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A03002 Summary:

BILL NOA03002A
 
SAME ASSAME AS UNI. S02002-A
 
SPONSORBudget
 
COSPNSR
 
MLTSPNSR
 
 
Makes appropriations for the support of government - State Debt Service Budget.
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A03002 Actions:

BILL NOA03002A
 
01/23/2017referred to ways and means
03/20/2017amend and recommit to ways and means
03/20/2017print number 3002a
03/22/2017reported referred to rules
03/22/2017reported
03/23/2017rules report cal.31
03/23/2017ordered to third reading rules cal.31
03/23/2017passed assembly
03/23/2017delivered to senate
03/23/2017REFERRED TO FINANCE
03/28/2017SUBSTITUTED FOR S2002A
03/28/20173RD READING CAL.438
03/28/2017PASSED SENATE
03/28/2017RETURNED TO ASSEMBLY
04/09/2017delivered to governor
04/20/2017signed chap.52
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A03002 Committee Votes:

WAYS AND MEANS Chair:Farrell DATE:03/22/2017AYE/NAY:27/4 Action: Favorable refer to committee Rules
FarrellAyeOaksAye
LentolExcusedCrouchAye
SchimmingerAyeBarclayAye
GanttExcusedFitzpatrickNay
WeinsteinAyeHawleyAye
GlickExcusedMalliotakisNay
NolanAyeWalterAye
PretlowAyeMontesanoAye
PerryAyeCurranNay
ColtonAyeRaNay
CookAye
CahillAye
AubryAye
HooperAye
ThieleAye
CusickAye
OrtizAye
BenedettoExcused
MoyaAye
WeprinAye
RodriguezAye
RamosAye
BraunsteinAye
McDonaldAye
RozicAye

RULES Chair:Heastie DATE:03/22/2017AYE/NAY:28/0 Action: Favorable
HeastieAyeKolbAye
GottfriedAyeOaksAye
LentolExcusedButlerAye
FarrellAyeCrouchAye
GanttExcusedFinchAye
NolanAyeBarclayAye
WeinsteinAyeRaiaAye
HooperAyeHawleyAye
OrtizAye
PretlowAye
CookAye
GlickExcused
MorelleAye
AubryAye
EnglebrightAye
DinowitzAye
ColtonAye
MagnarelliAye
PerryAye
GalefAye
PaulinAye
TitusAye
Peoples-StokesAye

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A03002 Floor Votes:

DATE:03/23/2017Assembly Vote  YEA/NAY: 111/32
Yes
Abbate
Yes
Crouch
No
Goodell
Yes
Lifton
Yes
O'Donnell
ER
Simanowitz
Yes
Abinanti
No
Curran
Yes
Gottfried
No
Lopez
Yes
Ortiz
Yes
Simon
ER
Arroyo
Yes
Cusick
No
Graf
Yes
Lupardo
Yes
Otis
Yes
Simotas
Yes
Aubry
Yes
Cymbrowitz
Yes
Gunther
No
Lupinacci
No
Palmesano
Yes
Skartados
No
Barclay
Yes
Davila
Yes
Harris
Yes
Magee
No
Palumbo
Yes
Skoufis
Yes
Barnwell
Yes
De La Rosa
No
Hawley
Yes
Magnarelli
Yes
Paulin
Yes
Solages
Yes
Barrett
Yes
DenDekker
Yes
Hevesi
No
Malliotakis
Yes
Peoples-Stokes
No
Stec
Yes
Barron
Yes
Dickens
Yes
Hikind
Yes
Mayer
Yes
Perry
Yes
Steck
Yes
Benedetto
Yes
Dilan
Yes
Hooper
Yes
McDonald
Yes
Pheffer Amato
Yes
Stirpe
ER
Bichotte
Yes
Dinowitz
Yes
Hunter
No
McDonough
Yes
Pichardo
Yes
Thiele
Yes
Blake
No
DiPietro
Yes
Hyndman
No
McKevitt
Yes
Pretlow
Yes
Titone
No
Blankenbush
Yes
D'Urso
Yes
Jaffee
Yes
McLaughlin
Yes
Quart
Yes
Titus
No
Brabenec
Yes
Englebright
Yes
Jean-Pierre
Yes
Miller B
No
Ra
Yes
Vanel
Yes
Braunstein
No
Errigo
Yes
Jenne
Yes
Miller MG
No
Raia
Yes
Walker
Yes
Brindisi
Yes
Fahy
No
Johns
No
Miller ML
Yes
Ramos
Yes
Wallace
Yes
Bronson
Yes
Farrell
Yes
Jones
Yes
Montesano
Yes
Richardson
Yes
Walsh
Yes
Buchwald
Yes
Finch
Yes
Joyner
Yes
Morelle
Yes
Rivera
No
Walter
No
Butler
No
Fitzpatrick
Yes
Kavanagh
Yes
Morinello
Yes
Rodriguez
Yes
Weinstein
No
Byrne
No
Friend
Yes
Kearns
Yes
Mosley
Yes
Rosenthal
Yes
Weprin
Yes
Cahill
Yes
Galef
Yes
Kim
Yes
Moya
Yes
Rozic
Yes
Williams
Yes
Carroll
ER
Gantt
Yes
Kolb
No
Murray
Yes
Ryan
Yes
Woerner
No
Castorina
No
Garbarino
ER
Lalor
Yes
Niou
Yes
Santabarbara
Yes
Wright
Yes
Colton
No
Giglio
Yes
Lavine
Yes
Nolan
Yes
Schimminger
Yes
Zebrowski
Yes
Cook
Yes
Gjonaj
No
Lawrence
No
Norris
Yes
Seawright
Yes
Mr. Speaker
Yes
Crespo
ER
Glick
Yes
Lentol
Yes
Oaks
Yes
Sepulveda

‡ Indicates voting via videoconference
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A03002 Text:



 
                STATE OF NEW YORK
        ________________________________________________________________________
 
            S. 2002--A                                            A. 3002--A
 
                SENATE - ASSEMBLY
 
                                    January 17, 2017
                                       ___________
 
        IN  SENATE -- A BUDGET BILL, submitted by the Governor pursuant to arti-
          cle seven of the Constitution -- read twice and ordered  printed,  and
          when  printed to be committed to the Committee on Finance -- committee
          discharged, bill amended, ordered reprinted as amended and recommitted
          to said committee
 
        IN ASSEMBLY -- A BUDGET BILL, submitted pursuant to article seven of the
          Constitution -- read once and referred to the Committee  on  Ways  and
          Means  --  committee  discharged,  bill  amended, ordered reprinted as
          amended and recommitted to said committee
 
        AN ACT making appropriations for the legal  requirements  of  the  state
          debt service and lease purchase payments and other special contractual
          obligations
 
          The  People of the State of New York, represented in Senate and Assem-
        bly, do enact as follows:
 
     1    Section 1. The several sums specified in  this  section,  or  so  much
     2  thereof  as  may be sufficient to accomplish in full the purposes desig-
     3  nated by the appropriations, are hereby appropriated to be paid as here-
     4  in provided for the funds and purposes specified and are made  available
     5  for the fiscal year beginning April 1, 2017.
 
     6                DEBT SERVICE FUND--GENERAL DEBT SERVICE FUND

     7  Maintenance undistributed
     8  For  the  legal  requirements  of principal, interest, and
     9    related expenses on general  obligation  bonds,  special
    10    contractual  and  revenue  bond  obligations,  as issued
    11    pursuant to articles 5-C and 5-F of  the  state  finance
    12    law  and payments for interest rate exchange and similar
    13    agreements, in accordance with the following schedule .. 6,536,700,000
    14                                                            ==============
 
 
         EXPLANATION--Matter in italics (underscored) is new; matter in brackets
                              [ ] is old law to be omitted.
                                                                   LBD12552-02-7

        S. 2002--A                          2                         A. 3002--A
 
     1                                  SCHEDULE
 
     2  GENERAL OBLIGATION PAYMENTS
     3  The  sum  of  $477,500,000,  or  so much thereof as may be
     4    necessary, is hereby appropriated  for  payment  by  the
     5    state comptroller for general obligation bonds issued in
     6    connection  with  pure  waters,  environmental  quality,
     7    transportation capital  facilities,  rail  preservation,
     8    outdoor   recreation  development,  energy  conservation
     9    through improved transportation,  parks  and  recreation
    10    land  acquisition,  rebuild New York through transporta-
    11    tion infrastructure renewal,  accelerated  capacity  and
    12    transportation   improvements  of  the  nineties,  clean
    13    water/clean air, rebuild and renew New York  transporta-
    14    tion, and smart schools purposes, in accordance with the
    15    following sub-schedule ................................... 477,500,000
    16                                                            --------------

    17                                sub-schedule
 
    18  Debt service payments ...................................... 475,000,000
    19  Related expenses ............................................. 2,500,000
    20                                                            --------------
    21  Total of sub-schedule ...................................... 477,500,000
    22                                                            ==============
 
    23  SPECIAL CONTRACTUAL OBLIGATION PAYMENTS
    24  The  several sums, or so much thereof as may be sufficient
    25    to accomplish in full the  purposes  designated  by  the
    26    appropriations, are hereby appropriated and are, subject
    27    to  the  issuance  of certificates of approval of avail-
    28    ability by the director of the budget, available for the
    29    purpose of making payments for special contractual obli-
    30    gations, in accordance with the following schedule ..... 1,078,200,000
    31                                                            --------------
 
    32                           SCHEDULE
 
    33  For payment to the Urban Development  Corpo-
    34    ration  pursuant  to  the provisions of an
    35    agreement  or  agreements  of  lease   and
    36    sublease  entered  into  between,  but not
    37    limited to, the Urban  Development  Corpo-
    38    ration, the Office of General Services and
    39    the  Department  of  Correctional Services
    40    for the rental of correctional facilities ... 21,000,000
    41  For payment according to the following  sub-
    42    schedule  to  the Urban Development Corpo-
    43    ration for project revenue bonds, pursuant
    44    to the provisions of certain agreements of
    45    lease between the entities  designated  on
    46    the  following  sub-schedule and the state
    47    of New York and  the  assignment  of  rent
    48    thereof  to  the  Urban Development Corpo-
    49    ration ....................................... 8,500,000

        S. 2002--A                          3                         A. 3002--A
 
     1                  sub-schedule
 
     2  Cornell University  (Supercom-
     3    puter Center) .................... 700,000
     4  Columbia  University (Telecom-
     5    munications Center) ............ 4,800,000
     6  Clarkson University .............. 1,100,000
     7  University Grants 95 Refunding ... 1,900,000
     8                                --------------
     9    Total of sub-schedule .......... 8,500,000
    10                                --------------
 
    11  For payment to the  Housing  Finance  Agency
    12    and  the Urban Development Corporation for
    13    payment of bonds  issued  to  finance  the
    14    State's housing programs .................... 45,000,000
    15  For  payment to the Metropolitan Transporta-
    16    tion Authority, pursuant to state  service
    17    contracts  authorized  by  section  16  of
    18    chapter 314 of the laws of  1981,  section
    19    42  of chapter 929 of the laws of 1986, as
    20    amended by chapter 13 of the laws of 1987,
    21    and section 34 of part O of chapter 61  of
    22    the laws of 2000 ............................ 80,000,000
    23  For   payment   to   the   State  University
    24    Construction  Fund,  for  payment  to  the
    25    Dormitory Authority, pursuant to paragraph
    26    (e)  of  subdivision 19 of section 1680 of
    27    the public authorities  law,  to  pay  for
    28    bonds  or  notes issued by such authority,
    29    pursuant to agreements between  the  State
    30    University    Construction   Fund,   State
    31    University of New York and  the  Dormitory
    32    Authority,  relating  to  State University
    33    education facilities. Notwithstanding  the
    34    provisions  of  section  40  of  the state
    35    finance law or any other provision of  law
    36    to  the contrary, this appropriation shall
    37    remain in  full  force  and  effect  until
    38    April 30, 2018 ............................. 210,000,000
    39  For   payment   to   the   State  University
    40    Construction  Fund,  for  payment  to  the
    41    Dormitory  Authority,  in  accordance with
    42    subdivision  8  of  section  6304  of  the
    43    education  law, for bonds, notes, or other
    44    obligations  issued  by  such   authority,
    45    pursuant  to  an  agreement  or agreements
    46    among the State University  of  New  York,
    47    various community colleges and their spon-
    48    sors,  and  the  Dormitory  Authority  for
    49    educational   facilities   of    community
    50    colleges ..................................... 6,000,000
    51  For payment to the City University Construc-
    52    tion   Fund  for  City  University  senior
    53    colleges  and  for   community   colleges.
    54    Moneys  hereby  appropriated,  or portions

        S. 2002--A                          4                         A. 3002--A
 
     1    thereof,  are  for  payments  net  of  all
     2    interest and investment earnings on senior
     3    and  community  college payments and other
     4    excess earnings held by the City Universi-
     5    ty  Construction  Fund, in accordance with
     6    the following sub-schedule ................. 165,000,000
 
     7                  sub-schedule
 
     8  City     University     senior
     9    colleges ..................... 150,000,000
    10  City    University   community
    11    colleges ...................... 15,000,000
    12                                --------------
    13    Total of sub-schedule ........ 165,000,000
    14                                --------------

    15  For payment to the Thruway Authority, pursu-
    16    ant to section 380 of the public  authori-
    17    ties  law,  to  pay  for Local Highway and
    18    Bridge Service  Contract  bonds  or  notes
    19    issued  by  such  authority pursuant to an
    20    agreement between  the  Thruway  Authority
    21    and the state .............................. 110,000,000
    22  For  payment to the Environmental Facilities
    23    Corporation, pursuant to subdivision 1  of
    24    section  1290  of  the  public authorities
    25    law, to pay for bonds or notes  issued  by
    26    such  authority pursuant to a lease agree-
    27    ment between the Environmental  Facilities
    28    Corporation   and  the  Office  of  Parks,
    29    Recreation   and   Historic   Preservation
    30    relating  to  the  financing  of Riverbank
    31    State Park ................................... 5,200,000
    32  For payment according to the following  sub-
    33    schedule   for  bonds  issued  to  finance
    34    consolidated service contract refundings ... 405,000,000
    35                                              --------------
 
    36                  sub-schedule
 
    37  Urban Development Corporation .. 300,000,000
    38  Dormitory Authority ............. 95,000,000
    39  Thruway Authority ............... 10,000,000
    40                                --------------
    41    Total of sub-schedule ........ 405,000,000
    42                                --------------
 
    43  Total of debt service schedule ............. 1,055,700,000
    44                                              --------------
 
    45  For payment of related expenses  in  accord-
    46    ance with the following schedule.

        S. 2002--A                          5                         A. 3002--A
 
     1                           SCHEDULE

     2  Urban Development Corporation .................. 3,500,000
     3  Housing Finance Agency ......................... 1,500,000
     4  Dormitory Authority ............................ 7,500,000
     5  Dormitory Authority Capital Expenses ........... 9,500,000
     6  Environmental Facilities Corporation ............. 200,000
     7  Thruway Authority ................................ 300,000
     8                                              --------------
     9  Total of related expenses schedule ............ 22,500,000
    10                                              --------------
 
    11  Total of schedules ......................... 1,078,200,000
    12                                              ==============
 
    13  REVENUE BOND FINANCING AGREEMENT PAYMENTS
    14  The  several sums, or so much thereof as may
    15    be necessary, are hereby appropriated  for
    16    payment  to  the  dormitory authority, the
    17    environmental facilities corporation,  the
    18    housing   finance   agency,   the  thruway
    19    authority,  and  the   urban   development
    20    corporation  and are, subject to the issu-
    21    ance of certificates of approval of avail-
    22    ability by the  director  of  the  budget,
    23    available   for   the  purpose  of  making
    24    financing agreement  payments  related  to
    25    personal  income  tax  revenue  bond obli-
    26    gations, as authorized pursuant to article
    27    5-C  of  the  state  finance  law  and  in
    28    accordance with the following schedule ... 4,228,000,000
    29                                              --------------
 
    30                           SCHEDULE
 
    31  Debt Service Payment ....................... 4,200,000,000
    32  Related Expenses .............................. 28,000,000
    33                                              --------------
    34  Total of schedule .......................... 4,228,000,000
    35                                              ==============
 
    36  REVENUE BOND FINANCING AGREEMENT PAYMENTS
    37  The  several sums, or so much thereof as may
    38    be necessary, are hereby appropriated  for
    39    payment  to  the  dormitory authority, the
    40    thruway authority, and the urban  develop-
    41    ment  corporation  and are, subject to the
    42    issuance of certificates  of  approval  of
    43    availability  by  the director of the bud-
    44    get, available for the purpose  of  making
    45    financing  agreement  payments  related to
    46    sales tax  revenue  bond  obligations,  as
    47    authorized  pursuant to article 5-F of the
    48    state finance law and in  accordance  with
    49    the following schedule ..................... 753,000,000
    50                                              --------------

        S. 2002--A                          6                         A. 3002--A
 
     1                                  SCHEDULE
 
     2  Debt Service Payments ........................ 750,000,000
     3  Related Expenses ............................... 3,000,000
     4                                              --------------
     5  Total of schedule ............................ 753,000,000
     6                                              ==============
 
     7  Total of schedule ........................................ 6,536,700,000
     8                                                            ==============
 
     9                    DEBT SERVICE FUND--HOUSING DEBT FUND
 
    10  GENERAL OBLIGATION PAYMENTS
    11  The sum of $6,500,000, or so much thereof as may be neces-
    12    sary,  is  hereby  appropriated for payment by the state
    13    comptroller of principal and interest on  general  obli-
    14    gation  bonds  issued  in  connection with state housing
    15    (low cost, middle income and urban renewal) ................ 6,500,000
    16                                                            ==============
 
    17                    DEBT SERVICE FUND--HEALTH INCOME FUND
 
    18  For debt service and related expenses in  accordance  with
    19    the following schedule .................................... 33,000,000
    20                                                            --------------
 
    21                                  SCHEDULE
 
    22  The  sum  of  $27,000,000,  or  so  much thereof as may be
    23    necessary of operating revenues received from department
    24    of health facilities other than the New York City Veter-
    25    ans' Home, is hereby appropriated  for  payment  by  the
    26    state  comptroller of all obligations under the terms of
    27    agreements between the health department and the  dormi-
    28    tory authority ............................................ 27,000,000
    29  The sum of $2,000,000, or so much thereof as may be neces-
    30    sary  of  operating  revenues received from the New York
    31    City Veterans' Home, is hereby appropriated for  payment
    32    by  the  state  comptroller of all obligations under the
    33    terms of agreements between the  health  department  and
    34    the dormitory authority .................................... 2,000,000
    35  Related expenses ............................................. 1,000,000
    36  Capital expenses ............................................. 3,000,000
    37                                                            --------------
    38    Total of schedule ......................................... 33,000,000
    39                                                            ==============
 
    40               DEBT SERVICE FUND--MENTAL HEALTH SERVICES FUND

    41  The  sum  of  $197,000,000,  or  so much thereof as may be
    42    necessary, is hereby appropriated  for  payment  by  the
    43    state  comptroller  of  all obligations of the dormitory
    44    authority, as successor to  the  facilities  development
    45    corporation  and  the  medical  care  facilities finance

        S. 2002--A                          7                         A. 3002--A
 
     1    agency pursuant to chapter 83 of the laws of 1995, under
     2    the terms of any lease,  sublease,  or  other  financing
     3    agreement  with  the  department  of  mental hygiene, in
     4    accordance with the following schedule ................... 197,000,000
     5                                                            --------------
 
     6                                  SCHEDULE
 
     7  Debt service payments ...................................... 190,000,000
     8  Related expenses ............................................. 7,000,000
     9                                                            --------------
    10  Total of schedule .......................................... 197,000,000
    11                                                            ==============
 
    12           DEBT SERVICE FUND--LOCAL GOVERNMENT ASSISTANCE TAX FUND
 
    13  The sum of $304,500,000, or so  much  thereof  as  may  be
    14    necessary,  is  hereby  appropriated  for payment of all
    15    obligations, including but not limited to  reserve  fund
    16    credit  facilities,  to  the local government assistance
    17    corporation pursuant to a  certificate  or  certificates
    18    filed  by the chairman of the corporation with the state
    19    comptroller and the governor, pursuant to subdivision  1
    20    of  section  3240  of  the  public  authorities  law, in
    21    accordance with the following schedule ................... 304,500,000
    22                                                            --------------
 
    23                                  SCHEDULE
 
    24  Debt service payments ...................................... 300,000,000
    25  Related expenses ............................................. 4,500,000
    26                                                            --------------
    27  Total of schedule .......................................... 304,500,000
    28                                                            ==============
 
    29              TRUST AND AGENCY FUND--SCHOOL CAPITAL FACILITIES
    30                           FINANCING RESERVE FUND
 
    31  The sum of $20,600,000, or  so  much  thereof  as  may  be
    32    necessary,  is  hereby  appropriated  for payment by the
    33    state comptroller to the  dormitory  authority  for  the
    34    purpose  of  meeting the terms of any contractual agree-
    35    ments between the dormitory authority and  participating
    36    special  act  school  districts listed in chapter 566 of
    37    the laws of 1967, as  amended,  state-supported  schools
    38    for  blind  and  deaf  students  and children with other
    39    handicapping conditions pursuant to article  85  of  the
    40    education   law,   and  private  not-for-profit  schools
    41    approved by the commissioner of  education  pursuant  to
    42    article  89 of the education law, in accordance with the
    43    following schedule ........................................ 20,600,000
    44                                                            --------------
 
    45                                  SCHEDULE
 
    46  Debt service payments ....................................... 20,000,000

        S. 2002--A                          8                         A. 3002--A
 
     1  Related expenses ............................................... 300,000
     2  Capital expenses ............................................... 300,000
     3                                                            --------------
     4  Total of schedule ........................................... 20,600,000
     5                                                            ==============
 
     6              DEDICATED HIGHWAY AND BRIDGE TRUST FUND--SPECIAL
     7                   OBLIGATION RESERVE AND PAYMENT ACCOUNT
 
     8  The  sum  of  $320,300,000  or  so  much thereof as may be
     9    necessary, is hereby appropriated to pay  for  bonds  or
    10    notes  as  required  under  dedicated highway and bridge
    11    trust fund cooperative agreements under section 10-e  of
    12    the highway law, in accordance with the following sched-
    13    ule ...................................................... 320,300,000
    14                                                            --------------
 
    15                                  SCHEDULE
 
    16  Debt service payments ...................................... 320,000,000
    17  Related expenses ............................................... 300,000
    18                                                            --------------
    19  Total of schedule .......................................... 320,300,000
    20                                                            ==============
 
    21                         DEBT REDUCTION RESERVE FUND
 
    22  The  sum  of  $500,000,000,  or  so much thereof as may be
    23    necessary,  is  hereby  appropriated   from   the   debt
    24    reduction  reserve  fund  for the purposes of principal,
    25    interest, and related expenses, for retiring or  defeas-
    26    ing  bonds  previously  issued,  including  any  accrued
    27    interest or other  expenses  related  thereto,  for  any
    28    state-related bonding program or programs and for trans-
    29    fer,  upon  request  of  the  director of the budget, to
    30    various capital projects  funds  as  designated  by  the
    31    director  of  the  budget  for  the  funding  of capital
    32    projects, equipment acquisitions,  or  similar  expenses
    33    which have been authorized by law to be financed through
    34    the issuance of bonds, notes, or other obligations ....... 500,000,000
    35                                                            ==============
 
    36                     CONTINGENT AND OTHER APPROPRIATIONS
 
    37    § 2. The several sums specified in this section, or so much thereof as
    38  may  be  sufficient to accomplish in full the purposes designated by the
    39  appropriations, are hereby appropriated to be paid  as  herein  provided
    40  for  the  funds  and  purposes  specified and are made available for the
    41  fiscal year beginning April 1, 2017.
 
    42                    GENERAL FUND--STATE PURPOSES ACCOUNT
 
    43  The sum of $20,000,000, or  so  much  thereof  as  may  be
    44    necessary,  is hereby appropriated from the general fund
    45    to the credit of the state purposes account  solely  for
    46    the purpose of making payments of rebates to the federal

        S. 2002--A                          9                         A. 3002--A
 
     1    government to maintain the exemption from federal income
     2    taxation  of  the  interest paid to the holders of state
     3    obligations issued pursuant to sections 55 and 57 of the
     4    state finance law ......................................... 20,000,000
     5                                                            ==============
 
     6  The  sum  of  $225,000,000,  or  so much thereof as may be
     7    necessary, is hereby appropriated from the general  fund
     8    to  the  credit of the state purposes account solely for
     9    the purpose of redeeming general obligation bonds issued
    10    by the state of New York, provided,  however,  that  the
    11    amount  to  be expended from this appropriation shall be
    12    limited to the amount, as determined by the comptroller,
    13    to be necessary to maintain the exemption  from  federal
    14    taxation  of  the  interest paid to the holders of state
    15    obligations issued pursuant to sections 55 and 57 of the
    16    state finance law ........................................ 225,000,000
    17                                                            ==============
 
    18                                  ALL FUNDS

    19  For payment of principal and interest, including  but  not
    20    limited  to  reserve  fund credit facilities on variable
    21    rate obligations and interest rate exchange and  similar
    22    agreements,  for state-supported debt or for transfer to
    23    any other appropriation, in accordance with the  follow-
    24    ing schedule ........................................... 1,400,000,000
    25                                                            --------------
 
    26                                  SCHEDULE
 
    27  Debt service payments ...................................... 900,000,000
    28  Related expenses ............................................ 50,000,000
    29  Interest rate exchange and similar agreements .............. 450,000,000
    30                                                            --------------
    31  Total of schedule ........................................ 1,400,000,000
    32                                                            ==============
 
    33                DEBT SERVICE FUND--GENERAL DEBT SERVICE FUND
 
    34  SPECIAL CONTRACTUAL OBLIGATION PAYMENTS
    35  For  payment  to  the dormitory authority, as successor to
    36    the medical care facilities finance agency  pursuant  to
    37    chapter 83 of the laws of 1995, for payment of principal
    38    interest,  and related expenses on bonds or notes issued
    39    pursuant to the provisions of section  7-a  of  the  New
    40    York  state  medical care facilities finance agency act,
    41    as amended, which  provide  that  the  service  contract
    42    payments  will be made to meet the debt service payments
    43    due if the funds and accounts established under the bond
    44    resolution, the secured hospital  debt  service  reserve
    45    fund,  and the secured hospital capital reserve fund are
    46    inadequate, in accordance with the following schedule ..... 46,000,000
    47                                                            --------------

        S. 2002--A                         10                         A. 3002--A
 
     1                                  SCHEDULE
 
     2  Debt service payments ....................................... 45,000,000
     3  Related expenses ............................................. 1,000,000
     4                                                            --------------
     5  Total of schedule ........................................... 46,000,000
     6                                                            ==============
 
     7  For  payment  to  the  tobacco settlement financing corpo-
     8    ration, for payment of bonds or notes issued pursuant to
     9    the provisions of part D3 of chapter 62 of the  laws  of
    10    2003  which  provides that contingency contract payments
    11    will be made to meet the debt service  payments  due  if
    12    the funds and accounts established under the bond inden-
    13    tures,  the  debt  service  accounts,  the  debt service
    14    reserve accounts and the supplemental accounts are inad-
    15    equate, in accordance with the following schedule ........ 226,000,000
    16                                                            --------------
 
    17                                  SCHEDULE
 
    18  Debt service payments ...................................... 225,000,000
    19  Related expenses ............................................. 1,000,000
    20                                                            --------------
    21  Total of schedule .......................................... 226,000,000
    22                                                            ==============
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