1     
NATURAL RESOURCES, AGRICULTURE,

2     
AND ENVIRONMENTAL QUALITY BASE BUDGET

3     
2023 GENERAL SESSION

4     
STATE OF UTAH

5     
Chief Sponsor: Scott D. Sandall

6     
House Sponsor: Stewart E. Barlow

7     =====================================================================
8     LONG TITLE

9     General Description:
10          This bill supplements or reduces appropriations otherwise provided for the support and
11     operation of state government for the fiscal year beginning July 1, 2022 and ending June 30, 2023
12     and appropriates funds for the support and operation of state government for the fiscal year
13     beginning July 1, 2023 and ending June 30, 2024.
14     Highlighted Provisions:
15          This bill:
16          ▸     provides appropriations for the use and support of certain state agencies; and
17          ▸     provides appropriations for other purposes as described.
18     Money Appropriated in this Bill:
19          This bill appropriates $24,178,100 in operating and capital budgets for fiscal year 2023,
20     including:
21          ▸     $1,143,600 from the General Fund; and
22          ▸     $23,034,500 from various sources as detailed in this bill.
23          This bill appropriates ($26,411,500) in expendable funds and accounts for fiscal year 2023.
24          This bill appropriates $12,884,400 in business-like activities for fiscal year 2023, including:
25          ▸     $13,066,000 from the General Fund; and
26          ▸     ($181,600) from various sources as detailed in this bill.
27          This bill appropriates ($994,000) in restricted fund and account transfers for fiscal year 2023,
28     all of which is from the General Fund.
29          This bill appropriates $592,632,600 in operating and capital budgets for fiscal year 2024,
30     including:
31          ▸     $99,596,700 from the General Fund;

32          ▸     $499,500 from the Income Tax Fund; and
33          ▸     $492,536,400 from various sources as detailed in this bill.
34          This bill appropriates $121,580,300 in expendable funds and accounts for fiscal year 2024,
35     including:
36          ▸     $60,000,400 from the General Fund; and
37          ▸     $61,579,900 from various sources as detailed in this bill.
38          This bill appropriates $73,671,100 in business-like activities for fiscal year 2024.
39          This bill appropriates $12,212,900 in restricted fund and account transfers for fiscal year
40     2024, including:
41          ▸     $8,170,500 from the General Fund; and
42          ▸     $4,042,400 from various sources as detailed in this bill.
43     Other Special Clauses:
44          Section 1 of this bill takes effect immediately. Section 2 and Section 3 of this bill take effect
45     on July 1, 2023.
46     Utah Code Sections Affected:
47          ENACTS UNCODIFIED MATERIAL
48     =====================================================================
49     Be it enacted by the Legislature of the state of Utah:
50          Section 1. FY 2023 Appropriations. The following sums of money are appropriated for the
51     fiscal year beginning July 1, 2022 and ending June 30, 2023. These are additions to amounts
52     otherwise appropriated for fiscal year 2023.
53          Subsection 1(a). Operating and Capital Budgets. Under the terms and conditions of
54     Title 63J, Chapter 1, Budgetary Procedures Act, the Legislature appropriates the following sums of
55     money from the funds or accounts indicated for the use and support of the government of the state of
56     Utah.
57     Department of Agriculture and Food
58     Item 1
     To Department of Agriculture and Food - Administration
59     From General Fund, One-Time
21,600

60     From Beginning Nonlapsing Balances
(7,000)

61     From Closing Nonlapsing Balances
(574,900)

62     Schedule of Programs:
63     General Administration
(560,300)

64          Under the terms of 63J-1-603 of the Utah Code, the
65     Legislature intends that up to $574,900 of the appropriations
66     provided for the Administration line item in Item 48, Chapter
67     2, Laws of Utah 2022, shall not lapse at the close of FY 2023.
68     Expenditures from General Fund are limited to: Computer
69     Equipment/Software $100,000; Employee Training/Incentives

70     $100,000; Equipment/Supplies $100,000; Special
71     Projects/Studies $219,900; Furnishings/Equipment $55,000.
72     Item 2
     To Department of Agriculture and Food - Animal Industry
73     From Beginning Nonlapsing Balances
(3,700)

74     From Closing Nonlapsing Balances
3,700

75          Under the terms of 63J-1-603 of the Utah Code, the
76     Legislature intends that up to $1,171,300 of the appropriations
77     provided for the Animal Health line item in Item 49, Chapter 2,
78     Laws of Utah 2022, shall not lapse at the close of FY 2023.
79     Expenditures from General Fund are limited to: Computer
80     Equipment/Software $350,000 Employee Training/Incentives
81     $200,000; Equipment/Supplies $315,400; Special
82     Projects/Studies $305,900.
83     Item 3
     To Department of Agriculture and Food - Invasive Species
84     Mitigation
85     From Beginning Nonlapsing Balances
(87,900)

86     From Closing Nonlapsing Balances
24,900

87     Schedule of Programs:
88     Invasive Species Mitigation
(63,000)

89          Under the terms of 63J-1-603 of the Utah Code, the
90     Legislature intends that up to $316,200 of the appropriations
91     provided for Invasive Species Mitigation in Item 51, Chapter 2,
92     Laws of Utah 2022, shall not lapse at the close of FY 2023.
93     Expenditures of these funds are limited to: invasive species
94     mitigation projects.
95     Item 4
     To Department of Agriculture and Food - Marketing and
96     Development
97     From Beginning Nonlapsing Balances
(164,000)

98     From Closing Nonlapsing Balances
(90,100)

99     Schedule of Programs:
100     Marketing and Development
(254,100)

101          Under the terms of 63J-1-603 of the Utah Code, the
102     Legislature intends that up to $90,100 of the appropriations
103     provided for the Marketing and Development line item in Item
104     52, Chapter 2, Laws of Utah 2022, shall not lapse at the close
105     of FY 2023. Expenditures of General Fund are limited to:
106     Employee Training/Incentives $25,000; Special
107     Projects/Studies $65,100.

108     Item 5
     To Department of Agriculture and Food - Plant Industry
109     From Agriculture Resource Development Fund, One-Time
(207,500)

110     From Closing Nonlapsing Balances
(832,700)

111     From Lapsing Balance
(207,500)

112     Schedule of Programs:
113     Environmental Quality
100,900

114     Grain Inspection
(185,000)

115     Grazing Improvement Program
(525,500)

116     Insect Infestation
260,300

117     Plant Industry
(898,400)

118          Under the terms of 63J-1-603 of the Utah Code, the
119     Legislature intends that up to $1,126,400 of the appropriations
120     provided for the Plant Industry line item in Item 53, Chapter 2,
121     Laws of Utah 2022, shall not lapse at the close of FY 2023.
122     Expenditures of General Fund are limited to: Employee
123     Training/Incentives $100,000; Special Projects/Studies
124     $100,000. Expenditures of Dedicated Credits are limited to:
125     $500,000 to continue development of a department-wide
126     computer system to manage regulatory programs, including
127     DTS staffing; $426,400 Capital purchases/equipment.
128     Item 6
     To Department of Agriculture and Food - Predatory Animal
129     Control
130     From Closing Nonlapsing Balances
16,300

131     Schedule of Programs:
132     Predatory Animal Control
16,300

133          Under the terms of 63J-1-603 of the Utah Code, the
134     Legislature intends that up to $119,300 of the appropriations
135     provided for Predatory Animal Control in Item 54, Chapter 2,
136     Laws of Utah 2022, shall not lapse at the close of FY 2023.
137     Expenditures of these funds are limited to equipment/supplies.
138     Item 7
     To Department of Agriculture and Food - Rangeland Improvement
139     From Beginning Nonlapsing Balances
(10,900)

140     From Closing Nonlapsing Balances
38,400

141     Schedule of Programs:
142     Rangeland Improvement
27,500

143          Under the terms of 63J-1-603 of the Utah Code, the
144     Legislature intends that up to $510,600 of the appropriations
145     provided for Rangeland Improvement in Item 55, Chapter 2,

146     Laws of Utah 2022, shall not lapse at the close of FY 2023.
147     Expenditures of these funds are limited to rangeland
148     improvement projects.
149     Item 8
     To Department of Agriculture and Food - Regulatory Services
150     From Closing Nonlapsing Balances
86,800

151     Schedule of Programs:
152     Weights & Measures
54,300

153     Food Inspection
(25,200)

154     Dairy Inspection
100,900

155     Egg Grading and Inspection
(43,200)

156          Under the terms of 63J-1-603 of the Utah Code, the
157     Legislature intends that up to $1,128,900 of the appropriations
158     provided for the Regulatory Services line item in Item 56,
159     Chapter 5, Laws of Utah 2022, shall not lapse at the close of
160     FY 2023. Expenditures of General Fund are limited to
161     Employee Training/Incentives $100,000; Equipment/Supplies
162     $100,000; Special Projects/Studies $100,000. Expenditures of
163     Dedicated Credits are limited to: $828,900 to continue
164     development of a Food Safety Management computer system
165     to manage regulatory programs, purchase equipment and
166     supplies, and large-scale truck repair.
167     Item 9
     To Department of Agriculture and Food - Resource Conservation
168     From General Fund, One-Time
7,500

169     From Revenue Transfers, One-Time
1,920,800

170     From Beginning Nonlapsing Balances
1,849,500

171     From Closing Nonlapsing Balances
(2,245,000)

172     From Lapsing Balance
(393,500)

173     Schedule of Programs:
174     Conservation Commission
219,200

175     Resource Conservation
912,600

176     Resource Conservation Administration
7,500

177          Under the terms of 63J-1-603 of the Utah Code, the
178     Legislature intends that up to $2,245,000 of the appropriations
179     provided for Resource Conservation in Item 57, Chapter 2,
180     Laws of Utah 2022, shall not lapse at the close of FY 2023.
181     Expenditures of these funds are limited to: AgVIP projects
182     $2,000,000; Soil Health and Pollinator projects $75,000;
183     training/incentives $100,000; equipment/supplies/and other

184     projects $70,000.
185     Item 10
     To Department of Agriculture and Food - Medical Cannabis
186     From Qualified Production Enterprise Fund, One-Time
(500)

187     Schedule of Programs:
188     Medical Cannabis
(500)

189     Item 11
     To Department of Agriculture and Food - Industrial Hemp
190     From Closing Nonlapsing Balances
(400,000)

191     Schedule of Programs:
192     Industrial Hemp
(400,000)

193          Under the terms of 63J-1-603 of the Utah Code, the
194     Legislature intends that up to $400,000 of the appropriations
195     provided for Industrial Hemp in Item 59, Chapter 2, Laws of
196     Utah 2022, shall not lapse at the close of FY 2023.
197     Expenditures of these funds are limited to: Training/incentives
198     $100,000; equipment/supplies $300,000.
199          The Legislature intends that the department of Agriculture
200     and Foods Hemp and Medical Cannabis Division remit all
201     vehicles in active already replaced status to the Division of
202     Fleet Operations. Further, the Legislature intends that the
203     Industrial Hemp program maintain a fleet of 1 vehicle for
204     every inspector in the program.
205     Item 12
     To Department of Agriculture and Food - Analytical Laboratory
206     From Qualified Production Enterprise Fund, One-Time
(28,800)

207     From Beginning Nonlapsing Balances
(85,300)

208     From Closing Nonlapsing Balances
84,500

209     From Lapsing Balance
(28,800)

210     Schedule of Programs:
211     Analytical Laboratory
(58,400)

212          Under the terms of 63J-1-603 of the Utah Code, the
213     Legislature intends that up to $15,500 of the appropriations
214     provided for Analytical Laboratory in Item 60, Chapter 5,
215     Laws of Utah 2022, shall not lapse at the close of FY 2023.
216     Expenditures of these funds are limited to: Laboratory supplies
217     and equipment.
218     Department of Environmental Quality
219     Item 13
     To Department of Environmental Quality - Drinking Water
220     From General Fund, One-Time
157,400

221     From Beginning Nonlapsing Balances
(68,700)


222     From Closing Nonlapsing Balances
(200,000)

223     Schedule of Programs:
224     Drinking Water Administration
157,400

225     System Assistance
(268,700)

226          Under the terms of 63J-1-603 of the Utah Code, the
227     Legislature intends that $200,000 of the appropriations
228     provided for Drinking Water in Item 99, Chapter 2, the Laws
229     of Utah 2022 shall not lapse at the close of FY 2023.
230     Expenditures of these funds are limited to DW Source Water
231     Sizing Requirements $200,000.
232     Item 14
     To Department of Environmental Quality - Environmental
233     Response and Remediation
234     From General Fund, One-Time
261,600

235     From Beginning Nonlapsing Balances
(3,900)

236     From Closing Nonlapsing Balances
(135,000)

237     Schedule of Programs:
238     Voluntary Cleanup
(19,700)

239     CERCLA
18,600

240     Petroleum Storage Tank Cleanup
60,300

241     Petroleum Storage Tank Compliance
63,500

242          Under the terms of 63J-1-603 of the Utah Code, the
243     Legislature intends that $135,000 of the appropriations
244     provided for Environmental Response and Remediation in Item
245     100, Chapter 2, Laws of Utah 2022 shall not lapse at the close
246     of FY 2023. Expenditures of these funds are limited to:
247     Underground Petroleum Storage Tank (UST) Operator
248     certification $25,000; Aboveground Petroleum Storage Tank
249     (AST) program $35,000; Data processing hardware $30,000;
250     Technological Services $45,000.
251     Item 15
     To Department of Environmental Quality - Executive Director's
252     Office
253     From General Fund, One-Time
292,800

254     From General Fund Restricted - Environmental Quality, One-Time
(249,600)

255     From Beginning Nonlapsing Balances
(2,500)

256     From Closing Nonlapsing Balances
(300,000)

257     Schedule of Programs:
258     Executive Director Office Administration
(285,200)

259     Radon
25,900


260          Under the terms of 63J-1-603 of the Utah Code, the
261     Legislature intends that $1,300,000 of the appropriations
262     provided for the Executive Directors Office in Item 101,
263     Chapter 2, Laws of Utah 2022, shall not lapse at the close of
264     FY 2023. Expenditures of these funds are limited to high level
265     nuclear waste opposition $10,000; capital
266     improvements/maintenance, DP Software, document
267     management database, and equipment $1,140,000;
268     administrative law judge $150,000.
269     Item 16
     To Department of Environmental Quality - Waste Management
270     and Radiation Control
271     From General Fund, One-Time
(179,500)

272     From General Fund Restricted - Environmental Quality, One-Time
249,600

273     From Beginning Nonlapsing Balances
100

274     From Closing Nonlapsing Balances
(650,000)

275     Schedule of Programs:
276     Hazardous Waste
(228,500)

277     Solid Waste
(63,300)

278     Radiation
(84,100)

279     Low Level Radioactive Waste
(130,600)

280     WIPP
(4,400)

281     Used Oil
(66,500)

282     Waste Tire
(5,000)

283     X-Ray
2,600

284          Under the terms of 63J-1-603 of the Utah Code, the
285     Legislature intends that $650,000 of the appropriations
286     provided for Waste Management and Radiation Control in Item
287     102, Chapter 2, Laws of Utah 2022 shall not lapse at the close
288     of FY 2023. Expenditures of these funds are limited to
289     Research and Development to replace Obsolete and Outdated
290     Programming and Databases $550,000, Capital Improvements
291     and Maintenance, DP Software and Equipment $75,000, and
292     Community Outreach and Public Education $25,000.
293     Item 17
     To Department of Environmental Quality - Water Quality
294     From General Fund, One-Time
227,400

295     From Beginning Nonlapsing Balances
(2,160,100)

296     From Closing Nonlapsing Balances
(1,017,100)

297     Schedule of Programs:

298     Water Quality Support
(2,750,000)

299     Water Quality Protection
(135,000)

300     Water Quality Permits
(64,800)

301          Under the terms of 63J-1-603 of the Utah Code, the
302     Legislature intends that $1,107,100 of the appropriations
303     provided for Division Water Quality in Item 103, Chapter 2,
304     Laws of Utah 2022 shall not lapse at the close of FY 2023.
305     Expenditures of these funds are limited to $80,000 for data
306     processing software and consultant services; $750,000 for an
307     improved WQ Compliance Database; $107,100 for
308     independent scientific review activities as outlined in
309     R317-1-10; $30,000 for Utah Inland Port monitoring activities;
310     and $50,000 for environmental equipment.
311     Item 18
     To Department of Environmental Quality - Trip Reduction
312     Program
313     From Beginning Nonlapsing Balances
(260,600)

314     From Closing Nonlapsing Balances
(237,800)

315     Schedule of Programs:
316     Trip Reduction Program
(498,400)

317          Under the terms of 63J-1-603 of the Utah Code, the
318     Legislature intends that $237,800 of the appropriations
319     provided for Trip Reduction Program in Item 104, Chapter 2,
320     Laws of Utah 2022 shall not lapse at the close of FY 2023.
321     Expenditures of these funds are limited to: reduction of
322     trips/free fare days.
323     Item 19
     To Department of Environmental Quality - Air Quality
324     From General Fund, One-Time
310,100

325     From Federal Funds, One-Time
(1,516,200)

326     From Beginning Nonlapsing Balances
(1,096,200)

327     From Closing Nonlapsing Balances
(11,017,500)

328     Schedule of Programs:
329     Compliance
(67,000)

330     Permitting
(268,000)

331     Planning
(13,595,100)

332     Air Quality Administration
610,300

333          Under Section 63J-1-603 of the Utah Code, the Legislature
334     intends that $58,500 of General Fund provided to implement
335     the provisions of S.B. 136 from the 2022 General Session not

336     lapse at the close of FY 2023.
337          Under the terms of 63J-1-603 of the Utah Code, the
338     Legislature intends that $11,277,500 of the appropriations
339     provided for the Division of Air Quality in Item 105, Chapter
340     2, Laws of Utah 2022 shall not lapse at the close of FY 2023.
341     Expenditures of these funds are limited to reducing operating
342     permit fees $100,000; permit annual fees $200,000; air
343     monitoring equipment $550,000; air quality research $530,000;
344     mobile monitoring data collection $12,000; electric vehicle
345     charging equipment $2,944,500; replace wood-fired stoves and
346     fireplaces with gas appliances $3,112,300; air quality
347     monitoring network - Summit & Wasatch counties $462,500;
348     ozone monitoring infrastructure - Wasatch front $3,236,200;
349     Ozone and PM2.5 Study using Operating permit fees,
350     $130,000.
351     Item 20
     To Department of Environmental Quality - Laboratory Services
352     From Beginning Nonlapsing Balances
(250,000)

353     From Closing Nonlapsing Balances
(250,000)

354     Schedule of Programs:
355     Laboratory Services
(500,000)

356          Under the terms of 63J-1-603 of the Utah Code, the
357     Legislature intends that $250,000 of the appropriations
358     provided for Laboratory Services in Item 106, Chapter 2, Laws
359     of Utah 2022, shall not lapse at the close of FY 2023.
360     Expenditures of these funds are limited to laboratory services.
361     Governor's Office of Energy Development
362     Item 21
     To Governor's Office of Energy Development - Office of Energy
363     Development
364     From General Fund, One-Time
(1,400)

365     Schedule of Programs:
366     Office of Energy Development
(1,400)

367     Department of Natural Resources
368     Item 22
     To Department of Natural Resources - Administration
369     From General Fund, One-Time
25,300

370     From Beginning Nonlapsing Balances
5,200

371     From Closing Nonlapsing Balances
(225,000)

372     Schedule of Programs:
373     Administrative Services
(671,500)


374     Executive Director
477,000

375          Under the terms of 63J-1-603 of the Utah Code, the
376     Legislature intends that up to $225,000 appropriations
377     provided for DNR Administration line item in Item 61, Chapter
378     2, Laws of Utah 2022 shall not lapse at the close of FY 2022.
379     Expenditures of these funds are limited to: Computer
380     Equipment/Software $75,000; Equipment/Supplies $25,000;
381     and Current Expense $125,000.
382     Item 23
     To Department of Natural Resources - DNR Pass Through
383     From Beginning Nonlapsing Balances
(1,073,500)

384     From Closing Nonlapsing Balances
(10,677,000)

385     Schedule of Programs:
386     DNR Pass Through
(11,750,500)

387          Under the terms of 63J-1-603 of the Utah Code, the
388     Legislature intends that up to $10,677,000 appropriations
389     provided for the Department of Natural Resources in Item 65,
390     Chapter 7, Laws of Utah 2021, shall not lapse at the close of
391     FY 2022. Expenditures of these funds are limited to projects
392     that have been appropriated but unexpended at the end of fiscal
393     year 2023: Utah Lake Funding $8,722,000; Hogle Zoo "Wild
394     Utah" exhibit $1,500,000; Bear Lake Improvements $350,000;
395     and Utah County Fire Rehabilitation $105,000.
396     Item 24
     To Department of Natural Resources - Forestry, Fire, and State
397     Lands
398     From General Fund Restricted - Sovereign Lands Management, One-Time
(5,709,400)

399     From Beginning Nonlapsing Balances
51,651,800

400     From Closing Nonlapsing Balances
(60,196,900)

401     Schedule of Programs:
402     Division Administration
(982,100)

403     Fire Management
(1,243,900)

404     Fire Suppression Emergencies
8,133,700

405     Forest Management
(433,700)

406     Lands Management
(35,900)

407     Lone Peak Center
564,600

408     Program Delivery
(3,026,000)

409     Project Management
(17,231,200)

410          Under the terms of 631-1-603 of the Utah Code, the
411     Legislature intends that up to $52,696,900 appropriations

412     provided for the Division of Forestry, Fire, and State Lands in
413     Item 66, Chapter 2, Laws of Utah 2022 shall not lapse at the
414     close of FY 2023. Expenditures of these funds are limited to:
415     Sovereign Lands Related Projects $5,825,700; Little Willow
416     Water Line $17,800; Shared Stewardship $1,584,400; Aspen
417     Regeneration $411,000; Fire Mitigation $458,000; Strategic
418     and Targeted Fire Mitigation $1,400,000; Richfield Fire Cache,
419     $3,000,000; and the Great Salt Lake Watershed Program
420     $40,000,000.
421     Item 25
     To Department of Natural Resources - Oil, Gas and Mining
422     From Beginning Nonlapsing Balances
287,500

423     From Closing Nonlapsing Balances
(3,600,000)

424     Schedule of Programs:
425     Coal Program
(312,900)

426     OGM Misc. Nonlapsing
(2,999,600)

427          Under the terms of 63J-1-603 of the Utah Code, the
428     legislature intends that appropriations provided for the
429     Division of Oil, Gas and Mining in Item 67, Chapter 2, Law of
430     Utah 2022 shall not lapse at the close of the fiscal year.
431     Expenditures of these funds are limited to: Mining Special
432     Projects/Studies ($250,000); Computer Equipment/Software
433     ($50,000); Employee Training/Incentives ($50,000);
434     Equipment/Supplies ($50,000)
435     Item 26
     To Department of Natural Resources - Parks and Recreation
436     From General Fund Restricted - Off-highway Vehicle, One-Time
(30,000)

437     Schedule of Programs:
438     Recreation Services
(30,000)

439     Item 27
     To Department of Natural Resources - Species Protection
440     From Beginning Nonlapsing Balances
(96,000)

441     From Closing Nonlapsing Balances
(1,139,000)

442     Schedule of Programs:
443     Species Protection
(1,235,000)

444          Under the terms of 63J-1-603 of the Utah Code, the
445     Legislature intends that appropriations provided for the Species
446     Protection program in Item 68, Chapter 2, Laws of Utah 2022
447     shall not lapse at the close of Fiscal Year 2023. Expenditures
448     are limited to: Implementation of the Desert Tortoise Reserve,
449     $739,000, and Implementation of Species Protection Program

450     Projects, $400,000.
451     Item 28
     To Department of Natural Resources - Utah Geological Survey
452     From Beginning Nonlapsing Balances
(222,000)

453     From Closing Nonlapsing Balances
(2,056,400)

454     Schedule of Programs:
455     Administration
(1,679,000)

456     Energy and Minerals
213,400

457     Geologic Hazards
(193,100)

458     Geologic Information and Outreach
182,800

459     Geologic Mapping
127,600

460     Groundwater
(96,100)

461     Technical Services
(834,000)

462          Under the terms of 63J-1-603 of the Utah Code, the
463     Legislature intends that up to $2,056,400 appropriations
464     provided for the Utah Geological Survey line item in item 69,
465     Chapter 2, Laws of Utah 2022, shall not lapse at the close of
466     FY 2023. Expenditures of these funds are limited to: Employee
467     Training/Incentives $50,000; Current Expense $50,000;
468     Equipment/Supplies $200,000; Computer Equipment/Supplies
469     $200,000; Grant Projects Match $804,300; Bonneville Salt
470     Flats Restoration $331,400 and Great Salt Lake Groundwater
471     Studies $420,700.
472     Item 29
     To Department of Natural Resources - Water Resources
473     From Beginning Nonlapsing Balances
(4,841,400)

474     From Closing Nonlapsing Balances
(16,150,000)

475     Schedule of Programs:
476     Administration
(600,000)

477     Construction
(13,180,800)

478     Planning
(6,898,500)

479     Funding Projects and Research
(312,100)

480          Under the terms of 63J-1-603 of the Utah Code, the
481     Legislature intends that appropriations provided for the
482     Division of Water Resources in Item 70, Chapter 2, Laws of
483     Utah 2022, shall not lapse at the close of FY 2023.
484     Expenditures of these funds are limited to: Operating Budget
485     Items $300,000; Water Conservation Funding $300,000; Water
486     Banking $125,000; Dam Safety Construction Project
487     $6,000,000; Water Infrastructure $300,000; Agricultural Water

488     Optimization $300,000; Transparent Water Billing $1,300,000,
489     Secondary Water Metering $2,000,000, Integrating Water
490     Planning and Land Use Planning $150,000, Great Salt Lake
491     Amendments $4,600,000, Water as Part of a General Plan
492     $275,000, and Innovation Grant $500,000.
493     Item 30
     To Department of Natural Resources - Water Rights
494     From General Fund Restricted - Water Rights Restricted Account, One-Time
495     
1,200

496     From General Fund Restricted - Boating, One-Time
(300)

497     From Designated Sales Tax, One-Time
478,200

498     From General Fund Restricted - Off-highway Vehicle, One-Time
(500)

499     From General Fund Restricted - State Park Fees, One-Time
(400)

500     From Beginning Nonlapsing Balances
5,484,100

501     From Closing Nonlapsing Balances
(3,666,700)

502     Schedule of Programs:
503     Adjudication
4,162,700

504     Administration
(200,000)

505     Applications and Records
(1,517,100)

506     Field Services
230,000

507     Water Power Study
(150,000)

508     River Distribution Accounting Report
(230,000)

509          Under the terms of 63J-1-603 of the Utah Code, the
510     Legislature intends that up to $3,666,700 appropriations
511     provided for the Division of Water Rights in Item 71, Chapter
512     2, Laws of Utah 2022 shall not lapse at the close of Fiscal Year
513     2023. Expenditures are limited to: Computer Equipment
514     Software/Development $800,000; Professional Services
515     $100,000; Equipment/Supplies $40,000; Employee
516     Training/Incentives $5,000; Travel $15,000; Postage $25,000;
517     Advertising $15,000; and the Navajo Water Rights Settlement
518     $2,666,700.
519     Item 31
     To Department of Natural Resources - Watershed Restoration
520     From General Fund Restricted - Sovereign Lands Management, One-Time
(2,000,000)

521     From Beginning Nonlapsing Balances
(53,900)

522     From Closing Nonlapsing Balances
(3,000,000)

523     Schedule of Programs:
524     Watershed Restoration
(5,053,900)

525          Under the terms of 63J-1-603 of the Utah Code, the

526     Legislature intends that appropriations provided for the
527     Watershed Restoration line item in Item 72, Chapter 2, Laws of
528     Utah 2022 shall not lapse at the close of FY 2023.
529     Expenditures of these funds are limited to projects obligated by
530     contract in FY 2022 up to $3,000,000.
531     Item 32
     To Department of Natural Resources - Wildlife Resources
532     From Beginning Nonlapsing Balances
(798,100)

533     From Closing Nonlapsing Balances
(5,775,000)

534     Schedule of Programs:
535     Administrative Services
66,900

536     Law Enforcement
(4,000,000)

537     Wildlife Section
(2,640,000)

538          Under the terms of 63J-1-603 of the Utah Code, the
539     Legislature intends that appropriations provided for the
540     Wildlife Resources Predator Control Program in Item 73,
541     Chaoter 2, Laws of Utah 2022 shall not lapse at the close of
542     Fiscal Year 2023. Expenditures are limited to: Implementation
543     of the Predator Control Program Plan, $200,000.
544          Under the terms of 63J-1-603 of the Utah Code, the
545     Legislature intends that up to $700,000 of Wildlife Resources
546     budget be used for big game depredation expenses and that
547     these funds shall not lapse at the close of Fiscal Year 2023. The
548     Legislature further intends that half of the funds be from the
549     General Fund Restricted - Wildlife Resources account and the
550     other half from the General Fund.
551          Under the terms of 63J-1-603 of the Utah Code, the
552     Legislature intends that up to $875,000 of the General Fund
553     appropriation for the Division of Wildlife Resources be used
554     for Great Salt Lake /Utah Lake Waterbird expenses and that
555     these funds shall not lapse at the close of Fiscal Year 2023.
556          Under the terms of 63J-1-603 of the Utah Code, the
557     Legislature intends that up to $4,000,000 of the General Fund
558     appropriation for the Division of Wildlife Resources be used
559     for AIS Quagga Treatment tank expenses and that these funds
560     shall not lapse at the close of Fiscal Year 2023.
561     Item 33
     To Department of Natural Resources - Wildlife Resources Capital
562     Budget
563     From Beginning Nonlapsing Balances
(599,400)


564     From Closing Nonlapsing Balances
(599,400)

565     Schedule of Programs:
566     Fisheries
(1,198,800)

567          Under the terms of 63J-1-603 of the Utah Code, the
568     Legislature intends that appropriations provided for the
569     Wildlife Resources Capital line item in Item 74, Chapter 2,
570     Laws of Utah 2022 shall not lapse at the close of Fiscal Year
571     2023. Expenditures of these funds are limited to Operations
572     and Maintenance of the Hatchery Systems in the state:
573     $599,400.
574     Item 34
     To Department of Natural Resources - Public Lands Policy
575     Coordinating Office
576     From General Fund, One-Time
19,400

577     From Beginning Nonlapsing Balances
(1,336,800)

578     From Closing Nonlapsing Balances
(6,581,000)

579     Schedule of Programs:
580     Public Lands Policy Coordinating Office
(7,898,400)

581          Under the terms of 63J-1-603 of the Utah Code, the
582     Legislature intends that up t o $6,581,000 of the General Fund
583     appropriations provided for the Public Lands Policy
584     Coordinating Office, in Item 75, Chapter 2, Laws of Utah
585     2022, shall not lapse at the close of FY 2023. Expenditure of
586     these funds are limited to: activities and opportunities related
587     to our Shared Stewardship Agreement with the Forest Service
588     $500,000; Wild Horse and Burro Management $267,000; to
589     offset future volatility of the Constitutional Defense Restricted
590     Account $300,000; RS2477 and other litigation $320,000;
591     Public Land Education $94,100; Monroe Mountain Data
592     Gathering $279,000; Resource Management Plan Updates
593     $403,800; Protection of Utah Natural Resources and Public
594     Lands $4,417,100.
595     Item 35
     To Department of Natural Resources - Division of State Parks
596     From Beginning Nonlapsing Balances
343,100

597     Schedule of Programs:
598     Park Management Contracts
50,000

599     State Park Operation Management
28,700

600     Heritage Services
264,400

601     Item 36
     To Department of Natural Resources - Division of Parks - Capital

602     From General Fund Restricted - Outdoor Adventure Infrastructure Restricted Account,
603     One-Time
15,000,000

604     From Outdoor Recreation Infrastructure Account, One-Time
(15,000,000)

605     From Beginning Nonlapsing Balances
109,267,300

606     From Closing Nonlapsing Balances
(1,782,300)

607     Schedule of Programs:
608     Donated Capital Projects
356,200

609     Major Renovation
626,300

610     Region Renovation
627,800

611     Renovation and Development
105,874,700

612     Item 37
     To Department of Natural Resources - Division of Outdoor
613     Recreation
614     From General Fund Restricted - Off-highway Vehicle, One-Time
30,000

615     From Beginning Nonlapsing Balances
335,700

616     From Closing Nonlapsing Balances
(110,000)

617     Schedule of Programs:
618     Management
(541,500)

619     Agreements
(36,800)

620     Administration
834,000

621          Under the terms of 631-1-603 of the Utah Code, the
622     Legislature intends that up to $110,000 appropriations
623     provided for the Division of Outdoor Recreation in Item 78,
624     Chapter 2, Laws of Utah 2022, shall not lapse at the close of
625     FY 2023. Expenditures of these funds are limited to: Outdoor
626     Adventure Grant Projects $110,000.
627     Item 38
     To Department of Natural Resources - Division of Outdoor
628     Recreation- Capital
629     From General Fund Restricted - Outdoor Adventure Infrastructure Restricted Account,
630     One-Time
(800,000)

631     From Beginning Nonlapsing Balances
8,238,000

632     Schedule of Programs:
633     Boat Access Grants
704,300

634     Recreation Capital
(800,000)

635     Off-highway Vehicle Grants
7,357,400

636     Trails Program
176,300

637     Item 39
     To Department of Natural Resources - Office of Energy
638     Development
639     From General Fund, One-Time
1,400


640     From Beginning Nonlapsing Balances
2,956,500

641     From Closing Nonlapsing Balances
(3,415,000)

642     Schedule of Programs:
643     Office of Energy Development
(457,100)

644          Under the terms of 63J-1-603 of the Utah Code, the
645     Legislature intends that up to $415,000 of the appropriations
646     provided for the Office of Energy Development, Laws of Utah
647     2022, Chapter 2, Item 80 shall not lapse at the close of FY
648     2023. Expenditures of these funds are limited to: $165,000
649     OED administration special projects; and $250,000 for the
650     Isotopes Research Center.
651          Under the terms of 63J-1-603 of the Utah Code, the
652     Legislature intends that up to $2,000,000 of the appropriations
653     provided for the Office of Energy Development, Laws of Utah
654     2022, Chapter 410, Item 117 shall not lapse at the close of FY
655     2023. Expenditures of these funds are limited to EV Charging
656     Infrastructure in rural Utah.
657          Under the terms of 63J-1-603 of the Utah Code, the
658     Legislature intends that up to $1,000,000 of the appropriations
659     provided for the Office of Energy Development, Laws of Utah
660     2022, Chapter 193, Item 182 shall not lapse at the close of FY
661     2023. Expenditures of these funds are limited to the San Rafael
662     Energy Research Center.
663     School and Institutional Trust Lands Administration
664     Item 40
     To School and Institutional Trust Lands Administration
665     From Beginning Nonlapsing Balances
1,000,000

666     Schedule of Programs:
667     Accounting
100,100

668     Administration
(87,100)

669     Auditing
(17,600)

670     Board
(1,600)

671     Development - Operating
20,600

672     Director
334,600

673     External Relations
126,000

674     Grazing and Forestry
(23,900)

675     Information Technology Group
112,400

676     Legal/Contracts
59,700

677     Mining
(142,400)


678     Oil and Gas
259,700

679     Surface
160,600

680     Renewables
98,900

681          Under the terms of 63J-1-603, the Legislature intends that
682     up to $1,500,000 of the appropriations provided for the School
683     and Institutional Trust Lands Administration in Item 184,
684     Chapter 193, Laws of Utah 2022 not lapse at the close of FY
685     2023. Expenditures of these funds are limited to: $1,500,000
686     for the Land Management Business System Re-write project.
687          Subsection 1(b). Expendable Funds and Accounts. The Legislature has reviewed the
688     following expendable funds. The Legislature authorizes the State Division of Finance to transfer
689     amounts between funds and accounts as indicated. Outlays and expenditures from the funds or
690     accounts to which the money is transferred may be made without further legislative action, in
691     accordance with statutory provisions relating to the funds or accounts.
692     Department of Agriculture and Food
693     Item 41
     To Department of Agriculture and Food - Salinity Offset Fund
694     From Beginning Fund Balance
66,200

695     From Closing Fund Balance
(19,600)

696     Schedule of Programs:
697     Salinity Offset Fund
46,600

698     Department of Environmental Quality
699     Item 42
     To Department of Environmental Quality - Hazardous Substance
700     Mitigation Fund
701     From Revenue Transfers, One-Time
(4,600)

702     From Beginning Fund Balance
153,300

703     From Closing Fund Balance
(42,800)

704     Schedule of Programs:
705     Hazardous Substance Mitigation Fund
105,900

706     Item 43
     To Department of Environmental Quality - Waste Tire Recycling
707     Fund
708     From Beginning Fund Balance
(1,196,100)

709     From Closing Fund Balance
1,196,100

710     Item 44
     To Department of Environmental Quality - Conversion to
711     Alternative Fuel Grant Program Fund
712     From Beginning Fund Balance
19,500

713     From Closing Fund Balance
(19,700)

714     Schedule of Programs:
715     Conversion to Alternative Fuel Grant Program Fund
(200)


716     Department of Natural Resources
717     Item 45
     To Department of Natural Resources - Outdoor Recreation
718     Infrastructure Account
719     From Dedicated Credits Revenue, One-Time
(5,020,800)

720     From Interest Income, One-Time
80,000

721     From Designated Sales Tax, One-Time
7,750,000

722     From Other Financing Sources, One-Time
246,000

723     From Beginning Fund Balance
12,326,100

724     From Closing Fund Balance
(15,306,900)

725     Schedule of Programs:
726     Outdoor Recreation Infrastructure Account
74,400

727     Item 46
     To Department of Natural Resources - Wildland Fire Suppression
728     Fund
729     From Beginning Fund Balance
17,714,800

730     From Closing Fund Balance
(44,353,000)

731     Schedule of Programs:
732     Wildland Fire Suppression Fund
(26,638,200)

733     Item 47
     To Department of Natural Resources - Wildland Fire Preparedness
734     Grants Fund
735     From Beginning Fund Balance
149,900

736     From Closing Fund Balance
(149,900)

737          Subsection 1(c). Business-like Activities. The Legislature has reviewed the following
738     proprietary funds. Under the terms and conditions of Utah Code 63J-1-410, for any included Internal
739     Service Fund, the Legislature approves budgets, full-time permanent positions, and capital
740     acquisition amounts as indicated, and appropriates to the funds, as indicated, estimated revenue from
741     rates, fees, and other charges. The Legislature authorizes the State Division of Finance to transfer
742     amounts between funds and accounts as indicated.
743     Department of Agriculture and Food
744     Item 48
     To Department of Agriculture and Food - Agriculture Loan
745     Programs
746     From Lapsing Balance
(151,800)

747     Schedule of Programs:
748     Agriculture Loan Program
(151,800)

749     Item 49
     To Department of Agriculture and Food - Qualified Production
750     Enterprise Fund
751     From Beginning Fund Balance
711,300

752     From Closing Fund Balance
(254,100)

753     Schedule of Programs:

754     Qualified Production Enterprise Fund
457,200

755          The Legislature intends that the department of Agriculture
756     and Foods Hemp and Medical Cannabis Division remit all
757     vehicles in active already replaced status to the Division of
758     Fleet Operations. Further, the Legislature intends that the
759     Medical Cannabis program maintains a fleet of no more than 1
760     vehicle for every 6 licensed establishments requiring an
761     inspection, plus one additional vehicle for office staff.
762     Department of Environmental Quality
763     Item 50
     To Department of Environmental Quality - Water Development
764     Security Fund - Water Quality
765     From General Fund, One-Time
13,066,000

766     Schedule of Programs:
767     Water Quality
13,066,000

768          The Legislature intends that the $13,066,000 General Fund
769     provided by this item be used to fund the Graveyard Wash
770     Reuse Storage Reservoir project.
771     Department of Natural Resources
772     Item 51
     To Department of Natural Resources - Internal Service Fund
773     From Dedicated Credits Revenue, One-Time
(487,000)

774     Schedule of Programs:
775     ISF - DNR Warehouse
(487,000)

776     Budgeted FTE
(2.0)

777          Subsection 1(d). Restricted Fund and Account Transfers. The Legislature authorizes
778     the State Division of Finance to transfer the following amounts between the following funds or
779     accounts as indicated. Expenditures and outlays from the funds to which the money is transferred
780     must be authorized by an appropriation.
781     Item 52
     To General Fund Restricted - Environmental Quality
782     From General Fund, One-Time
(994,000)

783     Schedule of Programs:
784     GFR - Environmental Quality
(994,000)

785     Item 53
     To General Fund Restricted - Agricultural Water Optimization
786     Account
787     From Beginning Fund Balance
3,000,000

788     From Closing Fund Balance
(3,000,000)

789     Item 54
     To General Fund Restricted - Public Lands Litigation Restricted
790     Account
791     From Beginning Fund Balance
(4,500,000)


792     From Closing Fund Balance
4,500,000

793          Section 2. FY 2024 Appropriations. The following sums of money are appropriated for the
794     fiscal year beginning July 1, 2023 and ending June 30, 2024.
795          Subsection 2(a). Operating and Capital Budgets. Under the terms and conditions of
796     Title 63J, Chapter 1, Budgetary Procedures Act, the Legislature appropriates the following sums of
797     money from the funds or accounts indicated for the use and support of the government of the state of
798     Utah.
799     Department of Environmental Quality
800     Item 55
     To Department of Environmental Quality - Drinking Water
801     From General Fund
1,719,100

802     From Federal Funds
4,747,700

803     From Dedicated Credits Revenue
442,200

804     From Revenue Transfers
(340,600)

805     From Water Dev. Security Fund - Drinking Water Loan Prog.
1,070,800

806     From Water Dev. Security Fund - Drinking Water Orig. Fee
237,800

807     From Beginning Nonlapsing Balances
200,000

808     Schedule of Programs:
809     Drinking Water Administration
1,198,400

810     Safe Drinking Water Act
2,317,900

811     System Assistance
3,767,300

812     State Revolving Fund
793,400

813     Item 56
     To Department of Environmental Quality - Environmental
814     Response and Remediation
815     From General Fund
1,291,600

816     From Federal Funds
5,349,800

817     From Dedicated Credits Revenue
1,124,200

818     From General Fund Restricted - Petroleum Storage Tank
57,100

819     From Petroleum Storage Tank Cleanup Fund
468,700

820     From Petroleum Storage Tank Trust Fund
2,023,500

821     From Revenue Transfers
(636,200)

822     From General Fund Restricted - Voluntary Cleanup
746,500

823     From Beginning Nonlapsing Balances
135,000

824     Schedule of Programs:
825     Voluntary Cleanup
700,700

826     CERCLA
5,054,900

827     Tank Public Assistance
57,100

828     Petroleum Storage Tank Cleanup
2,601,200

829     Petroleum Storage Tank Compliance
2,146,300


830     Item 57
     To Department of Environmental Quality - Executive Director's
831     Office
832     From General Fund
2,998,500

833     From Federal Funds
353,300

834     From Dedicated Credits Revenue
1,000

835     From General Fund Restricted - Environmental Quality
766,900

836     From Revenue Transfers
2,725,500

837     From Beginning Nonlapsing Balances
1,300,000

838     Schedule of Programs:
839     Executive Director Office Administration
6,829,700

840     Local Health Departments
1,118,400

841     Radon
197,100

842     Item 58
     To Department of Environmental Quality - Waste Management
843     and Radiation Control
844     From Federal Funds
1,490,500

845     From Dedicated Credits Revenue
2,606,400

846     From Expendable Receipts
172,500

847     From General Fund Restricted - Environmental Quality
7,479,700

848     From Revenue Transfers
(198,800)

849     From Gen. Fund Rest. - Used Oil Collection Administration
879,300

850     From Waste Tire Recycling Fund
163,200

851     From Beginning Nonlapsing Balances
650,000

852     Schedule of Programs:
853     Hazardous Waste
5,771,400

854     Solid Waste
1,495,600

855     Radiation
1,430,500

856     Low Level Radioactive Waste
2,697,800

857     WIPP
159,100

858     Used Oil
980,300

859     Waste Tire
163,400

860     X-Ray
544,700

861     Item 59
     To Department of Environmental Quality - Water Quality
862     From General Fund
3,996,800

863     From Federal Funds
3,938,600

864     From Dedicated Credits Revenue
2,622,600

865     From General Fund Restricted - GFR - Division of Water Quality Oil, Gas, and Mining
866     
100,700

867     From Revenue Transfers
(289,600)


868     From Gen. Fund Rest. - Underground Wastewater System
85,600

869     From Water Dev. Security Fund - Utah Wastewater Loan Prog.
1,693,500

870     From Water Dev. Security Fund - Water Quality Orig. Fee
110,600

871     From Beginning Nonlapsing Balances
1,017,100

872     Schedule of Programs:
873     Water Quality Support
3,741,200

874     Water Quality Protection
5,658,100

875     Water Quality Permits
3,790,000

876     Onsite Waste Water
86,600

877          The Legislature intends that ongoing funds appropriated to
878     the Division of Water Quality for independent scientific review
879     during the 2016 General Session be used on activities to
880     support the Water Quality Act as outlined in R317-1-10.
881     Item 60
     To Department of Environmental Quality - Trip Reduction
882     Program
883     From Beginning Nonlapsing Balances
237,800

884     Schedule of Programs:
885     Trip Reduction Program
237,800

886     Item 61
     To Department of Environmental Quality - Air Quality
887     From General Fund
6,730,900

888     From Federal Funds
7,462,900

889     From Dedicated Credits Revenue
6,577,700

890     From General Fund Restricted - GFR - Division of Air Quality Oil, Gas, and Mining
891     
697,500

892     From Clean Fuel Conversion Fund
251,900

893     From Revenue Transfers
(1,122,900)

894     From Beginning Nonlapsing Balances
11,017,500

895     Schedule of Programs:
896     Compliance
4,527,300

897     Permitting
3,581,800

898     Planning
22,081,700

899     Air Quality Administration
1,424,700

900     Item 62
     To Department of Environmental Quality - Laboratory Services
901     From General Fund
900,000

902     From Beginning Nonlapsing Balances
250,000

903     Schedule of Programs:
904     Laboratory Services
1,150,000

905     Department of Natural Resources

906     Item 63
     To Department of Natural Resources - Administration
907     From General Fund
6,951,000

908     From General Fund Restricted - Sovereign Lands Management
52,700

909     From Beginning Nonlapsing Balances
225,000

910     Schedule of Programs:
911     Administrative Services
1,982,300

912     Executive Director
3,935,300

913     Lake Commissions
100,500

914     Law Enforcement
961,600

915     Public Information Office
249,000

916     Item 64
     To Department of Natural Resources - Building Operations
917     From General Fund
1,420,900

918     Schedule of Programs:
919     Building Operations
1,420,900

920     Item 65
     To Department of Natural Resources - Contributed Research
921     From Expendable Receipts
2,214,000

922     Schedule of Programs:
923     Contributed Research
2,214,000

924     Item 66
     To Department of Natural Resources - Cooperative Agreements
925     From Federal Funds
20,625,700

926     From Expendable Receipts
8,180,700

927     From Revenue Transfers
5,779,200

928     Schedule of Programs:
929     Cooperative Agreements
34,585,600

930     Item 67
     To Department of Natural Resources - DNR Pass Through
931     From General Fund
1,138,400

932     From Beginning Nonlapsing Balances
10,677,000

933     Schedule of Programs:
934     DNR Pass Through
11,815,400

935     Item 68
     To Department of Natural Resources - Forestry, Fire, and State
936     Lands
937     From General Fund
11,655,200

938     From Federal Funds
8,402,300

939     From Dedicated Credits Revenue
10,650,100

940     From General Fund Restricted - Sovereign Lands Management
3,033,200

941     From Revenue Transfers
10,001,800

942     From Beginning Nonlapsing Balances
60,196,900

943     Schedule of Programs:

944     Division Administration
1,947,400

945     Fire Management
3,558,600

946     Fire Suppression Emergencies
19,005,800

947     Forest Management
4,003,400

948     Lands Management
1,255,500

949     Lone Peak Center
7,614,700

950     Program Delivery
10,443,200

951     Project Management
56,110,900

952     Item 69
     To Department of Natural Resources - Oil, Gas and Mining
953     From Federal Funds
8,097,000

954     From Dedicated Credits Revenue
278,900

955     From General Fund Restricted - GFR - Division of Oil, Gas, and Mining
2,691,700

956     From Gen. Fund Rest. - Oil & Gas Conservation Account
4,714,600

957     From Beginning Nonlapsing Balances
3,600,000

958     Schedule of Programs:
959     Abandoned Mine
5,390,300

960     Administration
2,601,000

961     Board
200,400

962     Coal Program
2,642,900

963     Minerals Reclamation
1,227,600

964     OGM Misc. Nonlapsing
3,255,300

965     Oil and Gas Program
4,064,700

966     Item 70
     To Department of Natural Resources - Species Protection
967     From Designated Sales Tax
2,450,000

968     From General Fund Restricted - Species Protection
901,400

969     From Beginning Nonlapsing Balances
1,139,000

970     Schedule of Programs:
971     Species Protection
4,490,400

972     Item 71
     To Department of Natural Resources - Utah Geological Survey
973     From General Fund
4,873,200

974     From Federal Funds
1,436,100

975     From Dedicated Credits Revenue
515,900

976     From General Fund Restricted - Utah Geological Survey Oil, Gas, and Mining Restricted
977     Account
634,000

978     From General Fund Restricted - Mineral Lease
1,467,300

979     From Gen. Fund Rest. - Land Exchange Distribution Account
23,700

980     From Revenue Transfers
1,353,300

981     From Beginning Nonlapsing Balances
2,056,400


982     Schedule of Programs:
983     Administration
2,383,200

984     Board
3,500

985     Energy and Minerals
2,173,700

986     Geologic Hazards
1,148,600

987     Geologic Information and Outreach
2,428,400

988     Geologic Mapping
1,780,700

989     Groundwater
2,110,400

990     Technical Services
331,400

991     Item 72
     To Department of Natural Resources - Water Resources
992     From General Fund
6,528,100

993     From Federal Funds
1,055,200

994     From Dedicated Credits Revenue
5,100

995     From General Fund Restricted - Agricultural Water Optimization Restricted Account
996     
2,800

997     From Designated Sales Tax
150,000

998     From Water Resources Conservation and Development Fund
4,227,200

999     From Beginning Nonlapsing Balances
16,150,000

1000     Schedule of Programs:
1001     Administration
1,564,500

1002     Board
34,000

1003     Cloudseeding
350,000

1004     Construction
14,158,200

1005     Interstate Streams
768,300

1006     Planning
10,935,600

1007     West Desert Operations
5,000

1008     Funding Projects and Research
302,800

1009     Item 73
     To Department of Natural Resources - Water Rights
1010     From General Fund
10,292,800

1011     From Federal Funds
136,000

1012     From Dedicated Credits Revenue
1,086,700

1013     From General Fund Restricted - Water Rights Restricted Account
4,301,200

1014     From Designated Sales Tax
175,000

1015     From Beginning Nonlapsing Balances
3,666,700

1016     Schedule of Programs:
1017     Adjudication
8,174,700

1018     Administration
1,354,000

1019     Applications and Records
5,027,400


1020     Dam Safety
1,219,100

1021     Field Services
1,645,200

1022     Technical Services
2,238,000

1023     Item 74
     To Department of Natural Resources - Watershed Restoration
1024     From General Fund
5,616,800

1025     From Dedicated Credits Revenue
50,000

1026     From Designated Sales Tax
500,000

1027     From Beginning Nonlapsing Balances
3,000,000

1028     Schedule of Programs:
1029     Watershed Restoration
9,166,800

1030     Item 75
     To Department of Natural Resources - Wildlife Resources
1031     From General Fund
7,924,300

1032     From Federal Funds
30,359,400

1033     From Expendable Receipts
215,000

1034     From General Fund Restricted - Aquatic Invasive Species Interdiction Account
1035     
1,440,700

1036     From General Fund Restricted - Mule Deer Protection Account
523,800

1037     From General Fund Restricted - Predator Control Account
852,000

1038     From General Fund Restricted - Support for State-owned Shooting Ranges Restricted
1039     Account
26,600

1040     From Revenue Transfers
117,200

1041     From General Fund Restricted - Wildlife Conservation Easement Account
15,400

1042     From General Fund Restricted - Wildlife Habitat
3,384,500

1043     From General Fund Restricted - Wildlife Resources
43,368,500

1044     From Beginning Nonlapsing Balances
5,775,000

1045     Schedule of Programs:
1046     Administrative Services
12,523,600

1047     Aquatic Section
22,111,900

1048     Conservation Outreach
6,187,000

1049     Director's Office
2,819,200

1050     Habitat Council
3,384,500

1051     Habitat Section
9,890,900

1052     Law Enforcement
14,393,500

1053     Wildlife Section
22,691,800

1054          The Legislature intends that the General Fund
1055     appropriation for the Division of Wildlife Resources line item
1056     shall be used for making the mutually agreed upon $1,000,000
1057     payment to the Utah School and Institutional Trust Lands

1058     Administration (SITLA) to preserve access to public land for
1059     hunters and wildlife dependent recreation.
1060          The Legislature intends that the Division of Wildlife
1061     Resources spends up to $400,000 on livestock damage.
1062     Item 76
     To Department of Natural Resources - Wildlife Resources Capital
1063     Budget
1064     From General Fund
599,400

1065     From Federal Funds
2,500,000

1066     From General Fund Restricted - State Fish Hatchery Maintenance
1,205,000

1067     From Beginning Nonlapsing Balances
599,400

1068     Schedule of Programs:
1069     Fisheries
4,903,800

1070     Item 77
     To Department of Natural Resources - Public Lands Policy
1071     Coordinating Office
1072     From General Fund
3,056,900

1073     From General Fund Restricted - Constitutional Defense
1,295,400

1074     From Beginning Nonlapsing Balances
6,581,000

1075     Schedule of Programs:
1076     Public Lands Policy Coordinating Office
10,933,300

1077     Item 78
     To Department of Natural Resources - Division of State Parks
1078     From General Fund
4,523,400

1079     From Federal Funds
150,200

1080     From Dedicated Credits Revenue
1,134,300

1081     From Expendable Receipts
125,000

1082     From General Fund Restricted - State Park Fees
26,834,400

1083     From Revenue Transfers
137,700

1084     Schedule of Programs:
1085     Executive Management
312,100

1086     Park Management Contracts
1,046,000

1087     State Park Operation Management
29,275,300

1088     Planning and Design
717,700

1089     Support Services
1,289,500

1090     Heritage Services
264,400

1091          The Legislature intends that the General Fund
1092     appropriation for the Parks and Recreation line item shall be
1093     used primarily for the operations and maintenance of the
1094     division's heritage parks, museums, and This Is the Place
1095     Heritage Park. Upon request, the division shall provide detailed

1096     documentation as to how the Division's general fund
1097     appropriation was spent.
1098     Item 79
     To Department of Natural Resources - Division of Parks - Capital
1099     From Federal Funds
212,500

1100     From Expendable Receipts
175,000

1101     From General Fund Restricted - State Park Fees
972,700

1102     From Beginning Nonlapsing Balances
1,782,300

1103     Schedule of Programs:
1104     Donated Capital Projects
175,000

1105     Major Renovation
508,500

1106     Region Renovation
100,000

1107     Renovation and Development
2,359,000

1108     Item 80
     To Department of Natural Resources - Division of Outdoor
1109     Recreation
1110     From General Fund
493,500

1111     From Federal Funds
2,037,100

1112     From General Fund Restricted - Boating
5,048,700

1113     From Gen. Fund Rest. - Off-highway Access and Education
19,000

1114     From General Fund Restricted - Off-highway Vehicle
6,611,400

1115     From General Fund Restricted - Zion National Park Support Programs
4,000

1116     From Beginning Nonlapsing Balances
110,000

1117     Schedule of Programs:
1118     Management
1,075,500

1119     Agreements
4,000

1120     Oversight
9,140,600

1121     Construction
213,000

1122     Recreation Services
679,900

1123     Administration
3,210,700

1124     Item 81
     To Department of Natural Resources - Division of Outdoor
1125     Recreation- Capital
1126     From Federal Funds
6,907,200

1127     From General Fund Restricted - Boating
575,000

1128     From General Fund Restricted - Off-highway Vehicle
3,900,000

1129     Schedule of Programs:
1130     Boat Access Grants
350,000

1131     Land and Water Conservation
2,947,600

1132     Recreation Capital
420,000

1133     Off-highway Vehicle Grants
3,675,000


1134     Trails Program
3,989,600

1135     Item 82
     To Department of Natural Resources - Office of Energy
1136     Development
1137     From General Fund
1,677,700

1138     From Income Tax Fund
249,500

1139     From Federal Funds
866,500

1140     From Dedicated Credits Revenue
104,100

1141     From Expendable Receipts
233,600

1142     From Ut. S. Energy Program Rev. Loan Fund (ARRA)
227,400

1143     From Beginning Nonlapsing Balances
3,415,000

1144     Schedule of Programs:
1145     Office of Energy Development
6,773,800

1146     School and Institutional Trust Lands Administration
1147     Item 83
     To School and Institutional Trust Lands Administration
1148     From Land Grant Management Fund
13,163,700

1149     Schedule of Programs:
1150     Accounting
630,600

1151     Administration
1,088,700

1152     Auditing
441,100

1153     Board
97,100

1154     Development - Operating
1,453,400

1155     Director
1,150,300

1156     External Relations
310,400

1157     Grazing and Forestry
738,500

1158     Information Technology Group
1,563,200

1159     Legal/Contracts
1,316,900

1160     Mining
631,400

1161     Oil and Gas
963,600

1162     Surface
2,509,500

1163     Renewables
269,000

1164     Item 84
     To School and Institutional Trust Lands Administration - Land
1165     Stewardship and Restoration
1166     From Land Grant Management Fund
852,400

1167     Schedule of Programs:
1168     Land Stewardship and Restoration
852,400

1169     Item 85
     To School and Institutional Trust Lands Administration - School
1170     and Institutional Trust Lands Administration Capital
1171     From Land Grant Management Fund
5,000,000


1172     Schedule of Programs:
1173     Capital
5,000,000

1174          Subsection 2(b). Expendable Funds and Accounts. The Legislature has reviewed the
1175     following expendable funds. The Legislature authorizes the State Division of Finance to transfer
1176     amounts between funds and accounts as indicated. Outlays and expenditures from the funds or
1177     accounts to which the money is transferred may be made without further legislative action, in
1178     accordance with statutory provisions relating to the funds or accounts.
1179     Department of Environmental Quality
1180     Item 86
     To Department of Environmental Quality - Hazardous Substance
1181     Mitigation Fund
1182     From General Fund
400

1183     From Dedicated Credits Revenue
6,000

1184     From Interest Income
139,800

1185     From General Fund Restricted - Environmental Quality
1,200

1186     From Revenue Transfers
(4,600)

1187     From Beginning Fund Balance
5,137,600

1188     From Closing Fund Balance
(4,967,900)

1189     Schedule of Programs:
1190     Hazardous Substance Mitigation Fund
312,500

1191     Item 87
     To Department of Environmental Quality - Waste Tire Recycling
1192     Fund
1193     From Dedicated Credits Revenue
3,589,700

1194     From Beginning Fund Balance
3,084,700

1195     From Closing Fund Balance
(2,860,900)

1196     Schedule of Programs:
1197     Waste Tire Recycling Fund
3,813,500

1198     Item 88
     To Department of Environmental Quality - Conversion to
1199     Alternative Fuel Grant Program Fund
1200     From Interest Income
800

1201     From Beginning Fund Balance
50,000

1202     From Closing Fund Balance
(28,300)

1203     Schedule of Programs:
1204     Conversion to Alternative Fuel Grant Program Fund
22,500

1205     Department of Natural Resources
1206     Item 89
     To Department of Natural Resources - Outdoor Recreation
1207     Infrastructure Account
1208     From Interest Income
80,000

1209     From Designated Sales Tax
7,750,000


1210     From Other Financing Sources
246,000

1211     From Beginning Fund Balance
15,306,900

1212     From Closing Fund Balance
(13,287,700)

1213     Schedule of Programs:
1214     Outdoor Recreation Infrastructure Account
10,095,200

1215     Item 90
     To Department of Natural Resources - UGS Sample Library Fund
1216     From Dedicated Credits Revenue
400

1217     From Beginning Fund Balance
81,500

1218     From Closing Fund Balance
(81,900)

1219     Item 91
     To Department of Natural Resources - Wildland Fire Suppression
1220     Fund
1221     From General Fund
10,000,000

1222     From General Fund, One-Time
50,000,000

1223     From Interest Income
50,000

1224     From General Fund Restricted - Mineral Bonus
1,069,300

1225     From Beginning Fund Balance
44,353,000

1226     Schedule of Programs:
1227     Wildland Fire Suppression Fund
105,472,300

1228     Item 92
     To Department of Natural Resources - Wildland Fire Preparedness
1229     Grants Fund
1230     From Wildland Fire Suppression Fund
99,300

1231     From Beginning Fund Balance
149,900

1232     From Closing Fund Balance
(149,900)

1233     Schedule of Programs:
1234     Wildland Fire Preparedness Grants Fund
99,300

1235     Item 93
     To Department of Natural Resources - Watershed Restoration
1236     Expendable Special Revenue Fund
1237     From Dedicated Credits Revenue, One-Time
1,500,000

1238     Schedule of Programs:
1239     Watershed Restoration Expendable Special Revenue Fund
1,500,000

1240     Item 94
     To Department of Natural Resources - Wild Game Meat Donation
1241     Fund
1242     From Dedicated Credits Revenue
50,000

1243     Schedule of Programs:
1244     Wild Game Meat Donation Fund
50,000

1245          Subsection 2(c). Business-like Activities. The Legislature has reviewed the following
1246     proprietary funds. Under the terms and conditions of Utah Code 63J-1-410, for any included Internal
1247     Service Fund, the Legislature approves budgets, full-time permanent positions, and capital

1248     acquisition amounts as indicated, and appropriates to the funds, as indicated, estimated revenue from
1249     rates, fees, and other charges. The Legislature authorizes the State Division of Finance to transfer
1250     amounts between funds and accounts as indicated.
1251     Department of Environmental Quality
1252     Item 95
     To Department of Environmental Quality - Water Development
1253     Security Fund - Drinking Water
1254     From Federal Funds
9,000,000

1255     From Dedicated Credits Revenue
2,455,700

1256     From Interest Income
745,000

1257     From Designated Sales Tax
3,587,500

1258     From Revenue Transfers
2,221,400

1259     From Repayments
10,508,200

1260     Schedule of Programs:
1261     Drinking Water
28,517,800

1262     Item 96
     To Department of Environmental Quality - Water Development
1263     Security Fund - Water Quality
1264     From Federal Funds
8,500,000

1265     From Dedicated Credits Revenue
3,878,800

1266     From Interest Income
3,958,200

1267     From Designated Sales Tax
3,587,500

1268     From Revenue Transfers
1,700,000

1269     From Repayments
16,348,000

1270     Schedule of Programs:
1271     Water Quality
37,972,500

1272     Department of Natural Resources
1273     Item 97
     To Department of Natural Resources - Internal Service Fund
1274     Item 98
     To Department of Natural Resources - Water Resources Revolving
1275     Construction Fund
1276     From Water Resources Conservation and Development Fund
3,800,000

1277     Schedule of Programs:
1278     Construction Fund
3,800,000

1279          Subsection 2(d). Restricted Fund and Account Transfers. The Legislature authorizes
1280     the State Division of Finance to transfer the following amounts between the following funds or
1281     accounts as indicated. Expenditures and outlays from the funds to which the money is transferred
1282     must be authorized by an appropriation.
1283     Item 99
     To General Fund Restricted - Environmental Quality
1284     From General Fund
1,724,200

1285     Schedule of Programs:

1286     GFR - Environmental Quality
1,724,200

1287     Item 100
     To General Fund Restricted - Agricultural Water Optimization
1288     Account
1289     From Beginning Fund Balance
3,000,000

1290     Schedule of Programs:
1291     Agricultural Water Optimization Account
3,000,000

1292     Item 101
     To General Fund Restricted - Mule Deer Protection Account
1293     From General Fund
250,000

1294     Schedule of Programs:
1295     General Fund Restricted - Mule Deer Protection
250,000

1296     Item 102
     To General Fund Restricted - Constitutional Defense Restricted
1297     Account
1298     From Gen. Fund Rest. - Land Exchange Distribution Account
1,042,400

1299     Schedule of Programs:
1300     General Fund Restricted - Constitutional Defense Restricted Account
1301     
1,042,400

1302          Section 3. FY 2024 Appropriations. The following sums of money are appropriated for the
1303     fiscal year beginning July 1, 2023 and ending June 30, 2024 for programs reviewed during the
1304     accountable budget process. These are additions to amounts otherwise appropriated for fiscal year
1305     2024.
1306          Subsection 3(a). Operating and Capital Budgets. Under the terms and conditions of
1307     Title 63J, Chapter 1, Budgetary Procedures Act, the Legislature appropriates the following sums of
1308     money from the funds or accounts indicated for the use and support of the government of the state of
1309     Utah.
1310     Department of Agriculture and Food
1311     Item 103
     To Department of Agriculture and Food - Administration
1312     From General Fund
3,098,200

1313     From Federal Funds
241,400

1314     From Dedicated Credits Revenue
333,500

1315     From Revenue Transfers
77,400

1316     From Gen. Fund Rest. - Agriculture and Wildlife Damage Prevention
30,000

1317     From Beginning Nonlapsing Balances
574,900

1318     Schedule of Programs:
1319     General Administration
4,325,400

1320     Sheep Promotion
30,000

1321     Item 104
     To Department of Agriculture and Food - Animal Industry
1322     From General Fund
4,126,700

1323     From Income Tax Fund
250,000


1324     From Federal Funds
2,216,300

1325     From Dedicated Credits Revenue
180,300

1326     From General Fund Restricted - Horse Racing
86,700

1327     From General Fund Restricted - Livestock Brand
1,551,300

1328     From Revenue Transfers
3,900

1329     From Beginning Nonlapsing Balances
1,181,200

1330     From Closing Nonlapsing Balances
(1,660,200)

1331     Schedule of Programs:
1332     Animal Health
2,706,200

1333     Auction Market Veterinarians
72,700

1334     Brand Inspection
2,117,700

1335     Meat Inspection
2,875,600

1336     Horse Racing Commission
164,000

1337     Item 105
     To Department of Agriculture and Food - Building Operations
1338     From General Fund
446,300

1339     Schedule of Programs:
1340     Building Operations
446,300

1341     Item 106
     To Department of Agriculture and Food - Invasive Species
1342     Mitigation
1343     From General Fund Restricted - Invasive Species Mitigation Account
2,027,100

1344     From Beginning Nonlapsing Balances
316,200

1345     Schedule of Programs:
1346     Invasive Species Mitigation
2,343,300

1347     Item 107
     To Department of Agriculture and Food - Marketing and
1348     Development
1349     From General Fund
796,800

1350     From Federal Funds
326,800

1351     From Dedicated Credits Revenue
22,800

1352     From Beginning Nonlapsing Balances
90,100

1353     Schedule of Programs:
1354     Marketing and Development
1,236,500

1355     Item 108
     To Department of Agriculture and Food - Plant Industry
1356     From General Fund
851,900

1357     From Federal Funds
2,099,500

1358     From Dedicated Credits Revenue
3,814,000

1359     From Revenue Transfers
400,900

1360     From Pass-through
190,300

1361     From Beginning Nonlapsing Balances
1,126,400


1362     From Lapsing Balance
(207,100)

1363     Schedule of Programs:
1364     Environmental Quality
105,400

1365     Grain Inspection
338,700

1366     Grazing Improvement Program
1,559,500

1367     Insect Infestation
1,070,100

1368     Plant Industry
5,202,200

1369     Item 109
     To Department of Agriculture and Food - Predatory Animal
1370     Control
1371     From General Fund
1,439,500

1372     From Revenue Transfers
759,200

1373     From Gen. Fund Rest. - Agriculture and Wildlife Damage Prevention
621,500

1374     From Beginning Nonlapsing Balances
119,300

1375     Schedule of Programs:
1376     Predatory Animal Control
2,939,500

1377     Item 110
     To Department of Agriculture and Food - Rangeland Improvement
1378     From Gen. Fund Rest. - Rangeland Improvement Account
4,032,700

1379     From Beginning Nonlapsing Balances
510,600

1380     Schedule of Programs:
1381     Rangeland Improvement
4,543,300

1382     Item 111
     To Department of Agriculture and Food - Regulatory Services
1383     From General Fund
1,698,200

1384     From Federal Funds
1,682,300

1385     From Dedicated Credits Revenue
4,736,800

1386     From Revenue Transfers
1,300

1387     From Pass-through
65,700

1388     From Beginning Nonlapsing Balances
1,128,900

1389     Schedule of Programs:
1390     Regulatory Services Administration
1,455,000

1391     Bedding & Upholstered
740,600

1392     Weights & Measures
2,189,800

1393     Food Inspection
2,938,400

1394     Dairy Inspection
438,200

1395     Egg Grading and Inspection
1,551,200

1396     Item 112
     To Department of Agriculture and Food - Resource Conservation
1397     From General Fund
1,697,200

1398     From Federal Funds
856,100

1399     From Dedicated Credits Revenue
11,600


1400     From Agriculture Resource Development Fund
958,300

1401     From Revenue Transfers
385,900

1402     From Utah Rural Rehabilitation Loan State Fund
142,500

1403     From Beginning Nonlapsing Balances
2,245,000

1404     From Closing Nonlapsing Balances
(1,742,900)

1405     Schedule of Programs:
1406     Conservation Commission
8,500

1407     Resource Conservation
3,802,900

1408     Resource Conservation Administration
742,300

1409     Item 113
     To Department of Agriculture and Food - Utah State Fair
1410     Corporation
1411     From Dedicated Credits Revenue
6,138,400

1412     Schedule of Programs:
1413     State Fair Corporation
6,138,400

1414     Item 114
     To Department of Agriculture and Food - Industrial Hemp
1415     From Dedicated Credits Revenue
1,145,400

1416     From Beginning Nonlapsing Balances
400,000

1417     From Closing Nonlapsing Balances
(400,000)

1418     Schedule of Programs:
1419     Industrial Hemp
1,145,400

1420          The Legislature intends that the department of Agriculture
1421     and Foods Hemp and Medical Cannabis Division remit all
1422     vehicles in active already replaced status to the Division of
1423     Fleet Operations. Further, the Legislature intends that the
1424     Industrial Hemp program maintain a fleet of 1 vehicle for
1425     every inspector in the program.
1426     Item 115
     To Department of Agriculture and Food - Analytical Laboratory
1427     From General Fund
1,053,400

1428     From Federal Funds
2,000

1429     From Dedicated Credits Revenue
296,000

1430     From Beginning Nonlapsing Balances
15,500

1431     From Lapsing Balance
(28,800)

1432     Schedule of Programs:
1433     Analytical Laboratory
1,338,100

1434          Subsection 3(b). Expendable Funds and Accounts. The Legislature has reviewed the
1435     following expendable funds. The Legislature authorizes the State Division of Finance to transfer
1436     amounts between funds and accounts as indicated. Outlays and expenditures from the funds or
1437     accounts to which the money is transferred may be made without further legislative action, in

1438     accordance with statutory provisions relating to the funds or accounts.
1439     Department of Agriculture and Food
1440     Item 116
     To Department of Agriculture and Food - Salinity Offset Fund
1441     From Revenue Transfers
4,800

1442     From Beginning Fund Balance
1,049,600

1443     From Closing Fund Balance
(957,600)

1444     Schedule of Programs:
1445     Salinity Offset Fund
96,800

1446     Item 117
     To Department of Agriculture and Food - Dept. Agriculture and
1447     Food Laboratory Equip. Fund
1448     From Dedicated Credits Revenue
118,200

1449     Schedule of Programs:
1450     Dept. Agriculture and Food Laboratory Equip. Fund
118,200

1451          Subsection 3(c). Business-like Activities. The Legislature has reviewed the following
1452     proprietary funds. Under the terms and conditions of Utah Code 63J-1-410, for any included Internal
1453     Service Fund, the Legislature approves budgets, full-time permanent positions, and capital
1454     acquisition amounts as indicated, and appropriates to the funds, as indicated, estimated revenue from
1455     rates, fees, and other charges. The Legislature authorizes the State Division of Finance to transfer
1456     amounts between funds and accounts as indicated.
1457     Department of Agriculture and Food
1458     Item 118
     To Department of Agriculture and Food - Agriculture Loan
1459     Programs
1460     From Agriculture Resource Development Fund
303,500

1461     From Utah Rural Rehabilitation Loan State Fund
163,600

1462     From Lapsing Balance
(131,800)

1463     Schedule of Programs:
1464     Agriculture Loan Program
335,300

1465     Item 119
     To Department of Agriculture and Food - Qualified Production
1466     Enterprise Fund
1467     From Dedicated Credits Revenue
2,585,700

1468     From Beginning Fund Balance
3,329,900

1469     From Closing Fund Balance
(2,870,100)

1470     Schedule of Programs:
1471     Qualified Production Enterprise Fund
3,045,500

1472          The Legislature intends that the department of Agriculture
1473     and Foods Hemp and Medical Cannabis Division remit all
1474     vehicles in active already replaced status to the Division of
1475     Fleet Operations. Further, the Legislature intends that the

1476     Medical Cannabis program maintains a fleet of no more than 1
1477     vehicle for every 6 licensed establishments requiring an
1478     inspection, plus one additional vehicle for office staff.
1479          Subsection 3(d). Restricted Fund and Account Transfers. The Legislature authorizes
1480     the State Division of Finance to transfer the following amounts between the following funds or
1481     accounts as indicated. Expenditures and outlays from the funds to which the money is transferred
1482     must be authorized by an appropriation.
1483     Item 120
     To General Fund Restricted - Agriculture and Wildlife Damage
1484     Prevention Account
1485     From General Fund
350,000

1486     Schedule of Programs:
1487     General Fund Restricted - Agriculture and Wildlife Damage Prevention
1488     Account
350,000

1489     Item 121
     To General Fund Restricted - Invasive Species Mitigation Account
1490     From General Fund
2,000,000

1491     Schedule of Programs:
1492     General Fund Restricted - Invasive Species Mitigation Account
1493     
2,000,000

1494     Item 122
     To General Fund Restricted - Rangeland Improvement Account
1495     From General Fund
3,846,300

1496     Schedule of Programs:
1497     General Fund Restricted - Rangeland Improvement Account
1498     
3,846,300

1499          Section 4. Effective Date.
1500          If approved by two-thirds of all the members elected to each house, Section 1 of this bill
1501     takes effect upon approval by the Governor, or the day following the constitutional time limit of
1502     Utah Constitution Article VII, Section 8 without the Governor's signature, or in the case of a veto,
1503     the date of override. Section 2 and Section 3 of this bill take effect on July 1, 2023.