Nevada 34th (2023) Special Session Status: Enacted 2 D cosponsors

AB 1 — Authorizes and provides funding for certain projects of capital improvement. (BDR S-11)

Last action — Approved by the Governor. Chapter 1.

  1. ✓
    Introduced
  2. ✓
    In Committee
  3. ✓
    Passed Assembly
  4. ✓
    Passed Senate
  5. ✓
    To Executive
  6. 6
    Enacted

This bill has been enacted into law. Introduced June 06, 2023. Enacted.

Signed by Governor Joe Lombardo (Republican) on June 09, 2023.

Odds of enactment

High chance

Based on the sponsor, cosponsors, and committee posture, this bill has a high chance of becoming law.

Upgrade to see the exact probability and what's driving it.

A statistical estimate from our own model of past outcomes — an insight, not a guarantee. Policymaking is volatile.

Prognosis

Advancing 54% · moderate confidence
  • Enacted

    Current position in the legislative process.

  • 2 sponsors

    2 primary, 0 co-sponsors signed on.

  • Single-party support

    Sponsorship is currently within one party (2 D).

Based on stage, sponsorship breadth, committee status, recorded votes, and cross-state momentum — a description of the observable signals, not a prediction.

Bill Text

What changed in the latest version

1015 added · 1084 removed

Plain-language change summary

In the updated version of Assembly Bill No. 1, the appropriation of $422,153,108 for capital improvements by the State Public Works Division has been maintained, with specific projects outlined for funding. However, the requirement for a two-thirds majority vote has been removed, which simplifies the legislative process for passing this bill. This change is important because it could make it easier for the bill to be enacted without needing broad bipartisan support, potentially speeding up the process of securing funding for state projects.

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REQUIRES TWO-THIRDS MAJORITY VOTE (§ 19) * A.B.
* Assembly Bill No.
1 A SSEMBLY B ILLN O.
1–Assemblyman Yeager Joint Sponsor:
1–ASSEMBLYMAN Y EAGER JUNE 6, 2023 ____________ JOINT SPONSOR :
Senator Cannizzaro CHAPTER..........
ENATOR CANNIZZARO ____________ Referred to Committee on Ways and Means SUMMARY—Authorizes and provides funding for certain projects of capital improvement.
(BDR S-11) FISCAL NOTE:
Effect on Local Government:
No.
Effect on the State:
Contains Appropriations included in Executive Budget.
~ EXPLANATION – Matter in bolded italics is new;
matter between brackets [omitted material] is material to be omitted.
THE PEOPLE OF THE STATE OF NEVADA, REPRESENTED IN SENATE AND ASSEMBLY, DO ENACT AS FOLLOWS:
EXPLANATION – Matter in bolded italics is new;
Section 1.
matter between brackets [omitted material] is material to be omitted.
THE SENATE AND ASSEMBLY, DO ENACT AS FOLLOWS:D IN Section 1.
Demolition of Cottages, Northern Nevada Children’s Home.........................................$1,384,717 - *AB1* – 2 – Description Project No.
Demolition of Cottages, Northern Nevada Children’s Bradley Building Demolition.............23-C24....$1,660,311 Improvements for Buildings Purchased in Las Vegas.................23-C36$74,545,040 Building Purchase and Improvements, 3850 Arrowhead Drive, Carson City.........................................$22,327,64437 Deferred Maintenance, Department of Administration..............................
Amount Bradley Building Demolition.............23-C24 $1,660,311 Improvements for Buildings Purchased in Las Vegas.................23-C$74,545,040 Building Purchase and Improvements, 3850 Arrowhead Drive, Carson City.......................................$22,327,644-C37 Deferred Maintenance, Department of Administration.............................$14,819,157 Rehabilitate Historic Fence and Lighting, State Capitol Plaza........
$14,819,157 Rehabilitate Historic Fence and Lighting, State Capitol Plaza........
23-M4$2,396,252 East Slope Transmission Main Upgrade, Marlette Lake Water System...............................
23-M45$2,396,252 - 34th Special Session (2023) – 2 – Description Project No.
2$9,127,297 Door Hardware Replacement, Nevada State Capitol....................
Amount East Slope Transmission Main Upgrade, Marlette Lake Water System...............................
23-M$1,844,028 Advance Planning:
23$9,127,297 DoorNevada State Capitol....................
Seismic Retrofit and Remodel, Old State Armory Building...................23-P0$1,367,520 Statewide Roofing Program ................23-S01$8,706,087 Reroof Plumb Lane Readiness Center........................................$127,0441g Statewide ADA Program.....................23-S02$4,410,352 Statewide Fire and Life Safety Program......................................$8,304,573 Statewide Fire and Life Safety Program, Nevada Army National Guard.............................23$1,456,639 Statewide Advance Planning Program......................................$2,605,703 Statewide Paving Program ..................23-S0$5,994,892 Statewide Paving Program, Nevada Army National Guard.........................................$650,8571 Apron Pavement Preservation, Harry Reid Training Center........23-S05g2 $53,523 Statewide Indoor Air Quality, Environmental Program.................23-S06 $58,861 2.
23-M5$1,844,028 Advance Planning:
Capital Improvements for the State Department of Conservation and Natural Resources:
Seismic Retrofit and Remodel, Old State Armory Building...................23-P07$1,367,520 Statewide Roofing Program ................23-S01 $8,706,087 Reroof Plumb Lane Readiness Center..........................................$127,044 Statewide ADA Program.....................23-S02 $4,410,352 Statewide Fire and Life Safety Program.......................................$8,304,573 Statewide Fire and Life Safety Program, Nevada Army National Guard.............................23-$1,456,639 Statewide Advance Planning Program.......................................$2,605,703 Statewide Paving Program ..................23-S05 $5,994,892 Statewide Paving Program, Nevada Army National Guard..........................................2$650,857 Apron Pavement Preservation, Harry Reid Training Center........23-S05g2 $53,523 Statewide Indoor Air Quality, 2.
- *AB1* – 3 – Description Project No.
Capital Improvements for the State Department of $58,861 Conservation and Natural Resources:
Amount Residence/Fire Station Demolition, Spring Creek Fire Station..................................$621,074 Replace Comfort Station #4, Sand Harbor State Park................
Residence/Fire Station Demolition, Spring Creek Fire Station....................................$621,074 Replace Comfort Station #4, Sand Harbor State Park................
23-M30$1,178,650 Replace Comfort Stations #5 and #6, Sand Harbor State Park ........................................$1,997,316M31 Security Upgrades, Ely Industrial Shop.............................
23-M30 $1,178,650 Replace Comfort Stations #5 and #6, Sand Harbor State Park .........................................$1,997,31631 Security Upgrades, Ely Industrial Shop.............................
2$830,047 Install Emergency Generator, Northern Region 2 Headquarters ................................
23-$830,047 Install Emergency Generator, Northern Region 2 Headquarters ................................
$702,448 3.
23$702,448 - 34th Special Session (2023) – 3 – Description Project No.
Amount 3.
Communications Room Expansion, Southern Desert Correctional Center.......................23-$1,009,060 Demolition of Silver Springs Conservation Camp.......................23-C3$2,958,399 Replace Doors, Locks, and Security Glazing, Southern Desert Correctional Center...........
Communications Room Expansion, Southern Desert Demolition of Silver Springs..................23-C$1,009,060 Conservation Camp.......................23-C34$2,958,399 Replace Doors, Locks, and Security Glazing, Southern Desert Correctional Center...........
23-M0$21,365,841 Install Security Cameras, High Desert State Prison.......................
23-M04 $21,365,841 Install Security Cameras, High Desert State Prison.......................
23$5,527,956 Replace Surveillance Camera System, Northern Nevada Correctional Center......................
23-$5,527,956 Replace Surveillance Camera System, Northern Nevada Correctional Center......................
23-$3,182,837 Replace Surveillance Camera System, Lovelock Correctional Center......................
23-M$3,182,837 Replace Surveillance Camera System, Lovelock Correctional Center......................
23-$3,160,020 Install Fiber Optic Loop, Southern Desert Correctional Center.......................................$2,016,6397 Boiler Plant Renovation, Regional Medical Facility, Northern Nevada Correctional Center......................
23-M$3,160,020 Install Fiber Optic Loop, Southern Desert Correctional Center........................................$2,016,639 Boiler Plant Renovation, Regional Medical Facility, Northern Nevada Correctional Center......................
23-$1,212,846 Chilled and Hot Water Building Piping Renovation, Lovelock Correctional Center......................
23-M$1,212,846 Chilled and Hot Water Building Piping Renovation, Lovelock HVAC Systems Renovation,.....................
23-$3,576,991 HVAC Systems Renovation, Multi-Purpose Building, Warm Springs Correctional Center........................................$903,74227 - *AB1* – 4 – Description Project No.
23-M$3,576,991 Multi-Purpose Building, Warm Springs Correctional Center..........................................$903,742 Electrical Service Upgrade, Southern Desert Correctional Center........................................$1,303,647 Direct Digital Control System Upgrade, Lovelock Correctional Center......................
Amount Electrical Service Upgrade, Southern Desert Correctional Center.......................................$1,303,6479 Direct Digital Control System Upgrade, Lovelock Correctional Center......................
23-M$2,772,885 Culinary Building Plumbing Replacement, Ely State Prison........................................$3,789,3458 Water Controls Replacement, High Desert State Prison..............
23-$2,772,885 Culinary Building Plumbing Replacement, Ely State Prison.......................................$3,789,34538 Water Controls Replacement, High Desert State Prison..............
23-M40 $7,363,878 - 34th Special Session (2023) – 4 – Description Project No.
23-M40$7,363,878 Recreation Yard Cages, Northern Nevada Correctional Center......................
Amount Recreation Yard Cages, Northern Nevada Correctional Center......................
23-$2,469,843 Upgrade Perimeter Security Fence, Southern Desert Correctional Center......................
23-M$2,469,843 UpgFence, Southern Deserty Correctional Center......................
2$10,633,595 Housing Units 1 through 4 Plumbing Fixture Water Control Renovations, Lovelock Correctional Center.......................................$5,585,8928 Install Site Security Cameras, Ely State Prison............................
23-$10,633,595 Housing Units 1 through 4 Plumbing Fixture Water Control Renovations, Lovelock Correctional Center........................................$5,585,892 Install Site Security Cameras, Ely State Prison............................
$1,406,531 Advance Planning:
2$1,406,531 Advance Planning:
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Underground Piping Replacement, High Desert State Prison.................................$2,452,028 4.
Underground Piping Replacement, High Desert State Prison..................................$2,452,028 4.
$37,818,389 Advance Planning:
23$37,818,389 Advance Planning:
Southern Nevada Forensic Facility................23-$18,192,080 5.
Southern Nevada Forensic Facility................23-P0$18,192,080 5.
HVAC Systems Renovation, Combined Support Maintenance Shop........................
HVAC Systems Renovation, Maintenance Shop........................
23-M$1,041,259 Site Drainage Improvements, Las Vegas Readiness Center........
23-M1$1,041,259 Site Drainage Improvements, Las Vegas Readiness Center........
23-M21 $969,411 HVAC Systems Renovation, Emergency Operations Center.......................................$4,434,9557 - *AB1* – 5 – Description Project No.
23-M21 $969,411 HVAC Systems Renovation, Emergency Operations Center........................................$4,434,955 6.
Amount 6.
$5,382,593 Additional Deferred Maintenance, Nevada System of Higher Education ........
2$5,382,593 - 34th Special Session (2023) – 5 – Description Project No.
Amount Additional Deferred Maintenance, Nevada System of Higher Education ........
Capital Improvements for the Department of Public Safety:
Advance Planning:ments for the Department of Public Safety:
Advance Planning:
Headquarters Building, Carson City, Department of Public Safety.................................$11,762,261 8.
Headquarters Building, Carson City, Department of Public Safety..............................$11,762,261 8.
Life Safety, Security and Lighting Replacement, Nevada State Museum, Carson City..................................$1,401,255 Upgrade Security, Fire and Life Safety, and Electrical Systems, Nevada Historical Society......................................$1,919,0830 Building Seismic Retrofit and Envelope Maintenance, Nevada Historical Society............
Life Safety, Security and Lighting Replacement, Nevada State Museum, Carson City...................................
$1,401,255 Upgrade Security, Fire and Life Safety, and Electrical Systems, Nevada Historical Society........................................$1,919,083 Building Seismic Retrofit and Envelope Maintenance, Nevada Historical Society............
23-M2$821,347 Upgrade Heating and Air Conditioning, Marjorie Russell Clothing and Textile Research Center ...........................
23-M20 $821,347 UpgrConditioning, Marjorie Russell Clothing and Textile Research Center ...........................
23$269,066 HVAC Systems Renovation, Indian Hills Curatorial Center.......................................$1,066,0713 - *AB1* – 6 – Description Project No.
23-M4$269,066 HVAC Systems Renovation, Indian Hills Curatorial Center.........................................$1,066,071 Advance Planning:
Amount Advance Planning:
Old Gym Building Seismic Stabilization and Rehabilitation, Stewart Facility.......................................$2,026,1609 9.
Old Gym Building Seismic Stabilization and Rehabilitation, Stewart Facility.....................................$2,026,160P09 9.
Walk-In Cooler and Freezer Replacement, Southern Nevada State Veterans Home.......
- 34th Special Session (2023) – 6 – Description Project No.
23-M09 $503,680 Replace Cooling Tower Piers, Southern Nevada State Veterans Home.............................
Amount Walk-In Cooler and Freezer Replacement, Southern Nevada State Veterans Home.......
23-$390,222 Chapel Remodel, Southern Nevada Veterans Memorial Cemetery......................................$894,842 Advance Planning:
23-M09 $503,680 RepSouthern Nevada Stateers, Veterans Home.............................
23-M1$390,222 Chapel Remodel, Southern Nevada Veterans Memorial Cemetery......................................
2$894,842 Advance Planning:
Hatchery Water Intrusion Repairs, Gallagher Fish Hatchery.....................................$3,012,526 Sec.
Hatchery Water Intrusion Repairs, Gallagher Fish Hatchery.......................................$3,012,526 Sec.
There is hereby appropriated from the State Highway Fund to the State Public Works Division of the Department of Administration the sum of $11,462,536 to support the Division in carrying out the program of capital improvements summarized in this section.
There is hereby appropriated from the State Highway Administration the sum of $11,462,536 to support the Division in carrying out the program of capital improvements summarized in this section.
23-M07 $535,254 - *AB1* – 7 – Description Project No.
23-M07 $535,254 Replace Surveillance Cameras, Door Access Controls and Security System, Department of Motor Vehicles, Flamingo.......
Amount Replace Surveillance Cameras, Door Access Controls and Security System, Department of Motor Vehicles, Flamingo.......
23-M28 $2,224,781 - 34th Special Session (2023) – 7 – Description Project No.
23-M28 $2,224,781 Roofing Replacement, Express Office Building, Department of Motor Vehicles, Donovan........23-S01h $191,025 Statewide Paving Program, Highway Funds ............................23-$1,796,090 2.
Amount Roofing Replacement, Express Office Building, Department of Motor Vehicles, Donovan........23-S01h $191,025 StatHighway Funds ............................23-S0$1,796,090 2.
Construct Secure Parking, Department of Motor Vehicles, Las Vegas, West Flamingo .....................................$922,033 3.
Construct Secure Parking, Department of Motor Vehicles, Las Vegas, West Flamingo .......................................2$922,033 3.
Headquarters Building, Carson City, Department of Public Safety................................$5,793,353 Sec.
Headquarters Building, Carson City, Department of Public Safety..................................$5,793,353 Sec.
the State Highway Fund must be allocated by the State Controller as the money is required for the projects listed in section 3 of this act and must not be transferred to those projects until required to make contract payments.
5.
The amounts appropriated by section 3 of this act from the State Highway Fund must be allocated by the State Controller as the money is required for the projects listed in section 3 of this act and must not be transferred to those projects until required to make contract payments.
Sec.
The capital improvements summarized in this section are to be paid with proceeds of general obligation bonds of the State of Nevada in an amount not to exceed $538,695,336, provided that - *AB1* – 8 – $5,000,000 of the proceeds of general obligation bonds of the State of Nevada issued pursuant to section 6 of chapter 542, Statutes of Nevada 2019, at page 3309, as amended by section 2 of chapter 3, Statutes of Nevada 2020, 31st Special Session, at page 18, shall be reallocated to the capital improvements summarized in this section and spent before the expenditure of the proceeds of general obligation bonds of the State of Nevada issued pursuant to this section.
The capital improvements summarized in this section are to be paid with proceeds of general obligation bonds of the State of Nevada in an amount not to exceed $538,695,336, provided that $5,000,000 of the proceeds of general obligation bonds of the State of Nevada issued pursuant to section 6 of chapter 542, Statutes of - 34th Special Session (2023) – 8 – Nevada 2019, at page 3309, as amended by section 2 of chapter 3, Statutes of Nevada 2020, 31st Special Session, at page 18, shall be reallocated to the capital improvements summarized in this section and spent before the expenditure of the proceeds of general section.
Construct Mail Services Building, Carson City....................23$16,676,099 Seismic Retrofit and Renovation, Heroes Memorial and Annex.....................23-C$29,945,200 Basement Tenant Improvement, Nevada State Library, Archives and Public Records ........23-C15 $4,302,195 Office Renovation, Department of Education, Carson City.............23-C16 $2,190,806 Microwave Tower Relocation, Grant Sawyer Office Building.....................................$4,260,281 Marlette Lake Dam Rehabilitation, Marlette Lake Water System................................2$9,864,119 Construct Administration Building, Kinkead Building Site .....................................$158,465,7533-C30 Purchase of Buildings for State Offices, Las Vegas........................$213,892,608 Deferred Maintenance, Department of Administration..............................
Construct Mail Services Building, Carson City....................23-C$16,676,099 Seismic Retrofit and Renovation, Heroes Memorial and Annex.....................23-C03$29,945,200 Basement Tenant Improvement, Nevada State Library, Archives and Public Records ........23-C15 $4,302,195 Office Renovation, Department of Education, Carson City.............23-C16 $2,190,806 Microwave Tower Relocation, Grant Sawyer Office Building......................................$4,260,281 MarlRehabilitation, Marlette Lake Water System................................23$9,864,119 Construct Administration Building, Kinkead Building Site .......................................$158,465,753C30 Purchase of Buildings for State Offices, Las Vegas........................23$213,892,608 Deferred Maintenance, Department of Administration..............................
$5,000,000 2.
2$5,000,000 2.
Reconfigure West Entrance, Valley of Fire State Park...............23-C2$1,243,590 3.
Reconfigure West Entrance, Valley of Fire State Park...............23-C23$1,243,590 3.
- *AB1* – 9 – Description Project No.
- 34th Special Session (2023) – 9 – Description Project No.
2$10,652,825 4.
23-$10,652,825 Human Services:Improvements for the Department of Health and Gymnasium Addition and Remodel, Summit View Youth Center.................................2$4,505,952 5.
Capital Improvements for the Department of Health and Human Services:
Gymnasium Addition and Remodel, Summit View Youth Center.................................$4,505,952 5.
Remodel Army Aviation Support Facility Administration Building, Harry Reid Training Center...........23-C04 $1,559,953 Ground Support Equipment Shop, Harry Reid Training Center.......................................$2,037,5859 Physical Training Facilities, Floyd Edsall Training Center........23-C11 $3,887,595 Field Maintenance Shop 1 Remodel, Floyd Edsall Training Center .............................$7,816,439 Southern Nevada Small Arms Range, Nevada Army National Guard.............................$17,000,000 6.
Remodel Army Aviation Support Facility Administration Building, Harry Reid Training Center...........23-C04 $1,559,953 Ground Support Equipment Shop, Harry Reid Training Center........................................$2,037,585 Physical Training Facilities, Floyd Edsall Training Center........23-C11 $3,887,595 Field Maintenance Shop 1 Remodel, Floyd Edsall Training Center .............................2$7,816,439 Southern Nevada Small Arms Range, Nevada Army National Guard..............................2$17,000,000 6.
Remodel Freight Barn, East Ely Railroad Museum..........................23-C$4,014,224 7.
RemRailroad Museum..........................23-C1$4,014,224 7.
Remodel and Addition, Southern Nevada State Veterans Home..............................$35,831,018 Committal Building, Northern Nevada Veterans Memorial Cemetery.....................................$3,451,011 Storage Building Installation, Northern Nevada State Veterans Home..............................23$2,098,083 Sec.
Remodel and Addition, Southern Nevada State Veterans Home..............................23$35,831,018 Committal Building, Northern Nevada Veterans Memorial Cemetery......................................$3,451,011 Storage Building Installation, Northern Nevada State Veterans Home..............................23-$2,098,083 Sec.
Any remaining balance of the allocated amounts authorized in section 6 of this act must not be committed for expenditure after June 30, 2027, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 17, 2027.
Any remaining balance of the allocated amounts authorized in section 6 of this act must not be committed for expenditure after June 30, 2027, and must be reverted to the Bond - 34th Special Session (2023) – 10 – Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 17, 2027.
- *AB1* – 10 – Sec.
Sec.
Except as otherwise provided in subsection 2, the State Board of Finance shall issue general obligation bonds of the State of Nevada in the face amount of not more than $111,304,685, the proceeds of which must be used for projects identified in this subsection.
Except as otherwise provided in subsection 2, the State Board of Finance shall issue general obligation bonds of the the proceeds of which must be used for projects identified in this subsection.
23-M2$321,327 Central Plant Replacement, Department of Motor Vehicles, Decatur.........................
23-M22 $321,327 Central Plant Replacement, Department of Motor Vehicles, Decatur.........................
23$1,500,870 Replace Door Access Controls and Security System, Department of Motor Vehicles, Decatur.........................
23-M$1,500,870 Replace Door Access Controls and Security System, Department of Motor Vehicles, Decatur.........................
23-$925,434 Capital Improvements for the Department of Motor Vehicles:
23-M2$925,434 Capital Improvements for the Department of Motor Vehicles:
Construct New Department of Motor Vehicles Silverado Ranch Facility ...........................$105,888,623 Renovate Customer Service Counters Millwork and Install Exterior Self-Service Kiosk, Department of Motor Vehicles, Carson City....................23-C$2,668,431 2.
ConMotor Vehicles Silverado Ranch Facility .............................$105,888,623 Renovate Customer Service Counters Millwork and Install Exterior Self-Service Kiosk, Department of Motor Vehicles, Carson City....................23-C07$2,668,431 2.
In making its determination under this subsection, the State Board of Finance shall be entitled to rely on a certification of the Director of the Office of Finance in the Office of the Governor that the money budgeted and to be budgeted pursuant to subsection 3 will be sufficient to pay the bond repayment costs of the bonds authorized by subsection 1.
In making its determination under this subsection, the State Board of Finance shall be entitled to rely on a certification of the Director of the Office of Finance in the Office of the Governor that the money budgeted and to be budgeted pursuant to - 34th Special Session (2023) – 11 – the bonds authorized by subsection 1.
Any determination made by the State Board of Finance under this subsection shall be conclusive.
Any determination made by of the State Board of Finance under this subsection shall be conclusive.
As used in this subsection, “bond repayment costs” means the - *AB1* – 11 – principal of and interest on the bonds and any other costs related to the payment of the bonds or compliance with covenants made in connection with those bonds, as estimated by the State Treasurer.
As used in this subsection, “bond repayment costs” means the principal of and interest on the bonds and any other costs related to the payment of the bonds or compliance with covenants made in connection with those bonds, as estimated by the State Treasurer.
The Director of the Office of Finance in the Office of the Governor is hereby directed to budget for payment of such bond repayment costs from the State Highway Fund in each budget or other spending plan presented to the Legislature for the expenditure of amounts in the State Highway Fund after the effective date of this section until the bonds authorized by subsection 1 and any bonds directly or indirectly refunding those bonds are no longer outstanding.
The Director of the Office of Finance in the Office of the Governor is hereby directed to budget for payment of such bond repayment costs from the State Highway Fund in each budget or other spending plan presented to the Legislature for the expenditure of amounts in the State Highway Fund after the effective date of this section until the bonds authorized by bonds are no longer outstanding.
Sec.
authorized pursuant to sections 6 and 8 of this act at the time deemed appropriate by the Board based on the schedule established for the completion of the projects described in those sections.
10.
1.
The State Board of Finance may issue the bonds authorized pursuant to sections 6 and 8 of this act at the time deemed appropriate by the Board based on the schedule established for the completion of the projects described in those sections.
The State Controller may advance temporarily from the State General Fund, upon the approval of the Director of the Office of Finance in the Office of the Governor, to the State Public Works Division of the Department of Administration, until the date on which the bonds authorized by section 6 of this act are sold, amounts necessary to facilitate, as applicable, the purchase of buildings or the start of the projects enumerated in section 6 of this act.
The State Controller may advance temporarily from the State General Fund, upon the approval of the Director of the Office of Finance in the Office of the Governor, to the State Public Works Division of the Department of Administration, until the date on which the bonds authorized by section 6 of this act are sold, amounts necessary to facilitate, as applicable, the purchase of - 34th Special Session (2023) – 12 – buildings or the start of the projects enumerated in section 6 of this act.
The amounts temporarily advanced by the State Controller must be advanced as the money is required for the projects and must not be transferred to the projects from the State General Fund until required to make contract payments.
The amounts temporarily advanced by the State Controller must be advanced as the money is required for the projects and must not be transferred to the projects from the State General Fund until repaid immediately to the State General Fund upon the issuance of the bonds or not later than the last business day in August immediately following the end of the fiscal year during which the advance is made.
The advanced amounts must be repaid immediately to the State General Fund upon the issuance of - *AB1* – 12 – the bonds or not later than the last business day in August immediately following the end of the fiscal year during which the advance is made.
The Director of the Office of Finance in the Office of the Governor shall provide written notification to the State Controller, the State Treasurer and the Senate and Assembly Fiscal Analysts of the Fiscal Analysis Division of the Legislative Counsel Bureau of the approval of any advance from the State General Fund or the State Highway Fund to the State Public Works Division of the Department of Administration pursuant to subsection 2 or 3.
The Director of the Office of Finance in the Office of the Governor shall provide written notification to the State Controller, the State Treasurer and the Senate and Assembly Fiscal Analysts of the Fiscal Analysis Division of the Legislative Counsel Bureau of State Highway Fund to the State Public Works Division of thehe Department of Administration pursuant to subsection 2 or 3.
The Director of the Office of Finance in the Office of the Governor shall provide a reconciliation to the Senate and Assembly Fiscal Analysts of the Fiscal Analysis Division of the Legislative Counsel Bureau of any advance authorized from the State General Fund or the State Highway Fund and any repayment to the State General Fund or the State Highway Fund made during any fiscal year during the 2023- 2025 biennium.
The Director of the Office of Finance in the Office of the Governor shall provide a reconciliation to the Senate and Assembly Fiscal Analysts of the Fiscal Analysis Division of the Legislative Counsel Bureau of any advance authorized from the State General Fund or the State Highway Fund and any repayment to the State General Fund or the State Highway Fund made during any fiscal year during the 2023- biennium.
Expenditure of the following sums not appropriated from the State General Fund or the State Highway Fund is hereby authorized for the following projects numbered and described in the Executive Budget for the 2023-2025 biennium or otherwise described as follows:
Expenditure of the following sums not appropriated from the State General Fund or the State Highway Fund is hereby authorized for the following projects numbered and - 34th Special Session (2023) – 13 – described in the Executive Budget for the 2023-2025 biennium or otherwise described as follows:
Marlette Lake Dam Rehabilitation, Marlette Lake Water System................................23$542,319 Reroof Plumb Lane Readiness Center........................................$319,9831g - *AB1* – 13 – Description Project No.
MarlRehabilitation, Marlette Lake Water System................................23-C2$542,319 Reroof Plumb Lane Readiness Center...........................................$319,983 Statewide Fire and Life Safety Program, Nevada Army National Guard.............................23-S$1,974,389 Statewide Paving Program, Nevada Army National Guard..........................................23$552,562 Apron Pavement Preservation, Harry Reid Training Center........23-S05g2 $713,378 Statewide Indoor Air Quality, Environmental Program.................23-S06 $100,000 Statewide Building Official Program........................................$4,502,500 Capital Improvements for the State Department of Conservation and Natural Resources:
Amount Statewide Fire and Life Safety Program, Nevada Army National Guard.............................23$1,974,389 Statewide Paving Program, Nevada Army National Guard.........................................$552,5621 Apron Pavement Preservation, Harry Reid Training Center........23-S05g2 $713,378 Statewide Indoor Air Quality, Environmental Program.................23-S06 $100,000 Statewide Building Official Program......................................$4,502,500 Capital Improvements for the State Department of Conservation and Natural Resources:
Residence/Fire Station Demolition, Spring Creek Fire Station....................................2$107,125 Replace Comfort Station #4, Capital Improvements for the Office of the Military:
Residence/Fire Station Demolition, Spring Creek Fire Station..................................$107,125 Replace Comfort Station #4, Sand Harbor State Park................
$750,000 Remodel Army Aviation Support Facility Administration Building, Harry Reid Training Center...........23-C04 $1,875,000 Capital Improvements for the Department of Tourism and Cultural Affairs:
23-M30 $750,000 Capital Improvements for the Office of the Military:
Visitor’s Center, Nevada State Railroad Museum, Boulder City..........................................$23,309,9360 Remodel Freight Barn, East Ely Railroad Museum..........................23-C12$3,690,064 Capital Improvements for the Department of Veterans Services:
Remodel Army Aviation Support Facility Administration Building, Harry Reid Training Center...........23-C04 $1,875,000 Capital Improvements for the Department of Tourism and Cultural Affairs:
- 34th Special Session (2023) – 14 – Description Project No.
Visitor’s Center, Nevada State Railroad Museum, Boulder City.......................................$23,309,936-C20 Remodel Freight Barn, East Ely Railroad Museum..........................23-C$3,690,064 Capital Improvements for the Department of Veterans Services:
Amount Remodel and Addition, Southern Nevada State Veterans Home..............................23$63,957,628 Administration shall not execute a contract for the construction of a project listed in subsection 1 until the Division has determined that the funding authorized in subsection 1 for the project has been awarded or received and is available for expenditure for the project.
Remodel and Addition, Southern Nevada State Veterans Home..............................$63,957,628 2.
The State Public Works Division of the Department of Administration shall not execute a contract for the construction of a project listed in subsection 1 until the Division has determined that the funding authorized in subsection 1 for the project has been awarded or received and is available for expenditure for the project.
If the Department of Veterans Services receives a grant from the United States Department of Veterans Affairs for the project numbered and described in the Executive Budget for the - *AB1* – 14 – 2023-2025 biennium or otherwise described as Project 23-P04, Advance Planning:
If the Department of Veterans Services receives a grant from the United States Department of Veterans Affairs for the project numbered and described in the Executive Budget for the 2023-2025 biennium or otherwise described as Project 23-P04, Advance Planning:
Sec.
obligation bonds of the State of Nevada in the face amount of not more than $3,000,000 in the 2023-2025 biennium as provided in NRS 383.530, the proceeds of which must be used for the program for awarding financial assistance to pay the actual expenses of preserving or protecting historical buildings to be used to develop a network of cultural centers and activities.
15.
1.
The State Board of Finance shall issue general obligation bonds of the State of Nevada in the face amount of not more than $3,000,000 in the 2023-2025 biennium as provided in NRS 383.530, the proceeds of which must be used for the program for awarding financial assistance to pay the actual expenses of preserving or protecting historical buildings to be used to develop a network of cultural centers and activities.
2.
- 34th Special Session (2023) – 15 – 2.
The State Board of Finance shall issue general obligation bonds of the State of Nevada in the face amount of not more than $43,309,936 in the 2023-2025 biennium, the proceeds of which must be used for the purposes described in:
The State Board of Finance shall issue general more than $43,309,936 in the 2023-2025 biennium, the proceeds oft which must be used for the purposes described in:
Subsection 10 of section 2, - *AB1* – 15 – of chapter 480, Statutes of Nevada 2019, at page 2861.
Subsection 10 of section 2, of chapter 480, Statutes of Nevada 2019, at page 2861.
Constitute an exercise of the authority conferred by the second paragraph of Section 3 of Article 9 of the Nevada Constitution.
Constitute an exercise of the authority conferred by the second paragraph of Section 3 of Article 9 of the Nevada ConSec.
Sec.
An ad valorem tax of 0.82 cents on each $100 of assessed valuation of taxable property is hereby levied for Fiscal Year 2023- 2024, and an ad valorem tax of 0.82 cents on each $100 of assessed valuation of taxable property is hereby levied for Fiscal Year 2024- 2025.
An ad valorem tax of 0.82 cents on each $100 of assessed valuation of taxable property is hereby levied for Fiscal Year - 34th Special Session (2023) – 16 – assessed valuation of taxable property is hereby levied for Fiscal Year 2024-2025.
- *AB1* – 16 – 3.
3.
The proceeds of the taxes levied by this section are hereby appropriated in each fiscal year to the Consolidated Bond Interest and Redemption Fund to discharge the obligations of the State of Nevada as they are respectively due in that fiscal year.
The proceeds of the taxes levied by this section are hereby and Redemption Fund to discharge the obligations of the State ofst Nevada as they are respectively due in that fiscal year.
2.
Redemption Fund is insufficient to pay those obligations as they become due, the State Controller shall cause the money in reserve to be transferred from the State General Fund to the Consolidated Bond Interest and Redemption Fund.
If the money in the Consolidated Bond Interest and Redemption Fund is insufficient to pay those obligations as they become due, the State Controller shall cause the money in reserve to be transferred from the State General Fund to the Consolidated Bond Interest and Redemption Fund.
Any balance of the sums transferred pursuant to this subsection remaining at the end of the respective fiscal years must not be committed for expenditure after June 30 of the respective fiscal years and must be reverted to the State General Fund on or before September 20, 2024, and September 19, 2025, respectively.
Any balance of the sums transferred pursuant to this subsection remaining at the end of the respective fiscal years must not be committed for expenditure after June 30 of the respective fiscal years and must be reverted to the - 34th Special Session (2023) – 17 – State General Fund on or before September 20, 2024, and September 19, 2025, respectively.
(a) The amount of any estimate made pursuant to subsection 1 and the amount of money reserved in the State General Fund based upon the estimate;
and the amount of money reserved in the State General Fund based upon the estimate;
Expenditure of the following sums not appropriated from the State General Fund or the State Highway Fund is hereby authorized from the Consolidated Bond Interest and - *AB1* – 17 – Redemption Fund in the amount of $174,512,014 for Fiscal Year 2023-2024, and in the amount of $174,512,014 for Fiscal Year 2024-2025.
Expenditure of the following sums not appropriated from the State General Fund or the State Highway Fund is hereby authorized from the Consolidated Bond Interest and Redemption Fund in the amount of $174,512,014 for Fiscal Year 2023-2024, and in the amount of $174,512,014 for Fiscal Year 2024-2025.
Notwithstanding the provisions of subsection 4 of NRS 353.220, the approval of the Interim Finance Committee is not required for any request for the revision of a work program for the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund for the bond repayment costs of the bonds approved by the Nevada Legislature pursuant to the provisions of this act.
Notwithstanding the provisions of subsection 4 of NRS 353.220, the approval of the Interim Finance Committee is not required for any request for the revision of a work program for the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund for the bond repayment costs of the provisions of this act.
Transfers of money pursuant to subsection 1 to or from projects that are also authorized in section 11 of this act must maintain the overall ratio of appropriated, allocated and authorized money in total for those projects.
Transfers of money pursuant to subsection 1 to or from projects that are also authorized in section 11 of this act must - 34th Special Session (2023) – 18 – maintain the overall ratio of appropriated, allocated and authorized money in total for those projects.
The money collected pursuant to the annual tax on slot machines imposed pursuant to NRS 463.385 that is distributed to the Special Capital Construction Fund for Higher Education, except any amount of that money which is needed to pay the principal and interest on bonds, is appropriated to the State Public Works Division of the Department of Administration in the sum of $3,000,000 for the project numbered and described in the Executive Budget for the 2023-2025 biennium or otherwise described as project 23-M01, Deferred Maintenance, Nevada System of Higher Education.
The money collected pursuant to the annual tax on slot machines imposed pursuant to NRS 463.385 that is Education, except any amount of that money which is needed to pay the principal and interest on bonds, is appropriated to the State Public Works Division of the Department of Administration in the sum of $3,000,000 for the project numbered and described in the Executive Budget for the 2023-2025 biennium or otherwise described as project 23-M01, Deferred Maintenance, Nevada System of Higher Education.
Any remaining balance of the appropriation made by subsection 1 must not be committed for expenditure after June 30, 2027, by the entity to which the appropriation is made or any entity to which money from the appropriation is granted or otherwise transferred in any manner, and any portion of the appropriated money remaining must not be spent for any purpose after September 17, 2027, by either the entity to which the money was appropriated or the entity to which the money was subsequently granted or transferred, and must be reverted to the Special Capital - *AB1* – 18 – Construction Fund for Higher Education on or before September 17, 2027.
Any remaining balance of the appropriation made by subsection 1 must not be committed for expenditure after June 30, 2027, by the entity to which the appropriation is made or any entity to which money from the appropriation is granted or otherwise transferred in any manner, and any portion of the appropriated money remaining must not be spent for any purpose after September 17, 2027, by either the entity to which the money was appropriated or the entity to which the money was subsequently granted or transferred, and must be reverted to the Special Capital Construction Fund for Higher Education on or before September 17, 2027.
Except as otherwise provided in subsection 2, any remaining balance of the appropriations made by section 1 of [this act] chapter 542, Statutes of Nevada 2019, at page 3305, must not be committed for expenditure after June 30, 2023, by the entity to which the appropriation is made or any entity to which money from the appropriation is granted or otherwise transferred in any manner, and any portion of the appropriated money remaining must not be spent for any purpose after September 15, 2023, by either the entity to which the money was appropriated or the entity to which the money was subsequently granted or transferred, and must be reverted to the State General Fund on or before September 15, 2023.
Except as otherwise provided in subsection 2, any [this act] chapter 542, Statutes of Nevada 2019, at page1 of 3305, must not be committed for expenditure after June 30, 2023, by the entity to which the appropriation is made or any entity to which money from the appropriation is granted or otherwise transferred in any manner, and any portion of the appropriated money remaining must not be spent for any purpose after September 15, 2023, by either the entity to which the money was appropriated or the entity to which the money was subsequently granted or transferred, and must be reverted to the State General Fund on or before September 15, 2023.
Any remaining balance of the appropriations made by section 1 of chapter 542, Statutes of Nevada 2019, at page 3305, for the following projects, must not be committed for expenditure after June 30, 2025, by the entity to which the appropriation is made or any entity to which money from the appropriation is granted or otherwise transferred in any manner, and any portion of the appropriated money remaining must not be spent for any purpose after September 19, 2025, by either the entity to which the money was appropriated or the entity to which the money was subsequently granted or transferred, and must be reverted to the State General Fund on or before September 19, 2025.
Any remaining balance of the appropriations made by section 1 of chapter 542, Statutes of Nevada 2019, at page 3305, for the following projects, must not be committed for expenditure after June 30, 2025, by the entity to which - 34th Special Session (2023) – 19 – the appropriation is made or any entity to which money from the appropriation is granted or otherwise transferred in any manner, and any portion of the appropriated money remaining must not be spent for any purpose after was appropriated or the entity to which the money was money subsequently granted or transferred, and must be reverted to the State General Fund on or before September 19, 2025.
Cemetery Expansion, Southern Nevada Veterans Memorial Cemetery....................................19-C03....
Cemetery Expansion, Southern Nevada Veterans Memorial Cemetery......................................19-C03..
Underground Piping and Boiler Replacement, Lovelock Correctional Center.........................19-M10 HVAC System Renovation, Capitol Building............................19-M59 Statewide ADA Program..........................
Underground Piping and Boiler Replacement, Lovelock Correctional Center...........................19-M10 HVAC System Renovation, Capitol Building..............................19-M59 Statewide ADA Program..........................
Except as otherwise provided in subsection 2, any remaining balance of the allocated amounts authorized in - *AB1* – 19 – section 6 of [this act] chapter 542, Statutes of Nevada 2019, at page 3309, as amended by section 2 of chapter 3, Statutes of Nevada 2020, 31st Special Session, at page 18, must [not] :
Except as otherwise provided in subsection 2, any remaining balance of the allocated amounts authorized in section 6 of [this act] chapter 542, Statutes of Nevada 2019, at page 3309, as amended by section 2 of chapter 3, Statutes of Nevada 2020, 31st Special Session, at page 18, must [not] :
(a) Not be committed for expenditure after June 30, 2023, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 15, 2023 [.] ;
and must be reverted to the Bond Interest and Redemption023, Account in the Consolidated Bond Interest and Redemption Fund on or before September 15, 2023 [.] ;
Any remaining balance of the allocated amounts authorized in section 6 of chapter 542, Statutes of Nevada 2019, at page 3309, as amended by section 2 of chapter 3, Statutes of Nevada 2020, 31st Special Session, at page 18, for the following projects, must not be committed for expenditure after June 30, 2025, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 19, 2025.
Any remaining balance of the allocated amounts authorized in section 6 of chapter 542, Statutes of Nevada 2019, at page 3309, as amended by section 2 of chapter 3, Statutes of Nevada 2020, 31st Special Session, at page 18, for the following projects, must not be committed for expenditure after June 30, 2025, and must be reverted to the - 34th Special Session (2023) – 20 – Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 19, 2025.
Marlette Lake Dam Rehabilitation, Marlette Lake Water System................................19-C08.
MarlRehabilitation, Marlette Lake Water System..................................19-C08 Renovation of Collections Storage Building 19, Stewart Campus........................................19-C16..
Renovation of Collections Storage Building 19, Stewart Campus......................................19-C16....
Replace Freezer, Purchasing Warehouse....................................19-M01.
Replace Freezer, Purchasing Warehouse...................................19-M01..
[Any] - *AB1* – 20 – 1.
[Any] 1.
Except as otherwise provided in subsection 2, any remaining balance of the allocated amounts authorized in section 4 of [this act] chapter 466, Statutes of Nevada 2021, at page 2880, must not be committed for expenditure after June 30, 2025, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 19, 2025.
Except as otherwise provided in subsection 2, any remaining balance of the allocated amounts authorized in at page 2880, must not be committed for expenditure after021, June 30, 2025, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 19, 2025.
Sec.
- 34th Special Session (2023) – 21 – obligation bonds of the State of Nevada in the face amount of not more than $100,000,000 in the 2023-2025 biennium, the proceeds of which must be used for capital improvements for the Legislative Counsel Bureau.
29.
1.
The State Board of Finance shall issue general obligation bonds of the State of Nevada in the face amount of not more than $100,000,000 in the 2023-2025 biennium, the proceeds of which must be used for capital improvements for the Legislative Counsel Bureau.
Any remaining balance of the allocated amounts authorized in subsection 1 must not be committed for expenditure after June 30, 2027, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or before September 17, 2027.
Any remaining balance of the allocated amounts authorized in subsection 1 must not be committed for expenditure after June 30, 2027, and must be reverted to the Bond Interest and Redemption Account in the Consolidated Bond Interest and Redemption Fund on or Sec.
Sec.
The State Controller may advance temporarily from the State General Fund, upon the request of the Director of the Legislative Counsel Bureau, to the Legislative Fund until the date on which the bonds authorized by section 29 of this act are sold, amounts necessary to facilitate the start of the capital improvements - *AB1* – 21 – described in section 29 of this act.
The State Controller may advance temporarily from the State General Fund, upon the request of the Director of the Legislative Counsel Bureau, to the Legislative Fund until the date on which the bonds authorized by section 29 of this act are sold, amounts necessary to facilitate the start of the capital improvements described in section 29 of this act.
The advanced amounts must be repaid immediately to the State General Fund upon the issuance of the bonds or not later than the last business day in August immediately following the end of the fiscal year during which the advance is made.
The advanced amounts must be repaid immediately to the State General Fund upon the issuance of the following the end of the fiscal year during which the advance isely made.
The Director of the Legislative Counsel Bureau shall provide a reconciliation to the Legislative Commission and the Senate and Assembly Fiscal Analysts of the Fiscal Analysis Division of the Legislative Counsel Bureau of the advances authorized from the State General Fund and repayments to the State General Fund made during any fiscal year during the 2023-2025 biennium.
The Director of the Legislative Counsel Bureau shall provide a reconciliation to the Legislative Commission - 34th Special Session (2023) – 22 – Division of the Legislative Counsel Bureau of the advancesAnalysis authorized from the State General Fund and repayments to the State General Fund made during any fiscal year during the 2023-2025 biennium.
(b) A portion of the parcel of land bounded on the west by Carson Street, on the south by Fifth Street, on the east by a portion of the abandoned Fall and Plaza Streets, and on the north by the sidewalk along the south fence of the capitol grounds, situated in a portion of the Capitol Complex, as shown on the Record of Survey Map No.
(b) A portion of the parcel of land bounded on the west by Carson Street, on the south by Fifth Street, on the east by a portion of the abandoned Fall and Plaza Streets, and on the north by the sidewalk along the south fence of the capitol grounds, situated in a portion of the Capitol Complex, as shown on the Record of Survey 3043, section 17, T.
297, Official Records of Carson City, Nevada, File No.
3043, section 17, T.
- *AB1* – 22 – Thence N 001426 E, along that sidewalk, a distance of 173.16 feet, more or less, to the north line of a sidewalk;
Thence N 001426 E, along that sidewalk, a distance of 173.16 feet, more or less, to the north line of a sidewalk;
Thence S 001308 W, along that line, a distance of 709.40 feet, more or less, to the true point of beginning.
Thence S 001308 W, along that line, a distance of 709.Containing 5.68 acres, more or less.oint of beginning.
Containing 5.68 acres, more or less.
(c) The entire parcel of land bounded on the north by Fifth Street, on the south by Sixth Street, on the east by Stewart Street and on the west by Plaza Street, also described as blocks 2 and 3, Pierson and Goodridge Addition;
9 (c) The entire parcel of land bounded on the north by Fifth Street, on the south by Sixth Street, on the east by Stewart Street and on the west by Plaza Street, also described as blocks 2 and 3, Pierson and Goodridge Addition;
Also the entire parcel of land bounded on the north by the south boundary line of block 2, Pierson and Goodridge Addition, on the south by Seventh Street, on the east by Stewart Street and on the west by Fall Street, and further described as block 7, Pierson and Goodridge Addition.
Also the entire parcel of land bounded on the north by the south boundary line of - 34th Special Session (2023) – 23 – Street, on the east by Stewart Street and on the west by Fall Street, and further described as block 7, Pierson and Goodridge Addition.
(f) The entire parcel of land bounded on the north by Third Street, on the west by Stewart Street, on the south by Fourth Street, and on the east by Valley Street, also described as block 22 of Sears, Thompson and Sears Division of Carson City;
Street, on the west by Stewart Street, on the south by Fourth Street, and on the east by Valley Street, also described as block 22 of Sears, Thompson and Sears Division of Carson City;
- *AB1* – 23 – (g) The entire area of land bounded on the west by Fall Street, on the south by Fifth Street, on the east by Stewart Street and on the north by the northern edge of the sidewalk along the northern side of the parking garage, also described as block 38 and a portion of block 23 of Sears, Thompson and Sears Division of Carson City (including the portion of Fourth Street abandoned on December 5, 1989).
(g) The entire area of land bounded on the west by Fall Street, on the south by Fifth Street, on the east by Stewart Street and on the north by the northern edge of the sidewalk along the northern side of the parking garage, also described as block 38 and a Carson City (including the portion of Fourth Street abandoned on December 5, 1989).
(i) Any other property acquired for the use of the Legislature or its staff.
- 34th Special Session (2023) – 24 – its staff.
Title to the property described in this subsection must be held in the name of the Legislature of the State of Nevada.
other property acquired for the use of the Legislature or Title to the property described in this subsection must be held in the name of the Legislature of the State of Nevada.
For this purpose he or she may, in addition to the general power of the Director to employ or contract for the services of personnel, contract with any private enterprise or governmental agency for the provision of appropriate services.
For this purpose he or she may, in addition to the general power of the Director to employ or contract for the services of personnel, contract of appropriate services.ise or governmental agency for the provision Sec.
Sec.
- *AB1* – 24 – (c) 177-03-410-008;
(c) 177-03-410-008;
(d) 177-03-410-011;
(e) 177-03-410-014.
and (e) 177-03-410-014.
and Sec.
Sec.
(a) Prepare and transmit a report to the Interim Finance Committee on or before December 20, 2024, that describes each expenditure made from the money appropriated by subsection 1 from the date on which the money was received by the Culinary Academy of Las Vegas through December 1, 2024;
(a) Prepare and transmit a report to the Interim Finance Committee on or before December 20, 2024, that describes each expenditure made from the money appropriated by subsection 1 - 34th Special Session (2023) – 25 – from the date on which the money was received by the Culinary Academy of Las Vegas through December 1, 2024;
(b) Prepare and transmit a final report to the Interim Finance Committee on or before September 19, 2025, that describes each expenditure made from the money appropriated by subsection 1 from the date on which the money was received by the Culinary Academy of Las Vegas through June 30, 2025;
(b) Prepare and transmit a final report to the Interim Finance Committee on or before September 19, 2025, that describes each from the date on which the money was received by the Culinary Academy of Las Vegas through June 30, 2025;
Section 33 of this act becomes effective on June 30, 2023, if and only if Assembly Bill No.
Section 33 of this act becomes effective on June 30, 2023, if 82nd session of the Legislature are not enacted into law on or before that date.
525 and Senate Bill No.
~~~~~ 23 - 34th Special Session (2023)
341 of the 82nd session of the Legislature are not enacted into law on or before that date.
H - *AB1*
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Action History

  1. Approved by the Governor. Chapter 1.

  2. Enrolled and delivered to Governor.

  3. Read first time. Referred to Committee on Ways and Means. To printer. From printer. To committee. From committee: Do pass. Declared an emergency measure under the Constitution. Read third time. Passed. Title approved. (Yeas: 30, Nays: 11, Excused: 1.) To Senate. In Senate. Read first time. Referred to Select Committee on Finance. To committee. From committee: Do pass. Declared an emergency measure under the Constitution. Read third time. Passed. Title approved. (Yeas: 14, Nays: 7.) To Assembly. In Assembly. To enrollment.

Sponsors

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2 sponsors · 0 co-sponsors · 65 not signed on

Sponsors (2)

Co-sponsors (0)

None.

Not signed on (65)

65 members have not signed on to this bill.

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"Not signed on" means a member has not sponsored or co-sponsored this bill — it does not imply opposition. Members flagged Voted No have a recorded No vote on this bill.

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Frequently asked questions

Who sponsors AB 1?
AB 1 is sponsored by Cannizzaro, Nicole J. (Democratic) and Yeager, Steve (Democratic).
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This bill has been enacted into law. Introduced June 06, 2023. Enacted.
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