Quick Links
Volume 1
Volume 2
- Budget Development
 - Financial Statements
 - Capital Budget
 - Appropriation Recommendations
 - Appropriations - Chrome Users
- Preamble & Sections 1-1C
 - Section 2 Preambles
 - Judiciary
 - Independents
 - Administration and Finance
- Administration & Finance
 - Dev. Disabilities Council
 - Capital Asset Management
 - Bureau of the State House
 - Office on Disability
 - Teachers' Retirement Board
 - Group Insurance
 - Public Employee Retirement
 - Administrative Law Appeals
 - George Fingold Library
 - Dept. of Revenue
 - Appellate Tax Board
 - Health Policy Commission
 - Human Resources Division
 - Civil Service Commission
 - Operational Services Division
 - Information Technology
 
 - Energy & Environmental Affairs
 - Health and Human Services
 - Transportation
 - Housing & Economic Development
 - Labor & Workforce Development
 - Education
 - Public Safety
 - Legislature
 - Line Item Summary
 
 - Agency Information
 - Operating Transfers
 - Local Aid - Section 3
 - Outside Sections
 - Tax Expenditure Budget
 - Resources - PDF Files
 
Division of Capital Asset Management and Maintenance
| DEPARTMENT | FY 2015 Budgetary Recommendations  | 
FY 2015 Federal, Trust, and ISF  | 
FY 2015 Total Spending  | 
FY 2015 Budgetary Non-Tax Revenue  | 
|---|---|---|---|---|
| Division of Capital Asset Management and Maintenance | 5,716 | 51,707 | 57,423 | 5,612 | 
| account | description | amount | 
|---|---|---|
| DIVISION OF CAPITAL ASSET MANAGEMENT AND MAINTENANCE | 57,422,551 | |
| Budgetary Direct Appropriations | 5,715,792 | |
| Direct Appropriations | ||
| 1102-3199 | Office of Facilities Management | 3,248,301 | 
| account | description | amount | 
|---|---|---|
| Retained Revenues | ||
| 1102-3205 | State Office Building Rents Retained Revenue | 2,167,491 | 
| 1102-3232 | Contractor Certification Program Retained Revenue | 300,000 | 
| account | description | amount | 
|---|---|---|
| Intragovernmental Service Spending | 47,411,759 | |
| 1102-3025 | Integrated Facilities Management | 36,194,025 | 
| 1102-3224 | Chargeback for Saltonstall Lease and Occupancy Payments | 11,217,734 | 
| account | description | amount | 
|---|---|---|
| Trust and Other Spending | 4,295,000 | |
| 1102-1965 | NSC Lynn Campus Renovation Project | 65,000 | 
| 1102-2149 | Real Property Auction Program Trust | 30,000 | 
| 1102-2175 | MMA Library Roof | 500,000 | 
| 1102-2494 | Forward Capacity Market and Energy Efficiency Trust | 3,700,000 | 
 top of page