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).
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