PART XXIV. Department of Transportation
CASH FLOW HIGHWAY FUND AND HIGHWAY TRUST FUND APPROPRIATIONS
SECTION 24.1.(a) Section 28.1 of S.L. 2011 145 is repealed.
SECTION 24.1.(b) The General Assembly authorizes and certifies anticipated revenues for the Highway Fund as follows:
For Fiscal Year 2013 2014 $ 2,162.1 million
For Fiscal Year 2014 2015 $ 2,281.8 million
For Fiscal Year 2015 2016 $ 2,407.2 million
For Fiscal Year 2016 2017 $ 2,523.8 million
SECTION 24.1.(c) The General Assembly authorizes and certifies anticipated revenues for the Highway Trust Fund as follows:
For Fiscal Year 2013 2014 $ 1,120.0 million
For Fiscal Year 2014 2015 $ 1,195.5 million
For Fiscal Year 2015 2016 $ 1,284.0 million
For Fiscal Year 2016 2017 $ 1,336.9 million
FURTHER PRIVATIZATION OF PRE CONSTRUCTION ACTIVITIES
SECTION 24.2. For fiscal year 2013 2014, the Department of Transportation shall increase the outsourcing of preliminary engineering projects from fifty percent (50%) of the total funds in the annual work plan, as required by Section 28.9.(3) of S.L. 2011 145, to sixty percent (60%) of the total funds in the annual work plan.
FUNDS FROM INSPECTION PROGRAM ACCOUNT FOR OTHER HIGHWAY FUND USES
SECTION 24.3. Notwithstanding G.S. 20 183.7(d), the sum of five million dollars ($5,000,000) from the Inspection Program Account within the Highway Fund, as established under G.S. 20 183.7(d), is appropriated and allocated as shown in this act.
CLARIFY USE OF CREDIT RESERVE BALANCE IN HIGHWAY FUND
SECTION 24.6. G.S. 136 44.2 reads as rewritten:
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