Senate Bill No. 507–Committee on Finance
CHAPTER..........
THE PEOPLE OF THE STATE OF NEVADA, REPRESENTED IN
SENATE AND ASSEMBLY, DO ENACT AS FOLLOWS:
Section 1. The State Board of Finance shall issue general
obligation bonds of the State of Nevada in the face amount of not
more than $150,090,519 for the capital improvements summarized
in this section. This amount is allocated to projects numbered and
described in the executive budget for the Fiscal Years 2003-2004
and 2004-2005 or otherwise described as follows:
Description Project No. Amount
1. Capital Improvements for the
Department of Corrections:
Renovate windows and showers at
NNCC................................... 03-M17.. $942,007
Exercise area security
improvements for HDSP..... 03-M18...... 31,185
Relocate water lines away from
transformer at SDCC........... 03-M19...... 71,735
Groundwater protection projects at
HCC & CCC........................ 03-M20. 1,107,981
Install heat exchanger on cooling
system at HDSP.................... 03-M35.... 280,376
Repair condensate return system at
SDCC03-M37................. 1,488,344
Upgrade pedestrian entrance area
at SDCC................................ 03-M38...... 61,662
Construct weather enclosure for
housing unit 10 gun post at NSP03M-48131,555
Replace existing cell doors in
housing units at NSP........... 03-M49.... 155,178
Repair and upgrade exercise areas
units 1-8 at ESP................... 03-M70.... 245,904
Culinary repairs at LCC03-M71 204,348
2. Capital Improvements for the
Office of the Military:
Readiness center for Nevada
National Guard at Henderson. 03-P5.. $440,129
3. Capital Improvements for the
University and Community College
System of Nevada:
TMCC Dandini Campus fire flow
pump station upgrade.............. 03-C2.. $540,692
Furnishings, equipment, and
buildout of TMCC hi-tech center at the
Redfield Campus..................... 03-C3. 1,646,116
Furnishings and equipment for the
CCSN Cheyenne Campus
telecommunications building. 03-C4. 4,000,000
Construction of health sciences
building on West Charleston Campus of
CCSN03-C21................ 19,705,335
UNLV science engineering and
technology complex construction03-C2335,326,401
Maxey Science Center, Building
Renovations and Addition, DRI03-C91L1,900,000
Campus-wide Fire and Life-Safety
Retrofits, UNR................... 03-C94L.... 750,000
Land Acquisition for Women’s
Athletics Program, UNR.... 03-C95L. 5,000,000
Renovation of Former Mesquite
High School for CSSN....... 03-C96L.. $750,000
Security System and Equipment
Upgrades at Various Campuses, CCSN03-C97L 500,000
Establishment of Oral Health
Clinic, GBC........................ 03-C98L.... 250,000
Study and Design of Heart
Transplant Facility and Construction of
Embalming Facility and Plasticization Lab,
UNR School of Medicine.. 03-C99L. 1,700,000
Design electrical and industrial
technology building at GBC03-P5.6.... 132,977
Math and Science Center
Programming, Schematic Design and
Preliminary Cost Estimate, UNR03-P10L500,000
Renovation of Getchell Library,
Programming...................... 03-P11L.... 400,000
Student Services Addition, UNLV,
Design through Construction Documents03-P12L $500,000
Campus Improvements-UCCSN
System................................... 03-U1L.... 100,000
Campus Improvements-UNLV03-U2L3,231,261
Campus Improvements-UNR03-U3L3,796,839
Campus Improvements-CCSN03-U4L976,542
Campus Improvements-DRI03-U5L301,755
Campus Improvements-GBC03-U6L251,953
Campus Improvements-TMCC03-U7L696,650
Campus Improvements-WNCC 03-U8L 645,000
4. Capital Improvements for the
Department of Conservation and Natural
Resources:
Rehabilitate western region
headquarters, Division of Forestry03-C16$604,709
Replace floor at Jean Conservation
Camp 03-M24....................... 16,694
Expand shop at Pioche
Conservation Camp............. 03-M52.... 149,282
5. Capital Improvements for the
Department of Human Resources:
150-bed psychiatric hospital at
SNAMHS................................. 03-C1$32,168,576
New metal building for
recreational use at Caliente Youth Center03-C17 464,065
Upgrade electric strike door-release
system in 10 buildings at Desert Regional
Center03-M8....................... 196,553
Install fire sprinklers in the multi-
purpose building at NYTC.. 03-M11...... 72,956
Renovate swimming pool at the
Caliente Youth Center......... 03-M26.... 303,389
Renovate heating systems in cottages
at Caliente Youth Center..... 03-M27.... 558,832
Replace hot water tanks in cottages
at Caliente Youth Center.. 03-M27A.... 306,399
Replace kitchenettes and
appliances at Caliente Youth Center03-M54220,384
Renovate central kitchen-
NNAMHS............................. 03-M63. 1,272,422
Remodel kitchen, replace
equipment, and upgrade floors at Lake’s
Crossing................................ 03-M64.. $671,203
Feasibility study for a 50-bed
forensic facility-SNAMHS...... 03-P4.... 143,547
6. Capital Improvements for the
Department of Administration:
Phase II of the remodel of building
#17 at the Stewart facility....... 03-C7.. $268,759
Lease-purchase state office
building for the Department of
Conservation and Natural Resources03-C503,100,000
Repair exterior tile at the Grant
Sawyer state office building.. 03-M1.... 251,162
Repair exterior sidewalks at Grant
Sawyer state office building.. 03-M2...... 45,904
Seismic strengthening of the
capitol annex........................... 03-M4.... 443,236
HVAC system upgrades for the
capitol building and the capitol building
annex 03-M21..................... 560,506
HVAC system upgrades at the
State Printing facility........... 03-M22.... 667,902
Repairs to stucco at Library and
Archives building................. 03-M23.... $47,444
Upgrade temperature control
system in buildings #6 and 107 at Stewart
facility................................... 03-M51.... 773,319
Structural evaluation of Kinkead
building, Carson City.............. 03-P1...... 65,323
Facility use study for Campos
building, Las Vegas................. 03-P2...... 35,000
Statewide Roofing Program03-S12,323,780
Statewide ADA Program03-S2.... 637,376
Statewide Fire Sprinkler Program 03-S3 2,347,192
Statewide Advance Planning
Program.................................... 03-S4.... 303,750
Statewide Paving Program03-S51,333,333
Statewide Asbestos, Lead, Mold,
IAQ Program............................ 03-S6.... 264,085
7. Capital Improvements for the
Department of Information Technology:
Addition to and renovation of state
computer facility................... 03-C10$5,167,283
Microwave renovations on
mountaintop communications facility 03-C11 $990,134
Extend state’s communications
backbone to the Stewart Complex03-C13505,324
Building security enhancements at
all DoIT facilities................. 03-M46...... 70,575
8. Capital Improvements for the
Department of Cultural Affairs:
Design for improved ADA access
at Nevada State Museum in Carson City03-C19 $28,657
New office for Comstock Historic
District Commission in Virginia City 03-C52 701,273
Deferred maintenance projects at
Nevada State Museum in Las Vegas03-M12156,480
Upgrade temperature controls,
valves and ventilation boxes at the Nevada
State Museum and Historical Society
building in Las Vegas.......... 03-M47.... 275,170
Exterior repairs, flooring
replacements and HVAC Upgrades at
Nevada State Museum in Carson City 03-M67 1,474,560
9. Capital Improvements for the
Department of Public Safety:
New state emergency operations
center-Carson City.................. 03-C6.. $571,175
10. Capital Improvements for the
Department of Agriculture:
Design new office building03-P3$270,881
11. Capital Improvements for the
Commission on Economic Development:
Purchase and renovation of 120
miles of Nevada Northern Railroad Track03-C92L $500,000
Sec. 2. Any remaining balance of the allocated amounts
authorized in section 1 of this act must not be committed for
expenditure after June 30, 2007, and reverts to the Bond Interest and
Redemption Account in the Consolidated Bond Interest and
Redemption Fund as soon as all payments of money committed
have been made.
Sec. 3. 1. The State Board of Finance may issue the bonds
authorized pursuant to section 1 of this act at the time deemed
appropriate by the Board based on the schedule established for the
completion of the projects described in that section.
2. The State Controller may advance temporarily from the
State General Fund, upon the approval of the Chief of the Budget
Division of the Department of Administration, to the State Public
Works Board, until the date on which bonds authorized by section 1
of this act are sold, amounts necessary to facilitate the start of the
projects enumerated in section 1 of this act. The State Controller
shall not advance more than the face amount of the bonds authorized
to be issued. The advanced amounts must be repaid immediately to
the State General Fund upon the sale of the bonds.
3. The Chief of the Budget Division of the Department of
Administration shall notify the State Controller and the Fiscal
Analysis Division of the Legislative Counsel Bureau of the approval
of an advance from the State General Fund to the State Public
Works Board pursuant to subsection 2.
Sec. 4. Commencing on July 1, 2005, the Department of
Information Technology shall repay in annual installments to the
State Treasurer for deposit to the Bond Interest and Redemption
Account in the Consolidated Bond Interest and Redemption Fund
the cost of the following projects authorized pursuant to section 1 of
this act:
1. Project 03-C10, addition to and renovation of state computer
facility in Carson City;
2. Project 03-C11, microwave renovations on mountaintop
communications facilities;
3. Project 03-C13, extend state’s communications backbone to
the Stewart Complex; and
4. Project 03-M46, building security enhancements at all DoIT
facilities.
Each installment must be equal to 5 percent of the total cost of the
completed project, including the costs of debt service that are
incurred.
Sec. 5. Commencing on July 1, 2005, the State Purchasing
Division of the Department of Administration shall repay in annual
installments to the State Treasurer for deposit to the Bond Interest
and Redemption Account in the Consolidated Bond Interest and
Redemption Fund its portion of the cost of the project numbered
and described in the executive budget for Fiscal Years 2003-2004
and 2004-2005 or otherwise described as project 03-S1, statewide
roofing program. Each installment must be equal to 5 percent of the
total cost of the completed project, including the costs of debt
service that are incurred.
Sec. 6. There is hereby appropriated from the State Highway
Fund to the State Public Works Board the sum of $16,685,635 to
support the Board in carrying out the program of capital
improvements summarized in this section. This amount is allocated
to projects numbered and described in the executive budget for the
Fiscal Years 2003-2004 and 2004-2005 or otherwise described as
follows:
Description Project No. Amount
1. Expand shop and
communications facilities at new NHP
headquarters building in Las Vegas03-C8$563,305
2. New DMV field services office in
North Las Vegas...................... 03-C9$9,626,364
3. Land acquisition for new DMV
office in south Reno............. 03-C15$4,369,285
4. West Flamingo DMV intersection
payment 03-C22.................. $33,996
5. Install new counters at East
Sahara DMV office.............. 03-M32$1,125,451
6. Carson City DMV HVAC03-M91$947,234
7. Statewide Roofing Program03-S1$20,000
Sec. 7. Any remaining balance of the appropriations made by
section 6 of this act must not be committed for expenditure after
June 30, 2007, and reverts to the State Highway Fund as soon as all
payments of money committed have been made.
Sec. 8. The amounts appropriated pursuant to section 6 of this
act from the State Highway Fund must be allocated by the State
Controller as the money is required for the projects and must not be
transferred to the projects from the State Highway Fund until
required to make contract payments.
Sec. 9. The State Public Works Board shall transfer the sum of
$314,468 from the amounts allocated or appropriated pursuant to
section 1 of chapter 542, Statutes of Nevada 1999, at pages 2822
to 2836, inclusive, from the projects identified in this section to
projects as authorized in section 11 of this act.
Description Project No. Amount
1. Remodel Carson City Courthouse
for the Office of the Attorney General 99-C4 $24,000
2. Repair 21 housing unit wing
gates, Southern Desert Correctional
Center99-M29.................. $123,000
3. Improve shower stalls in housing
units, Nevada State Prison... 99-M30.... $80,000
4. Sewer line upgrades, Phase II at
Stewart Complex, Carson City99-M5 $17,411
5. Replace fencing and gates,
SNAMHS, Las Vegas........... 99-M10.... $33,467
6. Exterior safety lighting and pool
cover, SNCAS, Las Vegas... 99-M18.... $22,207
7. Advance planning through
construction documents for addition and
remodel of Special Children’s Clinic,
Reno99-S4B....................... $14,383
Sec. 10. The State Public Works Board shall transfer the sum
of $2,501,619 from the amounts allocated pursuant to sections 1 and
4 of chapter 585, Statutes of Nevada 2001, at pages 2991 to 2996,
inclusive, from the projects identified in this section to projects as
authorized in section 11 of this act:
Description Project No. Amount
1. New State Motor Pool building 01-C4 $2,436,435
2. Upgrade exercise areas of units 1-
8 at ESP01-M30................. $13,412
3. Replace windows in housing units
1-4 at NNCC........................ 01-M33.... $47,825
4. Upgrade pedestrian entrance area
at SDCC01-M38................... $3,947
Sec. 11. The State Public Works Board shall use the
$2,816,087 transferred from the projects identified in sections 9 and
10 of this act to support the Board in carrying out the program of
capital improvements summarized in this section. This amount is
allocated to projects numbered and described in the executive
budget for the Fiscal Years 2003-2004 and 2004-2005 or otherwise
described as follows:
Description Project No. Amount
1. 150-bed psychiatric hospital at
SNAMHS................................. 03-C1.... $70,057
2. Phase II of the remodel of
building #17 at the Stewart facility 03-C7$2,477,846
3. Repair exterior tile at the Grant
Sawyer state office building.. 03-M1.... $65,184
4. Renovate windows and showers
at NNCC .............................. 03-M17.. $203,000
Sec. 12. Any remaining balance of the allocated amounts in
section 11 of this act must not be committed for expenditure after
June 30, 2007, and reverts to the fund of origin as soon as all
payments of money committed have been made.
Sec. 13. The State Public Works Board shall transfer the sum
of $1,177,283 from the amounts appropriated pursuant to section 12
of chapter 585, Statutes of Nevada 2001, at page 2998, for project
01-M1, Renovate HVAC system in east wing of DMV & PS
building, Carson City, to the project numbered and described in the
executive budget for the Fiscal Years 2003-2004 and 2004-2005 or
otherwise described as project 03-M91, Carson City DMV HVAC.
Sec. 14. Any remaining balance of the allocated amounts in
section 13 of this act must not be committed for expenditure after
June 30, 2007, and reverts to the fund of origin as soon as all
payments of money committed have been made.
Sec. 15. Expenditure of the following sums not appropriated
from the State General Fund or the State Highway Fund is hereby
authorized for the following projects numbered and described in the
executive budget for the Fiscal Years 2003-2004 and 2004-2005 or
otherwise described as follows:
Description Project No. Amount
1. Rehabilitate state fish hatcheries,
phase II 03-C12.......... $14,500,000
2. Petroleum laboratory addition-
Department of Agriculture... 03-C18$1,216,582
3. Construction of health sciences
building on West Charleston Campus of
CCSN03-C21................... $500,000
4. Science engineering and
technology complex construction, UNLV03-C23 $25,000,000
5. Maxey Science Center, Building
Renovations and Addition, DRI03-C91L$200,000
6. Readiness center for Nevada
National Guard in Henderson. 03-P5.. $813,000
7. Statewide Asbestos, Lead, Mold,
IAQ Program............................ 03-S6.. $500,000
Sec. 16. The State Public Works Board shall not execute a
contract for the construction of the following projects until the
Board has determined that the money authorized for those projects
pursuant to section 15 of this act is available for expenditure for
those projects and cannot be expended for other purposes:
Description Project No.
1. Science engineering and
technology complex construction, UNLV03-C23
2. Maxey Science Center, Building
Renovations and Addition, DRI............ 03-C91L
Sec. 17. 1. The State Controller may advance temporarily
from the State General Fund, upon the approval of the Chief of the
Budget Division of the Department of Administration, to the State
Public Works Board, until the date on which the sums not
appropriated from the State General Fund or the State Highway
Fund for project 03-P5, readiness center for Nevada National Guard
in Henderson, are received, amounts necessary to facilitate the start
of the project. The advanced amounts must be repaid immediately to
the State General Fund upon the receipt of the sums not
appropriated from the State General Fund or the State Highway
Fund.
2. The Chief of the Budget Division of the Department of
Administration shall notify the State Controller and the Fiscal
Analysis Division of the Legislative Counsel Bureau of the approval
of an advance from the State General Fund to the State Public
Works Board pursuant to subsection 1.
Sec. 18. The State Public Works Board shall carry out the
provisions of this act as provided in chapter 341 of NRS. The Board
shall ensure that qualified persons are employed to accomplish the
authorized work. Every contract pertaining to the work must be
approved by the Attorney General.
Sec. 19. All state and local governmental agencies involved in
the design and construction of the projects enumerated in this act
shall cooperate with the State Public Works Board to expedite the
completion of the project.
Sec. 20. 1. An ad valorem tax of 16 cents on each $100 of
assessed valuation of taxable property is hereby levied for the fiscal
year commencing July 1, 2003, and ending June 30, 2004, and an ad
valorem tax of 16 cents on each $100 of assessed valuation of
taxable property is hereby levied for the fiscal year commencing
July 1, 2004, and ending June 30, 2005. The taxes levied must be
collected in the manner provided in chapter 361 of NRS on all
taxable property in this state including the net proceeds of minerals
and excluding such property as is by law exempt from taxation.
Notwithstanding the provisions of NRS 361.453 to the contrary, 1
cent of the levies imposed pursuant to this subsection must not be
included in calculating the limitation set forth in subsection 1 of
NRS 361.453 on the total ad valorem tax levied for all public
purposes.
2. An ad valorem tax of 1 cent on each $100 of assessed
valuation of taxable property is hereby levied for the fiscal year
commencing July 1, 2003, and ending June 30, 2004, and an ad
valorem tax of 1 cent on each $100 of assessed valuation of taxable
property is hereby levied for the fiscal year commencing July 1,
2004, and ending June 30, 2005. The taxes levied must be collected
in the manner provided in chapter 361 of NRS on all taxable
property in this state including the net proceeds of minerals and
excluding such property as is by law exempt from taxation. The
proceeds of the taxes levied pursuant to this subsection must be used
exclusively for the repayment of bonded indebtedness issued
pursuant to the provisions of chapter 6, Statutes of Nevada 2001,
Special Session. Notwithstanding the provisions of NRS 361.453 to
the contrary, the levies imposed pursuant to this subsection must not
be included in calculating the limitation set forth in subsection 1 of
NRS 361.453 on the total ad valorem tax levied for all public
purposes.
3. The proceeds of the taxes levied by this section are hereby
appropriated for each fiscal year to the Consolidated Bond Interest
and Redemption Fund to discharge the obligations of the State of
Nevada as they are respectively due in that fiscal year. Any balance
of the money appropriated by this section remaining at the end of
the respective fiscal years does not revert to the State General Fund.
Sec. 21. 1. On or before July 1, 2003, and July 1, 2004, the
State Controller shall estimate the amount of proceeds of the taxes
levied by section 20 of this act. If the amount is less than the total
obligation of the State of Nevada for payment of the interest on and
principal of bonds which will become due in the fiscal year, he shall
reserve in the State General Fund an amount which is sufficient to
pay the remainder of the total obligation. The State Controller may
revise the estimate and amount reserved.
2. If the money in the Consolidated Bond Interest and
Redemption Fund is insufficient to pay those obligations as they
become due, the State Controller shall cause the money in reserve to
be transferred from the State General Fund to the Consolidated
Bond Interest and Redemption Fund. The amount reserved is hereby
contingently appropriated for that purpose. Any balance of the sums
appropriated by this subsection remaining at the end of the
respective fiscal years must not be committed for expenditure after
June 30 of the respective fiscal years and reverts to the State
General Fund as soon as all payments of money committed have
been made.
3. The State Controller shall report to the Legislature or, if the
Legislature is not in session, to the Interim Finance Committee:
(a) The amount of any estimate made pursuant to subsection 1
and the amount of money reserved in the State General Fund based
upon the estimate;
(b) The amount of money transferred from the State General
Fund pursuant to subsection 2; and
(c) The amount of money which reverts to the State General
Fund pursuant to subsection 2.
Sec. 22. The State Board of Finance, in its capacity as the
State General Obligation Bond Commission and to the extent that
money is available, shall pay the expenses related to the issuance of
general obligation bonds approved by the 72nd Session of the
Nevada Legislature from the proceeds of those bonds.
Sec. 23. Expenditure of the following sums not appropriated
from the State General Fund or the State Highway Fund is hereby
authorized from the Consolidated Bond Interest and Redemption
Fund in the amount of $95,917,942 for the fiscal year beginning
July 1, 2003, and ending June 30, 2004, and in the amount of
$98,844,192 for the fiscal year beginning July 1, 2004, and ending
June 30, 2005.
Sec. 24. With the approval of the Interim Finance Committee,
the State Public Works Board and the University and Community
College System of Nevada may transfer appropriated and authorized
money from one project to another within the same agency or within
the University and Community College System of Nevada for those
projects listed in sections 1, 6, 11, 15 and 25 of this act.
Sec. 25. The money collected pursuant to the annual tax on
slot machines imposed pursuant to NRS 463.385 that is distributed
to the Special Capital Construction Fund for Higher Education,
except any amount of that money which is needed to pay the
principal and interest on bonds, is appropriated to the State Public
Works Board for the following capital improvement projects for the
University and Community College System of Nevada:
Description Project No. Amount
Campus Improvements-UNLV03-U2L$1,821,147
Campus Improvements-UNR03-U3L$2,438,630
Campus Improvements-CCSN03-U4L$282,107
Campus Improvements-DRI03-U5L$109,972
Campus Improvements-GBC03-U6L$45,187
Campus Improvements-TMCC03-U7L$302,957
Sec. 26. Any remaining balance of the appropriation made by
section 25 of this act must not be committed for expenditure after
June 30, 2007, and reverts to the fund of origin as soon as all
payments of money committed have been made.
Sec. 27. Section 3 of chapter 478, Statutes of Nevada 1997, as
last amended by section 38 of chapter 585, Statutes of Nevada 2001,
at pages 3007 and 3008, is hereby amended to read as follows:
Sec. 3. 1. Except as otherwise provided in this section,
any remaining balance of the appropriations made by section
1 of chapter 478, Statutes of Nevada 1997, at page 1827, must
not be committed for expenditure after June 30, 2001, and
reverts to the State General Fund as soon as all payments of
money committed have been made.
2. Except as otherwise provided in subsection 3, any
remaining balance of the appropriations made by section 1 of
chapter 478, Statutes of Nevada 1997, at page 1827, for
projects enumerated in section 17 of chapter 542, Statutes of
Nevada 1999, at page 2830, must not be committed for
expenditure after June 30, 2003, and reverts to the State
General Fund as soon as all payments of money committed
have been made.
3. Any remaining balance of the appropriations made by
section 1 of chapter 478, Statutes of Nevada 1997, at page
1827, for projects enumerated in section 19 of [this act,]
chapter 585, Statutes of Nevada 2001, at page 3000, must
not be committed for expenditure after June 30, 2005, and
reverts to the State General Fund as soon as all payments of
money committed have been made.
4. Any remaining balance of the appropriations made by
section 1 of chapter 478, Statutes of Nevada 1997, at page
1827, for the following projects, must not be committed for
expenditure after June 30, 2002, and reverts to the State
General Fund as soon as all payments of money committed
have been made:
Description Project No.
(a) Chapel, southern Nevada
veterans’ cemetery.................................... 97-C20
(b) Phase III expansion, southern
Nevada veterans’ cemetery.................... 97-C20L
(c) Replace domestic water
supply line, SNMRS................................ 97-M10
(d) Replace doors and locks,
housing units 1-3, NNCC....................... 97-M27
(e) Statewide fire sprinkler
program....................................................... 97-S3
(f) Statewide paving.......................... 97-S5
(g) Campus improvements,
TMCC......................................................... 97-U7
5. Any remaining balance of the appropriations made by
section 1 of chapter 478, Statutes of Nevada 1997, at page
1827, for project 97-C16, southern Nevada veterans’ home,
must not be committed for expenditure after June 30, [2001,]
2004, and reverts to the State General Fund as soon as all
payments of money committed have been made.
Sec. 28. Section 11 of chapter 478, Statutes of Nevada 1997,
as last amended by section 40 of chapter 585, Statutes of Nevada
2001, at page 3008, is hereby amended to read as follows:
Sec. 11. 1. Except as otherwise provided in this
section, any remaining balance of the allocated amounts
authorized in section 10 of chapter 478, Statutes of Nevada
1997, at page 1832, must not be committed for expenditure
after June 30, 2001, and reverts to the bond interest and
redemption account in the Consolidated Bond Interest and
Redemption Fund as soon as all payments of money
committed have been made.
2. [Any] Except as otherwise provided in subsection 4,
any remaining balance of the allocated amounts authorized in
section 10 of chapter 478, Statutes of Nevada 1997, at page
1832, for projects enumerated in section 17 of chapter 542,
Statutes of Nevada 1999, at page 2830, must not be
committed for expenditure after June 30, 2003, and reverts to
the Bond Interest and Redemption Account in the
Consolidated Bond Interest and Redemption Fund as soon as
all payments of money committed have been made.
3. Any remaining balance of the allocated amounts
authorized in section 10 of chapter 478, Statutes of Nevada
1997, at page 1832, for projects enumerated in section 19 of
[this act,] chapter 585, Statutes of Nevada 2001, at page
3000, must not be committed for expenditure after June 30,
2005, and reverts to the Bond Interest and Redemption
Account in the Consolidated Bond Interest and Redemption
Fund as soon as all payments of money committed have been
made.
4. Any remaining balance of the allocated amounts
authorized in section 10 of chapter 478, Statutes of Nevada
1997, at page 1832, for project 97-C15, Lied Library,
UNLV, must not be committed for expenditure after
June 30, 2005, and reverts to the Bond Interest and
Redemption Account in the Consolidated Bond Interest and
Redemption Fund as soon as all payments of money
committed have been made.
Sec. 29. Section 3 of chapter 542, Statutes of Nevada 1999, as
amended by section 43 of chapter 585, Statutes of Nevada 2001, at
page 3010, is hereby amended as follows:
Sec. 3. 1. Except as otherwise provided in [subsection
2.] this section, any remaining balance of the allocated
amounts authorized in sections 1 and 2 of chapter 542,
Statutes of Nevada 1999, at pages 2822 to 2826, inclusive,
must not be committed for expenditure after June 30, 2003,
and reverts to the Bond Interest and Redemption Account in
the Consolidated Bond Interest and Redemption Fund as soon
as all payments of money committed have been made.
2. Any remaining balance of the allocated amounts
authorized in section 1 of chapter 542, Statutes of Nevada
1999, at page 2822, for projects enumerated in section 20 of
[this act,] chapter 585, Statutes of Nevada 2001, at page
3002, must not be committed for expenditure after June 30,
2005, and reverts to the Bond Interest and Redemption
Account in the Consolidated Bond Interest and Redemption
Fund as soon as all payments of money committed have been
made.
3. Any remaining balance of the allocated amounts
authorized in section 1 of chapter 542, Statutes of Nevada
1999, at page 2822, for the following projects, must not be
committed for expenditure after June 30, 2004, and reverts
to the Bond Interest and Redemption Account in the
Consolidated Bond Interest and Redemption Fund as soon
as all payments of money committed have been made:
Description Project No.
(a) New supply administration
facility, Carson City.................................. 99-C3
(b) SNAMHS, advance
planning for psychiatric emergency
crisis center................................................ 99-C7
(c) Capitol complex conduit
system, phase II, Carson City.................. 99-C8
(d) Enclose pavilion at
Veteran’s Cemetery, Fernley.................... 99-C9
(e) Law School Renovation,
UNLV....................................................... 99-C12
(f) Science building on West
Charleston campus, CCSN.................... 99-C14
(g) Library and student center,
WNCC...................................................... 99-C17
(h) High-Tech learning center,
Green Valley, CCSN............................ 99-C28L
(i) Statewide ADA program............ 99-S2
4. Any remaining balance of the allocated amounts
authorized in section 1 of chapter 542, Statutes of Nevada
1999, at page 2822, for the following projects, must not be
committed for expenditure after June 30, 2005, and reverts
to the Bond Interest and Redemption Account in the
Consolidated Bond Interest and Redemption Fund as soon
as all payments of money committed have been made:
Description Project No.
(a) Lied Library Furnishings,
UNLV....................................................... 99-C11
(b) Redfield campus, phase I,
UNR99-C13
(c) Student development center,
TMCC...................................................... 99-C16
(d) High-Tech learning center,
TMCC.................................................... 99-C37L
(e) Provide second exit from
dormitories and install fire sprinklers at
Caliente Youth Center............................. 99-M1
(f) Repair/remodel
multipurpose building and replace
ceiling and wall covers in the
gymnasium, NYTC, Elko...................... 99-M22
(g) Library Upgrade building
data systems/wiring for Capitol Complex
and Sawyer Building, Carson City and
Las Vegas............................................... 99-M26
(h) Statewide asbestos, lead and
indoor air quality program...................... 99-S6
5. Any remaining balance of the allocated amounts
authorized in section 1 of chapter 542, Statutes of Nevada
1999, at page 2822, for projects enumerated in section 9 of
this act, must not be committed for expenditure after
June 30, 2007, and reverts to the Bond Interest and
Redemption Account in the Consolidated Bond Interest and
Redemption Fund as soon as all payments of money
committed have been made.
Sec. 30. Section 9 of chapter 542, Statutes of Nevada 1999, as
amended by section 45 of chapter 585, Statutes of Nevada 2001, at
page 3010, is hereby amended to read as follows:
Sec. 9. [Any]
1. Except as otherwise provided in subsection 2, any
remaining balance of the appropriations made by section 7 of
chapter 542, Statutes of Nevada 1999, at page 2828, must not
be committed for expenditure after June 30, 2003, and reverts
to the State Highway Fund as soon as all payments of money
committed have been made.
2. Any remaining balance of the appropriations made
by section 7 of chapter 542, Statutes of Nevada 1999, at
page 2828, for projects 99-H1, new highway patrol building,
Las Vegas, and 99-H2, covered parking at highway patrol
facility, Las Vegas, must not be committed for expenditure
after June 30, 2005, and reverts to the fund of origin as
soon as all payments of money committed have been made.
Sec. 31. Section 19 of chapter 542, Statutes of Nevada 1999,
as amended by section 46 of chapter 585, Statutes of Nevada 2001,
at pages 3010 and 3011, is hereby amended to read as follows:
Sec. 19. 1. Except as otherwise provided in
[subsection 2,] this section, any remaining balance of the
allocated amounts in section 18 of chapter 542, Statutes of
Nevada 1999, at page 2830, must not be committed for
expenditure after June 30, 2003, and reverts to the fund of
origin as soon as all payments of money committed have been
made.
2. Any remaining balance of the allocated amounts
authorized in section 18 of chapter 542, Statutes of Nevada
1999, at page 2830, for projects enumerated in section 20 of
[this act,] chapter 585, Statutes of Nevada 2001, at page
3002, must not be committed for expenditure after June 30,
2005, and reverts to the fund of origin as soon as all payments
of money committed have been made.
3. Any remaining balance of the allocated amounts
authorized in section 18 of chapter 542, Statutes of Nevada
1999, at page 2830, for the following projects must not be
committed for expenditure after June 30, 2004, and reverts
to the fund of origin as soon as all payments of money
committed have been made:
Description Project No.
(a) New supply administration
facility, Office of the Military, Carson
City.. 99-C3
(b) Library and student services
building, WNCC..................................... 99-C17
(c) Statewide ADA Program........... 99-S2
4. Any remaining balance of the allocated amounts
authorized in section 18 of chapter 542, Statutes of Nevada
1999, at page 2830, for the following projects must not be
committed for expenditure after June 30, 2005, and reverts
to the fund of origin as soon as all payments of money
committed have been made:
Description Project No.
(a) Lied Library Furnishings,
UNLV....................................................... 99-C11
(b) Omega fire sprinkler
program................................................... 99-S3L
Sec. 32. Section 3 of chapter 585, Statutes of Nevada 2001, at
page 2995, is hereby amended to read as follows:
Sec. 3. [Any]
1. Except as otherwise provided in subsection 2, any
remaining balance of the appropriations made by section 2 of
[this act] chapter 585, Statutes of Nevada 2001, at page
2993, must not be committed for expenditure after June 30,
2005, and reverts to the State General Fund as soon as all
payments of money committed have been made.
2. Any remaining balance of the appropriations made
by section 2 of chapter 585, Statutes of Nevada 2001, at
page 2993, for the following projects, must not be committed
for expenditure after June 30, 2007, and reverts to the State
General Fund as soon as all payments of money committed
have been made:
Description Project No.
(a) Upgrade exercise areas of
units 1-8 at ESP..................................... 01-M30
(b) Replace windows in housing
units 1-4 at NNCC................................. 01-M33
(c) Upgrade pedestrian
entrance area at SDCC......................... 01-M38
Sec. 33. Section 5 of chapter 585, Statutes of Nevada 2001, at
page 2997, is hereby amended to read as follows:
Sec. 5. [Any]
1. Except as otherwise provided in subsection 2, any
remaining balance of the allocated amounts authorized in
section 4 of [this act] chapter 585, Statutes of Nevada 2001,
at page 2995, must not be committed for expenditure after
June 30, 2005, and reverts to the Bond Interest and
Redemption Account in the Consolidated Bond Interest and
Redemption Fund as soon as all payments of money
committed have been made.
2. Any remaining balance of the allocated amounts
authorized in section 4 of chapter 585, Statutes of Nevada
2001, at page 2995, for project 01-C4, New State Motor Pool
building, must not be committed for expenditure after
June 30, 2007, and reverts to the Bond Interest and
Redemption Account in the Consolidated Bond Interest and
Redemption Fund as soon as all payments of money
committed have been made.
Sec. 34. Section 13 of chapter 585, Statutes of Nevada 2001,
at page 2998, is hereby amended to read as follows:
Sec. 13. [Any]
1. Except as otherwise provided in subsection 2, any
remaining balance of the appropriations made by section 12
of [this act] chapter 585, statutes of Nevada 2001, at page
2998, must not be committed for expenditure after June 30,
2005, and reverts to the State Highway Fund as soon as all
payments of money committed have been made.
2. Any remaining balance of the appropriations made
by section 12 of chapter 585, Statutes of Nevada 2001, at
page 2998, for project 01-M1, Renovate HVAC system in
east wing of DMV & PS building, Carson City, must not be
committed for expenditure after June 30, 2007, and reverts
to the State Highway Fund as soon as all payments of
money committed have been made.
Sec. 35. Section 15 of chapter 585, Statutes of Nevada 2001,
at page 2998, is hereby amended to read as follows:
Sec. 15. 1. Except as otherwise provided in subsection
2, the [following expenditures are] expenditure of
$15,000,000 from money credited to the account of the State
of Nevada in the Unemployment Trust Fund pursuant to 42
U.S.C. § 1103 is hereby authorized to support the State Public
Works Board in carrying out the program of capital
improvements summarized in this section for the project
numbered and described in the executive budget for the Fiscal
Years 2001-2002 and 2002-2003 or otherwise described as
project 01-E1, new office building for Employment Security
Division . [:
(a) From the Employment Security Fund created pursuant
to NRS 612.615, $1,000,000; and
(b) From money credited to the account of the State of
Nevada in the Unemployment Trust Fund pursuant to 42
U.S.C. § 1103, $3,000,000.]
2. The amount which may be expended during a fiscal
year pursuant to [paragraph (b) of] subsection 1 must not
exceed the amount by which the aggregate of the amounts
credited to the account of this state pursuant to 42 U.S.C. §
1103 during that fiscal year and the 24 preceding fiscal years
exceeds the aggregate of the amounts expended pursuant to
NRS 612.617 and charged against the amounts credited to the
account of this state during any of those 25 fiscal years. If the
provisions of this subsection limit the amount of funding
authorized pursuant to [paragraph (b) of] subsection 1, the
Interim Finance Committee may authorize [additional]
funding from the Employment Security Fund to fund the
project. The expenditures authorized pursuant to this section
must not exceed [$4,000,000] $15,000,000 from all sources
unless an increased amount is approved by the Legislature or,
if the Legislature is not in session, by the Interim Finance
Committee.
3. [Any remaining balance of the allocated amount in
paragraph (a) of subsection 1 must not be committed for
expenditure after June 30, 2005, and reverts to the
Employment Security Fund as soon as all payments of money
committed have been made.
4.] Any remaining balance of the allocated amount in
[paragraph (b) of] subsection 1 must not be committed for
expenditure after June 30, [2003,] 2007, and reverts to the
fund of origin as soon as all payments of money committed
have been made.
Sec. 36. Section 24 of chapter 585, Statutes of Nevada 2001,
at page 3003, is hereby amended to read as follows:
Sec. 24. The State Public Works Board shall not
execute a contract for the construction of the following
projects until the Board receives the money authorized for
those projects pursuant to section 23 of [this act:] chapter
585, Statutes of Nevada 2001, at page 3003:
Description Project No.
1. Furnishings and build-out,
Redfield campus, phase I, UNR.............. 01-C16
2. New campus library, UNR........ 01-C24
3. Academic and student
services building, NSC............................ 01-C25
[4. Telecommunications
building on Cheyenne campus, CCSN01-C29L]
Sec. 37. Section 16 of chapter 585, Statutes of Nevada 2001,
at page 2999, is hereby repealed.
Sec. 38. The inclusion of project 03-C50 in section 1 of this
act constitutes the legislative approval of the project required
pursuant to NRS 353.550.
Sec. 39. This act becomes effective upon passage and
approval.
20~~~~~03