A Bill for an Act
Page 1, Line 101Concerning a supplemental appropriation to the offices of
Page 1, Line 102the governor, lieutenant governor, and state planning
Page 1, Line 103and budgeting.
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 offices of the governor, lieutenant governor, and state planning and budgeting.
Page 2, Line 1Be it enacted by the General Assembly of the State of Colorado:
Page 2, Line 2SECTION 1. Appropriation to the offices of the governor,
Page 2, Line 3lieutenant governor, and state planning and budgeting for the fiscal
Page 2, Line 4year beginning July 1, 2024. In Session Laws of Colorado 2024, section
Page 2, Line 52 of chapter 519, (HB 24-1430), amend Part V as follows:
Page 2, Line 6Section 2. Appropriation.
Page 3, Line 1Part V
Page 3, Line 2GOVERNOR - LIEUTENANT GOVERNOR - STATE PLANNING AND BUDGETING
Page 3, Line 3
Page 3, Line 4(1) OFFICE OF THE GOVERNOR
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 3, Line 5(A) Governor's Office |
|||||||
|
Page 3, Line 6Administration of Governor's Page 3, Line 7Office and Residence |
6,321,229 |
5,743,205 |
106,912a |
471,112b |
|||
Page 3, Line 8 |
(46.0 FTE) |
||||||
Page 3, Line 9Discretionary Fund |
19,500 |
19,500 |
|||||
Page 3, Line 10Mansion Activity Fund |
263,266 |
263,266c |
|||||
|
Page 3, Line 11Office of Climate Page 3, Line 12Preparedness |
453,707 |
453,707 |
|||||
Page 3, Line 13 |
(3.0 FTE) |
||||||
Page 3, Line 14 |
7,057,702 |
||||||
Page 3, Line 15 |
Page 4, Line 1a This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.
Page 4, Line 2b Of this amount, $311,471 shall be from statewide indirect cost recoveries collected by the Colorado Department of Transportation and $159,641 shall be from statewide indirect
Page 4, Line 3cost recoveries or the Indirect Costs Excess Recovery Fund created in Section 24-75-1401 (2), C.R.S.
Page 4, Line 4c This amount shall be from rental fees for events using Mansion facilities or the Governor's Mansion Maintenance Fund created in Section 24-30-1303.8 (1)(a), C.R.S.
Page 4, Line 5
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 4, Line 6(B) Special Purpose |
|||||||
Page 4, Line 7Health, Life, and Dental |
5,112,179 |
2,234,311 |
1,410,405a |
378,638b |
1,088,825(I) |
||
Page 4, Line 8Short-term Disability |
54,530 |
24,893 |
13,557a |
4,353b |
11,727(I) |
||
|
Page 4, Line 9Paid Family and Medical Page 4, Line 10Leave Insurance |
163,590 |
74,679 |
40,672a |
13,058b |
35,181(I) |
||
|
Page 4, Line 11Unfunded Liability Page 4, Line 12Amortization Equalization Page 4, Line 13Disbursement Payments |
3,635,059 |
1,662,282 |
902,441a |
289,741b |
780,595(I) |
||
Page 4, Line 14Salary Survey |
1,311,387 |
593,511 |
331,833a |
105,761b |
280,282(I) |
||
Page 4, Line 15Step Pay |
1,327,101 |
600,623 |
335,809a |
107,029b |
283,640(I) |
||
Page 5, Line 1PERA Direct Distribution |
603,644 |
405,379 |
150,080a |
48,185b |
|||
Page 5, Line 2Workers' Compensation |
18,532 |
11,347 |
7,185b |
||||
Page 5, Line 3Legal Services |
1,074,738 |
1,074,738 |
|||||
|
Page 5, Line 4Payment to Risk Management Page 5, Line 5and Property Funds |
405,791 |
292,167 |
113,624b |
||||
|
Page 5, Line 6Capitol Complex Leased Page 5, Line 7Space |
500,717 |
264,495 |
236,222b |
||||
Page 5, Line 8Payments to OIT |
|
|
|||||
Page 5, Line 9 |
2,041,363 |
2,041,363 |
|||||
Page 5, Line 10CORE Operations |
49,704 |
5,950 |
7,211a |
29,513b |
7,030(I) |
||
Page 5, Line 11Indirect Cost Assessment |
6,317 |
6,317b |
|||||
Page 5, Line 12 |
|
||||||
Page 5, Line 13 |
16,304,652 |
||||||
Page 5, Line 14 |
Page 5, Line 15a Of these amounts, $49,258 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., and $3,142,750 shall be from various sources of cash funds.
Page 6, Line 1b These amounts shall be from the statewide indirect cost recoveries collected by the Colorado Department of Transportation.
Page 6, Line 2
Page 6, Line 3(C) Colorado Energy Office
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 6, Line 4Program Administration |
7,289,250 |
3,437,914 |
3,851,336(I) |
||||
Page 6, Line 5 |
(29.3 FTE) |
||||||
|
Page 6, Line 6Low-Income Energy Page 6, Line 7Assistance |
11,524,618 |
11,524,618a |
|||||
Page 6, Line 8 |
(4.5 FTE) |
||||||
|
Page 6, Line 9Energy Performance for Page 6, Line 10Buildings |
1,300,000 |
1,300,000b |
|||||
Page 6, Line 11 |
(2.0 FTE) |
||||||
|
Page 6, Line 12Cannabis Resource Page 6, Line 13Optimization Program |
500,000 |
500,000 |
|||||
Page 6, Line 14 |
(0.6 FTE) |
||||||
|
Page 7, Line 1Electric Vehicle Charging Page 7, Line 2Station Grants |
1,036,204 |
1,036,204c |
|||||
Page 7, Line 3Streamlined Solar Permitting |
1,023,496 |
30,787 |
992,709d |
||||
Page 7, Line 4 |
(0.4 FTE) |
||||||
Page 7, Line 5Legal Services |
1,345,435 |
1,275,806 |
17,251e |
52,378(I) |
|||
Page 7, Line 6Vehicle Lease Payments |
5,368 |
5,368 |
|||||
Page 7, Line 7Leased Space |
361,248 |
361,248 |
|||||
Page 7, Line 8Indirect Cost Assessment |
113,981 |
113,981(I) |
|||||
Page 7, Line 9Community Access Enterprise |
19,760,850 |
19,760,850f |
|||||
Page 7, Line 10 |
(3.7 FTE) |
||||||
|
Page 7, Line 11Community Access Enterprise Page 7, Line 12Legal Services |
76,439 |
76,439f |
|||||
Page 7, Line 13 |
44,336,889 |
||||||
Page 7, Line 14 |
Page 8, Line 1a This amount shall be from the Colorado Energy Office Low-income Energy Assistance Fund created in Section 40-8.7-112 (3)(a), C.R.S. This amount is shown for informational
Page 8, Line 2purposes only because the Colorado Energy Office Low-income Energy Assistance Fund is continuously appropriated to the Office pursuant to Section 40-8.7-112 (3)(a), C.R.S.
Page 8, Line 3b This amount shall be from the Climate Change Mitigation and Adaptation Fund created in Section 24-38.5-102.6 (1), C.R.S. This amount is shown for informational purposes only
Page 8, Line 4because the Climate Change Mitigation and Adaptation Fund is continuously appropriated to the Office pursuant to Section 24-38.5-102.6 (2), C.R.S.
Page 8, Line 5c This amount shall be from the Electric Vehicle Grant Fund created in Section 24-38.5-103 (1)(a), C.R.S. This amount is shown for informational purposes only because the Electric
Page 8, Line 6Vehicle Grant Fund is continuously appropriated to the Office pursuant to Section 24-38.5-103 (2), C.R.S.
Page 8, Line 7d This amount shall be from the Streamlined Solar Permitting and Inspection Cash Fund created in Section 24-38.5-119 (7)(a)(I), C.R.S.
Page 8, Line 8e This amount shall be from various sources of cash funds.
Page 8, Line 9f These amounts shall be from the Community Access Enterprise Fund created in Section 24-38.5-303 (5)(a), C.R.S. The amounts are shown for informational purposes only because
Page 8, Line 10the Community Access Enterprise Fund is continuously appropriated to the Office pursuant to Section 24-38.5-303 (5)(a), C.R.S.
Page 8, Line 11
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 8, Line 12 |
|
||||||
Page 8, Line 13 |
67,699,243 |
||||||
Page 8, Line 14 |
|||||||
Page 8, Line 15 |
Page 9, Line 1(2) OFFICE OF THE LIEUTENANT GOVERNOR
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 9, Line 2Administration |
530,694 |
530,694 |
|||||
Page 9, Line 3 |
(4.0 FTE) |
||||||
Page 9, Line 4Discretionary Fund |
2,875 |
2,875 |
|||||
Page 9, Line 5Commission of Indian Affairs |
525,868 |
524,684 |
1,184a |
||||
Page 9, Line 6 |
(4.0 FTE) |
||||||
|
Page 9, Line 7Commission on Community Page 9, Line 8Service |
467,927 |
467,927 |
|||||
Page 9, Line 9 |
(2.0 FTE) |
||||||
Page 9, Line 10 |
1,527,364 |
||||||
Page 9, Line 11 |
Page 9, Line 12a This amount shall be from private donations.
Page 9, Line 13
Page 9, Line 14
Page 9, Line 15
Page 10, Line 1(3) OFFICE OF STATE PLANNING AND BUDGETING
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 10, Line 2Personal Services |
4,058,110 |
2,155,240 |
1,902,870a |
||||
Page 10, Line 3 |
(26.9 FTE) |
||||||
Page 10, Line 4Operating Expenses |
109,471 |
32,947 |
76,524a |
||||
|
Page 10, Line 5Economic Forecasting Page 10, Line 6Subscriptions |
16,362 |
16,362a |
|||||
|
Page 10, Line 7Evidence-based Policymaking Page 10, Line 8Evaluation and Support |
500,000 |
500,000b |
|||||
|
Page 10, Line 9Infrastructure Investment and Page 10, Line 10Jobs Act Match Funding |
20,250,000 |
20,250,000c |
|||||
Page 10, Line 11 |
(4.0 FTE) |
||||||
Page 10, Line 12 |
24,933,943 |
||||||
Page 10, Line 13 |
Page 10, Line 14a These amounts shall be from statewide indirect cost recoveries collected by the Colorado Department of Transportation.
Page 10, Line 15b This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.
Page 11, Line 1c This amount shall be from the "Infrastructure Investment and Jobs Act Cash Fund" created in Section 24-75-232 (3), C.R.S.
Page 11, Line 2
Page 11, Line 3(4) ECONOMIC DEVELOPMENT PROGRAMS
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 11, Line 4Administration |
1,707,086 |
1,707,086 |
|||||
Page 11, Line 5 |
(7.3 FTE) |
||||||
Page 11, Line 6Vehicle Lease Payments |
17,935 |
17,935 |
|||||
Page 11, Line 7Leased Space |
366,618 |
366,618 |
|||||
Page 11, Line 8Global Business Development |
5,245,052 |
4,121,948 |
573,626a |
175,000b |
374,478(I) |
||
Page 11, Line 9 |
(26.6 FTE) |
||||||
Page 11, Line 10Office of Outdoor Recreation |
667,000 |
667,000 |
|||||
Page 11, Line 11 |
(5.7 FTE) |
||||||
Page 11, Line 12Leading Edge Program Grants |
151,431 |
76,000 |
75,431c |
||||
|
Page 11, Line 13Small Business Development Page 11, Line 14Centers |
1,771,267 |
486,465 |
1,284,802(I) |
||||
Page 11, Line 15 |
(4.0 FTE) |
||||||
|
Page 12, Line 1Colorado Office of Film, Page 12, Line 2Television, and Media |
1,269,525 |
750,000 |
519,525d |
||||
Page 12, Line 3 |
(4.5 FTE) |
||||||
|
Page 12, Line 4Colorado Promotion - Page 12, Line 5Colorado Welcome Centers |
766,000 |
250,000 |
516,000e |
||||
Page 12, Line 6 |
(3.3 FTE) |
||||||
|
Page 12, Line 7Colorado Promotion - Other Page 12, Line 8Program Costs |
18,449,623 |
3,870,000 |
14,579,623e |
||||
Page 12, Line 9 |
(4.0 FTE) |
||||||
|
Page 12, Line 10Destination Development Page 12, Line 11Program |
1,100,000 |
500,000 |
600,000e |
||||
|
Page 13, Line 1Economic Development Page 13, Line 2Commission - General Page 13, Line 3Economic Incentives and Page 13, Line 4Marketing |
6,098,175 |
5,734,298 |
363,877f |
||||
Page 13, Line 5 |
(7.3 FTE) |
||||||
|
Page 13, Line 6Colorado First Customized Page 13, Line 7Job Training |
4,500,000 |
4,500,000 |
|||||
Page 13, Line 8CAPCO Administration |
13,500 |
13,500g |
|||||
Page 13, Line 9 |
(0.3 FTE) |
||||||
Page 13, Line 10Council on Creative Industries |
4,578,734 |
1,250,000 |
2,563,000h |
765,734(I) |
|||
Page 13, Line 11 |
(3.5 FTE) |
||||||
Page 13, Line 12Advanced Industries |
15,362,210 |
15,362,210i |
|||||
Page 13, Line 13 |
(3.4 FTE) |
||||||
Page 13, Line 14Rural Jump Start |
40,491 |
40,491 |
|||||
Page 13, Line 15 |
(0.5 FTE) |
||||||
Page 14, Line 1Rural Opportunity Office |
551,384 |
398,384 |
153,000j |
||||
Page 14, Line 2 |
(4.0 FTE) |
||||||
|
Page 14, Line 3Appropriation to the Page 14, Line 4Marijuana Entrepreneur Fund |
800,000 |
800,000m |
|||||
Page 14, Line 5Indirect Cost Assessment |
217,112 |
217,112k |
|||||
Page 14, Line 6 |
63,673,143 |
||||||
Page 14, Line 7 |
Page 14, Line 8a Of this amount, an estimated $175,000(I) shall be from the Advanced Industries Export Acceleration Cash Fund created in Section 24-47-103 (8)(a), C.R.S., an estimated $50,000 shall
Page 14, Line 9be from the Minority Business Fund created in Section 24-49.5-104 (1), C.R.S., and an estimated $348,626 shall be from various fees collected from participants in activities conducted
Page 14, Line 10by the division.
Page 14, Line 11b This amount shall be from the Advanced Industries Export Acceleration Cash Fund created in Section 24-47-103 (8)(a), C.R.S.
Page 14, Line 12c This amount shall be from fees, Small Business Development Centers' activities, and grants and donations.
Page 14, Line 13d This amount shall be from the Colorado Office of Film, Television, and Media Operational Account Cash Fund created in Section 24-48.5-116 (5)(a), C.R.S.
Page 14, Line 14e These amounts shall be from the Colorado Travel and Tourism Promotion Fund created in Section 24-49.7-106 (1), C.R.S.
Page 14, Line 15f This amount shall be from fees collected pursuant to Section 39-22-514.5 (6), C.R.S.
Page 15, Line 1g This amount shall be transferred from the Department of Regulatory Agencies from the Transfer to CAPCO line item appropriation.
Page 15, Line 2h This amount shall be from the Creative Industries Cash Fund created in Section 24-48.5-301 (2)(a), C.R.S.
Page 15, Line 3i This amount shall be from the Advanced Industries Acceleration Cash Fund created in Section 24-48.5-117 (7)(a), C.R.S. This amount is shown for informational purposes only
Page 15, Line 4because the Advanced Industries Acceleration Cash Fund is continuously appropriated to the Office pursuant to Section 24-48.5-117 (7)(c)(I), C.R.S.
Page 15, Line 5j This amount shall be from unspent grant funds appropriated to the Rural Opportunity Office.
Page 15, Line 6k This amount shall be from various sources of cash funds.
Page 15, Line 7m This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S.
Page 15, Line 8
Page 15, Line 9(5) OFFICE OF INFORMATION TECHNOLOGY
Page 15, Line 10(A) OIT Central Administration
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 15, Line 11Central Administration |
|
2,038,346 |
2,500,000a |
|
|||
Page 15, Line 12 |
27,220,710 |
22,682,364b |
|||||
Page 15, Line 13 |
(4.6 FTE) |
(122.9 FTE) |
|||||
Page 15, Line 14Health, Life, and Dental |
16,032,332 |
254,592 |
35,830c |
15,741,910b |
|||
Page 15, Line 15Short-term Disability |
177,086 |
2,899 |
318c |
173,869b |
|||
|
Page 16, Line 1Unfunded Liability Page 16, Line 2Amortization Equalization Page 16, Line 3Disbursement Payments |
11,805,997 |
211,349 |
21,151c |
11,573,497b |
|||
Page 16, Line 4PERA Direct Distribution |
2,317,240 |
37,932 |
4,158c |
2,275,150b |
|||
Page 16, Line 5Salary Survey |
4,456,000 |
76,907 |
7,716c |
4,371,377b |
|||
Page 16, Line 6Step Pay |
4,509,394 |
77,828 |
7,808c |
4,423,758b |
|||
|
Page 16, Line 7Paid Family and Medical Page 16, Line 8Leave Insurance |
531,258 |
8,697 |
953c |
521,608b |
|||
Page 16, Line 9Shift Differential |
25,463 |
25,463b |
|||||
Page 16, Line 10Workers' Compensation |
181,251 |
181,251b |
|||||
Page 16, Line 11Legal Services |
739,770 |
25,971 |
713,799b |
||||
|
Page 16, Line 12Payment to Risk Management Page 16, Line 13and Property Funds |
996,471 |
996,471b |
|||||
Page 16, Line 14Leased Space |
474,197 |
474,197b |
|||||
|
Page 17, Line 1Capitol Complex Leased Page 17, Line 2Space |
587,561 |
587,561b |
|||||
Page 17, Line 3CORE Operations |
81,643 |
81,643b |
|||||
Page 17, Line 4Indirect Cost Assessment |
1,668,659 |
1,668,659b |
|||||
Page 17, Line 5 |
|
||||||
Page 17, Line 6 |
71,805,032 |
||||||
Page 17, Line 7 |
Page 17, Line 8a This amount shall be from the Technology Risk Prevention and Response Fund created in Section 24-37.5-120 (2), C.R.S. This amount is shown for informational purposes only because
Page 17, Line 9the Technology Risk Prevention and Response Fund is continuously appropriated to the Office pursuant to Section 24-37.5-120 (4)(a), C.R.S.
Page 17, Line 10b These amounts shall be from user fees collected from other state agencies and deposited in the Information Technology Revolving Fund created in Section 24-37.5-103 (3)(a),
Page 17, Line 11C.R.S.
Page 17, Line 12c These shall be from various sources of cash funds.
Page 17, Line 13
Page 17, Line 14
Page 17, Line 15
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 18, Line 1(B) Enterprise Solutions |
|
2,082,236 |
719,616a |
|
|||
Page 18, Line 2 |
205,012,140 |
202,210,288b |
|||||
Page 18, Line 3 |
|
||||||
Page 18, Line 4 |
(566.0 FTE) |
||||||
Page 18, Line 5 |
Page 18, Line 6a Of this amount, $453,812 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., $9,200 shall be from the Mobile Home Park Act Dispute Resolution
Page 18, Line 7and Enforcement Program Cash Fund created in Section 38-12-1110 (1), C.R.S., $2,328 shall be from user fees collected from various local governments and deposited in the Information
Page 18, Line 8Technology Revolving Fund created in Section 24-37.5-103 (3)(a), C.R.S., and $254,276 shall be from various sources of cash funds.
Page 18, Line 9bThese amounts
Page 18, Line 10(3)(a), C.R.S.
Page 18, Line 11
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 18, Line 12(C) Information Security |
|
|
|||||
Page 18, Line 13 |
26,131,427 |
26,131,427a |
|||||
Page 18, Line 14 |
(77.0 FTE) |
||||||
Page 18, Line 15 |
Page 19, Line 1a This amount shall be from user fees collected from other state agencies and deposited in the Information Technology Revolving Fund created in Section 24-37.5-103 (3)(a), C.R.S.
Page 19, Line 2
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
|
Page 19, Line 3(D) Colorado Benefits Page 19, Line 4Management System22 |
21,866,546 |
21,861,973a |
4,573(I) |
||||
Page 19, Line 5 |
Page 19, Line 6a This amount shall be from fees collected from user agencies and deposited in the Information Technology Revolving Fund created in Section 24-37.5-103 (3)(a), C.R.S.
Page 19, Line 7
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
|
Page 19, Line 8(E) Customer Service and Page 19, Line 9Support |
|
317,680 |
|
||||
Page 19, Line 10 |
31,337,270 |
31,019,590a |
|||||
Page 19, Line 11 |
(307.0 FTE) |
||||||
Page 19, Line 12 |
Page 19, Line 13a This amount shall be from fees collected from user agencies and deposited in the Information Technology Revolving Fund created in Section 24-37.5-103 (3)(a), C.R.S.
Page 19, Line 14
Page 19, Line 15
| Agency Name or Title | Item & Subtotal | Total | General Fund | General Fund Exempt | Cash Funds | Reappropriated Funds | Federal Funds |
|---|---|---|---|---|---|---|---|
Page 20, Line 1 |
|
||||||
Page 20, Line 2 |
356,152,415 |
||||||
Page 20, Line 3 |
|||||||
Page 20, Line 4 |
|||||||
Page 20, Line 5TOTALS PART V |
|||||||
|
Page 20, Line 6(GOVERNOR- Page 20, Line 7LIEUTENANT Page 20, Line 8GOVERNOR- STATE Page 20, Line 9PLANNING AND Page 20, Line 10BUDGETING) |
|
|
$97,496,686a |
|
$8,934,562b |
||
Page 20, Line 11 |
$513,986,108 |
$54,698,302 |
$352,856,558 |
||||
Page 20, Line 12 |
Page 20, Line 13a Of this amount, $51,560,321 contains an (I) notation.
Page 20, Line 14b This amount contains an (I) notation.
Page 20, Line 15
Page 21, Line 1Footnotes: The following statements are referenced to the numbered footnotes throughout section 2.
Page 21, Line 2
Page 21, Line 322Governor - Lieutenant Governor - State Planning and Budgeting, Office of Information Technology, Colorado Benefits Management System -- Of this
Page 21, Line 4appropriation, $5,000,000 remains available until the close of the 2025-26 fiscal year.
Page 22, Line 1SECTION 2. Safety clause. The general assembly finds,
Page 22, Line 2determines, and declares that this act is necessary for the immediate
Page 22, Line 3preservation of the public peace, health, or safety or for appropriations for
Page 22, Line 4the support and maintenance of the departments of the state and state
Page 22, Line 5institutions.