Senate Bill 25-110 Rerevised

LLS NO. 25-0548.01 Craig Harper x3481
First Regular Session
Seventy-fifth General Assembly
State of Colorado

Senate Sponsorship

Bridges, Amabile, Kirkmeyer

House Sponsorship

Bird, Sirota, Taggart, Duran, Joseph, Lieder, McCluskie, Story


This Version Includes All Amendments Adopted in the Second House

House 3rd Reading Unamended February 13, 2025

House 2nd Reading Unamended February 12, 2025

Senate 3rd Reading Unamended February 6, 2025

Senate 2nd Reading Unamended February 5, 2025


Senate Committees

Appropriations

House Committees

Appropriations


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A Bill for an Act


Bill Summary

(Note: This summary applies to this bill as introduced and does not reflect any amendments that may be subsequently adopted. If this bill passes third reading in the house of introduction, a bill summary that applies to the reengrossed version of this bill will be available at http://leg.colorado.gov.)

Supplemental appropriations are made to the department of the treasury.


Page 1, Line 1Be it enacted by the General Assembly of the State of Colorado:

Page 2, Line 1SECTION 1.  Appropriation to the department of the treasury

Page 2, Line 2for the fiscal year beginning July 1, 2024.  In Session Laws of Colorado

Page 2, Line 32024, section 2 of chapter 519, (HB 24-1430), amend Part XXIII as

Page 2, Line 4follows:

Page 2, Line 5Section 2. Appropriation.

Page 3, Line 1Part XXIII

Page 3, Line 2DEPARTMENT OF THE TREASURY

Page 3, Line 3

Page 3, Line 4(1) ADMINISTRATION

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 3, Line 5Personal Services

4,745,899

3,639,541

1,106,358a

Page 3, Line 6

(37.5 FTE)

Page 3, Line 7Health, Life, and Dental

648,766

390,878

257,888b

Page 3, Line 8Short-term Disability

7,476

4,772

2,704b

Page 3, Line 9Paid Family and Medical

Page 3, Line 10Leave Insurance

22,256

14,221

8,035b

Page 3, Line 11Unfunded Liability

Page 3, Line 12Amortization Equalization

Page 3, Line 13Disbursement Payments

436,900

284,242

152,658b

Page 3, Line 14Salary Survey

153,814

100,411

53,403b

Page 3, Line 15Step Pay

102,735

57,369

45,366b

Page 4, Line 1PERA Direct Distribution

75,527

49,137

26,390b

Page 4, Line 2Workers' Compensation and

Page 4, Line 3Payment to Risk

Page 4, Line 4Management and Property

Page 4, Line 5Funds

35,707

35,707

Page 4, Line 6Operating Expenses

2,192,234

2,192,234

Page 4, Line 7Information Technology

Page 4, Line 8Asset Maintenance

18,000

9,000

9,000b

Page 4, Line 9Legal Services

122,197

38,060

84,137c

Page 4, Line 10Capitol Complex Leased

Page 4, Line 11Space

62,530

37,285

25,245b

Page 4, Line 12Payments to OIT

235,606

141,364

94,242 b

Page 4, Line 13

265,730

155,374

110,356b

Page 4, Line 14CORE Operations

185,258

83,366

101,892b

Page 4, Line 15Charter School Facilities

Page 4, Line 16Financing Services

7,500

7,500d

Page 5, Line 1Discretionary Fund

5,000

5,000

Page 5, Line 2

9,057,405

Page 5, Line 3

9,087,529

Page 5, Line 4

Page 5, Line 5a Of this amount, $887,488 shall be from cash management transaction fees pursuant to Section 24-36-120, C.R.S., and $218,870 shall be from the Unclaimed Property Trust Fund created

Page 5, Line 6in Section 38-13-801 (1)(a), C.R.S.

Page 5, Line 7b These amounts shall be from the principal balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C.R.S.

Page 5, Line 8c Of this amount, it is estimated that $57,142(I) shall be from the State Public Financing Cash Fund created in Section 24-36-121 (7)(a), C.R.S., $23,292 shall be from the principal balance

Page 5, Line 9of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C.R.S., and $3,703 shall be from interest or income earned on the investment of the money in the Public School

Page 5, Line 10Fund pursuant to Section 22-41-102, C.R.S. Appropriations from the State Public Financing Cash Fund are shown for informational purposes only because the State Public Financing

Page 5, Line 11Cash Fund is continuously appropriated to the State Treasurer pursuant to Section 24-36-121 (7)(a), C.R.S.

Page 5, Line 12d This amount shall be from the Charter School Financing Administrative Cash Fund created in Section 22-30.5-406 (1)(c)(I), C.R.S. Money from the Charter School Financing

Page 5, Line 13Administrative Cash Fund is continuously appropriated and is included for informational purposes to comply with the limitation on state fiscal year spending imposed by Section 20

Page 5, Line 14of Article X of the State Constitution.

Page 5, Line 15

Page 5, Line 16

Page 6, Line 1(2) UNCLAIMED PROPERTY PROGRAM

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 6, Line 2Personal Services

1,900,442

1,900,442a

Page 6, Line 3

(24.0 FTE)

Page 6, Line 4Operating Expenses

1,348,180

1,348,180 a

Page 6, Line 5

1,395,610

1,395,610a

Page 6, Line 6Promotion and

Page 6, Line 7Correspondence

200,000

200,000a

Page 6, Line 8Contract Auditor Services

800,000

800,000b

Page 6, Line 9

4,248,622

Page 6, Line 10

4,296,052

Page 6, Line 11

Page 6, Line 12a These amounts shall be from the principal balance of the Unclaimed Property Trust Fund created in Section 38-13-801 (1)(a), C.R.S.

Page 6, Line 13b This amount shall be from revenues collected by contract auditors. This amount is included for informational purposes only and is continuously appropriated for payment of contract

Page 6, Line 14services pursuant to Section 38-13-801 (2)(b), C.R.S.

Page 6, Line 15

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 7, Line 1(3) SPECIAL PURPOSE

Page 7, Line 2Senior Citizen and Disabled

Page 7, Line 3Veteran Property Tax

Page 7, Line 4Exemption

175,301,704

175,301,704a

Page 7, Line 5Household Financial

Page 7, Line 6Recovery Program

200,000

200,000

Page 7, Line 7Business Personal Property

Page 7, Line 8Tax Exemption

17,768,619

17,768,619b

Page 7, Line 9Highway Users Tax Fund -

Page 7, Line 10County Payments

209,464,904

209,464,904c

Page 7, Line 11Highway Users Tax Fund -

Page 7, Line 12Municipality Payments

136,340,258

136,340,258c

Page 7, Line 13Property Tax

Page 7, Line 14Reimbursement for

Page 7, Line 15Property Destroyed by

Page 7, Line 16Natural Cause

1,000,000

1,000,000

Page 8, Line 1Lease Purchase of

Page 8, Line 2Academic Facilities

Page 8, Line 3Pursuant to Section

Page 8, Line 423-19.9-102, C.R.S.

17,437,100

17,437,100d

Page 8, Line 5Lease Purchase of

Page 8, Line 6Academic Facilities

Page 8, Line 7Pursuant to Section

Page 8, Line 824-82-803, C.R.S.

4,753,000

4,753,000e

Page 8, Line 9Public School Fund

Page 8, Line 10Investment Board Pursuant

Page 8, Line 11to Section 22-41-102.5,

Page 8, Line 12C.R.S.

1,760,000

1,760,000f

Page 8, Line 13S.B. 17-267

Page 8, Line 14Collateralization Lease

Page 8, Line 15Purchase Payments

150,000,000

100,000,000

50,000,000g

Page 9, Line 1Direct Distribution for

Page 9, Line 2Unfunded Actuarial

Page 9, Line 3Accrued PERA Liability

225,000,000

165,371,147

59,628,853h

Page 9, Line 4

165,371,147j

Page 9, Line 5Law Enforcement Officers'

Page 9, Line 6and Firefighters'

Page 9, Line 7Continuation of Health

Page 9, Line 8Benefits Program

150,000

150,000i

Page 9, Line 9

939,175,585

Page 9, Line 10

Page 9, Line 11a Pursuant to Section 3.5 (3) of Article X of the State Constitution, this amount is not subject to the limitation on General Fund appropriations set forth in Section 24-75-201.1 (1)(a),

Page 9, Line 12C.R.S., because enactment of this constitutional provision by the people of Colorado constitutes voter approval of a weakening of such limitation. This amount reflects the estimate of

Page 9, Line 13the money that shall be paid to fully reimburse counties pursuant to Section 39-3-207 (4)(a), C.R.S., for lost property tax revenues as a result of property owners claiming the exemption.

Page 9, Line 14b This amount is not subject to the limitation on General Fund appropriations set forth in Section 24-75-201.1 (1)(a), C.R.S., because it is not a state general fund appropriation. This

Page 9, Line 15amount reflects the estimate of the money that shall be paid to fully reimburse counties pursuant to Section 39-3-119.5 (3)(e), C.R.S., for the aggregate value of business personal property

Page 9, Line 16that is exempt from property tax.

Page 10, Line 1c These amounts represent estimated allocations from the Highway Users Tax Fund, created in Section 43-4-201 (1)(a), C.R.S. These estimates of revenue distributions to counties and

Page 10, Line 2municipalities pursuant to Sections 43-4-205, 207, and 208, C.R.S., are included for informational purposes and for the purpose of complying with the limitation on state fiscal year

Page 10, Line 3spending imposed by Section 20 of Article X of the State Constitution.

Page 10, Line 4d This amount shall be from funds transferred from the Lease Purchase of Academic Facilities line item in the Colorado Commission on Higher Education section of the Department of

Page 10, Line 5Higher Education pursuant to Section 23-19.9-102, C.R.S.

Page 10, Line 6e This amount shall be from funds transferred from the Senate Bill 20-219 Lease Purchase Payments line item in the Colorado Commission on Higher Education section of the Department

Page 10, Line 7of Higher Education pursuant to Section 24-82-803.

Page 10, Line 8f This amount shall be from interest or income earned on the investment of the money in the Public School Fund pursuant to Section 22-41-102 (3)(h)(I), C.R.S.

Page 10, Line 9g This amount shall be from various cash funds under the control of the Transportation Commission pursuant to Section 24-82-1303 (2)(d)(II), C.R.S.

Page 10, Line 10h This amount shall be from funds transferred from the Department of Personnel. Pursuant to Section 24-51-414 (5), C.R.S., this amount is included for informational purposes and for

Page 10, Line 11the purpose of complying with the limitation on state fiscal year spending imposed by Section 20 of Article X of the State Constitution and represents part of the estimated amount of

Page 10, Line 12the total distribution that is attributable to the state.

Page 10, Line 13i This amount shall be from the Law Enforcement Officers' and Firefighters' Continuation of Benefits Fund created in Section 24-36-122 (2)(a), C.R.S.

Page 10, Line 14jPursuant to Section 24-51-414 (5), C.R.S., this amount is included in the general appropriation bill for informational purposes and for the purpose of complying

Page 10, Line 15with the limitation on state fiscal year spending imposed by Section 20 of Article X of the State Constitution and represents the estimated amount of the total

Page 10, Line 16distribution that is attributable to public education from kindergarten through the twelfth grade.

Page 11, Line 1

Page 11, Line 2

Agency Name or Title Item & Subtotal Total General Fund General Fund Exempt Cash Funds Reappropriated Funds Federal Funds

Page 11, Line 3TOTALS PART XXIII

Page 11, Line 4(TREASURY)

$952,481,612

$466,724,057 a

$403,938,602 b

$81,818,953c

Page 11, Line 5

$952,559,166

$466,738,067a

$404,002,146b

Page 11, Line 6

Page 11, Line 7a Of this amount, $293,070,323 $358,441,470 contains an (I) notation and $193,070,323 is not subject to the limitation on General Fund appropriations imposed by

Page 11, Line 8Section 24-75-201.1 (1)(a) (III), C.R.S.

Page 11, Line 9b Of this amount, $346,669,804 contains an (I) notation; $345,805,162 represents allocations of Highway Users Tax Fund revenues to counties and municipalities pursuant to Sections

Page 11, Line 1043-4-205, 207, and 208, C.R.S.

Page 11, Line 11c This amount contains an (I) notation.

Page 11, Line 12

Page 12, Line 1SECTION 2. Safety clause. The general assembly finds,

Page 12, Line 2determines, and declares that this act is necessary for the immediate

Page 12, Line 3preservation of the public peace, health, or safety or for appropriations for

Page 12, Line 4the support and maintenance of the departments of the state and state

Page 12, Line 5institutions.