Volume 741, Page 1102 View pdf image |
1102 LAWS OF MARYLAND Ch. 94 1981 Legislative Session............... 42,391,195 Less: Revenue Sharing Lapse........... -34,700,000 Less: Estimated Reversion............... -55,000,000 $5,323,840,930 1981 Fiscal Year Funds Operations.............. $ 167,488,633 1982 Estimated Revenue (All Funds)............. 5,520,416,924 Estimated Total Available............. $5,687, 905,557 Deduct: Total 1982 Appropriations........ 15,647,676,361 Less: Estimated Reversion............. 22,000,000 5,625,676,361 Estimated Funds Reserved for * Includes $136,542 of General Fund Surplus and Add: Legislative Reductions to Original Budget Submission Appropriation................$16,119,009 Department of Transportation Special Fund....................... 10,848,489 $26,967,498 Add: Supplemental Budget Revenues Fund Revenue................$28,500,000 Additional Federal Fund Revenue.................$ 975,720 Additional General Fund Revenue contingent upon the enactment of
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Volume 741, Page 1102 View pdf image |
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