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 - Administration58 Item 1
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 Industry73 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 Species84 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 and96 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 Industry109 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 Animal129 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 Improvement139 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 Services150 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 Conservation168 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 Cannabis186 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 Hemp190 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 Laboratory206 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 Water219 Item 13
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 - Environmental233 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's252 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 Management270 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 Quality294 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 Reduction312 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 Quality324 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 Services352 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 Energy362 Item 21
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 - Administration368 Item 22
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 Through383 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 State397 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 Mining422 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 Recreation436 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 Protection440 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 Survey452 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 Resources473 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 Rights494 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 Restoration520 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 Resources532 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 Capital562 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 Policy575 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 Parks596 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 - Capital602 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 Outdoor613 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 Outdoor628 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 Energy638 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 Administration664 Item 40
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 Fund693 Item 41
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 Substance699 Item 42
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 Recycling707 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 to711 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 Recreation717 Item 45
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 Suppression728 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 Preparedness734 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 Loan744 Item 48
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 Production750 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 Development763 Item 50
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 Fund772 Item 51
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 Quality782 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 Optimization786 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 Restricted790 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 Water800 Item 55
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 - Environmental814 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's831 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 Management843 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 Quality862 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 Reduction882 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 Quality887 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 Services901 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 - Administration906 Item 63
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 Operations917 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 Research921 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 Agreements925 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 Through931 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 State936 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 Mining953 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 Protection967 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 Survey973 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 Resources992 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 Rights1010 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 Restoration1024 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 Resources1031 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 Capital1063 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 Policy1071 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 Parks1078 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 - Capital1099 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 Outdoor1109 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 Outdoor1125 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 Energy1136 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 Administration1147 Item 83
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 - Land1165 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 - School1170 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 Substance1180 Item 86
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 Recycling1192 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 to1199 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 Recreation1206 Item 89
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 Fund1216 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 Suppression1220 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 Preparedness1229 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 Restoration1236 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 Donation1241 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 Development1252 Item 95
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 Development1263 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 Fund1273 Item 97
1274 Item 98
To Department of Natural Resources - Water Resources Revolving1275 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 Quality1284 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 Optimization1288 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 Account1293 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 Restricted1297 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 - Administration1311 Item 103
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 Industry1322 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 Operations1338 From General Fund
446,300
1339 Schedule of Programs:
1340 Building Operations
446,300
1341 Item 106
To Department of Agriculture and Food - Invasive Species1342 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 and1348 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 Industry1356 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 Animal1370 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 Improvement1378 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 Services1383 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 Conservation1397 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 Fair1410 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 Hemp1415 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 Laboratory1427 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 Fund1440 Item 116
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 and1447 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 Loan1458 Item 118
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 Production1466 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 Damage1484 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 Account1490 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 Account1495 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.