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Full Text of HB5650
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HB5650 - 104th General Assembly
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104TH GENERAL ASSEMBLY
State of Illinois
2025 and 2026
HB5650
Introduced 2/19/2026, by Rep. Robyn Gabel
SYNOPSIS AS INTRODUCED:
Makes appropriations for the ordinary and contingent expenses of the
Department of Transportation for the fiscal year beginning July 1, 2026,
as follows:
Other State Funds
$5,760,285,739
Federal Funds
$14,911,796
Total
$5,775,197,535
OMB104 00212 STV 10212 b
HB5650
OMB104 00212 STV 10212 b
1
AN ACT concerning appropriations.
2
Be it enacted by the People of the State of Illinois,
3
represented in the General Assembly:
4
ARTICLE 1
5
DEPARTMENT OF TRANSPORTATION
6
MULTI-MODAL OPERATIONS
7
Section 5.
The following named sums, or so much thereof as
8
may be necessary, for the objects and purposes hereinafter
9
named, are appropriated from the Road Fund to meet the
10
ordinary and contingent expenses of the Department of
11
Transportation:
12
DEPARTMENT-WIDE
13
For Personal Services
...........................
595,899,900
14
Split approximated below:
15
Central Administration and Planning
.............
41,737,400
16
Planning and Programming
........................
13,662,800
17
Highway Project Implementation
..................
43,001,400
18
Day Labor
........................................
3,599,800
19
District 1
.....................................
152,817,000
20
District 2
......................................
39,260,500
21
District 3
......................................
39,544,500
22
District 4
......................................
40,047,800
23
District 5
......................................
34,834,500
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1
District 6
......................................
48,439,600
2
District 7
......................................
38,080,700
3
District 8
......................................
55,839,000
4
District 9
......................................
33,958,800
5
Aeronautics
......................................
4,524,900
6
Intermodal Project Implementation
................
6,551,200
7
For Extra Help for Districts 1 - 9
...............
45,378,000
8
Split approximated below:
9
District 1
......................................
13,300,000
10
District 2
.......................................
4,650,000
11
District 3
.......................................
4,550,000
12
District 4
.......................................
4,769,000
13
District 5
.......................................
2,850,000
14
District 6
.......................................
4,450,000
15
District 7
.......................................
3,250,000
16
District 8
.......................................
4,659,000
17
District 9
.......................................
2,900,000
18
For State Contributions to State
19
Employees' Retirement System
...................
278,667,400
20
For State Contributions to Social Security
.......
47,407,100
21
Total
$967,352,400
22
Section 10.
The following named sums, or so much thereof
23
as may be necessary, for the objects and purposes hereinafter
24
named, are appropriated from the Road Fund to meet the
25
ordinary and contingent expenses of the Department of
HB5650
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OMB104 00212 STV 10212 b
1
Transportation:
2
FOR CENTRAL ADMINISTRATION OFFICES
3
For Contractual Services
.........................
28,344,600
4
For Travel
..........................................
595,700
5
For Commodities
.....................................
312,200
6
For Printing
........................................
518,200
7
For Equipment
.......................................
293,200
8
For Equipment:
9
Purchase of Cars and Trucks
........................
245,700
10
For Telecommunication Services
......................
315,000
11
For Operation of Automotive Equipment
...............
648,400
12
Total
$31,273,000
13
LUMP SUMS
14
Section 15.
The following named amounts, or so much
15
thereof as may be necessary, are appropriated from the Road
16
Fund to the Department of Transportation for the objects and
17
purposes hereinafter named:
18
For costs associated with hazardous
19
material abatement
.................................
500,000
20
For costs associated with auditing
21
consultants for internal
22
and external audits
..............................
2,900,000
23
For costs associated with process modernization
24
implementation of the Department
...................
200,000
HB5650
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OMB104 00212 STV 10212 b
1
Total
$3,600,000
2
Section 20.
The sum of $1,000,000, or so much thereof as
3
may be necessary, is appropriated from the Road Fund to the
4
Department of Transportation for State Prompt Payment Act
5
Interest Costs, including prior years' costs.
6
AWARDS AND GRANTS
7
Section 25.
The following named amounts, or so much
8
thereof as may be necessary, are appropriated from the Road
9
Fund to the Department of Transportation for the objects and
10
purposes hereinafter named:
11
For Tort Claims, including payment pursuant
12
to the State Employee Indemnification Act
........
4,700,000
13
For representation and indemnification for
14
the Department of Transportation, the Illinois
15
State Police and the Secretary of State,
16
provided that the representation required
17
resulted from the Road Fund portion
18
of their normal operations.
........................
100,000
19
For auto liability payments for the Department of
20
Transportation, the Illinois State Police, and the
21
Secretary of State, provided that the liability
22
resulted from the Road Fund portion of
23
their normal operations
..........................
4,350,000
24
Total
$9,150,000
HB5650
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1
REFUNDS
2
Section 30.
The following named amount, or so much thereof
3
as may be necessary, is appropriated from the Road Fund to the
4
Department of Transportation for the objects and purposes
5
hereinafter named:
6
For Refunds
..........................................
14,100
7
FOR INFORMATION TECHNOLOGY
8
Section 35.
The following named sum, or so much thereof as
9
may be necessary, for the objects and purposes hereinafter
10
named, is appropriated from the Road Fund to meet the ordinary
11
and contingent expenses of the Department of Transportation:
12
For Electronic Data Processing
...................
99,666,300
13
FOR PLANNING AND PROGRAMMING
14
Section 40.
The following named sums, or so much thereof
15
as may be necessary, for the objects and purposes hereinafter
16
named, are appropriated from the Road Fund to the Department
17
of Transportation for the ordinary and contingent expenses of
18
the Office of Planning and Programming:
19
For Contractual Services
............................
677,200
20
For Travel
..........................................
200,000
21
For Commodities
......................................
62,500
22
For Printing
........................................
100,000
23
For Equipment
.......................................
400,000
HB5650
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OMB104 00212 STV 10212 b
1
For Telecommunication Services
......................
260,000
2
For Operation of Automotive Equipment
...............
100,000
3
Total
$1,799,700
4
LUMP SUMS
5
Section 45.
The following named amounts, or so much
6
thereof as may be necessary, are appropriated from the Road
7
Fund to the Department of Transportation for the objects and
8
purposes hereinafter named:
9
For Planning, Research and
10
Development Purposes
...............................
250,000
11
For metropolitan planning and research purposes
12
as provided by law, provided such amount shall
13
not exceed funds to be made available from the
14
federal government or local sources
.............
96,219,500
15
For metropolitan planning and research
16
purposes as provided by law
.....................
26,288,700
17
Total
$122,758,200
18
Section 50.
The sum of $10,000,000, or so much thereof as
19
may be necessary, is appropriated from the Road Fund to the
20
Department of Transportation for all costs associated with a
21
consultant to assist with the transition from the Regional
22
Transportation Authority to the Northern Illinois Transit
23
Authority.
HB5650
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OMB104 00212 STV 10212 b
1
Section 55.
The sum of $4,000,000, or so much thereof as
2
may be necessary, is appropriated from the Road Fund to the
3
Department of Transportation for administrative support for
4
the Interagency Coordinating Committee on Transit Innovation,
5
Integration, and Reform and for the Transit Integration Policy
6
Development Committee.
7
FOR HIGHWAYS PROJECT IMPLEMENTATION
8
Section 60.
The following named sums, or so much thereof
9
as may be necessary, for the objects and purposes hereinafter
10
named, are appropriated from the Road Fund to the Department
11
of Transportation for the ordinary and contingent expenses of
12
the Office of Highway Implementation:
13
For Contractual Services
..........................
6,653,300
14
For Travel
..........................................
410,000
15
For Commodities
.....................................
272,300
16
For Printing
.........................................
10,400
17
For Equipment
.....................................
8,870,000
18
For Equipment:
19
Purchase of Cars and Trucks
.....................
30,658,200
20
For Telecommunication Services
....................
3,640,000
21
For Operation of Automotive Equipment
...............
803,900
22
Total
$51,318,100
23
LUMP SUMS
24
Section 65.
The sum of $5,400,000, or so much thereof as
HB5650
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OMB104 00212 STV 10212 b
1
may be necessary, is appropriated from the Road Fund to the
2
Department of Transportation for payments to local governments
3
for reimbursement of eligible expenses arising from local
4
Traffic Signal Maintenance Agreements.
5
Section 70.
The sum of $16,700,000, or so much thereof as
6
may be necessary, is appropriated from the Road Fund to the
7
Department of Transportation for payments to local governments
8
for reimbursement of eligible expenses arising from City,
9
County, and other State Maintenance Agreements.
10
Section 75.
The sum of $1,500,000, or so much thereof as
11
may be necessary, is appropriated from the Road Fund to the
12
Department of Transportation for repair of damages by
13
motorists to state vehicles and equipment or replacement of
14
state vehicles and equipment, provided such amount not exceed
15
funds to be made available from collections from claims filed
16
by the Department to recover the costs of such damages.
17
Section 80.
The sum of $6,500,000, or so much thereof as
18
may be necessary, is appropriated from the Road Fund to the
19
Department of Transportation for costs associated with the
20
State Radio Communications for the 21st Century (STARCOM)
21
program.
22
Section 85.
The sum of $200,000, or so much thereof as may
HB5650
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OMB104 00212 STV 10212 b
1
be necessary, is appropriated from the Road Fund to the
2
Department of Transportation for costs associated with the
3
Illinois Terrorism Task Force, that consist of approved
4
purchases for homeland security provided such expenditures do
5
not exceed funds made available by the federal government for
6
this purpose.
7
Section 90.
The sum of $300,000, or so much thereof as may
8
be necessary, is appropriated from the Road Fund to the
9
Department of Transportation for costs incurred by the
10
Department's response to natural disasters, emergencies and
11
acts of terrorism that receive Presidential and/or State
12
Disaster Declaration status. These costs would include, but
13
not be limited to, the Department's fuel costs, cost of
14
materials and cost of equipment rentals. This appropriation is
15
in addition to the Department's other appropriations for
16
District and Central Office operations.
17
Section 95.
The sum of $210,000, or so much thereof as may
18
be necessary, is appropriated from the Road Fund to the
19
Department of Transportation for costs associated with the
20
Technology Transfer Center, including the purchase of
21
equipment, media initiatives, and training, provided that such
22
expenditures do not exceed funds to be made available by the
23
federal government for this purpose.
HB5650
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OMB104 00212 STV 10212 b
1
Section 100.
The sum of $5,500,000, or so much thereof as
2
may be necessary, is appropriated from the Road Fund to the
3
Department of Transportation for costs associated with highway
4
safety media campaigns, provided such amounts do not exceed
5
funds to be made available from the federal government.
6
Section 105.
The sum of $11,300,000, or so much thereof as
7
may be necessary, is appropriated from the Road Fund to the
8
Department of Transportation for the IDOT ITS Program.
9
Section 110.
The sum of $180,000, or so much thereof as may
10
be necessary, is appropriated from the Transportation Safety
11
Highway Hire-back Fund to the Department of Transportation for
12
agreements with the Illinois State Police to provide patrol
13
officers in highway construction work zones.
14
Section 115.
The sum of $200,000, or so much there of as
15
may be necessary, is appropriated from the DUI Prevention and
16
Education Fund to the Department of Transportation for
17
expenditures, as determined by the DUI Prevention and
18
Education Commission, for crash victim programs and materials,
19
impaired driving prevention programs, law enforcement support,
20
and other DUI-related programs.
21
AWARDS AND GRANTS
22
Section 120.
The sum of $5,787,600, or so much thereof as
HB5650
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OMB104 00212 STV 10212 b
1
may be necessary, is appropriated from the Road Fund to the
2
Department of Transportation for reimbursement to counties
3
participating in the County Engineers Compensation Program for
4
salaries in the period agreed upon by the parties without
5
regard to state fiscal year. Such reimbursements may not
6
exceed funds to be made available from the counties federal
7
highway allocations retained by the Department.
8
REFUNDS
9
Section 125.
The following named amount, or so much
10
thereof as may be necessary, is appropriated from the Road
11
Fund to the Department of Transportation for the objects and
12
purposes hereinafter named:
13
For Refunds
..........................................
35,000
14
FOR CYCLE RIDER SAFETY
15
Section 130.
The following named sums, or so much thereof
16
as may be necessary, for the objects and purposes hereinafter
17
named, are appropriated from the Cycle Rider Safety Training
18
Fund to the Department of Transportation for the
19
administration of the Cycle Rider Safety Training Program:
20
OPERATIONS
21
For Personal Services
...............................
307,300
22
For State Contributions to State
23
Employees' Retirement System
.......................
133,500
HB5650
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OMB104 00212 STV 10212 b
1
For State Contributions to Social Security
...........
22,900
2
For Group Insurance
.................................
105,600
3
For Contractual Services
............................
167,000
4
For Travel
...........................................
10,000
5
For Commodities
......................................
37,100
6
Total
$783,400
7
LUMP SUMS
8
Section 135.
The sum of $4,800,000, or so much thereof as
9
may be necessary, is appropriated from the Cycle Rider Safety
10
Training Fund to the Department of Transportation for
11
reimbursements to State and local universities and colleges
12
for Cycle Rider Safety Training Programs.
13
Section 140.
The following named sums, or so much thereof
14
as may be necessary, for the objects and purposes hereinafter
15
named, are appropriated from the Road Fund to meet the
16
ordinary and contingent expenses of the Department of
17
Transportation:
18
FOR BUREAU OF DAY LABOR
19
For Contractual Services
..........................
8,336,300
20
For Travel
..........................................
180,000
21
For Commodities
.....................................
339,600
22
For Equipment
.......................................
760,000
23
For Equipment:
HB5650
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OMB104 00212 STV 10212 b
1
Purchase of Cars and Trucks
......................
1,566,900
2
For Telecommunication Services
.......................
61,600
3
For Operation of Automotive Equipment
.............
1,640,000
4
Total
$12,884,400
5
Section 145.
The following named sums, or so much thereof
6
as may be necessary, for the objects and purposes hereinafter
7
named, are appropriated from the Road Fund to meet the
8
ordinary and contingent expenses of the Department of
9
Transportation:
10
DISTRICT 1, SCHAUMBURG OFFICE
11
For Contractual Services
.........................
18,500,000
12
For Travel
..........................................
445,000
13
For Commodities
..................................
12,023,900
14
For Equipment
.....................................
5,390,000
15
For Equipment:
16
Purchase of Cars and Trucks
.....................
20,340,200
17
For Telecommunication Services
....................
5,312,600
18
For Operation of Automotive Equipment
...........
25,000,000
19
Total
$87,011,700
20
Section 150.
The following named sums, or so much thereof
21
as may be necessary, for the objects and purposes hereinafter
22
named, are appropriated from the Road Fund to meet the
23
ordinary and contingent expenses of the Department of
HB5650
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OMB104 00212 STV 10212 b
1
Transportation:
2
DISTRICT 2, DIXON OFFICE
3
For Contractual Services
..........................
5,800,000
4
For Travel
..........................................
100,000
5
For Commodities
...................................
6,814,600
6
For Equipment
.....................................
2,459,000
7
For Equipment:
8
Purchase of Cars and Trucks
......................
3,736,700
9
For Telecommunication Services
......................
304,900
10
For Operation of Automotive Equipment
............
8,500,000
11
Total
$27,715,200
12
Section 155.
The following named sums, or so much thereof
13
as may be necessary, for the objects and purposes hereinafter
14
named, are appropriated from the Road Fund to meet the
15
ordinary and contingent expenses of the Department of
16
Transportation:
17
DISTRICT 3, OTTAWA OFFICE
18
For Contractual Services
..........................
7,300,000
19
For Travel
...........................................
95,000
20
For Commodities
...................................
5,862,900
21
For Equipment
.....................................
2,459,000
22
For Equipment:
23
Purchase of Cars and Trucks
......................
6,758,900
HB5650
- 15 -
OMB104 00212 STV 10212 b
1
For Telecommunication Services
......................
332,900
2
For Operation of Automotive Equipment
.............
8,600,000
3
Total
$31,408,700
4
Section 160.
The following named sums, or so much thereof
5
as may be necessary, for the objects and purposes hereinafter
6
named, are appropriated from the Road Fund to meet the
7
ordinary and contingent expenses of the Department of
8
Transportation:
9
DISTRICT 4, PEORIA OFFICE
10
For Contractual Services
..........................
5,650,000
11
For Travel
...........................................
55,000
12
For Commodities
...................................
4,892,100
13
For Equipment
.....................................
2,531,000
14
For Equipment:
15
Purchase of Cars and Trucks
......................
8,898,700
16
For Telecommunication Services
......................
312,700
17
For Operation of Automotive Equipment
.............
8,900,000
18
Total
$31,239,500
19
Section 165.
The following named sums, or so much thereof
20
as may be necessary, for the objects and purposes hereinafter
21
named, are appropriated from the Road Fund to meet the
22
ordinary and contingent expenses of the Department of
23
Transportation:
HB5650
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OMB104 00212 STV 10212 b
1
DISTRICT 5, PARIS OFFICE
2
For Contractual Services
..........................
5,720,000
3
For Travel
...........................................
55,000
4
For Commodities
...................................
3,087,600
5
For Equipment
.....................................
2,459,000
6
For Equipment:
7
Purchase of Cars and Trucks
......................
3,291,100
8
For Telecommunication Services
......................
330,900
9
For Operation of Automotive Equipment
.............
6,800,000
10
Total
$21,743,600
11
Section 170.
The following named sums, or so much thereof
12
as may be necessary, for the objects and purposes hereinafter
13
named, are appropriated from the Road Fund to meet the
14
ordinary and contingent expenses of the Department of
15
Transportation:
16
DISTRICT 6, SPRINGFIELD OFFICE
17
For Contractual Services
..........................
7,200,000
18
For Travel
...........................................
51,300
19
For Commodities
...................................
3,360,300
20
For Equipment
.....................................
2,690,000
21
For Equipment:
22
Purchase of Cars and Trucks
......................
7,126,700
23
For Telecommunication Services
......................
380,000
HB5650
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OMB104 00212 STV 10212 b
1
For Operation of Automotive Equipment
.............
8,500,000
2
Total
$29,308,300
3
Section 175.
The following named sums, or so much thereof
4
as may be necessary, for the objects and purposes hereinafter
5
named, are appropriated from the Road Fund to meet the
6
ordinary and contingent expenses of the Department of
7
Transportation:
8
DISTRICT 7, EFFINGHAM OFFICE
9
For Contractual Services
..........................
5,600,000
10
For Travel
...........................................
70,000
11
For Commodities
...................................
3,153,300
12
For Equipment
.....................................
2,459,000
13
For Equipment:
14
Purchase of Cars and Trucks
......................
6,260,800
15
For Telecommunication Services
......................
370,000
16
For Operation of Automotive Equipment
.............
5,200,000
17
Total
$23,113,100
18
Section 180.
The following named sums, or so much thereof
19
as may be necessary, for the objects and purposes hereinafter
20
named, are appropriated from the Road Fund to meet the
21
ordinary and contingent expenses of the Department of
22
Transportation:
HB5650
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OMB104 00212 STV 10212 b
1
DISTRICT 8, COLLINSVILLE OFFICE
2
For Contractual Services
.........................
11,850,000
3
For Travel
...........................................
75,000
4
For Commodities
...................................
4,057,600
5
For Equipment
.....................................
3,450,000
6
For Equipment:
7
Purchase of Cars and Trucks
......................
4,743,400
8
For Telecommunication Services
....................
1,095,100
9
For Operation of Automotive Equipment
.............
9,850,000
10
Total
$35,121,100
11
Section 185.
The following named sums, or so much thereof
12
as may be necessary, for the objects and purposes hereinafter
13
named, are appropriated from the Road Fund to meet the
14
ordinary and contingent expenses of the Department of
15
Transportation:
16
DISTRICT 9, CARBONDALE OFFICE
17
For Contractual Services
..........................
5,550,000
18
For Travel
...........................................
80,000
19
For Commodities
...................................
3,533,600
20
For Equipment
.....................................
2,459,000
21
For Equipment:
22
Purchase of Cars and Trucks
......................
2,006,700
23
For Telecommunication Services
......................
240,000
24
For Operation of Automotive Equipment
.............
5,600,000
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Total
$19,469,300
2
Section 190.
The following named sums, or so much thereof
3
as may be necessary, for the objects and purposes hereinafter
4
named, are appropriated to meet the ordinary and contingent
5
expenses of the Department of Transportation:
6
FOR AERONAUTICS
7
For Contractual Services:
8
Payable from the Road Fund
.........................
975,000
9
Payable from Air Transportation
10
Revolving Fund
....................................
279,100
11
For Travel:
12
Payable from the Road Fund
..........................
60,000
13
For Commodities:
14
Payable from the Road Fund
..........................
95,000
15
Payable from Aeronautics Fund
........................
6,200
16
For Equipment:
17
Payable from the Road Fund
.........................
385,800
18
For Telecommunication Services:
19
Payable from the Road Fund
..........................
65,000
20
For Operation of Automotive Equipment:
21
Payable from the Road Fund
..........................
81,900
22
Total
$1,948,000
23
LUMP SUMS
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Section 195.
The sum of $1,600,000, or so much thereof as
2
may be necessary, is appropriated from the Tax Recovery Fund
3
to the Department of Transportation for maintenance and repair
4
costs incurred on real property owned by the Department for
5
development of an airport in Will County, for applicable
6
refunds of security deposits to lessees, and for payments to
7
the Will County Treasurer in lieu of leasehold taxes lost due
8
to government ownership.
9
Section 200.
The sum of $20,000,000, or so much thereof as
10
may be necessary, is appropriated from the State Aviation
11
Program Fund to the Department of Transportation for the
12
purposes described in Section 6z-20.1 of the State Finance
13
Act.
14
Section 205.
The sum of $9,500,000, or so much thereof as
15
may be necessary, is appropriated from the Sound-Reducing
16
Windows and Doors Replacement Fund to the Department of
17
Transportation for the purposes described in Section 6z-20.1
18
of the State Finance Act.
19
REFUNDS
20
Section 210.
The following named amount, or so much
21
thereof as may be necessary, is appropriated from the
22
Aeronautics Fund to the Department of Transportation for the
23
objects and purposes hereinafter named:
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For Refunds
.............................................
500
2
FOR INTERMODAL PROJECT IMPLEMENTATION
3
Section 215.
The following named sums, or so much thereof
4
as may be necessary for the agencies hereinafter named, are
5
appropriated from the Road Fund to the Department of
6
Transportation for the ordinary and contingent expenses of the
7
Office of Intermodal Project Implementation:
8
For Contractual Services
............................
798,800
9
For Travel
...........................................
70,000
10
For Commodities
.......................................
6,000
11
For Equipment
.........................................
7,000
12
For Telecommunication Services
.......................
50,000
13
Total
$931,800
14
LUMP SUMS
15
Section 220.
The sum of $250,000, or so much thereof as may
16
be necessary, is appropriated from the Road Fund to the
17
Department of Transportation for public transportation
18
technical studies.
19
Section 225.
The sum of $250,000, or so much thereof as may
20
be necessary, is appropriated from the Road Fund to the
21
Department of Transportation for costs associated with Safety
22
and Security Oversight as set forth in the federal
23
transportation bill, as amended.
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Section 230.
The following named sums, or so much thereof
2
as may be necessary, are appropriated from the Downstate
3
Public Transportation Fund to the Department of Transportation
4
for operating assistance to provide a portion of the eligible
5
operating expenses for the following carriers for the purposes
6
stated in the Downstate Public Transportation Act:
7
Champaign-Urbana Mass Transit District
...........
54,000,300
8
Greater Peoria Mass Transit District with
9
Service to Peoria County
........................
36,306,500
10
Rock Island County Metropolitan
11
Mass Transit District
...........................
26,848,800
12
Rockford Mass Transit District
...................
26,832,100
13
Springfield Mass Transit District
................
25,984,800
14
Bloomington-Normal Public Transit System with
15
service to McLean County
........................
21,186,700
16
City of Decatur with service to Macon County
.....
14,196,800
17
City of Quincy
....................................
4,851,100
18
City of Galesburg
.................................
3,041,600
19
Stateline Mass Transit District with
20
service to South Beloit
..........................
1,893,600
21
City of Danville
..................................
6,628,300
22
RIDES Mass Transit District with
23
service to Edgar and Clark counties
.............
18,341,100
24
South Central Illinois Mass Transit District
.....
13,848,800
25
River Valley Metro Mass Transit District
.........
11,381,200
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Jackson County Mass Transit District
..............
3,995,000
2
City of DeKalb
...................................
11,555,900
3
City of Macomb
....................................
2,509,000
4
Shawnee Mass Transit District
.....................
5,102,700
5
St. Clair County Transit District
................
80,753,500
6
West Central Mass Transit District
................
3,479,900
7
Monroe-Randolph Transit District
..................
1,728,100
8
Madison County Mass Transit District
.............
37,367,300
9
Bond County
.........................................
997,500
10
Bureau County with service to Putnam County
.......
2,413,700
11
Coles County
......................................
1,578,300
12
City of Freeport with service
13
to Stephenson County
.............................
1,471,500
14
Henry County
........................................
640,500
15
Jo Daviess County
.................................
1,413,700
16
Kankakee County
.....................................
803,000
17
Piatt County with service to DeWitt County
........
1,356,000
18
Shelby County with service to Christian County
....
2,239,300
19
Tazewell County
...................................
1,187,800
20
Kendall County
....................................
2,130,200
21
Woodford County
.....................................
707,700
22
Reagan Mass Transit District
......................
5,227,300
23
Champaign County
..................................
1,306,900
24
Boone County
........................................
404,400
25
DeKalb County
.....................................
2,319,200
26
Grundy County
.......................................
878,500
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Warren County with service to Mercer County
.........
845,100
2
Rock Island County
..................................
338,200
3
Hancock County
......................................
274,400
4
Macoupin County
...................................
1,736,800
5
Fulton County
.......................................
672,300
6
Effingham County
....................................
935,800
7
City of Ottawa with service to LaSalle County
.....
2,462,100
8
Carroll County
....................................
1,066,800
9
Logan County
........................................
514,200
10
Sangamon County with service to Menard County
.......
989,900
11
Jersey County with service to Greene
12
and Calhoun Counties
...............................
958,100
13
Marshall County with service to Stark County
........
418,900
14
Douglas County
......................................
368,900
15
Winnebago County
....................................
798,800
16
Livingston County with service to Ford
17
and Iroquois Counties
............................
1,078,500
18
Total
$452,367,400
19
Section 235.
The sum of $4,951,200, or so much thereof as
20
may be necessary, is appropriated from the Downstate Public
21
Transportation Fund to the Department of Transportation for
22
audit adjustments in accordance with Sections 2-7 and 2-15 of
23
the Downstate Public Transportation Act, including prior
24
years' costs.
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Section 240.
The sum of $520,000, or so much thereof as may
2
be necessary, is appropriated from the Federal Mass Transit
3
Trust Fund to the Department of Transportation for federal
4
reimbursement of costs associated with Safety and Security
5
Oversight.
6
Section 245.
The sum of $1,540,000, or so much thereof as
7
may be necessary, is appropriated from the Federal Mass
8
Transit Trust Fund to the Department of Transportation for
9
federal reimbursement of transit studies.
10
GRANTS AND AWARDS
11
Section 250.
The sum of $1,341,000,000, or so much thereof
12
as may be necessary, is appropriated from the Public
13
Transportation Fund to the Department of Transportation for
14
the purpose stated in Section 4.09 of the Northern Illinois
15
Transit Authority Act.
16
Section 255.
The sum of $100,000,000, or so much thereof
17
as may be necessary, is appropriated from the Public
18
Transportation Fund to the Department of Transportation for
19
making a grant to the Northern Illinois Transit Authority for
20
Additional Financial Assistance to be used for its purposes as
21
provided in the Northern Illinois Transit Authority Act, but
22
in no event shall this amount exceed the amount provided for in
23
Sections 4.09 (c-5) and 4.09 (d) with respect to Strategic
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Capital Improvement bonds issued by the Northern Illinois
2
Transit Authority pursuant to the Northern Illinois Transit
3
Authority Act.
4
Section 260.
The sum of $23,067,000, or so much thereof as
5
may be necessary, is appropriated from the Road Fund to the
6
Department of Transportation for grants to the Northern
7
Illinois Transit Authority intended to reimburse the Service
8
Boards for providing reduced fares on mass transportation
9
services for students, handicapped persons, and the elderly,
10
to be allocated proportionally among the Service Boards based
11
upon actual costs incurred by each Service Board for such
12
reduced fares.
13
Section 265.
The sum of $11,500,000, or so much thereof as
14
may be necessary, is appropriated from the Road Fund to the
15
Department of Transportation for making a grant to the
16
Northern Illinois Transit Authority for the funding of the
17
Americans with Disabilities Act of 1990 (ADA) paratransit
18
services and for other costs and services.
19
Section 270.
The sum of $20,000,000, or so much thereof as
20
may be necessary, is appropriated from the Road Fund to the
21
Department of Transportation for grants to Boards of Trustees
22
of Districts created under the Local Mass Transit District Act
23
to reimburse the Districts for providing reduced fares on mass
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transportation services for public school students.
2
Section 275.
The sum of $15,000,000, or so much thereof as
3
may be necessary, is appropriated from the Road Fund to the
4
Department of Transportation for grants to Boards of Trustees
5
of Districts created under the Local Mass Transit District Act
6
for pilot programs in partnership with public school districts
7
for providing regular, vocational, or special education
8
transportation, except for public school districts organized
9
under Article 34 of the School Code.
10
Section 280.
The sum of $10,000,000, or so much thereof as
11
may be necessary, is appropriated from the Road Fund to the
12
Department of Transportation for costs associated with the
13
long-term heavy overhauls of locomotives.
14
Section 285.
The sum of $76,000,000, or so much thereof as
15
may be necessary, is appropriated from the Road Fund to the
16
Department of Transportation for funding the State's share of
17
intercity rail passenger service and making necessary
18
expenditures for services and other program improvements.
19
FOR HIGHWAY SAFETY
20
Section 290.
The following named sums, or so much thereof
21
as may be necessary for the agencies hereinafter named, are
22
appropriated from the Road Fund to the Department of
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Transportation for implementation of the Illinois Highway
2
Safety Program under provisions of the National Highway Safety
3
Act of 1966, as amended, and Alcohol Traffic Safety Programs
4
of Title XXIII of the Surface Transportation Assistance Act of
5
1982, as amended, and other federal highway safety initiatives
6
as provided by law:
7
FOR THE DEPARTMENT OF TRANSPORTATION
8
For Contractual Services
............................
149,100
9
For Travel
...........................................
36,100
10
For Commodities
......................................
24,300
11
For Printing
.........................................
43,700
12
For Equipment
.............................................
0
13
For Telecommunication Services
............................
0
14
For Operation of Automotive Equipment
.....................
0
15
Total
$253,200
16
FOR THE ILLINOIS CRIMINAL JUSTICE INFORMATION AUTHORITY
17
For costs associated with implementation of the Illinois
18
Highway Safety Program under provisions of the National
19
Highway Safety Act of 1966, as amended, and Alcohol Traffic
20
Safety Programs of Title XXIII of the Surface Transportation
21
Assistance Act of 1982, as amended, and other federal highway
22
safety initiatives as provided by law
.................
461,100
23
FOR THE SECRETARY OF STATE
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For costs associated with implementation of the Illinois
2
Highway Safety Program under provisions of the National
3
Highway Safety Act of 1966, as amended, and Alcohol Traffic
4
Safety Programs of Title XXIII of the Surface Transportation
5
Assistance Act of 1982, as amended, and other federal highway
6
safety initiatives as provided by law
..............
4,120,000
7
FOR THE DEPARTMENT OF PUBLIC HEALTH
8
For costs associated with implementation of the Illinois
9
Highway Safety Program under provisions of the National
10
Highway Safety Act of 1966, as amended, and Alcohol Traffic
11
Safety Programs of Title XXIII of the Surface Transportation
12
Assistance Act of 1982, as amended, and other federal highway
13
safety initiatives as provided by law
.................
851,800
14
FOR THE ILLINOIS STATE POLICE
15
For costs associated with implementation of the Illinois
16
Highway Safety Program under provisions of the National
17
Highway Safety Act of 1966, as amended, and Alcohol Traffic
18
Safety Programs of Title XXIII of the Surface Transportation
19
Assistance Act of 1982, as amended, and other federal highway
20
safety initiatives as provided by law
..............
7,898,600
21
FOR THE ILLINOIS LAW ENFORCEMENT
22
TRAINING STANDARDS BOARD
23
For costs associated with implementation of the Illinois
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Highway Safety Program under provisions of the National
2
Highway Safety Act of 1966, as amended, and Alcohol Traffic
3
Safety Programs of Title XXIII of the Surface Transportation
4
Assistance Act of 1982, as amended, and other federal highway
5
safety initiatives as provided by law
.................
850,000
6
FOR THE ADMISTRATIVE OFFICE OF THE ILLINOIS COURTS
7
For costs associated with implementation of the Illinois
8
Highway Safety Program under provisions of the National
9
Highway Safety Act of 1966, as amended, and Alcohol Traffic
10
Safety Programs of Title XXIII of the Surface Transportation
11
Assistance Act of 1982, as amended, and other federal highway
12
safety initiatives as provided by law
.................
143,000
13
Total
$14,577,700
14
LUMP SUM AWARDS AND GRANTS
15
Section 295.
The sum of $25,900,000, or so much thereof as
16
may be necessary, is appropriated from the Road Fund to the
17
Department of Transportation for the Illinois Highway Safety
18
Program and local highway safety projects by county and
19
municipal governments, state and private universities, and
20
other private entities.
21
MOTOR FUEL TAX ADMINISTRATION
22
Section 300.
The following named sums, or so much thereof
23
as may be necessary, are appropriated from the Motor Fuel Tax
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Fund to the Department of Transportation for the ordinary and
2
contingent expenses incident to the operations and functions
3
of administering the provisions of the Illinois Highway Code,
4
relating to use of Motor Fuel Tax Funds by the counties,
5
municipalities, road districts and townships:
6
OPERATIONS
7
For Personal Services
............................
14,338,200
8
For State Contributions to State
9
Employees' Retirement System
.....................
6,230,700
10
For State Contributions to Social Security
........
1,056,400
11
For Group Insurance
...............................
4,871,300
12
For Contractual Services
.............................
80,400
13
For Travel
...........................................
31,000
14
For Commodities
.......................................
2,000
15
For Printing
.........................................
35,900
16
For Equipment
.........................................
5,900
17
For Telecommunication Services
.......................
13,300
18
For Operation of Automotive Equipment
................
13,000
19
Total
$26,678,100
20
Section 305.
The following named sums, or so much thereof
21
as are available for distribution in accordance with Section 8
22
of the Motor Fuel Tax Law, are appropriated to the Department
23
of Transportation for the purposes stated:
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DISTRIBUTIVE ITEMS
2
Payable from the Motor Fuel Tax Counties Fund:
3
For apportioning, allotting, and paying
4
as provided by law to Counties
.................
205,983,800
5
Payable from the Motor Fuel Tax Municipalities Fund:
6
For apportioning, allotting, and paying
7
as provided by law to Municipalities
...........
287,256,200
8
Payable from the Motor Fuel Tax Townships
9
and Road Districts Fund:
10
For apportioning, allotting, and paying
11
as provided by law to Counties for
12
Distribution to Road Districts
..................
93,385,000
13
Total
$586,625,000
14
Section 310.
The following named amounts, or so much
15
thereof as are available for distribution in accordance with
16
Section 8b of the Motor Fuel Tax Law, are appropriated from the
17
Transportation Renewal Fund to the Department of
18
Transportation for the purposes stated:
19
DISTRIBUTIVE ITEMS
20
For apportioning, allotting, and paying
21
as provided by law:
22
To Counties
....................................
202,983,300
23
To Municipalities
..............................
284,675,200
24
To Counties for Distribution
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to Road Districts
..............................
92,128,100
2
Total
$579,786,600
3
Section 315.
No contract shall be entered into or
4
obligation incurred or any expenditure made from an
5
appropriation herein made in:
6
Section 255 SCIP II Debt Service of this Article until after
7
the purpose and the amount of such expenditure has been
8
approved in writing by the Governor.
9
Total, This Article
........................
$5,004,336,000
10
ARTICLE 2
11
DEPARTMENT OF TRANSPORTATION
12
FOR CENTRAL ADMINISTRATION
13
Section 5.
The sum of $3,502,956, or so much thereof as may
14
be necessary, and remains unexpended, at the close of business
15
on June 30, 2026, from the appropriation and reappropriation
16
heretofore made in Article 66, Section 15 and Article 67,
17
Section 5 of Public Act 104-0003, as amended, is
18
reappropriated from the Road Fund to the Department of
19
Transportation for costs associated with hazardous material
20
abatement.
21
Section 10.
The sum of $6,745,960, or so much thereof as
22
may be necessary, and remains unexpended, at the close of
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business on June 30, 2026, from the appropriation and
2
reappropriation heretofore made in Article 66, Section 15 and
3
Article 67, Section 10 of Public Act 104-0003, as amended, is
4
reappropriated from the Road Fund to the Department of
5
Transportation for costs associated with auditing consultants
6
for internal and external audits.
7
Section 15.
The sum of $759,110, or so much thereof as may
8
be necessary, and remains unexpended, at the close of business
9
on June 30, 2026, from the appropriation and reappropriation
10
heretofore made in Article 66, Section 15 and Article 67,
11
Section 15 of Public Act 104-0003, as amended, is
12
reappropriated from the Road Fund to the Department of
13
Transportation for costs associated with process modernization
14
implementation of the Department.
15
Section 20.
The sum of $3,000,000, or so much thereof as
16
may be necessary, and remains unexpended, at the close of
17
business on June 30, 2026, from the reappropriation heretofore
18
made in Article 67, Section 20 of Public Act 104-0003, as
19
amended, is reappropriated from the Road Fund to the
20
Department of Transportation for costs associated with an
21
efficiency study.
22
FOR PLANNING AND PROGRAMMING
23
Section 25.
The sum of $2,283,871, or so much thereof as
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may be necessary, and remains unexpended, at the close of
2
business on June 30, 2026, from the appropriation and
3
reappropriation heretofore made in Article 66, Section 45 and
4
Article 67, Section 25 of Public Act 104-0003, as amended, is
5
reappropriated from the Road Fund to the Department of
6
Transportation for Planning, Research and Development
7
purposes.
8
Section 30.
The sum of $117,849,300, or so much thereof as
9
may be necessary, and remains unexpended, at the close of
10
business on June 30, 2026, from the appropriation and
11
reappropriation heretofore made in Article 66, Section 45 and
12
Article 67, Section 30 of Public Act 104-0003, as amended, is
13
reappropriated from the Road Fund to the Department of
14
Transportation for metropolitan planning and research purposes
15
as provided by law, provided such amounts shall not exceed
16
funds to be made available from the federal government or
17
local sources.
18
Section 35.
The sum of $65,209,589, or so much thereof as
19
may be necessary, and remains unexpended, at the close of
20
business on June 30, 2026, from the appropriation and
21
reappropriation heretofore made in Article 66, Section 45 and
22
Article 67, Section 35 of Public Act 104-0003, as amended, is
23
reappropriated from the Road Fund to the Department of
24
Transportation for metropolitan planning and research purposes
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as provided by law.
2
Section 40.
The sum of $304,401, or so much thereof as may
3
be necessary, and remains unexpended, at the close of business
4
on June 30, 2026, from the reappropriation heretofore made in
5
Article 67, Section 40 of Public Act 104-0003, as amended, is
6
reappropriated from the Road Fund to the Department of
7
Transportation for costs incurred as directed by the
8
Blue-Ribbon Commission for strategic advisory services and
9
support.
10
Section 45.
The sum of $2,038,000, or so much thereof as
11
may be necessary, and remains unexpended, at the close of
12
business on June 30, 2026, from the appropriation heretofore
13
made in Article 66, Section 50 of Public Act 104-0003, as
14
amended, is reappropriated from the Road Fund to the
15
Department of Transportation for purchase of computer
16
equipment for various law enforcement agencies to provide them
17
the capability of submitting crash reports electronically.
18
Expenditures may not exceed the amount made available from
19
NHTSA for this purpose.
20
FOR HIGHWAY PROJECT IMPLEMENTATION
21
Section 50.
The sum of $37,949,645, or so much thereof as
22
may be necessary, and remains unexpended, at the close of
23
business on June 30, 2026, from the appropriations and
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reappropriation heretofore made in Article 66, Section 60, and
2
Article 67, Section 45, of Public Act 104-0003, as amended, is
3
reappropriated from the Road Fund to the Department of
4
Transportation for reimbursements of eligible expenses arising
5
from Local Traffic Signal Maintenance Agreements, and
6
reimbursements of eligible expenses arising from City, County,
7
and other State Maintenance Agreements.
8
Section 55.
The sum of $6,878,676, or so much thereof as
9
may be necessary, and remains unexpended, at the close of
10
business on June 30, 2026, from the appropriation and
11
reappropriation heretofore made in Article 66, Section 65 and
12
Article 67, Section 50 of Public Act 104-0003, as amended, is
13
reappropriated from the Road Fund to the Department of
14
Transportation for repair of damages by motorists to state
15
vehicles and equipment or replacement of state vehicles and
16
equipment, provided such amount does not exceed funds to be
17
made available from collections from claims filed by the
18
Department to recover the costs of such damages.
19
Section 60.
The sum of $11,909,532, or so much thereof as
20
may be necessary, and remains unexpended, at the close of
21
business on June 30, 2026, from the appropriation and
22
reappropriation heretofore made in Article 66, Section 70 and
23
Article 67, Section 55 of Public Act 104-0003, as amended, is
24
reappropriated from the Road Fund to the Department of
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Transportation for costs associated with the State Radio
2
Communications for the 21st Century (STARCOM) program.
3
Section 65.
The sum of $519,812, or so much thereof as may
4
be necessary, and remains unexpended, at the close of business
5
on June 30, 2026, from the appropriation and reappropriation
6
heretofore made in Article 66, Section 75 and Article 67,
7
Section 60 of Public Act 104-0003, as amended, is
8
reappropriated from the Road Fund to the Department of
9
Transportation for costs associated with the Illinois
10
Terrorism Task Force, that consist of approved purchases for
11
homeland security provided such expenditures do not exceed
12
funds made available by the federal government for this
13
purpose.
14
Section 70.
The sum of $650,881, or so much thereof as may
15
be necessary, and remains unexpended, at the close of business
16
on June 30, 2026, from the appropriation and reappropriation
17
heretofore made in Article 66, Section 85 and Article 67,
18
Section 65 of Public Act 104-0003, as amended, is
19
reappropriated from the Road Fund to the Department of
20
Transportation for costs associated with the Technology
21
Transfer Center, including the purchase of equipment, media
22
initiatives and training, provided that such expenditures do
23
not exceed funds to be made available by the federal
24
government for this purpose.
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Section 75.
The sum of $5,777,258, or so much thereof as
2
may be necessary, and remains unexpended, at the close of
3
business on June 30, 2026, from the appropriation and
4
reappropriation heretofore made in Article 66, Section 90 and
5
Article 67, Section 70 of Public Act 104-0003, as amended, is
6
reappropriated from the Road Fund to the Department of
7
Transportation for costs associated with highway safety media
8
campaigns, provided such amounts do not exceed funds to be
9
made available from the federal government.
10
Section 80.
The sum of $39,190,755, or so much thereof as
11
may be necessary, and remains unexpended, at the close of
12
business on June 30, 2026, from the appropriation and
13
reappropriation heretofore made in Article 66, Section 95 and
14
Article 67, Section 80 of Public Act 104-0003, as amended, is
15
reappropriated from the Road Fund to the Department of
16
Transportation for the IDOT ITS Program.
17
Section 85.
The sum of $1,899,763, or so much thereof as
18
may be necessary, and remains unexpended, at the close of
19
business on June 30, 2026, from the appropriation heretofore
20
made in Article 66, Section 105 of Public Act 104-0003, as
21
amended, is reappropriated from the DUI Prevention and
22
Education Fund to the Department of Transportation for
23
expenditures, as determined by the DUI Prevention and
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1
Education Commission, for crash victim programs and materials,
2
impaired driving prevention programs, law enforcement support,
3
and other DUI-related programs.
4
Section 90.
The sum of $23,947,928, or so much thereof as
5
may be necessary, and remains unexpended, at the close of
6
business on June 30, 2026, from the appropriation and
7
reappropriation heretofore made in Article 66, Section 125 and
8
Article 67, Section 85 of Public Act 104-0003, as amended, is
9
reappropriated from the Cycle Rider Safety Training Fund to
10
the Department of Transportation for reimbursements to State
11
and local universities and colleges for Cycle Rider Safety
12
Training Programs.
13
FOR AERONAUTICS
14
Section 95.
The sum of $60,339,625, or so much thereof as
15
may be necessary, and remains unexpended at the close of
16
business on June 30, 2026, from the appropriation and
17
reappropriation heretofore made in Article 66, Section 190 and
18
Article 67, Section 90, of Public Act 104-0003, as amended, is
19
reappropriated from the State Aviation Program Fund to the
20
Department of Transportation for the purposes described in
21
Section 6z-20.1 of the State Finance Act.
22
Section 100.
The sum of $50,648,805, or so much thereof as
23
may be necessary, and remains unexpended at the close of
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business on June 30, 2026, from the appropriation and
2
reappropriation heretofore made in Article 66, Section 195 and
3
Article 67, Section 95, of Public Act 104-0003, as amended, is
4
reappropriated from the Sound-Reducing Windows and Doors
5
Replacement Fund to the Department of Transportation for the
6
purposes described in Section 6z-20.1 of the State Finance
7
Act.
8
FOR HIGHWAY SAFETY PROGRAM
9
Section 105.
The sum of $30,255,584, or so much thereof as
10
may be necessary, and remains unexpended at the close of
11
business on June 30, 2026, from the appropriation and
12
reappropriation heretofore made in Article 66, Section 275,
13
and Article 67 Section 100 of Public Act 104-0003, as amended,
14
is reappropriated from the Road Fund to the Department of
15
Transportation for the Illinois Highway Safety Program and
16
local highway safety projects by county and municipal
17
governments, state and private universities, and other private
18
entities.
19
FOR INTERMODAL PROJECT IMPLEMENTATION
20
Section 110.
The sum of $1,151,829, or so much thereof as
21
may be necessary, and remains unexpended at the close of
22
business on June 30, 2026, from the appropriation and
23
reappropriation heretofore made in Article 66, Section 210 and
24
Article 67, Section 110 of Public Act 104-0003, as amended, is
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1
reappropriated from the Road Fund to the Department of
2
Transportation for public transportation technical studies.
3
Section 115.
The sum of $3,341,106, or so much thereof as
4
may be necessary, and remains unexpended at the close of
5
business on June 30, 2026, from the appropriation and
6
reappropriation heretofore made in Article 66, Section 230 and
7
Article 67, Section 115 of Public Act 104-0003, as amended, is
8
reappropriated from the Federal Mass Transit Trust Fund to the
9
Department of Transportation for federal reimbursement of
10
costs associated with Safety and Security Oversight as set
11
forth in the federal transportation bill, as amended.
12
Section 120.
The sum of $7,034,946, or so much thereof as
13
may be necessary, and remains unexpended at the close of
14
business on June 30, 2026, from the appropriation and
15
reappropriation heretofore made in Article 66, Section 235 and
16
Article 67, Section 120 of Public Act 104-0003, as amended, is
17
reappropriated from the Federal Mass Transit Trust Fund to the
18
Department of Transportation for federal reimbursement of
19
transit studies as provided by the federal transportation
20
bill, as amended.
21
Section 125.
The sum of $2,475,744, or so much thereof as
22
may be necessary, and remains unexpended at the close of
23
business on June 30, 2026, from the reappropriation heretofore
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made in Article 67, Section 125 of Public Act 104-0003, as
2
amended, is reappropriated from the Federal Mass Transit Trust
3
Fund to the Department of Transportation for support to rural
4
transit districts as provided by the CARES Act, including
5
prior incurred costs.
6
Section 130.
The sum of $11,894,753, or so much thereof as
7
may be necessary, and remains unexpended, at the close of
8
business on June 30, 2026, from the appropriation and
9
reappropriation heretofore made in Article 66, Section 260 and
10
Article 67, Section 130 of Public Act 104-0003, as amended, is
11
reappropriated from the Road Fund to the Department of
12
Transportation for costs associated with the long-term heavy
13
overhauls of locomotives.
14
FOR EQUIPMENT
15
Section 135.
The following named sums, or so much thereof
16
as may be necessary, and remains unexpended at the close of
17
business on June 30, 2026, from the appropriations and
18
reappropriations heretofore made in Article 66, Sections 40,
19
55, 130, 135, 140, 145, 150, 155, 160, 165, 170, and 175 and
20
Article 67 Section 135 of Public Act 104-0003, as amended, is
21
reappropriated from the Road Fund to the Department of
22
Transportation for equipment as follows:
23
Planning and Programming
24
For Equipment
.......................................
727,682
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Highways Project Implementation
2
For Equipment
....................................
28,390,879
3
Day Labor
4
For Equipment
.....................................
1,169,260
5
District 1, Schaumburg Office
6
For Equipment
....................................
12,107,175
7
District 2, Dixon Office
8
For Equipment
.....................................
3,904,928
9
District 3, Ottawa Office
10
For Equipment
.....................................
4,932,208
11
District 4, Peoria Office
12
For Equipment
.....................................
4,046,916
13
District 5, Paris Office
14
For Equipment
.....................................
3,695,122
15
District 6, Springfield Office
16
For Equipment
.....................................
4,746,448
17
District 7, Effingham Office
18
For Equipment
.....................................
3,229,967
19
District 8, Collinsville Office
20
For Equipment
.....................................
5,606,249
21
District 9, Carbondale Office
22
For Equipment
.....................................
3,058,981
23
Total
$75,615,815
24
Section 140.
The following named sums, or so much thereof
25
as may be necessary, and remains unexpended at the close of
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business on June 30, 2026, from the appropriations and
2
reappropriations heretofore made in Article 66, Sections 10,
3
55, 130, 135, 140, 145, 150, 155, 160, 165, 170, and 175 and
4
Article 67, Section 140 of Public Act 104-0003, as amended, is
5
reappropriated from the Road Fund to the Department of
6
Transportation for the purchase of Cars and Trucks as follows:
7
Central Administration
8
For Purchase of Cars and Trucks
.....................
638,659
9
Highways Project Implementation
10
For Purchase of Cars and Trucks
..................
24,650,946
11
Day Labor
12
For Purchase of Cars and Trucks
...................
3,315,463
13
District 1, Schaumburg Office
14
For Purchase of Cars and Trucks
..................
47,116,400
15
District 2, Dixon Office
16
For Purchase of Cars and Trucks
..................
18,634,949
17
District 3, Ottawa Office
18
For Purchase of Cars and Trucks
..................
16,892,369
19
District 4, Peoria Office
20
For Purchase of Cars and Trucks
..................
16,080,315
21
District 5, Paris Office
22
For Purchase of Cars and Trucks
..................
12,989,210
23
District 6, Springfield Office
24
For Purchase of Cars and Trucks
..................
13,104,484
25
District 7, Effingham Office
26
For Purchase of Cars and Trucks
..................
14,526,780
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District 8, Collinsville Office
2
For Purchase of Cars and Trucks
..................
18,242,787
3
District 9, Carbondale Office
4
For Purchase of Cars and Trucks
..................
11,493,529
5
Total
$197,685,891
6
Total, This Article
..........................
$770,861,535
7
Section 999.
Effective date.
This Act takes effect July 1,
8
2026.
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