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OFFICE OF CONTRACT COMPLIANCE AND MINORITY AND WOMEN-OWNED
BUSINESS ENTERPRISE

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and

For services and expenses including travel outside the
state, for the office of contract compliance
women-owned business enterprise in the executive cham-

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For a contribution to the expenses of the council of state governments

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For transfer to the site investigation account of the hazardous waste remedial fund and upon such transfer for expenditure there from for services and expenses in accordance with the provisions of section 97-b of the state finance law as amended by a chapter of the laws of 1985. No monies shall be available from this appropriation until a certificate of approval has been issued by the director of the budget and a copy of such certificate filed with the comptroller, the chairman of the senate finance committee and the chairman of the assembly ways and means committee

400,000

148,000

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FACILITIES DEVELOPMENT CORPORATION

Maintenance undistributed

For services and expenses, including travel outside the state and including the purchase or exchange of au

tomobiles in accordance with the following schedule .... 10,665,000

ADMINISTRATION PROGRAM

SCHEDULE

10,665,000

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For services and expenses of the New York state financial
control board in accordance with chapter 868 of the laws
of 1975, as amended, in accordance with the following
schedules.

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 disbursements, made
in pursuance of an appropriation by law and authorized
by a certificate of approval issued by the director of
the budget with
with copies thereof filed with the comp-
troller 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 following month to
the director of the budget, the chairmen of the senate
finance committee and the assembly ways and means com-
mittee, an accurate accounting and reporting of the
financial resources of each such fund at the end of such

10,665,000

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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 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. The
comptroller is further directed to transfer to this fund
the March thirty-first, nineteen hundred eighty-four ac-
crued receivables remaining in the general fund at such
date, representing the unreimbursed balances of advances
for this program.

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The comptroller is hereby authorized to receive from the control board amounts of money equal to the amounts pended from this appropriation and to deposit the same to the credit of the state miscellaneous revenue fund financial control board account

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1,780,400

1,780,400

107,200

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For corporate services and expenses, including the costs
of operating certain corporation projects, travel out-
side the state, employee pension and health and other
benefits, in accordance with the following:
The state comptroller shall create accounts for each main-
tenance undistributed item in accordance with the sche-
dule shown below. Notwithstanding any inconsistent
provisions of section fifty-one of the state finance law
to the contrary, the provisions of such section shall
apply with respect to the appropriation made herein, ex-
cept that interchange between major purposes or programs
shall be unlimited, with the approval of the director of
the budget, the chairman of the senate finance committee
and the chairman of the assembly ways and means
committee.

No funds shall be released from this appropriation until a
comprehensive financial plan is submitted to and ap-
proved by the director of the budget with copies of such
plan submitted to the senate finance and assembly ways
and means committees. The plan may be amended from time
to time and the amendments shall be subject to the ap-
proval of the director of the budget. The plan shall in-
clude all projected revenue sources and expenditures for
the current fiscal year and such other information as
the director of the budget may require.

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For community development projects, to develop a plan, to be approved by the director of the budget, for development of the Harlem community and to provide assistance to specific projects in accordance, to the extent possible, with the plan and in accordance with the provisions of the New York state urban development corporation act, provided, however, that for the purpose of this program, the term project as defined in subdivision six of section three of the act, shall be restricted to any residential project, industrial project or land use improvement project. Provided, further, that notwithstanding

any

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For services and expenses, including travel outside the state, for the advisory committee on Hispanic affairs

5,162,000

.......

INSURANCE AND SECURITIES FUNDS RESERVE GUARANTEE

General Fund

State Purposes Account

Maintenance undistributed

The sum of three hundred ninety-seven million dollars ($397,000,000), or so much thereof as may be necessary, is hereby appropriated pursuant to the following schedule for the purpose of maintaining the solvency of the funds listed in such schedule.

No

moneys shall be available for expenditure from this appropriation until a certificate of approval has been issued by the director of the division of the budget and a copy of such certificate has been filed with the state comptroller, the chairman of the senate finance committee and the chairman of the assembly ways and means committee. Such moneys shall be payable on the audit and warrant of the comptroller on vouchers certified or approved in the manner provided by law

.......

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SCHEDULE

the state insurance fund; provided that no expenditure may be made from this amount if other assets of such fund not part of reserves for claims or losses are available

300,000

397,000,000

.. 190,000,000

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