursement rate appeals related to the extended phase-in of the state university hospital at Stony Brook, is hereby appropriated from transfer by the state comptroller to the state university special income offset account during fiscal 1984-85. Notwithstanding the provisions of any law to the contrary, the chancellor of the state university of New York shall certify on or before the first day of June, August, November and March to the state comptroller and the director of the budget the amount available for transfer to the state university_special income offset account pursuant to this act. Prior to making each such certification, the chancellor shall provide to the director of the budget documentation on the methodology and information used in determining the amount to be transferred to the

state university special income offset account pur

suant to this act

Total of schedule

:::

[40,700,000] [707,565,000)

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§ 8. Section eight of chapter fifty-two of the laws of nineteen hundred eighty-four, as amended by chapter two hundred fifty-seven of the laws of nineteen hundred eighty-four, is amended to read as follows:

The

STATE DEBT SERVICE

DEBT SERVICE FUND

MENTAL HYGIENE FACILITIES

IMPROVEMENT FUND INCOME ACCOUNT (SOLE CUSTODY)

sum of [seven hundred sixty-three million, two hundred thousand dollars ($763,200,000)] seven hundred twenty-three million four hundred thousand dollars ($723,400,000), or so much thereof as may be necesis hereby appropriated for transfer by the facilities development corporation to the mental hygiene patient income account notwithstanding the provision of any other law during fiscal 1984-85

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....

[763,200,000] [817,680,4001

723,400,000 777,880,400

§ 9. The several amounts named in this section, or so much as shall be sufficient to accomplish the purposes designated by the appropriation, are appropriated and authorized to be paid as hereinafter provided, to the respective public officers and for the several purposes specified which amounts shall be immediately available for payment when this act becomes a law.

AID TO LOCALITIES BUDGET

CITY UNIVERSITY OF NEW YORK

General Fund Local Assistance Account

State aid to the city of New York for financial assistance to city university of New York for liabilities incurred during the city fiscal year beginning July first, nineteen hundred eighty-three for expenses of fringe benefits

...

.....

8,747,000

EDUCATION DEPARTMENT

Elementary, Secondary and Continuing Education Program
General Fund
Local Assistance Account

EXPLANATION-Matter in italics is new; matter in brackets ( ) is old law to be omitted.

For obligations for general support for public schools accruing prior to July first, nineteen hundred eighty-four

..

DEPARTMENT OF LABOR

484

Special Revenue Funds
Federal
Unemployment Insurance Occupational Fund

For expenditures related to federal grant years beginning
on or after April first, nineteen hundred eighty-four
from the unemployment insurance occupational fund (484)
for the cost of disaster-related payments made under the
individual and family grant program authorized under
public law 93-288, section 408. (For liabilities in-
curred prior to April 1, 1985)

This appropriation replaces the heretofore authorized transfer from the special emergency appropriation contained in section two of chapter fifty of the laws of nineteen hundred eighty-four

DIVISION OF SUBSTANCE ABUSE SERVICES

LOCAL SERVICES PROGRAM

General Fund

Local Assistance Account

53,540,000

1,500,000

1,500,000

Maintenance undistributed

For services and expenses of residential treatment pro

grams (for liabilities incurred prior to April 1, 1985) .......235,000 DIVISION OF PROBATION

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For payment

of state aid to counties and the city of New York for the operation cion of local probation departments subject to the approval of the director of the budget. Notwithstanding any other provisions of law the reimbursement rate for state aid to counties and the city of New York shall not exceed forty-six and one-half percent of approved expenditures incurred by said counties and the city of New York (for liabilities incurred prior

to

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For reimbursement of mandated preventive services pursuant to section 409-b of the social services law (for liabilities incurred prior to April 1, 1985)

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For income maintenance expenditures, including but not limited to, aid to dependent children, home relief, supplemental security income, emergency assistance to families and emergency assistance to adults (for liabil

ities incurred prior to April 1, 1985)

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For expenditures related to federal grants beginning Oc

tober first, nineteen hundred eighty-four, and ending September thirtieth, nineteen hundred eighty-five, in accordance with the following:

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