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ID S1177
Bill
Status
3/31/2025
Primary Sponsor
Finance Committee
Click for details
AI Summary
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Appropriates $1,268,900 in additional funding to the Division of Occupational and Professional Licenses for fiscal year 2026 (July 1, 2025 - June 30, 2026), including $222,000 for personnel, $146,400 for operating expenditures, and $900,500 for capital outlay
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Allocates $1,138,100 for Building Construction and Real Estate programs, $91,600 for Occupational Licenses, and $39,200 for Health Professions
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Requires quarterly reports on revenues and expenditures for each board and commission, due within 15 business days after each quarter ends, submitted to the Legislative Services Office
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Mandates a year-end cash balance report due by December 1, 2025, with the report format to be determined by August 1, 2025
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Requires the Division to present plans to the Legislature if any board's cash balance exceeds 150% of the five-year rolling average of expenditures (fee reductions) or drops below 30% (balance rectification)
Legislative Description
Relates to the appropriation to the Division of Occupational and Professional Licenses for fiscal year 2026.
APPROPRIATIONS
Last Action
Session Law Chapter 232 Effective: 07/01/2025
3/31/2025