(Doc Name h:\legwork\house\amend\h-wm\005\pcc, cid detailed budget reports.docx):
EXPLANATION: Add clarification that expenditure/revenue reports must be inclusive of all funds and directs that individual circuits report these to their respective commissions and then a combined report to W&M and SFC.
Amend the bill, as and if amended, Part IB, Section 117, GENERAL
PROVISIONS, page 537, paragraph 117.122, line 11, by inserting
after circuit:
/, revenue streams shall include but not be limited to
state funds, local funds, Federal funds, all grant monies, fees,
fines, and also non-governmental sources of funds,/
Amend the bill further, as and if amended, Section 117, GENERAL
PROVISIONS, page 537, paragraph 117.122, line 11, by inserting
after year:
/, to the appropriate commission. The Commissions shall
then provide the Chairman of the House Ways and Means Committee
and Chairman of Senate Finance Committee with a combined report
by September 15 of the current fiscal year. /
Renumber sections to conform.
Amend totals and titles to conform.