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EXHIBIT J—Continued
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General
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Special and Debt
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Federal
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Total
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Fund as
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Service Funds
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Funds as
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Funds as
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Amended
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as Amended
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Amended
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Amended
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Anatomy Board of Maryland. ..
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4,000 00
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4,000 00
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State Scholarship Board. ...
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2,059,030 00
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2,059,030 00
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Board of Trustees — State Colleges ........ . . ..
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102,129 00
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102,129 00
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Bowie State College .. . . ........... ...
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980,016 00
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239,252 00
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50,625 00
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1,269,893.00
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Coppm State College ........ ..
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991,645 00
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70,703 00
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54,719 00
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1,117,067.00
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Frostburg State College. .
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2,084,666.00
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736,240 00
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50,401 00
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2,871,307 00
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Salisbury State College .. .........
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1,131,45000
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291,477 00
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29,422 00
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1,452,349 00
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Towson State College. . ... ...
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4,056,324 00
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1,432,305 00
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67,149 00
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5,555,778 00
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Advisory Council for Higher Education...... ...
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197,480 00
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197,480 00
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Marylan Higher Education Loan Corporation.... . .
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102,10200
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102,102.00
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Maryland Educational — Cultural Television Commission. . . . . . . . ......
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684,923 00
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. . .... ..
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. .. ...
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684,923 00
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EMPLOYMENT SECURITY
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Department of Employment Security. . . .....
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8,657,613 00
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8,657,613.00
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NON-HIGHWAY TRANSPORTATION.
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Maryland Port Authority. .... ... .. .
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3,643,000 00
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3,643,000.00
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BOARD OF PUBLIC WORKS— CAPITAL APPROPRIATIONS
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Capital Appropriation..... .... ...
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1,158,000 00
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1,158,000 00
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TOTAL. ....... ...
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$436,803,772 00
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$346,380,103 00
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$101,986,323.00
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$885,170.198 00
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SUMMARY
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Public Debt.... . ... ....
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.
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$22,666,055 00
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$22,666,055 00
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Payments of Revenue to Civil Division of the State, .. .
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101,151,91800
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101,151,91800
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Retirement. ... ...
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$20,802,961 00
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1,741,182 00
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22,544,143.00
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1,842,850 00
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1,842,850 00
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Judicial... .. .
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2,977,083.00
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863,601.00
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3,840,684.00
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General Control . ...
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19,221,114 00
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1,021,918 00
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$ 630,830.00
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20,873,862.00
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Public Safety.. .............
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8,758,17500
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17,764,692 00
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783,767 00
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27,306,634 00
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Highways.........
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166,010,188 00
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166,010,188.00
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Natural Resources, Recreation and Information ....... ...
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6,124,687 00
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3,511,03400
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499,183.00
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10,134,904.00
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Health, Hospitals and Mental Hygiene..... .. ...
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90,297,173.00
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3.156,540 00
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7,277,966 00
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100,731,688 00
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Public Welfare.. .... . . ......... . ...
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48,705,788.00
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30,000 00
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45,598,636 00
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94,334,424.00
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Correction .
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12,868,701 00
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905,980.00
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13,774,681 00
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Public Education . . . . .. . . .
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224,047,240 00
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23,913,986.00
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38,538,328 00
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286,499,554 00
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Employment Security...... . .. .. .
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8,657,613 00
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8,657,613 00
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Non-Highway Transportation... ... ... . ....
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3,643,000 00
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3,643,000 00
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Board of Public Works — Capital Appropriation. . . ..
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1,158,000 00
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1,158,000.00
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TOTAL .... ....... ...
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$436,803,772 00
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$346,380,103.00
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$101,986,323.00
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$885,170,198 00
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NOTE These estimates have been prepared from the appropriations authorized by Chapter 138 of the Acts of 1966 for the Fiscal Year Ending June 30,
1967 and all budget amendments recorded on the books of the State Comptroller as of August 31, 1966.
(1) These accounts are subject to deductions by the State Comptroller for debt service requirements of the Public School Construction Loans as
provided for in Chapter 86 of the Acts of 1958 and referred to in Statement A—6.
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