|
AMENDMENT NO. 8 TO SENATE BILL NO. 215
The following amendment is made to the Budget of the State Roads Commission contingent on the passage of Senate Bill 359 and/or House Bill 613.
|
 
|
1948
|
1949
|
|
On page 124 (p. 1205), following the Totals for Salaries,
|
 
|
 
|
|
Wages and Special Payments, shown at .................
|
$5,737,242
|
$5,872,179
|
|
Add the following:
|
 
|
 
|
|
Secretary. Traffic Sal'etv Commission...................
|
$4,400
|
$4,400
|
|
Senior Clerk. Traffic Safety Commission...............
|
1,978
|
2,060
|
|
Senior Stenographer, Traffic Safety Commission.........
|
2,037
|
2,129
|
|
Field Representative, Traffic Safety Commission.........
|
600
|
600
|
|
Total.......................................
|
9,015
|
9,189
|
|
The new aggregate total for Salaries, Wages, and Special
Payments will be........ .... ..... ...... ........
|
$5,746,257
|
$5,881,368
|
|
On page 125 (pp. 1206-07). after the caption "Lands and Structures"
|
strike out all the printed matter and
|
numerals, and insert in lieu thereof, the
|
|
following :
|
 
|
 
|
|
Account Number
|
 
|
 
|
|
601 Lands (Does not include Rights of Way) ........
602 Structures (Garages and Shops only) ............
603 Non- Structural Improvements ...................
|
$20,000.00
32,500.00
6,824.119.58
|
$20,00'0.00
360,000.00
5,022,051.74
|
|
(Includes Bridges, Grade Eliminations, Roads,
|
 
|
 
|
|
New Construction, Betterments and Additions.
|
 
|
 
|
|
The above amounts are exclusive of the proceeds
|
 
|
 
|
|
of the Sale of State Highway Construction
|
 
|
 
|
|
Bonds, and of Engineering and Other Costs in-
|
 
|
 
|
|
cluded in and part of Salary and Other Ap-
|
 
|
 
|
|
propriations)
603-1 Special Project — Ocean City Beach Protection.......
603-3 Contingent Fund (Snow Removal and Correction of
Flood Damage) .............................
|
30,000.00
100,000.00
|
30,000.00
100,000.00
|
|
FIXED CHARGES
|
 
|
 
|
|
701-1 Rent (Offices and Garages) ....................
|
15,000.00
|
15,000.00
|
|
702-1 Equipment Rent ..............................
|
60,000.00
|
50,000.00
|
|
702-1 Insurance ...................................
|
10,000.00
|
10,000.00
|
|
702-2 Insurance, to be paid direct by State Treasurer's
|
 
|
 
|
|
Office .....................................
|
32,945.75
|
4,345.00
|
|
703 Pensions ............................
|
280,000.00
|
300,000.00
|
|
704 All Other ....................................
|
670,000.00
|
10,000.00
|
|
704-1 Debt Service' — State Roads Commission Debentures.
|
670,000.00
|
670,000.00
|
|
704-4 Payments, direct to County Authorities for Mainte-
|
 
|
 
|
|
nance and Construction of Road Systems, and
|
 
|
 
|
|
Participating Shares by Municipalities............
|
3,470,107.00
|
3,554,514.00
|
|
704-3 State Funds required to operate and maintain Toll
Bridges, exclusive of Salaries...................
|
185.715,00
|
135,716.00
|
|
40
|
 
|
 
|
|
 |