Budget Summary FY2019

This is not the official budget document.

    SEARCH
    • Statewide Summary
      • Judiciary
      • Independents
        • District Attorneys
        • Sheriffs
        • Governor's Office
        • Secretary of State
        • Treasurer
          • Treasurer
          • Lottery
          • Cultural Council
        • State Auditor
        • Attorney General
        • State Ethics Commission
        • Inspector General
        • Campaign Finance
        • Comm. Against Discrimination
        • Status of Women
        • Disabled Persons Protection
        • Library Commissioners
        • Comptroller
        • Office of the Child Advocate
        • Cannabis Control Commission
        • Mass Gaming Commission
        • Center for Health Info and Analysis
      • Administration and Finance
      • Tech Services and Security
      • Energy & Environmental Affairs
      • Health and Human Services
      • Transportation
      • Housing & Economic Development
      • Labor & Workforce Development
      • Education
      • Public Safety
      • Legislature
    • All Account Listing
    • Veto Listing
    • Local Aid - Section 3
    • Outside Sections
    • Downloads
    • Budget Glossary
    • Helpful Links

    printer friendly

    Home > Independents > Treasurer > Treasurer - Budget Summary

    Office of the Treasurer and Receiver-General
    Data Current as of:  8/10/2018


    • Budget
      Summary
    • Budget
      Tracking
    • Historical
      Budget
    • Historical
      Spending
    • Agency
      Information
    • Org
      Chart


    FISCAL YEAR 2019 BUDGET SUMMARY ($000)
    ACCOUNT FY2019
    Conference
    FY2019
    Vetoes
    FY2019
    Overrides
    FY2019
    GAA
    0610-0000  Office of the Treasurer and Receiver-General 9,614 0 0 9,614
    0610-0010  Economic Empowerment 495 0 0 495
    0610-0050  Alcoholic Beverages Control Commission 3,687 0 0 3,687
    0610-0051  Alcohol Beverages Control Commission Grant 248 0 0 248
    0610-0060  ABCC Investigation and Enforcement 146 0 0 146
    0610-2000  Welcome Home Bill Bonus Payments 2,804 0 0 2,804
    0611-1000  Bonus Payments to War Veterans 45 0 0 45
    0612-0105  Public Safety Employees Line of Duty Death Benefits 300 0 0 300
    0699-0005  Revenue Anticipation Notes Premium Debt Service 20,000 0 0 20,000
    0699-0014  CTF Special Obligations Program Debt 200,857 0 0 200,857
    0699-0015  Consolidated Long Term Debt Service 2,175,562 0 0 2,175,562
    0699-2005  Central Artery Tunnel Debt Service 56,855 0 0 56,855
    0699-9100  Short Term Debt Service and Costs of Issuance 21,181 0 0 21,181
    TOTAL    2,491,793 0 0 2,491,793

    Hide line item language

    account description amount
    OFFICE OF THE TREASURER AND RECEIVER-GENERAL 2,515,463,261
    Direct Appropriations
    0610-0000 Office of the Treasurer and Receiver-General
    For the office of the treasurer and receiver general; provided, that the treasurer shall provide computer services required by the teachers' retirement board; provided further, that funds may be expended for the payment of bank fees; and provided further, that financial assistance shall be made available to injured firefighters
    9,614,105
    0610-0010 Economic Empowerment
    For the Office of Economic Empowerment; provided, that $60,000 shall be expended for Budget Buddies, Inc. in the town of Chelmsford to operate a program that mentors and teaches financial literacy to low-income women, prior appropriation continued
    495,000
    0610-0050 Alcoholic Beverages Control Commission
    For the administration of the alcoholic beverages control commission in its efforts to regulate and control the conduct and condition of traffic in alcoholic beverages; provided, that the commission shall maintain at least 1 chief investigator and other investigators for the purpose of regulating and controlling the traffic of alcoholic beverages; provided further, that the commission shall work and cooperate with the federal Bureau of Alcohol, Tobacco, Firearms and Explosives in the United States Department of Justice and other relevant federal agencies to assist in its efforts to regulate and control the traffic of alcoholic beverages; and provided further, that the commission shall seek out matching federal dollars and apply for federal grants that may be available to assist in the enforcement of laws pertaining to the traffic of alcoholic beverages
    3,687,019
    0610-0060 ABCC Investigation and Enforcement
    For the costs associated with the investigation and enforcement division of the alcoholic beverages control commission's implementation of the enhanced liquor enforcement programs known as safe campus, safe holidays, safe prom and safe summer; provided, that funds from this appropriation shall not support other operating costs of item 0610-0050
    145,849
    0610-2000 Welcome Home Bill Bonus Payments
    For payments made to veterans under section 1 of chapter 646 of the acts of 1968, section 16 of chapter 130 of the acts of 2005, section 11 of chapter 132 of the acts of 2009 and section 32 of chapter 112 of the acts of 2010; provided, that the office of the state treasurer may expend not more than $205,000 for costs incurred in the administration of these payments
    2,803,627
    0611-1000 Bonus Payments to War Veterans
    For bonus payments to war veterans
    44,500
    0612-0105 Public Safety Employees Line of Duty Death Benefits
    For payment of the public safety employee killed in the line of duty benefit authorized by section 100A of chapter 32 of the General Laws; provided, that the state treasurer's office shall provide immediate written notification to the secretary of administration and finance and the house and senate committees on ways and means upon the expenditure of the funds appropriated in this item; and provided further, that at the written request of the office of the state treasurer, the comptroller shall transfer uncommitted and unobligated funds from item 1599-3384 to this item
    300,000
    0699-0014 CTF Special Obligations Program Debt
    For the payment of interest, discount and principal on certain indebtedness incurred under chapter 233 of the acts of 2008 for financing the accelerated bridge program
                    Commonwealth Transportation Fund ............... 100%
    200,856,574
    0699-0015 Consolidated Long Term Debt Service
    For the payment of interest, discount and principal on certain bonded debt and the sale of bonds of the commonwealth; provided, that notwithstanding any general or special law to the contrary, the state treasurer may make payments pursuant to section 38C of chapter 29 of the General Laws from this item and items 0699-9100, 0699-2005 and 0699-0014; provided further, that the payments shall pertain to the bonds, notes or other obligations authorized to be paid from each item; provided further, that notwithstanding any general or special law to the contrary, the comptroller may transfer the amounts that would otherwise be unexpended on June 30, 2019 from this item to items 0699-9100, 0699-2005 and 0699-0014 or from items 0699-9100, 0699-2005 and 0699-0014 to this item which would otherwise have insufficient amounts to meet debt service obligations for the fiscal year ending June 30, 2019; provided further, that each amount transferred shall be charged to the funds as specified in the item to which the amount is transferred; provided further, that payments on bonds issued pursuant to section 2O of said chapter 29 shall be paid from this item and shall be charged to the infrastructure subfund of the Commonwealth Transportation Fund; and provided further, that notwithstanding any general or special law to the contrary or other provisions of this item, the comptroller may charge the payments authorized in the item to the appropriate budgetary or other fund subject to a plan which the comptroller shall file 10 days in advance with the house and senate committees on ways and means
                    Commonwealth Transportation Fund ............... 50.50%
                    General Fund ............... 49.50%
    2,175,561,639
    0699-2005 Central Artery Tunnel Debt Service
    For the payment of interest, discount and principal on certain indebtedness which may be incurred for financing the central artery/third harbor tunnel funding shortfall
                    Commonwealth Transportation Fund ............... 100%
    56,855,086
    0699-9100 Short Term Debt Service and Costs of Issuance
    For the payment of costs associated with any bonds, notes or other obligations of the commonwealth, including issuance costs, interest on bonds, bond and revenue anticipation notes, commercial paper and other notes pursuant to sections 47 and 49B of chapter 29 of the General Laws and for the payment to the United States pursuant to section 148 of the Internal Revenue Code, 26 U.S.C. 148, of any rebate amount or yield reduction payment owed with respect to any bonds or notes or other obligations of the commonwealth; provided, that the treasurer shall certify to the comptroller a schedule of the distribution of costs among the various funds of the commonwealth; provided further, that not more than $400,000 shall be expended from this item for the costs of personnel at the debt department of the office of the state treasurer; provided further, that the comptroller shall charge costs to the funds in accordance with the schedule; and provided further, that any deficit in this item at the close of the fiscal year ending June 30, 2019 shall be charged to the various funds or to the General Fund or the Commonwealth Transportation Fund debt service reserves
    21,181,485

    account description amount
    Retained Revenues
    0610-0051 Alcohol Beverages Control Commission Grant
    For the operation of the alcoholic beverages control commission relative to the prevention of underage drinking and related programs including, but not limited to, applying for and obtaining federal Bureau of Alcohol, Tobacco, Firearms and Explosives funds, grants and other federal appropriations; provided, that the commission may expend retained revenues up to $247,682 collected from fees generated by the commission; and provided further, that for the purpose of accommodating timing discrepancies between the receipt of retained revenues and related expenditures, the commission may incur expenses and the comptroller may certify for payment amounts not to exceed the lower of this authorization or the most recent revenue estimate as reported in the state accounting system
    247,682
    0699-0005 Revenue Anticipation Notes Premium Debt Service
    For the state treasurer, who may retain and expend not more than $20,000,000 in fiscal year 2019 from premiums paid on the sales of revenue anticipation notes and expend those premium payments to pay the principal and interest on account of the revenue anticipation notes
    20,000,000

    account description amount
    Intragovernmental Service Spending 23,670,695
    0699-0018 Agency Debt Service Programs
    For the cost of debt service for the fiscal year ending June 30, 2019 for the clean energy investment program and other projects or programs for which an agency has committed to fund the associated debt service; provided, that the treasurer may charge other appropriations and federal grants for the cost of the debt service
                    Intragovernmental Services Fund ............... 100%
    23,670,695


    top of page link top of page

      Related Links

    • Office of the Governor
    • Executive Office for Administration and Finance

      About

    • Site Policies
    • Contact Us
    Massachusetts State Seal

    © 2018 Commonwealth of Massachusetts.

    Mass.Gov® is a registered service mark of the Commonwealth of Massachusetts.