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Text: HSB00084                          Text: HSB00086
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House Study Bill 85

Bill Text

PAG LIN
  1  1                           DIVISION I
  1  2               STATE DEPARTMENT OF TRANSPORTATION
  1  3    Section 1.  There is appropriated from the general fund of
  1  4 the state to the state department of transportation for the
  1  5 fiscal biennium beginning July 1, 1997, and ending June 30,
  1  6 1999, the following amounts, or so much thereof as is
  1  7 necessary, to be used for the purposes designated:
  1  8    1.  a.  For providing assistance for the restoration,
  1  9 conservation, improvement, and construction of railroad main
  1 10 lines, branch lines, switching yards, and sidings as required
  1 11 in section 327H.18, for use by the railway finance authority
  1 12 as provided in chapter 327I:  
  1 13 1997-98 FY ....................................... $  1,415,000
  1 14 1998-99 FY ....................................... $  1,415,000
  1 15    b.  For airport engineering studies and improvement
  1 16 projects as provided in chapter 328:  
  1 17 1997-98 FY ....................................... $  2,472,000
  1 18 1998-99 FY ....................................... $  2,472,000
  1 19    2.  For planning and programming, for salaries, support,
  1 20 maintenance, and miscellaneous purposes:  
  1 21 1997-98 FY ....................................... $    247,650
  1 22 1998-99 FY ....................................... $    247,650
  1 23    Sec. 2.  There is appropriated from the road use tax fund
  1 24 to the state department of transportation for the fiscal
  1 25 biennium beginning July 1, 1997, and ending June 30, 1999, the
  1 26 following amounts, or so much thereof as is necessary, for the
  1 27 purposes designated:
  1 28    1.  For the payment of costs associated with the production
  1 29 of motor vehicle licenses, as defined in section 321.1,
  1 30 subsection 43:  
  1 31 1997-98 FY ....................................... $  1,295,000
  1 32 1998-99 FY ....................................... $  1,310,000
  1 33    2.  For salaries, support, maintenance, and miscellaneous
  1 34 purposes:
  1 35    a.  Operations and finance:  
  2  1 1997-98 FY ....................................... $  4,289,335
  2  2 1998-99 FY ....................................... $  4,367,735
  2  3    b.  Administrative services:  
  2  4 1997-98 FY ....................................... $    884,590
  2  5 1998-99 FY ....................................... $    884,590
  2  6    c.  Planning and programming:  
  2  7 1997-98 FY ....................................... $    429,785
  2  8 1998-99 FY ....................................... $    429,785
  2  9    d.  Motor vehicles:  
  2 10 1997-98 FY ....................................... $ 22,475,386
  2 11 1998-99 FY ....................................... $ 22,475,386
  2 12    The motor vehicle division of the department shall conduct
  2 13 all salvage theft examinations required under section 321.52.
  2 14    3.  For payments to the department of personnel for
  2 15 expenses incurred in administering the merit system on behalf
  2 16 of the state department of transportation, as required by
  2 17 chapter 19A:  
  2 18 1997-98 FY ....................................... $     35,000
  2 19 1998-99 FY ....................................... $     35,000
  2 20    4.  Unemployment compensation:  
  2 21 1997-98 FY ....................................... $     17,000
  2 22 1998-99 FY ....................................... $     17,000
  2 23    5.  For payments to the department of personnel for paying
  2 24 workers' compensation claims under chapter 85 on behalf of
  2 25 employees of the state department of transportation:  
  2 26 1997-98 FY ....................................... $     77,000
  2 27 1998-99 FY ....................................... $     77,000
  2 28    6.  For payment to the general fund of the state for
  2 29 indirect cost recoveries:  
  2 30 1997-98 FY ....................................... $     96,000
  2 31 1998-99 FY ....................................... $     96,000
  2 32    7.  For reimbursement to the auditor of state for audit
  2 33 expenses as provided in section 11.5B:  
  2 34 1997-98 FY ....................................... $    33,740
  2 35 1998-99 FY ....................................... $    35,000
  3  1    8.  For various technology improvement projects consistent
  3  2 with the recommendations of the blue ribbon task force:  
  3  3 1997-98 FY ....................................... $   168,000
  3  4 1998-99 FY ....................................... $   168,000
  3  5    The provisions of section 8.33 do not apply to the funds
  3  6 appropriated in subsection 8, which shall remain available for
  3  7 expenditure for the purposes designated until June 30, 2000.
  3  8    Sec. 3.  There is appropriated from the primary road fund
  3  9 to the state department of transportation for the fiscal
  3 10 biennium beginning July 1, 1997, and ending June 30, 1999, the
  3 11 following amounts, or so much thereof as is necessary, to be
  3 12 used for the purposes designated:
  3 13    1.  For salaries, support, maintenance, miscellaneous pur-
  3 14 poses:
  3 15    a.  Operations and finance:  
  3 16 1997-98 FY ....................................... $ 26,348,764
  3 17 1998-99 FY ....................................... $ 26,830,364
  3 18    b.  Administrative services:  
  3 19 1997-98 FY ....................................... $  5,433,910
  3 20 1998-99 FY ....................................... $  5,433,910
  3 21    c.  Planning and programming:  
  3 22 1997-98 FY ....................................... $  8,157,859
  3 23 1998-99 FY ....................................... $  8,157,859
  3 24    d.  Project development:  
  3 25 1997-98 FY ....................................... $ 54,347,000
  3 26 1998-99 FY ....................................... $ 54,347,000
  3 27    e.  Maintenance:  
  3 28 1997-98 FY ....................................... $ 99,361,750
  3 29 1998-99 FY ....................................... $ 99,361,750
  3 30    f.  Motor vehicles:  
  3 31 1997-98 FY ....................................... $    893,597
  3 32 1998-99 FY ....................................... $    893,597
  3 33    2.  For deposit in the state department of transportation's
  3 34 highway materials and equipment revolving fund established by
  3 35 section 307.47 for funding the increased replacement cost of
  4  1 equipment:  
  4  2 1997-98 FY ....................................... $  3,250,000
  4  3 1998-99 FY ....................................... $  3,500,000
  4  4    3.  For payments to the department of personnel for
  4  5 expenses incurred in administering the merit system on behalf
  4  6 of the state department of transportation, as required by
  4  7 chapter 19A:  
  4  8 1997-98 FY ....................................... $    665,000
  4  9 1998-99 FY ....................................... $    665,000
  4 10    4.  Unemployment compensation:  
  4 11 1997-98 FY ....................................... $    328,000
  4 12 1998-99 FY ....................................... $    328,000
  4 13    5.  For payments to the department of personnel for paying
  4 14 workers' compensation claims under chapter 85 on behalf of the
  4 15 employees of the state department of transportation:  
  4 16 1997-98 FY ....................................... $  1,463,000
  4 17 1998-99 FY ....................................... $  1,463,000
  4 18    6.  For costs associated with disposal of hazardous waste
  4 19 resulting from day-to-day operations:  
  4 20 1997-98 FY ....................................... $  1,000,000
  4 21 1998-99 FY ....................................... $  1,000,000
  4 22    7.  For payment to the general fund for indirect cost
  4 23 recoveries:  
  4 24 1997-98 FY ....................................... $    704,000
  4 25 1998-99 FY ....................................... $    704,000
  4 26    8.  For various technology improvement projects consistent
  4 27 with the recommendations of the blue ribbon task force:  
  4 28 1997-98 FY ....................................... $ 1,032,000
  4 29 1998-99 FY ....................................... $ 1,032,000
  4 30    9.  For reimbursement to the auditor of state for audit
  4 31 expenses as provided in section 11.5B:  
  4 32 1997-98 FY ....................................... $    207,260
  4 33 1998-99 FY ....................................... $    215,000
  4 34    10.  For field garage facilities at Des Moines, Anamosa,
  4 35 Correctionville, Charles City, and Sheldon:  
  5  1 1997-98 FY ....................................... $ 3,500,000
  5  2 1998-99 FY ....................................... $         0
  5  3    11.  For improvement projects at various facilities including 
  5  4 waste water management, garage reroofing projects, and other 
  5  5 capital and maintenance projects:
  5  6 1997-98 FY ....................................... $   960,000
  5  7 1998-99 FY ....................................... $         0
  5  8    The provisions of section 8.33 do not apply to the funds
  5  9 appropriated in subsections 8, 10, and 11 which shall remain
  5 10 available for expenditure for the purposes designated until
  5 11 June 30, 2000.  
  5 12                           DIVISION II
  5 13                        CAPITAL PROJECTS
  5 14                        BOARD OF REGENTS
  5 15    Sec. 4.
  5 16    1.  There is appropriated from the rebuild Iowa
  5 17 infrastructure fund of the state to the state board of regents
  5 18 for the fiscal period beginning July 1, 1998, and ending June
  5 19 30, 2002, the following amounts, or so much thereof as is
  5 20 necessary, to be used for the projects designated in
  5 21 subsection 2:  
  5 22    a.  1998-99 FY ................................. $ 19,500,000
  5 23    b.  1999-00 FY ................................. $ 19,500,000
  5 24    c.  2000-01 FY ................................. $ 19,500,000
  5 25    d.  2001-02 FY ................................. $ 11,785,000
  5 26    The state board of regents shall determine the amounts to
  5 27 be allocated to each project for each fiscal year of the
  5 28 fiscal period beginning July 1, 1998, and ending June 30,
  5 29 2002, based upon project needs.  However, the total
  5 30 appropriated funds for a project for all fiscal years of that
  5 31 fiscal period shall not exceed the amount listed in subsection
  5 32 2 for that project.
  5 33    2.  The state board of regents is authorized to undertake,
  5 34 plan, construct, equip, and otherwise carry out the following
  5 35 projects at the institutions under the jurisdiction of the
  6  1 board in the following appropriated amounts:
  6  2    a.  For construction of the intensive livestock facilities
  6  3 at Iowa state university of science and technology:  
  6  4 .................................................. $  9,270,000
  6  5    b.  For construction and renovation of the medical
  6  6 education and biomedical research facilities at the university
  6  7 of Iowa:  
  6  8 .................................................. $ 27,000,000
  6  9    c.  For renovation of Lang hall at the university of
  6 10 northern Iowa:  
  6 11 .................................................. $ 12,900,000
  6 12    d.  For Phase II construction of the engineering teaching
  6 13 and research complex at Iowa state university of science and
  6 14 technology:  
  6 15 .................................................. $ 20,900,000
  6 16    e.  For improvements to the lakeside laboratory complex:  
  6 17 .................................................. $    140,000
  6 18    f.  For a visual alert system and to address fire safety
  6 19 deficiencies at the Iowa school for the deaf:  
  6 20 .................................................. $     50,000
  6 21    g.  For deferred maintenance at the Iowa braille and sight
  6 22 saving school:  
  6 23 .................................................. $     25,000
  6 24    3.  Effective July 1, 1998, the state board of regents is
  6 25 authorized to enter into contracts for the full cost of
  6 26 carrying out the projects listed in subsection 2, for which
  6 27 appropriations are made in subsection 1, for the fiscal years
  6 28 beginning July 1, 1998, July 1, 1999, July 1, 2000, and July
  6 29 1, 2001.
  6 30    The state shall not be obligated for costs associated with
  6 31 contracts identified in this section in excess of funds
  6 32 appropriated by the general assembly.
  6 33    4.  a.  Notwithstanding section 8.33, funds appropriated in
  6 34 subsection 1, paragraph "a", for the fiscal year beginning
  6 35 July 1, 1998, which remain unexpended as of June 30, 1999,
  7  1 shall be available for expenditure through June 30, 2003.
  7  2    b.  Notwithstanding section 8.33, funds appropriated in
  7  3 subsection 1, paragraph "b", for the fiscal year beginning
  7  4 July 1, 1999, which remain unexpended as of June 30, 2000,
  7  5 shall be available for expenditure through June 30, 2003.
  7  6    c.  Notwithstanding section 8.33, funds appropriated in
  7  7 subsection 1, paragraph "c", for the fiscal year beginning
  7  8 July 1, 2000, which remain unexpended as of June 30, 2001,
  7  9 shall be available for expenditure through June 30, 2003.
  7 10    d.  Notwithstanding section 8.33, funds appropriated in
  7 11 subsection 1, paragraph "d", for the fiscal year beginning
  7 12 July 1, 2001, which remain unexpended as of June 30, 2002,
  7 13 shall be available for expenditure through June 30, 2003.  
  7 14                 DEPARTMENT OF CULTURAL AFFAIRS
  7 15    Sec. 5.  There is appropriated from the rebuild Iowa
  7 16 infrastructure fund to the department of cultural affairs for
  7 17 the fiscal year beginning July 1, 1997, and ending June 30,
  7 18 1998, the following amount, or so much thereof as is
  7 19 necessary, to be used for the purpose designated:
  7 20    For the completion of undeveloped exhibit space at the new
  7 21 historical building:  
  7 22 .................................................. $    500,000
  7 23    Notwithstanding section 8.33, the unencumbered or
  7 24 unobligated moneys remaining on June 30 of the fiscal year
  7 25 from moneys appropriated in this section may be expended
  7 26 during the following fiscal year for the same purpose.
  7 27    Sec. 6.  There is appropriated from the rebuild Iowa
  7 28 infrastructure fund to the department of cultural affairs for
  7 29 the fiscal year beginning July 1, 1997, and ending June 30,
  7 30 1998, the following amount, or so much thereof as is
  7 31 necessary, to be allocated to an Iowa project that has
  7 32 received a national endowment for the humanities award for the
  7 33 museum and discovery center:  
  7 34 .................................................. $    500,000
  7 35    Allocation of moneys pursuant to this section shall be
  8  1 contingent upon a two-to-one matching contribution of private
  8  2 moneys.  
  8  3                 COMMISSION OF VETERANS AFFAIRS
  8  4    Sec. 7.  There is appropriated from the rebuild Iowa
  8  5 infrastructure fund to the commission of veterans affairs for
  8  6 the fiscal biennium beginning July 1, 1997, and ending June
  8  7 30, 1999, the following amounts, or so much thereof as is
  8  8 necessary, to be used for the purposes designated:
  8  9    For food preparation and dining room expansion:  
  8 10 1997-98 FY ....................................... $  1,400,000
  8 11 1998-99 FY ....................................... $    900,000
  8 12    Notwithstanding section 8.33, the unencumbered or
  8 13 unobligated moneys remaining on June 30 of the fiscal year
  8 14 from the moneys appropriated in this section may be expended
  8 15 during the following fiscal year for the same purposes.  
  8 16                 DEPARTMENT OF GENERAL SERVICES
  8 17    Sec. 8.  There is appropriated from the rebuild Iowa
  8 18 infrastructure fund to the department of general services for
  8 19 the fiscal biennium beginning July 1, 1997, and ending June
  8 20 30, 1999, the following amounts, or so much thereof as is
  8 21 necessary, to be used for the purposes designated:
  8 22    1.  For exterior state capitol building restoration:  
  8 23 1997-98 FY ....................................... $  4,400,000
  8 24 1998-99 FY ....................................... $  4,400,000
  8 25    2.  For interior state capitol building restoration:  
  8 26 1997-98 FY ....................................... $  3,140,000
  8 27 1998-99 FY ....................................... $  4,200,000
  8 28    3.  For major maintenance needs including health, life, and
  8 29 fire safety and for compliance with the federal Americans with
  8 30 Disabilities Act for state-owned buildings and facilities:  
  8 31 1997-98 FY ....................................... $  6,000,000
  8 32 1998-99 FY ....................................... $  4,982,000
  8 33    Of the amount appropriated in this subsection for the
  8 34 fiscal year beginning July 1, 1997, $655,000 of the allocation
  8 35 received by the department of human services shall be used for
  9  1 the construction of a multipurpose center at the Eldora
  9  2 training school.
  9  3    4.  For improvements at the state capitol complex as
  9  4 follows:
  9  5    For renovation of the Lucas state office building:  
  9  6 1997-98 FY ....................................... $  2,500,000
  9  7    For renovation of the old historical building:  
  9  8 1997-98 FY........................................ $  4,100,000
  9  9    For renovation of the Lucas tunnel:  
  9 10 1997-98 FY........................................ $    400,000
  9 11    5.  For critical and deferred maintenance at Terrace Hill:  
  9 12 1997-98 FY ....................................... $    100,000
  9 13 1998-99 FY ....................................... $    100,000
  9 14    As a condition of receiving this appropriation, private
  9 15 matching funds must be contributed on a dollar-for-dollar
  9 16 basis.
  9 17    6.  For relocation of offices and other transition costs
  9 18 associated with renovation of the Lucas state office building
  9 19 and the old historical building:  
  9 20 1997-98 FY ....................................... $  1,300,000
  9 21 1998-99 FY ...................................... .$  1,300,000
  9 22    7.  To conduct a survey of the condition of state-owned
  9 23 property:  
  9 24 1997-98 FY ....................................... $    500,000
  9 25 1998-99 FY ....................................... $    500,000
  9 26    8.  To fund the state share of the capitol gateway east
  9 27 development project in conjunction with the city of Des
  9 28 Moines:  
  9 29 1997-98 FY ....................................... $     50,000
  9 30    Notwithstanding section 8.33, unencumbered or unobligated
  9 31 funds remaining on June 30, 2001, from the funds appropriated
  9 32 in this section, shall revert to the rebuild Iowa
  9 33 infrastructure fund on August 31, 2001.
  9 34    Effective July 1, 1997, the department of general services
  9 35 is authorized to enter into contracts for the full cost of
 10  1 carrying out the projects listed in this section, for which
 10  2 appropriations are made in this section, for the fiscal years
 10  3 beginning July 1, 1997, and July 1, 1998.  The state shall not
 10  4 be obligated for costs associated with contracts identified in
 10  5 this section in excess of funds appropriated by the general
 10  6 assembly.  
 10  7               DEPARTMENT OF ECONOMIC DEVELOPMENT
 10  8    Sec. 9.  There is appropriated from the rebuild Iowa
 10  9 infrastructure fund to the department of economic development
 10 10 for the fiscal biennium beginning July 1, 1997, and ending
 10 11 June 30, 1999, the following amounts, or so much thereof as is
 10 12 necessary, to be used for the purpose designated:
 10 13    For welcome centers at living history farms and Okoboji:  
 10 14 1997-98 FY ....................................... $    500,000
 10 15 1998-99 FY ....................................... $    150,000
 10 16    Notwithstanding section 8.33, the unencumbered or
 10 17 unobligated moneys remaining on June 30 of the fiscal year
 10 18 from the moneys appropriated in this section may be expended
 10 19 during the following fiscal year for the same purpose.
 10 20    Sec. 10.  1996 Iowa Acts, chapter 1218, section 55,
 10 21 subsections 2 and 3, are amended to read as follows:
 10 22    2.  For the fiscal year beginning July 1, 1997, and ending
 10 23 June 30, 1998, the following amount:  
 10 24 .................................................. $  6,100,000
 10 25                                                    $  4,130,000
 10 26    3.  The moneys appropriated in this section shall be used
 10 27 only for providing assistance in the form of loan guarantees,
 10 28 irrevocable letters of credit, and indemnification for
 10 29 liability agreements entered into prior to October 15,1996.  
 10 30                  DEPARTMENT OF PUBLIC DEFENSE
 10 31    Sec. 11.  There is appropriated from the rebuild Iowa
 10 32 infrastructure fund to the department of public defense for
 10 33 the fiscal biennium beginning July 1, 1997, and ending June
 10 34 30, 1999, the following amounts, or so much thereof as is
 10 35 necessary, to be used for the purpose designated:
 11  1    For maintenance and repair of national guard armories and
 11  2 facilities:  
 11  3 1997-98 FY ....................................... $    400,000
 11  4 1998-99 FY ....................................... $    400,000
 11  5    Notwithstanding section 8.33, the unencumbered or
 11  6 unobligated moneys remaining on June 30 of the fiscal year
 11  7 from the moneys appropriated in this section may be expended
 11  8 during the following fiscal year for the same purpose.  
 11  9                IOWA COMMUNICATIONS NETWORK FUND
 11 10    Sec. 12.  There is appropriated from the rebuild Iowa
 11 11 infrastructure fund to the Iowa communications network fund
 11 12 created in section 8D.14 for the fiscal biennium beginning
 11 13 July 1, 1997, and ending June 30, 1999, the following amounts,
 11 14 or so much thereof as is necessary, to be used for the purpose
 11 15 designated:
 11 16    For the connection of a minimum of 124 Part III users as
 11 17 determined by the Iowa telecommunications and technology
 11 18 commission and reported to the general assembly and for
 11 19 maintenance and recurring lease costs:  
 11 20 1997-98 FY ....................................... $ 22,640,000
 11 21 1998-99 FY ....................................... $ 17,704,000
 11 22                 DEPARTMENT OF NATURAL RESOURCES
 11 23    Sec. 13.  There is appropriated from the rebuild Iowa
 11 24 infrastructure fund to the department of natural resources for
 11 25 the fiscal biennium beginning July 1, 1997, and ending June
 11 26 30, 1999, the following amounts, or so much thereof as is
 11 27 necessary, to be used for the purpose designated:
 11 28    For the rehabilitation, preservation, and continued use of
 11 29 state park facilities:  
 11 30 1997-98 FY ....................................... $  2,100,000
 11 31 1998-99 FY ....................................... $  2,064,000
 11 32    Notwithstanding section 8.33, the unencumbered or
 11 33 unobligated moneys remaining on June 30 of the fiscal year
 11 34 from the moneys appropriated in this section may be expended
 11 35 during the following fiscal year for the purpose designated.  
 12  1               STATE DEPARTMENT OF TRANSPORTATION
 12  2    Sec. 14.  There is appropriated from the rebuild Iowa
 12  3 infrastructure fund to the state department of transportation
 12  4 for the fiscal biennium beginning July 1, 1997, and ending
 12  5 June 30, 1999, the following amounts, or so much thereof as is
 12  6 necessary, to be used for the purpose designated:
 12  7    For acquiring, constructing, and improving recreational
 12  8 trails within the state:  
 12  9 1997-98 FY ....................................... $  1,000,000
 12 10 1998-99 FY ....................................... $  1,000,000
 12 11    Notwithstanding section 8.33, the unencumbered or
 12 12 unobligated moneys remaining on June 30 of the fiscal year
 12 13 from the moneys appropriated in this section may be expended
 12 14 during the following fiscal year for the same purpose.  
 12 15                   IOWA STATE FAIR FOUNDATION
 12 16    Sec. 15.  There is appropriated from the rebuild Iowa
 12 17 infrastructure fund of the state to the Iowa state fair
 12 18 foundation for the fiscal biennium beginning July 1, 1997, and
 12 19 ending June 30, 1999, the following amounts, or so much
 12 20 thereof as is necessary, to be used for the purposes
 12 21 designated:
 12 22    For renovation and restoration projects and for
 12 23 improvements on the state fairgrounds:  
 12 24 1997-98 FY ....................................... $  1,000,000
 12 25 1998-99 FY ....................................... $  1,000,000
 12 26    Notwithstanding section 8.33, the unencumbered or
 12 27 unobligated moneys remaining on June 30 of the fiscal year
 12 28 from the moneys appropriated in this section may be expended
 12 29 during the following fiscal year for the same purpose.  
 12 30                     DEPARTMENT OF PERSONNEL
 12 31    Sec. 16.  There is appropriated from the Iowa public
 12 32 employees' retirement system trust fund to the department of
 12 33 personnel for the fiscal biennium beginning July 1, 1997, and
 12 34 ending June 30, 1999, the following amounts, or so much
 12 35 thereof as is necessary, to be used for the purpose
 13  1 designated:
 13  2    For construction of an Iowa public employees' retirement
 13  3 system headquarters building to house IPERS staff and records:  
 13  4 1997-98 FY ....................................... $ 2,650,000
 13  5 1998-99 FY ....................................... $ 1,890,000
 13  6    Notwithstanding section 8.33, the unencumbered or
 13  7 unobligated moneys remaining on June 30 of the fiscal year
 13  8 from moneys appropriated in this section may be expended
 13  9 during the following fiscal year for the same purpose.
 13 10    Sec. 17.  Notwithstanding section 8.57, subsection 5, or
 13 11 any other provisions of law to the contrary, any unencumbered
 13 12 and unobligated funds remaining in the rebuild Iowa
 13 13 infrastructure fund as of the close of the fiscal year
 13 14 beginning July 1, 1996, including accrued interest earnings as
 13 15 determined by the treasurer of state, shall be transferred and
 13 16 credited to the technology investment account established in
 13 17 chapter 8E, if enacted by the Seventy-seventh General
 13 18 Assembly, 1997 Session.  
 13 19                           EXPLANATION
 13 20    The bill makes appropriations for the 1997-1998 fiscal year
 13 21 and 1998-1999 fiscal year to the department of transportation.
 13 22    The bill also makes appropriations for that biennium for
 13 23 various capital projects.  These appropriations include
 13 24 capital projects for the board of regents, commission of
 13 25 veterans affairs, departments of cultural affairs, general
 13 26 services, economic development, public defense, natural
 13 27 resources, personnel, and transportation, the Iowa
 13 28 communications network, and state fair foundation.  
 13 29 LSB 1078XG 77
 13 30 mg/eb/24.5
     

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