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STATE OPERATIONS

DEPARTMENT OF LABOR--Cont.

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For services and expenses of the department of labor or its contractors related to the displaced homemaker program, provided, however that no more than $33,800 shall be available for administration, including fringe benefits, in accordance with the following ....

For services and expenses of the department of labor or its contractors related to the implementation and administration of affirmative action programs, provided, however, that no more than $50,800 shall be available for administration, including fringe benefits, in accordance with the following For services and expenses of the department of labor and its subcontractors related to the adolescent vocational exploration program provided, however, that no more than $49,400 shall be available for administration, including fringe benefits, in accordance with the following

324,300

182,300

91,500

133,000

MAINTENANCE UNDISTRIBUTED

For services and expenses of programs in ac-
cordance with the following sub-schedule.
The comptroller is hereby authorized and
directed to loan money by transfer to this
fund from the general fund or any other
fund, which loans shall be limited to the
amounts immediately required to meet dis-
bursements, made in pursuance of an appro-
priation by law and authorized by a cer-
tificate of approval issued by the direc-
tor of the budget
budget with copies thereof
filed with the comptroller and the chair-
men of the senate finance committee and
the assembly ways and means committee. The

STATE OPERATIONS

DEPARTMENT OF LABOR--Cont.

director of the budget shall not issue such a certificate unless he shall have determined that the amounts to be SO transferred are receivable on account or are otherwise readily available for payment. When making loans, the comptroller shall establish appropriate accounts and if the loan is not repaid by the end of the month, provide on or before the fifteenth day of the following month to the director of the budget and the chairmen of the senate finance committee and the assembly ways and means committee, an accurate accounting and reporting of the financial resources of each such fund at the end of such month. Within ten days of the receipt of such accounting and reporting, the director of the budget shall provide the chairmen of the senate finance committee and the assembly ways. and means committee an expected schedule of repayment by fund and by source for each outstanding loan. Repayment shall be made by the comptroller by transfer of the first cash receipts of this fund

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880,000

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STATE OPERATIONS

STATE INSURANCE FUND

Maintenance undistributed

For services and expenses, including travel outside the state, in accordance with the following schedule

.. 105,750,400

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For services and expenses, including travel outside the
state, and the purchase of automobiles, related to
workers' compensation and disability benefit programs.
Notwithstanding any law to the contrary, the comptroller
is hereby authorized and directed to receive for depo-
sit to the credit of the miscellaneous special revenue
fund any revenues which, pursuant to law, are received
by the agency for the purpose of funding expenditures
as authorized by this miscellaneous special revenue
fund appropriation.

The comptroller is further authorized and directed to
loan money by transfer to the miscellaneous special
revenue fund from the general fund or any other fund,
which loans shall be limited to the amounts immedi-
ately required to meet disbursements, made in pur-
suance of an appropriation by law and authorized by a
certificate of approval issued by the director of the
budget with copies thereof filed with the comptroller
and the chairmen of the senate finance committee and
the assembly ways and means committee. The director of
the budget shall not issue such a certificate unless
he shall have determined that the amounts to be so
transferred are receivable on account or are otherwise
readily available for payment. When making loans, the
comptroller shall establish appropriate accounts and,
if the loan is not repaid by the end of the month,
provide
on or before the fifteenth day of the follow-
ing month to the director of the budget and the chair-
men of the senate finance committee and the assembly
ways and means committee, an accurate accounting and
reporting of the financial resources of each fund at
the end of such month. Within ten days of the receipt
of such accounting and reporting, the director of the
budget shall provide to the chairmen of the senate
finance committee and the assembly ways and means com-
mittee an expected schedule of repayment by fund and
by source for each outstanding loan. Repayment shall
be made by the comptroller by transfer of the first
cash receipts of this miscellaneous special revenue

fund.

105,750,400

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