Senate Bill No. 507–Committee on Finance

 

June 2, 2003

____________

 

Referred to Committee on Finance

 

SUMMARY—Authorizes and provides funding for certain projects of capital improvement. (BDR S‑1377)

 

FISCAL NOTE:  Effect on Local Government: No.

                           Effect on the State: Contains Appropriation included in Executive Budget.

 

~

 

EXPLANATION – Matter in bolded italics is new; matter between brackets [omitted material] is material to be omitted.

Green numbers along left margin indicate location on the printed bill (e.g., 5-15 indicates page 5, line 15).

 

AN ACT relating to projects of capital improvement; requiring the repayment for certain projects by certain state agencies; authorizing certain expenditures by the State Public Works Board; levying a property tax to support the consolidated bond interest and redemption fund; making appropriations; and providing other matters properly relating thereto.

 

THE PEOPLE OF THE STATE OF NEVADA, REPRESENTED IN

SENATE AND ASSEMBLY, DO ENACT AS FOLLOWS:

 

1-1  Section 1. The State Board of Finance shall issue general

1-2  obligation bonds of the State of Nevada in the face amount of not

1-3  more than $150,090,519 for the capital improvements summarized

1-4  in this section. This amount is allocated to projects numbered and

1-5  described in the executive budget for the Fiscal Years 2003-2004

1-6  and 2004-2005 or otherwise described as follows:

 

1-7  Description                  Project No.    Amount

 

1-8  1.  Capital Improvements for the

1-9  Department of Corrections:

1-10        Renovate windows and showers at

1-11  NNCC............................... 03-M17.. $942,007


2-1         Exercise area security

2-2  improvements for HDSP.. 03-M18.... $31,185

2-3         Relocate water lines away from

2-4  transformer at SDCC........ 03-M19...... 71,735

2-5         Groundwater protection projects at

2-6  HCC & CCC..................... 03-M20. 1,107,981

2-7         Install heat exchanger on cooling

2-8  system at HDSP................. 03-M35.... 280,376

2-9         Repair condensate return system at

2-10  SDCC................................ 03-M37. 1,488,344

2-11        Upgrade pedestrian entrance area

2-12  at SDCC............................ 03-M38...... 61,662

2-13        Construct weather enclosure for

2-14  housing unit 10 gun post at NSP03M-48131,555

2-15        Replace existing cell doors in

2-16  housing units at NSP........ 03-M49.... 155,178

2-17        Repair and upgrade exercise areas

2-18  units 1-8 at ESP............... 03-M70.... 245,904

2-19        Culinary repairs at LCC03-M71   204,348

2-20      2.  Capital Improvements for the

2-21  Office of the Military:

2-22        Readiness center for Nevada

2-23  National Guard at Henderson03-P5$440,129

2-24      3.  Capital Improvements for the

2-25  University and Community College System

2-26  of Nevada:

2-27        TMCC Dandini Campus fire flow

2-28  pump station upgrade.......... 03-C2.. $540,692

2-29        Furnishings, equipment, and

2-30  buildout of TMCC hi-tech center at the

2-31  Redfield Campus................. 03-C3. 1,646,116

2-32        Furnishings and equipment for the

2-33  CCSN Cheyenne Campus

2-34  telecommunications building03-C44,000,000

2-35        Construction of health sciences

2-36  building on West Charleston Campus of

2-37  CCSN................................. 03-C2119,705,335

2-38        UNLV science engineering and

2-39  technology complex construction03-C2335,326,401

2-40        Maxey Science Center, Building

2-41  Renovations and Addition, DRI03-C91L1,900,000

2-42        Campus-wide Fire and Life-Safety

2-43  Retrofits, UNR............... 03-C94L.... 750,000

2-44        Land Acquisition for Women’s

2-45  Athletics Program, UNR03-C95L. 5,000,000


3-1         Renovation of Former Mesquite

3-2  High School for CSSN.... 03-C96L.. $750,000

3-3         Security System and Equipment

3-4  Upgrades at Various Campuses, CCSN03-C97L500,000

3-5         Establishment of Oral Health

3-6  Clinic, GBC..................... 03-C98L.... 250,000

3-7         Study and Design of Heart

3-8  Transplant Facility and Construction of

3-9  Embalming Facility and Plasticization Lab,

3-10  UNR School of Medicine03-C99L1,700,000

3-11        Design electrical and industrial

3-12  technology building at GBC03-P5.6  132,977

3-13        Math and Science Center

3-14  Programming, Schematic Design and

3-15  Preliminary Cost Estimate, UNR03-P10L500,000

3-16        Renovation of Getchell Library,

3-17  Programming................... 03-P11L.... 400,000

3-18        Student Services Addition, UNLV,

3-19  Design through Construction Documents03-P12L    500,000

3-20        Campus Improvements-UCCSN

3-21  System............................... 03-U1L.... 100,000

3-22        Campus Improvements-UNLV03-U2L3,231,261

3-23        Campus Improvements-UNR03-U3L3,796,839

3-24        Campus Improvements-CCSN03-U4L976,542

3-25        Campus Improvements-DRI03-U5L301,755

3-26        Campus Improvements-GBC03-U6L251,953

3-27        Campus Improvements-TMCC03-U7L696,650

3-28        Campus Improvements-WNCC     03-U8L   645,000

3-29      4.  Capital Improvements for the

3-30  Department of Conservation and Natural

3-31  Resources:

3-32        Rehabilitate western region

3-33  headquarters, Division of Forestry03-C16$604,709

3-34        Replace floor at Jean Conservation

3-35  Camp................................. 03-M24...... 16,694

3-36        Expand shop at Pioche

3-37  Conservation Camp.......... 03-M52.... 149,282

3-38      5.  Capital Improvements for the

3-39  Department of Human Resources:


4-1         150-bed psychiatric hospital at

4-2  SNAMHS.............................. 03-C1$32,168,576

4-3         New metal building for

4-4  recreational use at Caliente Youth Center03-C17   464,065

4-5         Upgrade electric strike door-release

4-6  system in 10 buildings at Desert Regional

4-7  Center................................... 03-M8.... 196,553

4-8         Install fire sprinklers in the multi-

4-9  purpose building at NYTC03-M11...... 72,956

4-10        Renovate swimming pool at the

4-11  Caliente Youth Center..... 03-M26.... 303,389

4-12      Renovate heating systems in cottages

4-13  at Caliente Youth Center. 03-M27.... 558,832

4-14        Replace hot water tanks in cottages

4-15  at Caliente Youth Center03-M27A    306,399

4-16        Replace kitchenettes and

4-17  appliances at Caliente Youth Center   03-M54   220,384

4-18        Renovate central kitchen-

4-19  NNAMHS......................... 03-M63. 1,272,422

4-20        Remodel kitchen, replace

4-21  equipment, and upgrade floors at Lake’s

4-22  Crossing............................ 03-M64.... 671,203

4-23        Feasibility study for a 50-bed

4-24  forensic facility-SNAMHS.. 03-P4.... 143,547

4-25      6.  Capital Improvements for the

4-26  Department of Administration:

4-27        Phase II of the remodel of building

4-28  #17 at the Stewart facility... 03-C7.. $268,759

4-29        Lease-purchase state office

4-30  building for the Department of

4-31  Conservation and Natural Resources   03-C50   3,100,000

4-32        Repair exterior tile at the Grant

4-33  Sawyer state office building03-M1     251,162

4-34        Repair exterior sidewalks at Grant

4-35  Sawyer state office building03-M2       45,904

4-36        Seismic strengthening of the

4-37  capitol annex....................... 03-M4.... 443,236

4-38        HVAC system upgrades for the

4-39  capitol building and the capitol building

4-40  annex................................. 03-M21.... 560,506

4-41        HVAC system upgrades at the

4-42  State Printing facility....... 03-M22.... 667,902


5-1         Repairs to stucco at Library and

5-2  Archives building.............. 03-M23.... $47,444

5-3         Upgrade temperature control

5-4  system in buildings #6 and 107 at Stewart

5-5  facility................................ 03-M51.... 773,319

5-6         Structural evaluation of Kinkead

5-7  building, Carson City........... 03-P1...... 65,323

5-8         Facility use study for Campos

5-9  building, Las Vegas.............. 03-P2...... 35,000

5-10        Statewide Roofing Program03-S12,323,780

5-11        Statewide ADA Program03-S2.... 637,376

5-12        Statewide Fire Sprinkler Program     03-S3   2,347,192

5-13        Statewide Advance Planning

5-14  Program................................ 03-S4.... 303,750

5-15        Statewide Paving Program03-S51,333,333

5-16        Statewide Asbestos, Lead, Mold,

5-17  IAQ Program........................ 03-S6.... 264,085

5-18      7.  Capital Improvements for the

5-19  Department of Information Technology:

5-20        Addition to and renovation of state

5-21  computer facility............... 03-C10$5,167,283

5-22        Microwave renovations on

5-23  mountaintop communications facility03-C11   990,134

5-24        Extend state’s communications

5-25  backbone to the Stewart Complex03-C13505,324

5-26        Building security enhancements at

5-27  all DoIT facilities............. 03-M46...... 70,575

5-28      8.  Capital Improvements for the

5-29  Department of Cultural Affairs:

5-30        Design for improved ADA access

5-31  at Nevada State Museum in Carson City03-C19$28,657

5-32        New office for Comstock Historic

5-33  District Commission in Virginia City  03-C52   701,273

5-34        Deferred maintenance projects at

5-35  Nevada State Museum in Las Vegas   03-M12   156,480

5-36        Upgrade temperature controls,

5-37  valves and ventilation boxes at the Nevada

5-38  State Museum and Historical Society

5-39  building in Las Vegas....... 03-M47.... 275,170


6-1         Exterior repairs, flooring

6-2  replacements and HVAC Upgrades at

6-3  Nevada State Museum in Carson City03-M67   $1,474,560

6-4       9.  Capital Improvements for the

6-5  Department of Public Safety:

6-6         New state emergency operations

6-7  center-Carson City............... 03-C6.. $571,175

6-8       10.  Capital Improvements for the

6-9  Department of Agriculture:

6-10        Design new office building03-P3$270,881

6-11      11.  Capital Improvements for the

6-12  Commission on Economic Development:

6-13        Purchase and renovation of 120

6-14  miles of Nevada Northern Railroad Track03-C92L   $500,000

6-15      Sec. 2. Any remaining balance of the allocated amounts

6-16  authorized in section 1 of this act must not be committed for

6-17  expenditure after June 30, 2007, and reverts to the Bond Interest and

6-18  Redemption Account in the Consolidated Bond Interest and

6-19  Redemption Fund as soon as all payments of money committed

6-20  have been made.

6-21      Sec. 3. 1.  The State Board of Finance may issue the bonds

6-22  authorized pursuant to section 1 of this act at the time deemed

6-23  appropriate by the Board based on the schedule established for the

6-24  completion of the projects described in that section.

6-25      2.  The State Controller may advance temporarily from the

6-26  State General Fund, upon the approval of the Chief of the Budget

6-27  Division of the Department of Administration, to the State Public

6-28  Works Board, until the date on which bonds authorized by section 1

6-29  of this act are sold, amounts necessary to facilitate the start of the

6-30  projects enumerated in section 1 of this act. The State Controller

6-31  shall not advance more than the face amount of the bonds authorized

6-32  to be issued. The advanced amounts must be repaid immediately to

6-33  the State General Fund upon the sale of the bonds.

6-34      3.  The Chief of the Budget Division of the Department of

6-35  Administration shall notify the State Controller and the Fiscal

6-36  Analysis Division of the Legislative Counsel Bureau of the approval

6-37  of an advance from the State General Fund to the State Public

6-38  Works Board pursuant to subsection 2.

6-39      Sec. 4. Commencing on July 1, 2005, the Department of

6-40  Information Technology shall repay in annual installments to the

6-41  State Treasurer for deposit to the Bond Interest and Redemption

6-42  Account in the Consolidated Bond Interest and Redemption Fund


7-1  the cost of the following projects authorized pursuant to section 1 of

7-2  this act:

7-3  1.  Project 03-C10, addition to and renovation of state computer

7-4  facility in Carson City;

7-5  2.  Project 03-C11, microwave renovations on mountaintop

7-6  communications facilities;

7-7  3.  Project 03-C13, extend state’s communications backbone to

7-8  the Stewart Complex; and

7-9  4.  Project 03-M46, building security enhancements at all DoIT

7-10  facilities.

7-11  Each installment must be equal to 5 percent of the total cost of the

7-12  completed project, including the costs of debt service that are

7-13  incurred.

7-14      Sec. 5. Commencing on July 1, 2005, the State Purchasing

7-15  Division of the Department of Administration shall repay in annual

7-16  installments to the State Treasurer for deposit to the Bond Interest

7-17  and Redemption Account in the Consolidated Bond Interest and

7-18  Redemption Fund its portion of the cost of the project numbered and

7-19  described in the executive budget for Fiscal Years 2003-2004 and

7-20  2004-2005 or otherwise described as project 03-S1, statewide

7-21  roofing program. Each installment must be equal to 5 percent of the

7-22  total cost of the completed project, including the costs of debt

7-23  service that are incurred.

7-24      Sec. 6.  There is hereby appropriated from the State Highway

7-25  Fund to the State Public Works Board the sum of $16,685,635 to

7-26  support the Board in carrying out the program of capital

7-27  improvements summarized in this section. This amount is allocated

7-28  to projects numbered and described in the executive budget for the

7-29  Fiscal Years 2003-2004 and 2004-2005 or otherwise described as

7-30  follows:

 

7-31      Description              Project No.    Amount

 

7-32      1.  Expand shop and

7-33  communications facilities at new NHP

7-34  headquarters building in Las Vegas        03-C8   $563,305

7-35      2.  New DMV field services office

7-36  in North Las Vegas.............. 03-C9$9,626,364

7-37      3.  Land acquisition for new DMV

7-38  office in south Reno......... 03-C15$4,369,285

7-39      4.  West Flamingo DMV

7-40  intersection payment......... 03-C22.... $33,996

7-41      5.  Install new counters at East

7-42  Sahara DMV office.......... 03-M32$1,125,451


8-1       6.  Carson City DMV HVAC03-M91$947,234

8-2       7.  Statewide Roofing Program03-S1$20,000

8-3  Sec. 7.  Any remaining balance of the appropriations made by

8-4  section 6 of this act must not be committed for expenditure after

8-5  June 30, 2007, and reverts to the State Highway Fund as soon as all

8-6  payments of money committed have been made.

8-7  Sec. 8.  The amounts appropriated pursuant to section 6 of this

8-8  act from the State Highway Fund must be allocated by the State

8-9  Controller as the money is required for the projects and must not be

8-10  transferred to the projects from the State Highway Fund until

8-11  required to make contract payments.

8-12      Sec. 9.  The State Public Works Board shall transfer the sum of

8-13  $314,468 from the amounts allocated or appropriated pursuant to

8-14  section 1 of chapter 542, Statutes of Nevada 1999, at pages 2822

8-15  to 2836, inclusive, from the projects identified in this section to

8-16  projects as authorized in section 11 of this act.

 

8-17      Description              Project No.    Amount

 

8-18      1.  Remodel Carson City Courthouse

8-19  for the Office of the Attorney General   99-C4   $24,000

8-20      2.  Repair 21 housing unit wing gates,

8-21  Southern Desert Correctional Center  99-M29   $123,000

8-22      3.  Improve shower stalls in housing

8-23  units, Nevada State Prison99-M30     $80,000

8-24      4.  Sewer line upgrades, Phase II at

8-25  Stewart Complex, Carson City99-M5$17,411

8-26      5.  Replace fencing and gates,

8-27  SNAMHS, Las Vegas...... 99-M10      $33,467

8-28      6.  Exterior safety lighting and pool

8-29  cover, SNCAS, Las Vegas99-M18     $22,207

8-30      7.  Advance planning through

8-31  construction documents for addition and

8-32  remodel of Special Children’s Clinic, Reno99-S4B   $14,383

8-33      Sec. 10.  The State Public Works Board shall transfer the sum

8-34  of $2,501,619 from the amounts allocated pursuant to sections 1 and

8-35  4 of chapter 585, Statutes of Nevada 2001, at pages 2991 to 2996,

8-36  inclusive, from the projects identified in this section to projects as

8-37  authorized in section 11 of this act:

 

 

 


9-1  Description                  Project No.    Amount

 

9-2       1.  New State Motor Pool building    01-C4   $2,436,435

9-3       2.  Upgrade exercise areas of units

9-4  1-8 at ESP......................... 01-M30.... $13,412

9-5       3.  Replace windows in housing

9-6  units 1-4 at NNCC............ 01-M33.... $47,825

9-7       4.  Upgrade pedestrian entrance

9-8  area at SDCC..................... 01-M38...... $3,947

9-9  Sec. 11.  The State Public Works Board shall use the

9-10  $2,816,087 transferred from the projects identified in sections 9 and

9-11  10 of this act to support the Board in carrying out the program of

9-12  capital improvements summarized in this section. This amount is

9-13  allocated to projects numbered and described in the executive

9-14  budget for the Fiscal Years 2003-2004 and 2004-2005 or otherwise

9-15  described as follows:

 

9-16      Description              Project No.    Amount

 

9-17      1.  150-bed psychiatric hospital at

9-18  SNAMHS............................. 03-C1.... $70,057

9-19      2.  Phase II of the remodel of

9-20  building #17 at the Stewart facility        03-C7   $2,477,846

9-21      3.  Repair exterior tile at the Grant

9-22  Sawyer state office building03-M1     $65,184

9-23      4.  Renovate windows and showers

9-24  at NNCC .......................... 03-M17.. $203,000

9-25      Sec. 12.  Any remaining balance of the allocated amounts in

9-26  section 11 of this act must not be committed for expenditure after

9-27  June 30, 2007, and reverts to the fund of origin as soon as all

9-28  payments of money committed have been made.

9-29      Sec. 13.  The State Public Works Board shall transfer the sum

9-30  of $1,177,283 from the amounts appropriated pursuant to section 12

9-31  of chapter 585, Statutes of Nevada 2001, at page 2998, for project

9-32  01-M1, Renovate HVAC system in east wing of DMV & PS

9-33  building, Carson City, to the project numbered and described in the

9-34  executive budget for the Fiscal Years 2003-2004 and 2004-2005 or

9-35  otherwise described as project 03-M91, Carson City DMV HVAC.

9-36      Sec. 14.  Any remaining balance of the allocated amounts in

9-37  section 13 of this act must not be committed for expenditure after

9-38  June 30, 2007, and reverts to the fund of origin as soon as all

9-39  payments of money committed have been made.

9-40      Sec. 15.  Expenditure of the following sums not appropriated

9-41  from the State General Fund or the State Highway Fund is hereby


10-1  authorized for the following projects numbered and described in the

10-2  executive budget for the Fiscal Years 2003-2004 and 2004-2005 or

10-3  otherwise described as follows:

 

10-4      Description              Project No.    Amount

 

10-5      1.  Rehabilitate state fish

10-6  hatcheries, phase II............ 03-C12$14,500,000

10-7      2.  Petroleum laboratory addition-

10-8  Department of Agriculture03-C18$1,216,582

10-9      3.  Construction of health sciences

10-10  building on West Charleston Campus of

10-11  CCSN................................ 03-C21.. $500,000

10-12     4.  Science engineering and

10-13  technology complex construction, UNLV03-C23$25,000,000

10-14     5.  Maxey Science Center, Building

10-15  Renovations and Addition, DRI03-C91L$200,000

10-16     6.  Readiness center for Nevada

10-17  National Guard in Henderson03-P5$813,000

10-18     7.  Statewide Asbestos, Lead,

10-19  Mold, IAQ Program............ 03-S6.. $500,000

10-20     Sec. 16.  The State Public Works Board shall not execute a

10-21  contract for the construction of the following projects until the

10-22  Board has determined that the money authorized for those projects

10-23  pursuant to section 15 of this act is available for expenditure for

10-24  those projects and cannot be expended for other purposes:

 

10-25     Description                                Project No.

 

10-26     1.  Science engineering and

10-27  technology complex construction, UNLV03-C23

10-28     2.  Maxey Science Center, Building

10-29  Renovations and Addition, DRI....... 03-C91L

10-30     Sec. 17.  1.  The State Controller may advance temporarily

10-31  from the State General Fund, upon the approval of the Chief of the

10-32  Budget Division of the Department of Administration, to the State

10-33  Public Works Board, until the date on which the sums not

10-34  appropriated from the State General Fund or the State Highway

10-35  Fund for project 03-P5, readiness center for Nevada National Guard

10-36  in Henderson, are received, amounts necessary to facilitate the start

10-37  of the project. The advanced amounts must be repaid immediately to

10-38  the State General Fund upon the receipt of the sums not


11-1  appropriated from the State General Fund or the State Highway

11-2  Fund.

11-3      2.  The Chief of the Budget Division of the Department of

11-4  Administration shall notify the State Controller and the Fiscal

11-5  Analysis Division of the Legislative Counsel Bureau of the approval

11-6  of an advance from the State General Fund to the State Public

11-7  Works Board pursuant to subsection 1.

11-8      Sec. 18.  The State Public Works Board shall carry out the

11-9  provisions of this act as provided in chapter 341 of NRS. The Board

11-10  shall ensure that qualified persons are employed to accomplish the

11-11  authorized work. Every contract pertaining to the work must be

11-12  approved by the Attorney General.

11-13     Sec. 19.  All state and local governmental agencies involved in

11-14  the design and construction of the projects enumerated in this act

11-15  shall cooperate with the State Public Works Board to expedite the

11-16  completion of the project.

11-17     Sec. 20.  1.  An ad valorem tax of 16 cents on each $100 of

11-18  assessed valuation of taxable property is hereby levied for the fiscal

11-19  year commencing July 1, 2003, and ending June 30, 2004, and an ad

11-20  valorem tax of 16 cents on each $100 of assessed valuation of

11-21  taxable property is hereby levied for the fiscal year commencing

11-22  July 1, 2004, and ending June 30, 2005. The taxes levied must be

11-23  collected in the manner provided in chapter 361 of NRS on all

11-24  taxable property in this state including the net proceeds of minerals

11-25  and excluding such property as is by law exempt from taxation.

11-26  Notwithstanding the provisions of NRS 361.453 to the contrary, 1

11-27  cent of the levies imposed pursuant to this subsection must not be

11-28  included in calculating the limitation set forth in subsection 1 of

11-29  NRS 361.453 on the total ad valorem tax levied for all public

11-30  purposes.

11-31     2.  An ad valorem tax of 1 cent on each $100 of assessed

11-32  valuation of taxable property is hereby levied for the fiscal year

11-33  commencing July 1, 2003, and ending June 30, 2004, and an ad

11-34  valorem tax of 1 cent on each $100 of assessed valuation of taxable

11-35  property is hereby levied for the fiscal year commencing July 1,

11-36  2004, and ending June 30, 2005. The taxes levied must be collected

11-37  in the manner provided in chapter 361 of NRS on all taxable

11-38  property in this state including the net proceeds of minerals and

11-39  excluding such property as is by law exempt from taxation. The

11-40  proceeds of the taxes levied pursuant to this subsection must be used

11-41  exclusively for the repayment of bonded indebtedness issued

11-42  pursuant to the provisions of chapter 6, Statutes of Nevada 2001,

11-43  Special Session. Notwithstanding the provisions of NRS 361.453 to

11-44  the contrary, the levies imposed pursuant to this subsection must not

11-45  be included in calculating the limitation set forth in subsection 1 of


12-1  NRS 361.453 on the total ad valorem tax levied for all public

12-2  purposes.

12-3      3.  The proceeds of the taxes levied by this section are hereby

12-4  appropriated for each fiscal year to the Consolidated Bond Interest

12-5  and Redemption Fund to discharge the obligations of the State of

12-6  Nevada as they are respectively due in that fiscal year. Any balance

12-7  of the money appropriated by this section remaining at the end of

12-8  the respective fiscal years does not revert to the State General Fund.

12-9      Sec. 21.  1.  On or before July 1, 2003, and July 1, 2004, the

12-10  State Controller shall estimate the amount of proceeds of the taxes

12-11  levied by section 20 of this act. If the amount is less than the total

12-12  obligation of the State of Nevada for payment of the interest on and

12-13  principal of bonds which will become due in the fiscal year, he shall

12-14  reserve in the State General Fund an amount which is sufficient to

12-15  pay the remainder of the total obligation. The State Controller may

12-16  revise the estimate and amount reserved.

12-17     2.  If the money in the Consolidated Bond Interest and

12-18  Redemption Fund is insufficient to pay those obligations as they

12-19  become due, the State Controller shall cause the money in reserve to

12-20  be transferred from the State General Fund to the Consolidated

12-21  Bond Interest and Redemption Fund. The amount reserved is hereby

12-22  contingently appropriated for that purpose. Any balance of the sums

12-23  appropriated by this subsection remaining at the end of the

12-24  respective fiscal years must not be committed for expenditure after

12-25  June 30 of the respective fiscal years and reverts to the State

12-26  General Fund as soon as all payments of money committed have

12-27  been made.

12-28     3.  The State Controller shall report to the Legislature or, if the

12-29  Legislature is not in session, to the Interim Finance Committee:

12-30     (a) The amount of any estimate made pursuant to subsection 1

12-31  and the amount of money reserved in the State General Fund based

12-32  upon the estimate;

12-33     (b) The amount of money transferred from the State General

12-34  Fund pursuant to subsection 2; and

12-35     (c) The amount of money which reverts to the State General

12-36  Fund pursuant to subsection 2.

12-37     Sec. 22.  The State Board of Finance, in its capacity as the

12-38  State General Obligation Bond Commission and to the extent that

12-39  money is available, shall pay the expenses related to the issuance of

12-40  general obligation bonds approved by the 72nd Session of the

12-41  Nevada Legislature from the proceeds of those bonds.

12-42     Sec. 23.  Expenditure of the following sums not appropriated

12-43  from the State General Fund or the State Highway Fund is hereby

12-44  authorized from the Consolidated Bond Interest and Redemption

12-45  Fund in the amount of $95,917,942 for the fiscal year beginning


13-1  July 1, 2003, and ending June 30, 2004, and in the amount of

13-2  $98,844,192 for the fiscal year beginning July 1, 2004, and ending

13-3  June 30, 2005.

13-4      Sec. 24.  With the approval of the Interim Finance Committee,

13-5  the State Public Works Board and the University and Community

13-6  College System of Nevada may transfer appropriated and authorized

13-7  money from one project to another within the same agency or within

13-8  the University and Community College System of Nevada for those

13-9  projects listed in sections 1, 6, 11, 15 and 25 of this act.

13-10     Sec. 25.  The money collected pursuant to the annual tax on

13-11  slot machines imposed pursuant to NRS 463.385 that is distributed

13-12  to the Special Capital Construction Fund for Higher Education,

13-13  except any amount of that money which is needed to pay the

13-14  principal and interest on bonds, is appropriated to the State Public

13-15  Works Board for the following capital improvement projects for the

13-16  University and Community College System of Nevada:

 

13-17     Description              Project No.    Amount

 

13-18     Campus Improvements-UNLV03-U2L$1,821,147

13-19     Campus Improvements-UNR03-U3L$2,438,630

13-20     Campus Improvements-CCSN03-U4L$282,107

13-21     Campus Improvements-DRI03-U5L$109,972

13-22     Campus Improvements-GBC03-U6L$45,187

13-23     Campus Improvements-TMCC03-U7L$302,957

13-24     Sec. 26.  Any remaining balance of the appropriation made by

13-25  section 25 of this act must not be committed for expenditure after

13-26  June 30, 2007, and reverts to the fund of origin as soon as all

13-27  payments of money committed have been made.

13-28     Sec. 27.  Section 3 of chapter 478, Statutes of Nevada 1997, as

13-29  last amended by section 38 of chapter 585, Statutes of Nevada 2001,

13-30  at pages 3007 and 3008, is hereby amended to read as follows:

13-31     Sec. 3. 1.  Except as otherwise provided in this section,

13-32  any remaining balance of the appropriations made by section

13-33  1 of chapter 478, Statutes of Nevada 1997, at page 1827, must

13-34  not be committed for expenditure after June 30, 2001, and

13-35  reverts to the State General Fund as soon as all payments of

13-36  money committed have been made.

13-37     2.  Except as otherwise provided in subsection 3, any

13-38  remaining balance of the appropriations made by section 1 of

13-39  chapter 478, Statutes of Nevada 1997, at page 1827, for

13-40  projects enumerated in section 17 of chapter 542, Statutes of

13-41  Nevada 1999, at page 2830, must not be committed for

13-42  expenditure after June 30, 2003, and reverts to the State


14-1  General Fund as soon as all payments of money committed

14-2  have been made.

14-3      3.  Any remaining balance of the appropriations made by

14-4  section 1 of chapter 478, Statutes of Nevada 1997, at page

14-5  1827, for projects enumerated in section 19 of [this act,]

14-6  chapter 585, Statutes of Nevada 2001, at page 3000, must

14-7  not be committed for expenditure after June 30, 2005, and

14-8  reverts to the State General Fund as soon as all payments of

14-9  money committed have been made.

14-10     4.  Any remaining balance of the appropriations made by

14-11  section 1 of chapter 478, Statutes of Nevada 1997, at page

14-12  1827, for the following projects, must not be committed for

14-13  expenditure after June 30, 2002, and reverts to the State

14-14  General Fund as soon as all payments of money committed

14-15  have been made:

 

14-16                                                  Description   Project No.

 

14-17       (a) Chapel, southern Nevada

14-18  veterans’ cemetery............................... 97-C20

14-19       (b) Phase III expansion, southern

14-20  Nevada veterans’ cemetery............... 97-C20L

14-21       (c) Replace domestic water supply

14-22  line, SNMRS....................................... 97-M10

14-23       (d) Replace doors and locks,

14-24  housing units 1-3, NNCC.................. 97-M27

14-25       (e) Statewide fire sprinkler

14-26  program................................................... 97-S3

14-27       (f) Statewide paving.......................... 97-S5

14-28       (g) Campus improvements, TMCC. 97-U7

 

14-29     5.  Any remaining balance of the appropriations made by

14-30  section 1 of chapter 478, Statutes of Nevada 1997, at page

14-31  1827, for project 97-C16, southern Nevada veterans’ home,

14-32  must not be committed for expenditure after June 30, [2001,]

14-33  2004, and reverts to the State General Fund as soon as all

14-34  payments of money committed have been made.

14-35     Sec. 28.  Section 11 of chapter 478, Statutes of Nevada 1997,

14-36  as last amended by section 40 of chapter 585, Statutes of Nevada

14-37  2001, at page 3008, is hereby amended to read as follows:

14-38     Sec. 11. 1.  Except as otherwise provided in this

14-39  section, any remaining balance of the allocated amounts

14-40  authorized in section 10 of chapter 478, Statutes of Nevada

14-41  1997, at page 1832, must not be committed for expenditure

14-42  after June 30, 2001, and reverts to the bond interest and


15-1  redemption account in the Consolidated Bond Interest and

15-2  Redemption Fund as soon as all payments of money

15-3  committed have been made.

15-4      2.  [Any] Except as otherwise provided in subsection 4,

15-5  any remaining balance of the allocated amounts authorized in

15-6  section 10 of chapter 478, Statutes of Nevada 1997, at page

15-7  1832, for projects enumerated in section 17 of chapter 542,

15-8  Statutes of Nevada 1999, at page 2830, must not be

15-9  committed for expenditure after June 30, 2003, and reverts to

15-10  the Bond Interest and Redemption Account in the

15-11  Consolidated Bond Interest and Redemption Fund as soon as

15-12  all payments of money committed have been made.

15-13     3.  Any remaining balance of the allocated amounts

15-14  authorized in section 10 of chapter 478, Statutes of Nevada

15-15  1997, at page 1832, for projects enumerated in section 19 of

15-16  [this act,] chapter 585, Statutes of Nevada 2001, at page

15-17  3000, must not be committed for expenditure after June 30,

15-18  2005, and reverts to the Bond Interest and Redemption

15-19  Account in the Consolidated Bond Interest and Redemption

15-20  Fund as soon as all payments of money committed have been

15-21  made.

15-22     4.  Any remaining balance of the allocated amounts

15-23  authorized in section 10 of chapter 478, Statutes of Nevada

15-24  1997, at page 1832, for project 97-C15, Lied Library,

15-25  UNLV, must not be committed for expenditure after

15-26  June 30, 2005, and reverts to the Bond Interest and

15-27  Redemption Account in the Consolidated Bond Interest and

15-28  Redemption Fund as soon as all payments of money

15-29  committed have been made.

15-30     Sec. 29.  Section 3 of chapter 542, Statutes of Nevada 1999, as

15-31  amended by section 43 of chapter 585, Statutes of Nevada 2001, at

15-32  page 3010, is hereby amended as follows:

15-33     Sec. 3. 1.  Except as otherwise provided in [subsection

15-34  2.] this section, any remaining balance of the allocated

15-35  amounts authorized in sections 1 and 2 of chapter 542,

15-36  Statutes of Nevada 1999, at pages 2822 to 2826, inclusive,

15-37  must not be committed for expenditure after June 30, 2003,

15-38  and reverts to the Bond Interest and Redemption Account in

15-39  the Consolidated Bond Interest and Redemption Fund as soon

15-40  as all payments of money committed have been made.

15-41     2.  Any remaining balance of the allocated amounts

15-42  authorized in section 1 of chapter 542, Statutes of Nevada

15-43  1999, at page 2822, for projects enumerated in section 20 of

15-44  [this act,] chapter 585, Statutes of Nevada 2001, at page

15-45  3002, must not be committed for expenditure after June 30,


16-1  2005, and reverts to the Bond Interest and Redemption

16-2  Account in the Consolidated Bond Interest and Redemption

16-3  Fund as soon as all payments of money committed have been

16-4  made.

16-5      3.  Any remaining balance of the allocated amounts

16-6  authorized in section 1 of chapter 542, Statutes of Nevada

16-7  1999, at page 2822, for the following projects, must not be

16-8  committed for expenditure after June 30, 2004, and reverts

16-9  to the Bond Interest and Redemption Account in the

16-10  Consolidated Bond Interest and Redemption Fund as soon

16-11  as all payments of money committed have been made:

 

16-12                                                  Description   Project No.

 

16-13  ...... (a) New supply administration facility,

16-14  Carson City.................................... 99-C3

16-15  ...... (b) SNAMHS, advance planning for

16-16  psychiatric emergency crisis center99-C7

16-17  ...... (c) Capitol complex conduit system,

16-18  phase II, Carson City................... 99-C8

16-19  ...... (d) Enclose pavilion at Veteran’s

16-20  Cemetery, Fernley......................... 99-C9

16-21  ...... (e) Law School Renovation, UNLV99-C12

16-22  ...... (f) Science building on West

16-23  Charleston campus, CCSN........ 99-C14

16-24  ...... (g) Library and student center,

16-25  WNCC.......................................... 99-C17

16-26  ...... (h) High-Tech learning center, Green

16-27  Valley, CCSN............................ 99-C28L

16-28  ...... (i) Statewide ADA program.. 99-S2

 

16-29     4.  Any remaining balance of the allocated amounts

16-30  authorized in section 1 of chapter 542, Statutes of Nevada

16-31  1999, at page 2822, for the following projects, must not be

16-32  committed for expenditure after June 30, 2005, and reverts

16-33  to the Bond Interest and Redemption Account in the

16-34  Consolidated Bond Interest and Redemption Fund as soon

16-35  as all payments of money committed have been made:

 

16-36                                                  Description   Project No.

 

16-37  ...... (a) Lied Library Furnishings, UNLV99-C11

16-38  ...... (b) Redfield campus, phase I, UNR99-C13


17-1          (c) Student development center,

17-2  TMCC........................................... 99-C16

17-3          (d) High-Tech learning center, TMCC  99-C37L

17-4          (e) Provide second exit from

17-5  dormitories and install fire sprinklers at

17-6  Caliente Youth Center................. 99-M1

17-7          (f) Repair/remodel multipurpose

17-8  building and replace ceiling and wall

17-9  covers in the gymnasium, NYTC, Elko99-M22

17-10  ...... (g) Library Upgrade building data

17-11  systems/wiring for Capitol Complex and

17-12  Sawyer Building, Carson City and Las

17-13  Vegas........................................... 99-M26

17-14  ...... (h) Statewide asbestos, lead and

17-15  indoor air quality program.......... 99-S6

 

17-16     5.  Any remaining balance of the allocated amounts

17-17  authorized in section 1 of chapter 542, Statutes of Nevada

17-18  1999, at page 2822, for projects enumerated in section 9 of

17-19  this act, must not be committed for expenditure after

17-20  June 30, 2007, and reverts to the Bond Interest and

17-21  Redemption Account in the Consolidated Bond Interest and

17-22  Redemption Fund as soon as all payments of money

17-23  committed have been made.

17-24     Sec. 30.  Section 9 of chapter 542, Statutes of Nevada 1999, as

17-25  amended by section 45 of chapter 585, Statutes of Nevada 2001, at

17-26  page 3010, is hereby amended to read as follows:

17-27     Sec. 9. [Any]

17-28     1.  Except as otherwise provided in subsection 2, any

17-29  remaining balance of the appropriations made by section 7 of

17-30  chapter 542, Statutes of Nevada 1999, at page 2828, must not

17-31  be committed for expenditure after June 30, 2003, and reverts

17-32  to the State Highway Fund as soon as all payments of money

17-33  committed have been made.

17-34     2.  Any remaining balance of the appropriations made

17-35  by section 7 of chapter 542, Statutes of Nevada 1999, at

17-36  page 2828, for projects 99-H1, new highway patrol building,

17-37  Las Vegas, and 99-H2, covered parking at highway patrol

17-38  facility, Las Vegas, must not be committed for expenditure

17-39  after June 30, 2005, and reverts to the fund of origin as

17-40  soon as all payments of money committed have been made.


18-1      Sec. 31. Section 19 of chapter 542, Statutes of Nevada 1999,

18-2  as amended by section 46 of chapter 585, Statutes of Nevada 2001,

18-3  at pages 3010 and 3011, is hereby amended to read as follows:

18-4      Sec. 19. 1.  Except as otherwise provided in

18-5  [subsection 2,] this section, any remaining balance of the

18-6  allocated amounts in section 18 of chapter 542, Statutes of

18-7  Nevada 1999, at page 2830, must not be committed for

18-8  expenditure after June 30, 2003, and reverts to the fund of

18-9  origin as soon as all payments of money committed have been

18-10  made.

18-11     2.  Any remaining balance of the allocated amounts

18-12  authorized in section 18 of chapter 542, Statutes of Nevada

18-13  1999, at page 2830, for projects enumerated in section 20 of

18-14  [this act,] chapter 585, Statutes of Nevada 2001, at page

18-15  3002, must not be committed for expenditure after June 30,

18-16  2005, and reverts to the fund of origin as soon as all payments

18-17  of money committed have been made.

18-18     3.  Any remaining balance of the allocated amounts

18-19  authorized in section 18 of chapter 542, Statutes of Nevada

18-20  1999, at page 2830, for the following projects must not be

18-21  committed for expenditure after June 30, 2004, and reverts

18-22  to the fund of origin as soon as all payments of money

18-23  committed have been made:

 

18-24                                                  Description   Project No.

 

18-25  ...... (a) New supply administration facility,

18-26  Office of the Military, Carson City99-C3

18-27  ...... (b) Library and student services

18-28  building, WNCC......................... 99-C17

18-29  ...... (c) Statewide ADA Program. 99-S2

 

18-30  ............ 4.  Any remaining balance of the allocated amounts

18-31  authorized in section 18 of chapter 542, Statutes of Nevada

18-32  1999, at page 2830, for the following projects must not be

18-33  committed for expenditure after June 30, 2005, and reverts

18-34  to the fund of origin as soon as all payments of money

18-35  committed have been made:

 

18-36                                                  Description   Project No.

 

18-37  ...... (a) Lied Library Furnishings, UNLV99-C11

18-38  ...... (b) Omega fire sprinkler program99-S3L

 


19-1      Sec. 32.  Section 3 of chapter 585, Statutes of Nevada 2001, at

19-2  page 2995, is hereby amended to read as follows:

19-3      Sec. 3.  [Any]

19-4      1.  Except as otherwise provided in subsection 2, any

19-5  remaining balance of the appropriations made by section 2 of

19-6  [this act] chapter 585, Statutes of Nevada 2001, at page

19-7  2993, must not be committed for expenditure after June 30,

19-8  2005, and reverts to the State General Fund as soon as all

19-9  payments of money committed have been made.

19-10     2.  Any remaining balance of the appropriations made

19-11  by section 2 of chapter 585, Statutes of Nevada 2001, at

19-12  page 2993, for the following projects, must not be committed

19-13  for expenditure after June 30, 2007, and reverts to the State

19-14  General Fund as soon as all payments of money committed

19-15  have been made:

 

19-16                                                  Description   Project No.

 

19-17  ...... (a) Upgrade exercise areas of units 1-

19-18  8 at ESP...................................... 01-M30

19-19  ...... (b) Replace windows in housing units

19-20  1-4 at NNCC.............................. 01-M33

19-21  ...... (c) Upgrade pedestrian entrance area

19-22  at SDCC...................................... 01-M38

19-23     Sec. 33.  Section 5 of chapter 585, Statutes of Nevada 2001, at

19-24  page 2997, is hereby amended to read as follows:

19-25     Sec. 5.  [Any]

19-26     1.  Except as otherwise provided in subsection 2, any

19-27  remaining balance of the allocated amounts authorized in

19-28  section 4 of [this act] chapter 585, Statutes of Nevada 2001,

19-29  at page 2995, must not be committed for expenditure after

19-30  June 30, 2005, and reverts to the Bond Interest and

19-31  Redemption Account in the Consolidated Bond Interest and

19-32  Redemption Fund as soon as all payments of money

19-33  committed have been made.

19-34     2.  Any remaining balance of the allocated amounts

19-35  authorized in section 4 of chapter 585, Statutes of Nevada

19-36  2001, at page 2995, for project 01-C4, New State Motor Pool

19-37  building, must not be committed for expenditure after

19-38  June 30, 2007, and reverts to the Bond Interest and

19-39  Redemption Account in the Consolidated Bond Interest and

19-40  Redemption Fund as soon as all payments of money

19-41  committed have been made.

 

 


20-1      Sec. 34.  Section 13 of chapter 585, Statutes of Nevada 2001,

20-2  at page 2998, is hereby amended to read as follows:

20-3      Sec. 13. [Any]

20-4      1.  Except as otherwise provided in subsection 2, any

20-5  remaining balance of the appropriations made by section 12

20-6  of [this act] chapter 585, statutes of Nevada 2001, at page

20-7  2998, must not be committed for expenditure after June 30,

20-8  2005, and reverts to the State Highway Fund as soon as all

20-9  payments of money committed have been made.

20-10     2.  Any remaining balance of the appropriations made

20-11  by section 12 of chapter 585, Statutes of Nevada 2001, at

20-12  page 2998, for project 01-M1, Renovate HVAC system in

20-13  east wing of DMV & PS building, Carson City, must not be

20-14  committed for expenditure after June 30, 2007, and reverts

20-15  to the State Highway Fund as soon as all payments of

20-16  money committed have been made.

20-17     Sec. 35. Section 15 of chapter 585, Statutes of Nevada 2001,

20-18  at page 2998, is hereby amended to read as follows:

20-19     Sec. 15.  1.  Except as otherwise provided in subsection

20-20  2, the [following expenditures are] expenditure of

20-21  $15,000,000 from money credited to the account of the State

20-22  of Nevada in the Unemployment Trust Fund pursuant to 42

20-23  U.S.C. § 1103 is hereby authorized to support the State Public

20-24  Works Board in carrying out the program of capital

20-25  improvements summarized in this section for the project

20-26  numbered and described in the executive budget for the Fiscal

20-27  Years 2001-2002 and 2002-2003 or otherwise described as

20-28  project 01-E1, new office building for Employment Security

20-29  Division . [:

20-30     (a) From the Employment Security Fund created pursuant

20-31  to NRS 612.615, $1,000,000; and

20-32     (b) From money credited to the account of the State of

20-33  Nevada in the Unemployment Trust Fund pursuant to 42

20-34  U.S.C. § 1103, $3,000,000.]

20-35     2.  The amount which may be expended during a fiscal

20-36  year pursuant to [paragraph (b) of] subsection 1 must not

20-37  exceed the amount by which the aggregate of the amounts

20-38  credited to the account of this state pursuant to 42 U.S.C. §

20-39  1103 during that fiscal year and the 24 preceding fiscal years

20-40  exceeds the aggregate of the amounts expended pursuant to

20-41  NRS 612.617 and charged against the amounts credited to the

20-42  account of this state during any of those 25 fiscal years. If the

20-43  provisions of this subsection limit the amount of funding

20-44  authorized pursuant to [paragraph (b) of] subsection 1, the

20-45  Interim Finance Committee may authorize [additional]


21-1  funding from the Employment Security Fund to fund the

21-2  project. The expenditures authorized pursuant to this section

21-3  must not exceed [$4,000,000] $15,000,000 from all sources

21-4  unless an increased amount is approved by the Legislature or,

21-5  if the Legislature is not in session, by the Interim Finance

21-6  Committee.

21-7      3.  [Any remaining balance of the allocated amount in

21-8  paragraph (a) of subsection 1 must not be committed for

21-9  expenditure after June 30, 2005, and reverts to the

21-10  Employment Security Fund as soon as all payments of money

21-11  committed have been made.

21-12     4.] Any remaining balance of the allocated amount in

21-13  [paragraph (b) of] subsection 1 must not be committed for

21-14  expenditure after June 30, [2003,] 2007, and reverts to the

21-15  fund of origin as soon as all payments of money committed

21-16  have been made.

21-17     Sec. 36.  Section 24 of chapter 585, Statutes of Nevada 2001,

21-18  at page 3003, is hereby amended to read as follows:

21-19     Sec. 24.  The State Public Works Board shall not

21-20  execute a contract for the construction of the following

21-21  projects until the Board receives the money authorized for

21-22  those projects pursuant to section 23 of [this act:] chapter

21-23  585, Statutes of Nevada 2001, at page 3003:

 

21-24                                                  Description   Project No.

 

21-25  1.  Furnishings and build-out, Redfield

21-26  campus, phase I, UNR................. 01-C16

21-27  2.  New campus library, UNR..... 01-C24

21-28  3.  Academic and student services building,

21-29  NSC.............................................. 01-C25

21-30  [4.  Telecommunications building on

21-31  Cheyenne campus, CCSN........ 01-C29L]

21-32     Sec. 37. Section 16 of chapter 585, Statutes of Nevada 2001,

21-33  at page 2999, is hereby repealed.

21-34     Sec. 38.  The inclusion of project 03-C50 in section 1 of this

21-35  act constitutes the legislative approval of the project required

21-36  pursuant to NRS 353.550.

21-37     Sec. 39. This act becomes effective upon passage and

21-38  approval.


 

 

22-1  TEXT OF REPEALED SECTION OF

22-2  STATUTES OF NEVADA

 

 

22-3  Section 16 of chapter 585, Statutes of Nevada 2001:

22-4      Sec. 16.  1.  At the request of the Department of

22-5  Employment, Training and Rehabilitation, the State Board

22-6  of Finance shall issue general obligation bonds of the State of

22-7  Nevada or a combination of general obligations of the State

22-8  of Nevada and other securities in the aggregate principal

22-9  amount of not more than $4,242,435 for the project numbered

22-10  and described in the executive budget for the fiscal years

22-11  2001-2002 and 2002-2003 or otherwise described as project

22-12  01-E1, new office building for Employment Security

22-13  Division.

22-14     2.  The amount of the bonds and the timing of the

22-15  issuance of the bonds must be determined by the State

22-16  Treasurer and representatives of the Department of

22-17  Employment, Training and Rehabilitation.

22-18     3.  Following the issuance of the bonds authorized by

22-19  subsection 1, the Department of Employment, Training and

22-20  Rehabilitation shall pay or transfer from the appropriate fund

22-21  maintained by the department to the State Treasurer the

22-22  amounts necessary to pay the principal and interest due on the

22-23  bonds as directed by the State Treasurer.

22-24     4.  The provisions of the State Securities Law, set forth in

22-25  NRS 349.150 to 349.364, inclusive, apply to the issuance of

22-26  bonds pursuant to the provisions of this section.

 

 

22-27  H