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Treasurer and Receiver-General
Office of the Treasurer and Receiver-General

Budgetary Direct Appropriations

OFFICE OF THE TREASURER AND RECEIVER-GENERAL
0610-0000  

For the operation of the office of the treasurer and receiver-general

8,119,893
 
General Fund 90.00%
Highway Fund 10.00%
 

BANK FEES
0610-0100  

For the payment of bank fees

5,300,000
 
General Fund 90.00%
Highway Fund 10.00%
 

BONUS PAYMENTS TO WAR VETERANS
0611-1000  

For bonus payments to war veterans

19,000

ADDITIONAL ASSISTANCE TO CITIES AND TOWNS
0611-5500  

For additional assistance to cities and towns to be distributed according to the provisions of section 3, and for assistance in a total amount of $1,249,944 to certain public entities of the commonwealth which have constructed water pollution abatement facilities

429,933,698
 
Local Aid Fund 100%
 

REIMBURSEMENTS TO CITIES AND TOWNS IN LIEU OF TAXES ON STATE-OWNED LAND
0611-5510  

For reimbursements to cities and towns in lieu of taxes on state-owned land pursuant to sections 13 to 17, inclusive, of chapter 58 of the General Laws

18,000,000
 
Local Aid Fund 100%
 

LOCAL SHARE OF RACING TAX REVENUES - PAYMENTS TO CITIES AND TOWNS
0611-5800  

For distribution to each city and town within which racing meetings are conducted pursuant to section 18D of chapter 58 of the General Laws

1,605,752
 
Local Aid Fund 100%
 

PUBLIC SAFETY EMPLOYEES LINE-OF-DUTY DEATH BENEFITS
0612-0105  

For payment of the public safety employees line-of-duty death benefit authorized by section 100A of chapter 32 of the General Laws

500,000
 
Local Aid Fund 100%
 

COMMONWEALTH`S PENSION LIABILITY FUND
0612-1010  

For the commonwealth`s Pension Liability Fund established by section 22 of chapter 32 of the General Laws, to meet the commonwealth`s obligations pursuant to section 22C of said chapter 32, including retirement benefits payable by the state employees` and the state teachers` retirement systems, and for the costs of increased survivor benefits pursuant to chapter 389 of the acts of 1984; provided, that subject to rules and regulations promulgated by the treasurer, the state retirement board and each city, town, county, or district shall verify the cost of said obligations and the treasurer may make payments therefor upon a transfer of funds as hereinafter provided, to reimburse certain cities and towns for pensions to retired teachers, and including any other obligations which the commonwealth has assumed on behalf of any retirement system other than the state employees` or state teachers` retirement systems, and including the commonwealth`s share of the amounts to be appropriated pursuant to section 22B of said chapter 32 and the amounts to be appropriated pursuant to clause (a) of the last paragraph of section 21 of chapter 138 of the General Laws; provided further, that all payments for the purposes herein described shall be made only pursuant to distribution of monies from said fund; provided further, that such distributions shall not be made in advance of the date on which any payment is actually to be made; provided further, that any request for distribution from said fund shall not be in excess of the amount necessary to provide sufficient monies to make all payments for the purposes herein before described; provided further, that the state retirement board is authorized to expend an amount for the purposes of the board of higher education`s optional retirement program pursuant to section 40 of chapter 15A of the General Laws; and provided further, that except where authorized herein, no funds shall be expended from this item other than deposits to the Commonwealth`s Pension Liability Fund

922,050,000
 
Local Aid Fund 59.00%
General Fund 33.90%
Highway Fund 7.00%
Inland Fisheries and Game Fund 0.10%
 

COMMONWEALTH`S PENSION LIABILITY RESERVE
0612-1508  

For a pension liability reserve for the sole purpose of supplementing the amount appropriated in item 0612-1010, notwithstanding the provisions of section 22C of chapter 32 of the General Laws; provided, that expenditures from this item shall be pursuant to a revised funding schedule submitted by the secretary of administration and finance and approved by the general court, which accounts for previously unknown liabilities resulting from the transition to new actuarial software by the public employee retirement administration commission

100,000,000

MISCELLANEOUS RETIREMENT BENEFITS
0612-2000  

For retirement benefits authorized pursuant to chapters 712 and 721 of the acts of 1981, chapter 154 of the acts of 1983, chapter 67 of the acts of 1988, and chapter 621 of the acts of 1989, for the compensation of veterans who may be retired by the state board of retirement, including individuals formerly in the service of the division of employment security whose compensation for such service was paid in full from a grant from the federal government, and for the cost of medical examinations in connection therewith, for pensions of retired judges or their widows or widowers, for retirement allowances of certain employees formerly in the service of the administrative division of the metropolitan district commission, for retirement allowances of certain veterans and police officers formerly in the service of the metropolitan district commission, for retirement allowances of certain veterans formerly in the service of the metropolitan sewerage district, for retirement allowances of certain veterans formerly in the service of the metropolitan water system, and for annuities for widows or widowers of certain former members of the uniformed branch of the state police

19,433,757
 
General Fund 82.20%
Highway Fund 17.80%
 

COMMISSION ON FIREMEN`S RELIEF
0620-0000  

For financial assistance to injured firefighters

9,808
 
Local Aid Fund 100%
 

CONSOLIDATED LONG-TERM DEBT SERVICE
0699-0015  

For the payment of interest, discount, and principal on certain bonded debt and the sale of bonds of the commonwealth; provided, that payments on bonds issued pursuant to section 2 O of chapter 29 of the General Laws shall be paid from this item and shall be charged to the Infrastructure Fund subfund of the Highway Fund; provided further, that notwithstanding the provisions of any general or special law including this item to the contrary, the comptroller may charge the payments authorized herein to the appropriate budgetary or other fund subject to a plan which the comptroller shall file ten days in advance with the house and senate committees on ways and means; and provided further, that debt service charged to the Highway Fund shall be charged to the Infrastructure Fund subfund of the Highway Fund in accordance with said section 2 O

1,312,052,000
 
General Fund 56.68%
Infrastructure Fund 31.93%
Local Aid Fund 11.39%
 

SHORT-TERM DEBT SERVICE AND COSTS OF ISSUANCE
0699-9100  

For the payment of interest and issuance costs on bonds and bond and revenue anticipation notes and other notes pursuant to sections 47 and 49B of chapter 29 of the General Laws; provided, that the treasurer shall certify to the comptroller a schedule of the distribution of such costs among the various funds of the commonwealth; provided further, that the comptroller shall charge such costs to such funds in accordance with such schedule; and provided further, that any deficit in this item at the close of the fiscal year ending June 30, 2001, shall be charged to the various funds or to the General Fund or Highway Fund debt service reserves

16,250,000

GANS DEBT SERVICE
0699-9101  

For the purpose of depositing with the trustee under the trust agreement authorized in section 10B of chapter 11 of the acts of 1997, as amended, an amount to be used to pay the interest due on notes of the commonwealth issued pursuant to section 9 of said chapter 11, as amended, and secured by the Federal Highway Grant Anticipation Note Trust Fund

62,042,000

MASSACHUSETTS DEVELOPMENT FINANCE AGENCY DEBT SERVICE ASSISTANCE
0699-9200  

For certain debt service contract assistance to the Massachusetts Development Finance Agency in accordance with the provisions of sections 18A and 26 of chapter 23G of the General Laws and the contract for financial assistance dated October 27, 1987, as amended, between the commonwealth and the former government land bank

13,285,138


Federal Grant Spending

CRIME VICTIM COMPENSATION
0810-6646  

For the purposes of a federally funded grant entitled, Crime Victim Compensation

55,000


Trust and Other Spending

0610-0093  

A HERO`S WELCOME TRUST FUND

27,800

0611-5012  

SPECIAL ELECTION PAYMENTS

254,669

0612-0000  

STATE BOARD OF RETIREMENT ADMINISTRATION

2,632,788

0650-1700  

ABANDONED PROPERTY

71,056,307

0699-8100  

PAYMENTS OF INTEREST ON CERTAIN BONDED DEBT OF THE COMMONWEALTH

319,052

0699-8101  

DISCOUNT ON SALE OF BONDS - GOVERNMENT LAND BANK FUND

1,632

0699-8200  

MATURING OF CERTAIN SERIAL BONDS

388,804

7070-6607  

TECHNICAL EDUCATION FUND - U.S. ENDOWMENT

10,950



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Commonwealth of Massachusetts

Executive Office for Administration and Finance
Fiscal Affairs Division
State House, Room 272
Boston, MA 02133
(617) 727-2081


Last updated on January 26, 2000

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