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HB2766 • 2026

General appropriations; various agencies, authorities, boards, bureaus, commission, funds and programs; effective date.

General appropriations; various agencies, authorities, boards, bureaus, commission, funds and programs; effective date.

Budget Education Taxes Technology
Active

The official status still shows this bill as active or still awaiting another formal step.

Sponsor
Caldwell (Trey)
Last action
2025-05-29
Official status
Becomes law without Governor's signature 05/29/2025
Effective date
Not listed

Plain English Breakdown

Using official source text because the generated explanation was unavailable or could not be confirmed against the official bill text.

General appropriations; various agencies, authorities, boards, bureaus, commission, funds and programs; effective date.

General appropriations; various agencies, authorities, boards, bureaus, commission, funds and programs; effective date.

What This Bill Does

  • General appropriations; various agencies, authorities, boards, bureaus, commission, funds and programs; effective date.
  • Bill Summaries/Fiscal Impact for HB 2766 (House): Proposed Committee Substitute (full committee) 1 (5/18/2025) Bill Summaries/Fiscal Impact for HB 2766 (House): Proposed Committee Substitute (full committee) 2 (5/19/2025) Bill Summaries/Fiscal Impact for HB 2766 (House): Proposed Committee Substitute (full committee) 3 (5/20/2025) Bill Summaries/Fiscal Impact for HB 2766 (House): Committee Substitute (5/20/2025) Bill Summaries/Fiscal Impact for HB 2766 (Senate): Committee Substitute (5/22/2025)

Limits and Unknowns

  • This entry is temporarily using official source text because the generated explanation could not be confirmed against the official bill text during the last sync.

Amendments

These notes stay tied to the official amendment files and metadata from the legislature.

Plain English: HB2766 FULLPCS1 Trey Caldwell-JM 5/18/2025 6:08:21 pm AMEND TITLE TO CONFORM TO AMENDMENTS Amendment submitted by: Trey Caldwell Adopted: _____________________________ ______________________________________ Reading Clerk COMMITTEE AMENDMENT HOUSE OF REPRESENTATIVES State of Oklahoma SPEAKER: CHAIR: I move to amend HB2766 Of the printed Bill Page Section Lines Of the Engrossed Bill By deleting the content of the entire measure, and by inserting in lieu thereof the following language: Req.

  • HB2766 FULLPCS1 Trey Caldwell-JM 5/18/2025 6:08:21 pm AMEND TITLE TO CONFORM TO AMENDMENTS Amendment submitted by: Trey Caldwell Adopted: _____________________________ ______________________________________ Reading Clerk COMMITTEE AMENDMENT HOUSE OF REPRESENTATIVES State of Oklahoma SPEAKER: CHAIR: I move to amend HB2766 Of the printed Bill Page Section Lines Of the Engrossed Bill By deleting the content of the entire measure, and by inserting in lieu thereof the following language: Req.
  • No.
  • 13748 Page 1 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 STATE OF OKLAHOMA 1st Session of the 60th Legislature (2025) PROPOSED COMMITTEE SUBSTITUTE FOR HOUSE BILL NO.
  • 2766 By: Caldwell (Trey) and Kane of the House and Hall and Haste of the Senate PROPOSED COMMITTEE SUBSTITUTE An Act relating to general appropriations for the expenses of various agencies, authorities, boards, bureaus, commissions, funds, and programs of the state's legislative, executive, and judicial branches; making appropriations, stating amounts, identifying sources, and providing expenditure purposes, mandates, and limitations to the State Board of Education, Teachers' Retirement System Dedicated Revenue Revolving Fund, the Oklahoma Board of Private Vocational Schools, the Commissioners of the Land Office, the Health Care Workforce Training Commission, the Office of Educational Quality and Accountability, the Oklahoma Arts Council, the Oklahoma Center for the Advancement of Science and Technology, the Oklahoma Department of Libraries, the Oklahoma Educational Television Authority, the Oklahoma State Regents for Higher Education, the School of Science and Mathematics, the State Board of Career and Technology Education, the Statewide Charter School Board Revolving Fund, the Oklahoma Tax Commission, the Ethics Commission, the Ethics Commission Electronic Filing System Replacement Fund, the Political Subdivisions Enforcement Fund, Office of the Governor, the Legislative Service Bureau, the Lieutenant Governor, the Department of Emergency Management, the Oklahoma House of Representatives, the Office of Management and Enterprise Services, the Req.

Plain English: HB2766 FULLPCS2 Trey Caldwell-JM 5/19/2025 9:52:53 am AMEND TITLE TO CONFORM TO AMENDMENTS Amendment submitted by: Trey Caldwell Adopted: _____________________________ ______________________________________ Reading Clerk COMMITTEE AMENDMENT HOUSE OF REPRESENTATIVES State of Oklahoma SPEAKER: CHAIR: I move to amend HB2766 Of the printed Bill Page Section Lines Of the Engrossed Bill By deleting the content of the entire measure, and by inserting in lieu thereof the following language: Req.

  • HB2766 FULLPCS2 Trey Caldwell-JM 5/19/2025 9:52:53 am AMEND TITLE TO CONFORM TO AMENDMENTS Amendment submitted by: Trey Caldwell Adopted: _____________________________ ______________________________________ Reading Clerk COMMITTEE AMENDMENT HOUSE OF REPRESENTATIVES State of Oklahoma SPEAKER: CHAIR: I move to amend HB2766 Of the printed Bill Page Section Lines Of the Engrossed Bill By deleting the content of the entire measure, and by inserting in lieu thereof the following language: Req.
  • No.
  • 13776 Page 1 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 STATE OF OKLAHOMA 1st Session of the 60th Legislature (2025) PROPOSED COMMITTEE SUBSTITUTE FOR HOUSE BILL NO.
  • 2766 By: Caldwell (Trey) and Kane of the House and Hall and Haste of the Senate PROPOSED COMMITTEE SUBSTITUTE An Act relating to general appropriations for the expenses of various agencies, authorities, boards, bureaus, commissions, funds, and programs of the state's legislative, executive, and judicial branches; making appropriations, stating amounts, identifying sources, and providing expenditure purposes, mandates, and limitations to the State Board of Education, Teachers' Retirement System Dedicated Revenue Revolving Fund, the Oklahoma Board of Private Vocational Schools, the Commissioners of the Land Office, the Health Care Workforce Training Commission, the Office of Educational Quality and Accountability, the Oklahoma Arts Council, the Oklahoma Center for the Advancement of Science and Technology, the Oklahoma Department of Libraries, the Oklahoma Educational Television Authority, the Oklahoma State Regents for Higher Education, the School of Science and Mathematics, the State Board of Career and Technology Education, the Statewide Charter School Board Revolving Fund, the Oklahoma Tax Commission, the Ethics Commission, the Ethics Commission Electronic Filing System Replacement Fund, the Political Subdivisions Enforcement Fund, Office of the Governor, the Legislative Service Bureau, the Lieutenant Governor, the Department of Emergency Management, the Oklahoma House of Representatives, the Office of Management and Enterprise Services, the Req.

Plain English: HB2766 FULLPCS3 Trey Caldwell-JM 5/19/2025 3:05:32 pm AMEND TITLE TO CONFORM TO AMENDMENTS Amendment submitted by: Trey Caldwell Adopted: _____________________________ ______________________________________ Reading Clerk COMMITTEE AMENDMENT HOUSE OF REPRESENTATIVES State of Oklahoma SPEAKER: CHAIR: I move to amend HB2766 Of the printed Bill Page Section Lines Of the Engrossed Bill By deleting the content of the entire measure, and by inserting in lieu thereof the following language: Req.

  • HB2766 FULLPCS3 Trey Caldwell-JM 5/19/2025 3:05:32 pm AMEND TITLE TO CONFORM TO AMENDMENTS Amendment submitted by: Trey Caldwell Adopted: _____________________________ ______________________________________ Reading Clerk COMMITTEE AMENDMENT HOUSE OF REPRESENTATIVES State of Oklahoma SPEAKER: CHAIR: I move to amend HB2766 Of the printed Bill Page Section Lines Of the Engrossed Bill By deleting the content of the entire measure, and by inserting in lieu thereof the following language: Req.
  • No.
  • 13804 Page 1 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 STATE OF OKLAHOMA 1st Session of the 60th Legislature (2025) PROPOSED COMMITTEE SUBSTITUTE FOR HOUSE BILL NO.
  • 2766 By: Caldwell (Trey) and Kane of the House and Hall and Haste of the Senate PROPOSED COMMITTEE SUBSTITUTE An Act relating to general appropriations for the expenses of various agencies, authorities, boards, bureaus, commissions, funds, and programs of the state's legislative, executive, and judicial branches; making appropriations, stating amounts, identifying sources, and providing expenditure purposes, mandates, and limitations to the State Board of Education, Teachers' Retirement System Dedicated Revenue Revolving Fund, the Oklahoma Board of Private Vocational Schools, the Commissioners of the Land Office, the Health Care Workforce Training Commission, the Office of Educational Quality and Accountability, the Oklahoma Arts Council, the Oklahoma Center for the Advancement of Science and Technology, the Oklahoma Department of Libraries, the Oklahoma Educational Television Authority, the Oklahoma State Regents for Higher Education, the School of Science and Mathematics, the State Board of Career and Technology Education, the Statewide Charter School Board Revolving Fund, the Oklahoma Tax Commission, the Ethics Commission, the Ethics Commission Electronic Filing System Replacement Fund, the Political Subdivisions Enforcement Fund, Office of the Governor, the Legislative Service Bureau, the Lieutenant Governor, the Department of Emergency Management, the Oklahoma House of Representatives, the Office of Management and Enterprise Services, the Req.

Bill History

  1. 2025-05-29 House

    Becomes law without Governor's signature 05/29/2025

  2. 2025-05-22 Senate

    JCR adopted

  3. 2025-05-22 Senate

    Measure passed: Ayes: 27 Nays: 19

  4. 2025-05-22 Senate

    Engrossed measure signed, returned to House

  5. 2025-05-22 House

    Referred for enrollment

  6. 2025-05-22 House

    Enrolled, signed, to Senate

  7. 2025-05-22 Senate

    Enrolled measure signed, returned to House

  8. 2025-05-22 House

    Sent to Governor

  9. 2025-05-21 Senate

    Direct to Calendar

  10. 2025-05-20 House

    General Order

  11. 2025-05-20 House

    JCR adopted

  12. 2025-05-20 House

    Third Reading, Measure passed: Ayes: 73 Nays: 20

  13. 2025-05-20 House

    Referred for engrossment

  14. 2025-05-20 House

    Engrossed, signed, to Senate

  15. 2025-05-20 Senate

    First Reading

  16. 2025-05-19 House

    JCR; Do pass, amended by committee substitute Joint Committee on Appropriations and Budget

  17. 2025-02-04 House

    Second Reading referred to Joint Committee on Appropriations and Budget

  18. 2025-02-03 House

    First Reading

  19. 2025-02-03 House

    Authored by Representative Caldwell (Trey), Kane

  20. 2025-02-03 House

    Authored by Senator Hall (principal Senate author)

  21. 2025-02-03 House

    Coauthored by Senator(s) Haste

Official Summary Text

General appropriations; various agencies, authorities, boards, bureaus, commission, funds and programs; effective date.
Bill Summaries/Fiscal Impact for HB 2766 (House): Proposed Committee Substitute (full committee) 1 (5/18/2025)
Bill Summaries/Fiscal Impact for HB 2766 (House): Proposed Committee Substitute (full committee) 2 (5/19/2025)
Bill Summaries/Fiscal Impact for HB 2766 (House): Proposed Committee Substitute (full committee) 3 (5/20/2025)
Bill Summaries/Fiscal Impact for HB 2766 (House): Committee Substitute (5/20/2025)
Bill Summaries/Fiscal Impact for HB 2766 (Senate): Committee Substitute (5/22/2025)

Current Bill Text

Read the full stored bill text
An Act
ENROLLED HOUSE
BILL NO. 2766 By: Caldwell (Trey) and Kane of
the House

and

Hall and Haste of the
Senate

An Act relating to general appropriations for the
expenses of various agencies, authorities, boards,
bureaus, commissions, funds, and programs of the
state's legislative, executive, and judicial
branches; making appropriations, stating amounts,
identifying sources, and providing expenditure
purposes, mandates, and limitations to the State
Board of Education, Teachers' Retirement System
Dedicated Revenue Revolving Fund, the Oklahoma Board
of Private Vocational Schools, the Commissioners of
the Land Office, the Health Care Workforce Training
Commission, the Office of Educational Quality and
Accountability, the Oklahoma Arts Council, the
Oklahoma Center for the Advancement of Science and
Technology, the Oklahoma Department of Libraries, the
Oklahoma Educational Television Authority, the
Oklahoma State Regents for Higher Education, the
School of Science and Mathematics, the State Board of
Career and Technology Education, the Statewide
Charter School Board Revolving Fund, the Oklahoma Tax
Commission, the Ethics Commission, the Ethics
Commission Electronic Filing System Replacement Fund,
the Political Subdivisions Enforcement Fund, Office
of the Governor, the Legislative Service Bureau, the
Lieutenant Governor, the Department of Emergency
Management, the Oklahoma House of Representatives,
the Office of Management and Enterprise Services, the
Military Department of the State of Oklahoma, the
Oklahoma State Senate, Service Oklahoma, the State
Auditor and Inspector, the State Election Board,
State Election Board Voting System Revolving Fund,
the Office of the State Treasurer, the Department of
ENR. H. B. NO. 2766 Page 2
Transportation, the Oklahoma Department of Aerospace
and Aeronautics, the Oklahoma Space Industry
Development Authority, the Department of Mental
Health and Substance Abuse Services, the J.D. McCarty
Center for Children, the Oklahoma Department of
Veterans Affairs, the Oklahoma Health Care Authority,
the Oklahoma Medical Marijuana Authority, the State
Department of Health, the Oklahoma State University
Medical Authority, the Oklahoma State University
Medical Authority Behavioral Health Workforce
Development Fund, the University Hospitals Authority,
the Oklahoma Commission of Children and Youth, the
Department of Human Services, the Department of
Rehabilitative Services, the Office of Disability
Concerns, the Office of Juvenile Affairs, the
Oklahoma Corporation Commission, the Department of
Agriculture, Food, and Forestry, the Oklahoma
Department of Commerce, the Rural Economic Action
Plan Fund, the Department of Environmental Quality,
the Department of Labor, the Department of Mines, the
J.M. Davis Memorial Commission, the Oklahoma
Conservation Commission, the Oklahoma Tourism and
Recreation Department, the Oklahoma Historical
Society, the Oklahoma Water Resources Board, the
Oklahoma State University Veterinary Medical
Authority, the Oklahoma Workforce Commission, the
Alcoholic Beverage Laws Enforcement Commission, the
Board of Medicolegal Investigations, the Council on
Law Enforcement Education and Training, the
Department of Corrections, the Department of Public
Safety, the Oklahoma State Bureau of Investigation,
the Oklahoma State Bureau of Narcotics and Dangerous
Drugs Control, the Office of the Attorney General,
the Domestic Violence and Sexual Assault Services
Revolving Fund, the Oklahoma Sheriff's Office Funding
Assistance Revolving Fund, the Council on Judicial
Complaints, the District Attorneys Council, the
Oklahoma Indigent Defense System, the Pardon and
Parole Board, the Court of Criminal Appeals, the
district courts, the Supreme Court, Ad Valorem
Reimbursement Fund, the Special Cash Fund, the Legacy
Capital Finance Fund, the Progressing Rural Economic
Prosperity Fund, and the Oklahoma Emission Reduction
Technology Downstream Incentive Revolving Fund;
authorizing and directing certain expenditures,
ENR. H. B. NO. 2766 Page 3
redesignation, and transfers of funds; clarifying
execution under certain conditions; and providing an
effective date.

SUBJECT: General appropriations

BE IT ENACTED BY THE PEOPLE OF THE STATE OF OKLAHOMA:

EDUCATION

SECTION 1. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of One Billion Six Hundred Fifty-one
Million Four Hundred Sixty Thousand Four Hundred Thirteen Dollars
($1,651,460,413.00) or so much thereof as may be necessary for the
financial support of public schools.

SECTION 2. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Education Reform Revolving Fund, created in Section 34.89 of Title
62 of the Oklahoma Statutes, the sum of One Billion Two Hundred
Sixty-two Million Seven Hundred Thirty-five Thousand Three Hundred
Fifty-three Dollars ($1,262,735,353.00) or so much thereof as may be
necessary for the financial support of public schools.

SECTION 3. The State Board of Education is hereby authorized to
expend during the fiscal year ending June 30, 2026, from the Common
Education Technology Revolving Fund of the State Treasury, the sum
of Forty-seven Million Dollars ($47,000,000.00) or so much thereof
as may be necessary for the financial support of public schools.

SECTION 4. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Mineral Leasing Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Four Million Nine Hundred Forty
Thousand Dollars ($4,940,000.00) or so much thereof as may be
necessary for the financial support of public schools.

SECTION 5. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Mineral Leasing Fund of the State Treasury for the fiscal year
ENR. H. B. NO. 2766 Page 4
ending June 30, 2024, the sum of Three Hundred Forty-four Thousand
Five Hundred Thirty-one Dollars ($344,531.00) or so much thereof as
may be necessary for the financial support of public schools.

SECTION 6. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Oklahoma Education Lottery Trust Fund of the State Treasury for the
fiscal year ending June 30, 2026, the sum of Twenty-seven Million
Seven Hundred Eighty-seven Thousand Five Hundred Dollars
($27,787,500.00) or so much thereof as may be necessary for the
financial support of public schools.

SECTION 7. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Oklahoma Education Lottery Trust Fund of the State Treasury for the
fiscal year ending June 30, 2024, the sum of One Million Four
Hundred Sixty-two Thousand Five Hundred Dollars ($1,462,500.00) or
so much thereof as may be necessary for the financial support of
public schools.

SECTION 8. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of One Hundred Twenty-five Million One
Hundred Eighty-nine Thousand Twenty-six Dollars ($125,189,026.00) or
so much thereof as may be necessary for the financial support of
public school activities.

SECTION 9. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Four Hundred Ten Million Eight
Hundred Fifty-one Thousand One Hundred Fifty-nine Dollars
($410,851,159.00) or so much thereof as may be necessary for the
Certified Employee Health Benefit Allowance.

SECTION 10. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Two Hundred Forty-seven Million
Seven Hundred Twenty-three Thousand Four Hundred Eighteen Dollars
($247,723,418.00) or so much thereof as may be necessary for the
Support Personnel Health Benefit Allowance.

ENR. H. B. NO. 2766 Page 5
SECTION 11. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Eighteen Million One Hundred Forty-
five Thousand Three Hundred Sixty-six Dollars ($18,145,366.00) or so
much thereof as may be necessary for the administration and support
functions of the State Department of Education.

SECTION 12. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Forty-five Million One Hundred
Ninety Thousand Dollars ($45,190,000.00) or so much thereof as may
be necessary for the purchase of textbooks and instructional
materials.

SECTION 13. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Oklahoma Education Lottery Trust Fund of the State Treasury for the
fiscal year ending June 30, 2026, the sum of Three Million Eighty-
seven Thousand Five Hundred Dollars ($3,087,500.00) or so much
thereof as may be necessary for transfer to the School Consolidation
Assistance Fund.

SECTION 14. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Oklahoma Education Lottery Trust Fund of the State Treasury for the
fiscal year ending June 30, 2024, the sum of One Hundred Sixty-two
Thousand Five Hundred Dollars ($162,500.00) or so much thereof as
may be necessary for transfer to the School Consolidation Assistance
Fund. The State Board of Education is hereby authorized to transfer
such amount to the Teachers' Retirement System of Oklahoma.

SECTION 15. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Oklahoma Education Lottery Trust Fund of the State Treasury for the
fiscal year ending June 30, 2026, the sum of Three Million Eighty-
seven Thousand Five Hundred Dollars ($3,087,500.00) or so much
thereof as may be necessary for transfer to the Teachers' Retirement
System Dedicated Revenue Revolving Fund. The State Board of
Education is hereby authorized to transfer such amount to the
Teachers' Retirement System of Oklahoma.

SECTION 16. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
ENR. H. B. NO. 2766 Page 6
Oklahoma Education Lottery Trust Fund of the State Treasury for the
fiscal year ending June 30, 2024, the sum of One Hundred Sixty-two
Thousand Five Hundred Dollars ($162,500.00) or so much thereof as
may be necessary for transfer to the Teachers' Retirement System
Dedicated Revenue Revolving Fund.

SECTION 17. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Two Million Six Hundred Fifty
Thousand Dollars ($2,650,000.00) for the purpose of compensating
teachers as defined by Section 1-116 of Title 70 of the Oklahoma
Statutes.

SECTION 18. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of One Hundred Twenty-five Million
Dollars ($125,000,000.00) to be distributed as redbud school grants
as provided in Section 3-104 of Title 70 of the Oklahoma Statutes.

SECTION 19. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Six Million Five Hundred Thousand
Dollars ($6,500,000.00) to be transferred to the Public School Paid
Maternity Leave Revolving Fund (294) pursuant to the provisions of
Section 6-104.8 of Title 70 of the Oklahoma Statutes.

SECTION 20. For the fiscal year ending June 30, 2026, the State
Board of Education is hereby authorized to transfer from the
Teachers' Retirement System Dedicated Revenue Revolving Fund to the
Teachers' Retirement System of Oklahoma, the sum of Four Hundred
Thirty-three Million Nine Hundred Thirty-five Thousand Two Hundred
Thirty-two Dollars ($433,935,232.00).

SECTION 21. There is hereby appropriated to the Oklahoma Board
of Private Vocational Schools from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Two Hundred Fifty
Thousand Dollars ($250,000.00) or so much thereof as may be
necessary to perform the duties imposed upon the Board by law.

SECTION 22. There is hereby appropriated to the Commissioners
of the Land Office from any monies not otherwise appropriated from
ENR. H. B. NO. 2766 Page 7
the Commissioners of the Land Office Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Six Million Seven
Hundred Three Thousand Four Hundred Twenty-one Dollars
($6,703,421.00) or so much thereof as may be necessary to perform
the duties imposed upon the Office by law.

SECTION 23. There is hereby appropriated to the Health Care
Workforce Training Commission from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Ten Million Four
Hundred Seventy-six Thousand Seven Hundred Fourteen Dollars
($10,476,714.00) or so much thereof as may be necessary to perform
the duties imposed upon the Commission by law. Of the funds
appropriated in this section, the sum of Two Million Three Hundred
Twenty Thousand Dollars ($2,320,000.00) shall be used to carry out
the provisions of Section 3308.1 of Title 70 of the Oklahoma
Statutes.

SECTION 24. There is hereby appropriated to the Office of
Educational Quality and Accountability from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Three Million Six
Hundred Ninety-seven Thousand Two Hundred Nine Dollars
($3,697,209.00) or so much thereof as may be necessary to perform
the duties imposed upon the Office by law. Of those funds
appropriated, the sum of Sixty Thousand Dollars ($60,000.00) shall
be deposited in the Teaching Certification Scholarship Revolving
Fund, created pursuant to Section 6-187C of Title 70 of the Oklahoma
Statutes. Of those funds appropriated, the sum of One Hundred
Eighty Thousand Dollars ($180,000.00) shall be deposited in the
Education Leadership Oklahoma Revolving Fund, created pursuant to
Section 6-204.3 of Title 70 of the Oklahoma Statutes.

SECTION 25. There is hereby appropriated to the Oklahoma Arts
Council from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2026, the sum of Four Million Three Hundred Eight Thousand One
Hundred Eighty Dollars ($4,308,180.00) or so much thereof as may be
necessary to perform the duties imposed upon the Council by law.

SECTION 26. There is hereby appropriated to the Oklahoma Center
for the Advancement of Science and Technology from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2026, the sum of
Seventeen Million Three Hundred Forty-six Thousand Five Hundred
ENR. H. B. NO. 2766 Page 8
Forty-two Dollars ($17,346,542.00) or so much thereof as may be
necessary to perform the duties imposed upon the Center by law. Of
those funds appropriated, the sum of Eight Million Two Hundred
Fifty-six Thousand Two Hundred Twenty-eight Dollars ($8,256,228.00)
shall be deposited in the Research Support Revolving Fund, created
pursuant to Section 5060.11 of Title 74 of the Oklahoma Statutes,
provided that Three Million Dollars ($3,000,000.00) shall be
dedicated to applied research and development for industry
innovation. Of those funds appropriated, Five Hundred Thousand
Dollars ($500,000.00) shall be dedicated to the Research and
Development Attraction Program, created pursuant to Section 5003.10g
of Title 74 of the Oklahoma Statutes. Of those funds appropriated,
the sum of One Million Two Hundred Thirty-five Thousand Six Hundred
Twenty-three Dollars ($1,235,623.00) shall be deposited in the Seed-
Capital Revolving Fund, created pursuant to Section 5060.21 of Title
74 of the Oklahoma Statutes.

SECTION 27. There is hereby appropriated to the Oklahoma
Department of Libraries from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2026, the sum of Five Million Seven Hundred
Twenty-eight Thousand Three Hundred Fifty-eight Dollars
($5,728,358.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 28. There is hereby appropriated to the Oklahoma
Educational Television Authority from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Two Million Nine
Hundred Fifty-four Thousand Four Dollars ($2,954,004.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Authority by law.

SECTION 29. There is hereby appropriated to the Oklahoma State
Regents of Higher Education from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Eight Hundred
Seventy-two Million Four Hundred Thirty-five Thousand Twenty-seven
Dollars ($872,435,027.00) or so much thereof as may be necessary for
allocation by the Oklahoma State Regents for Higher Education
pursuant to the provisions of Article XIII-A of the Oklahoma
Constitution for the education and general operating budgets of the
institutions and for other programs, construction, renovations, or
repairs administered by the Oklahoma State Regents for Higher
Education. Of those funds appropriated, the sum of Three Million
ENR. H. B. NO. 2766 Page 9
One Hundred Forty-nine Thousand Eight Hundred Ninety-seven Dollars
($3,149,897.00) shall be transferred to the Oklahoma Tuition
Equalization Grant Trust Fund to implement the provisions of the
Oklahoma Tuition Equalization Grant Act, and the sum of Twelve
Million Five Hundred Thousand Dollars ($12,500,000.00) shall be
transferred to the Oklahoma National Guard Educational Assistance
Revolving Fund, created in Section 3232 of Title 70 of the Oklahoma
Statutes.

SECTION 30. The Office of Management and Enterprise Services is
authorized to transfer to the Oklahoma State Regents of Higher
Education during the fiscal year ending July 1, 2026, an amount of
Seventy Million Dollars ($70,000,000.00) designated for the support
of the Oklahoma Higher Learning Access Program.

SECTION 31. There is hereby appropriated to the Oklahoma State
Regents of Higher Education from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Seven Hundred Forty
Thousand Three Hundred Ten Dollars ($740,310.00) for the benefit of
the Oklahoma Higher Learning Access Program.

SECTION 32. The Oklahoma State Regents for Higher Education are
hereby authorized to expend during the fiscal year ending June 30,
2026, the sum of Forty-seven Million Dollars ($47,000,000.00) from
the Higher Education Capital Revolving Fund of the State Treasury
for allocation by the Oklahoma State Regents for Higher Education
pursuant to the provisions of Article XIII-A of the Oklahoma
Constitution for the education and general operating budgets of the
institutions for other programs, construction, renovations, or
repairs administered by the Oklahoma State Regents for Higher
Education.

SECTION 33. The Oklahoma State Regents for Higher Education are
hereby authorized to expend during the fiscal year ending June 30,
2026, the sum of Forty-seven Million Dollars ($47,000,000.00) from
the Oklahoma Student Aid Revolving Fund of the State Treasury for
allocation by the Oklahoma State Regents for Higher Education
pursuant to the provisions of Article XIII-A of the Oklahoma
Constitution for the education and general operating budgets of the
institutions for other programs, construction, renovations, or
repairs administered by the Oklahoma State Regents for Higher
Education.

ENR. H. B. NO. 2766 Page 10
SECTION 34. There is hereby appropriated to the Oklahoma State
Regents for Higher Education from any monies not otherwise
appropriated from the Oklahoma Education Lottery Trust Fund of the
State Treasury for the fiscal year ending June 30, 2026, the sum of
Twenty-four Million Three Hundred Ninety-one Thousand Two Hundred
Fifty Dollars ($24,391,250.00) pursuant to Section 713 of Title 3A
of the Oklahoma Statutes for allocation by the Oklahoma State
Regents for Higher Education pursuant to the provisions of Article
XIII-A of the Oklahoma Constitution for construction, renovations,
or repairs administered by the Oklahoma State Regents for Higher
Education or for any other purpose authorized by Section 713 of
Title 3A of the Oklahoma Statutes.

SECTION 35. There is hereby appropriated to the Oklahoma State
Regents for Higher Education from any monies not otherwise
appropriated from the Oklahoma Education Lottery Trust Fund of the
State Treasury for the fiscal year ending June 30, 2024, the sum of
One Million Two Hundred Eighty-three Thousand Seven Hundred Fifty
Dollars ($1,283,750.00) pursuant to Section 713 of Title 3A of the
Oklahoma Statutes for allocation by the Oklahoma State Regents for
Higher Education pursuant to the provisions of Article XIII-A of the
Oklahoma Constitution for construction, renovations, or repairs
administered by the Oklahoma State Regents for Higher Education or
for any other purpose authorized by Section 713 of Title 3A of the
Oklahoma Statutes.

SECTION 36. There is hereby appropriated to the Oklahoma State
Regents for Higher Education from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Eighteen Million
Eight Hundred Twenty-two Thousand Six Hundred Fifteen Dollars
($18,822,615.00) for expenditures for concurrent enrollment pursuant
to Section 628.13 of Title 70 of the Oklahoma Statutes.

SECTION 37. There is hereby appropriated to the Oklahoma State
Regents for Higher Education from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2024, the sum of Four Million Two
Hundred Thirty-two Thousand Nine Hundred Seventy-four Dollars
($4,232,974.00) for the general operating budget of the
administrative offices of the Oklahoma State Regents for Higher
Education.

SECTION 38. There is hereby appropriated to the Oklahoma State
Regents for Higher Education from any monies not otherwise
ENR. H. B. NO. 2766 Page 11
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2024, the sum of Twelve Million Five
Hundred Thousand Dollars ($12,500,000.00) for the purpose of
purchasing casualty and property insurance.

SECTION 39. There is hereby appropriated to the Board of
Trustees of the Oklahoma School of Science and Mathematics from any
monies not otherwise appropriated from the General Revenue Fund of
the State Treasury for the fiscal year ending June 30, 2026, the sum
of Eight Million Seventy-eight Thousand Three Hundred Seventy-three
Dollars ($8,078,373.00) or so much thereof as may be necessary to
perform the duties imposed upon the Board by law.

SECTION 40. There is hereby appropriated to the State Board of
Career and Technology Education from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of One Hundred
Seventy-five Million Five Hundred Sixty-two Thousand Eight Hundred
Seventy-four Dollars ($175,562,874.00) or so much thereof as may be
necessary to perform the duties imposed upon the Board by law.

SECTION 41. There is hereby appropriated to the State Board of
Career and Technology Education from any monies not otherwise
appropriated from the Oklahoma Education Lottery Trust Fund of the
State Treasury for the fiscal year ending June 30, 2026, the sum of
Three Million Three Hundred Ninety-six Thousand Two Hundred Fifty
Dollars ($3,396,250.00) pursuant to Section 713 of Title 3A of the
Oklahoma Statutes for allocation by the State Board of Career and
Technology Education for the education and general operating budgets
of the institutions and for other programs, construction,
renovations, or repairs administered by the State Board of Career
and Technology Education.

SECTION 42. There is hereby appropriated to the State Board of
Career and Technology Education from any monies not otherwise
appropriated from the Oklahoma Education Lottery Trust Fund of the
State Treasury for the fiscal year ending June 30, 2024, the sum of
One Hundred Seventy-eight Thousand Seven Hundred Fifty Dollars
($178,750.00) pursuant to Section 713 of Title 3A of the Oklahoma
Statutes for allocation by the State Board of Career and Technology
Education for the education and general operating budgets of the
institutions and for other programs, construction, renovations, or
repairs administered by the State Board of Career and Technology
Education.

ENR. H. B. NO. 2766 Page 12
SECTION 43. There is hereby appropriated to the Statewide
Charter School Board Revolving Fund from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Three Million Three
Hundred Thousand Dollars ($3,300,000.00) to be expended in
accordance with law.

FINANCE

SECTION 44. There is hereby appropriated to the Oklahoma Tax
Commission from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Thirty-four Million One Hundred
Seventy-four Thousand Four Hundred Seventeen Dollars
($34,174,417.00) or so much thereof as may be necessary to perform
the duties imposed upon the Commission by law.

GENERAL GOVERNMENT

SECTION 45. There is hereby appropriated to the Ethics
Commission from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2025, the sum of One Million Fourteen Thousand Six
Hundred Thirty Dollars ($1,014,630.00) or so much thereof as may be
necessary to perform the duties imposed upon the Commission by law.

SECTION 46. There is hereby appropriated to the Ethics
Commission Electronic Filing System Replacement Fund, created in
Section 4258.3 of Title 74 of the Oklahoma Statutes, from any monies
not otherwise appropriated from the General Revenue Fund of the
State Treasury for the fiscal year ending June 30, 2025, the sum of
One Million Dollars ($1,000,000.00), to be budgeted and expended in
accordance with law.

SECTION 47. There is hereby appropriated to the Political
Subdivisions Enforcement Fund, created in Section 4258.1 of Title 74
of the Oklahoma Statutes, from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2025, the sum of Three Hundred Thousand Dollars
($300,000.00), to be budgeted and expended in accordance with law.

SECTION 48. There is hereby appropriated to the Office of the
Governor from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2026, the sum of Three Million Five Hundred Fifty-seven Thousand
ENR. H. B. NO. 2766 Page 13
Nine Hundred Forty Dollars ($3,557,940.00) or so much thereof as may
be necessary to perform the duties imposed upon the Office of the
Governor by law.

SECTION 49. There is hereby appropriated to the Legislative
Service Bureau from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Twenty-two Million Five Hundred
Fifty-seven Thousand Eight Dollars ($22,557,008.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Legislative Service Bureau by law.

SECTION 50. There is hereby appropriated to the Office of the
Lieutenant Governor from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Seven Hundred Fourteen Thousand Six
Hundred Sixty-five Dollars ($714,665.00) or so much thereof as may
be necessary to perform the duties imposed upon the Office by law.

SECTION 51. There is hereby appropriated to the Oklahoma
Department of Emergency Management from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Six Hundred Forty-
eight Thousand Eight Hundred Four Dollars ($648,804.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Office by law.

SECTION 52. There is hereby appropriated to the Oklahoma House
of Representatives from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Twenty-two Million Seven Hundred
Eighty-six Thousand One Hundred Ninety-eight Dollars
($22,786,198.00) or so much thereof as may be necessary to pay the
salaries, per diem, and expenses of the members of the Oklahoma
House of Representatives, the salaries of the employees of the
Oklahoma House of Representatives and other necessary expenses.
Claims and payrolls filed against the appropriation made to the
Oklahoma House of Representatives for the fiscal year ending June
30, 2026, shall be approved by the Speaker of the Oklahoma House of
Representatives.

SECTION 53. There is hereby appropriated to the Office of
Management and Enterprise Services from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2023, the sum of One Hundred Thirty-
ENR. H. B. NO. 2766 Page 14
nine Million Twelve Thousand Two Hundred Five Dollars
($139,012,205.00) or so much thereof as may be necessary to perform
the duties imposed upon the Office by law.

SECTION 54. There is hereby appropriated to the Office of
Management and Enterprise Services from any monies not otherwise
appropriated from the Public Building Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of One Million Five
Hundred Ninety-six Thousand Three Hundred Twenty-seven Dollars
($1,596,327.00) to be transferred to the Building and Facility
Revolving Fund, created in Section 63.1 of Title 74 of the Oklahoma
Statutes, for the purpose of maintaining state buildings operated by
the Office of Management and Enterprise Services.

SECTION 55. There is hereby appropriated to the Office of
Management and Enterprise Services from any monies not otherwise
appropriated from the Public Building Fund of the State Treasury for
the fiscal year ending June 30, 2024, the sum of Two Million Two
Hundred Five Thousand Five Hundred Fifty-one Dollars ($2,205,551.00)
to be transferred to the Building and Facility Revolving Fund,
created in Section 63.1 of Title 74 of the Oklahoma Statutes, for
the purpose of maintaining state buildings operated by the Office of
Management and Enterprise Services.

SECTION 56. There is hereby appropriated to the Military
Department of the State of Oklahoma from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2024, the sum of Twenty-two Million
Ninety-seven Thousand Four Hundred Fifty-nine Dollars
($22,097,459.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 57. There is hereby appropriated to the Oklahoma State
Senate from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2024, Twelve Million Seven Hundred Eighty Thousand Seventy-five
Dollars ($12,780,075.00) or so much thereof as may be necessary to
pay monthly salaries, per diem, and expenses of the members of the
Senate and the salaries of the Secretary of the Senate and
employees, and such contingent expenses as may be ordered paid
therefrom including the preparation and printing of the journals and
calendars of the Senate and including the preparation and printing
of the permanent journals thereof; and for expenses of personal
services (including retirement and insurance costs) including those
members and employees of the Senate, and expenses of maintenance and
ENR. H. B. NO. 2766 Page 15
operation including travel expenses, supplies, materials, printing,
equipment, and printing of permanent journals, and for the
renovation and modification of the Senate area as required.

SECTION 58. There is hereby appropriated to Service Oklahoma
from any monies not otherwise appropriated from the General Revenue
Fund of the State Treasury for the fiscal year ending June 30, 2026,
the sum of Twenty Million Five Hundred Sixty-eight Thousand Fifty-
six Dollars ($20,568,056.00) or so much thereof as may be necessary
to perform the duties imposed upon Service Oklahoma by law.

SECTION 59. There is hereby appropriated to Service Oklahoma
from any monies not otherwise appropriated from the Public Safety
Fund of the State Treasury for the fiscal year ending June 30, 2026,
the sum of Twenty-two Million Eight Hundred Thousand Dollars
($22,800,000.00) or so much thereof as may be necessary to perform
the duties imposed upon Service Oklahoma by law.

SECTION 60. There is hereby appropriated to Service Oklahoma
from any monies not otherwise appropriated from the Public Safety
Fund of the State Treasury for the fiscal year ending June 30, 2024,
the sum of Nine Million Four Hundred Seventy-nine Thousand Nine
Hundred Forty-four Dollars ($9,479,944.00) or so much thereof as may
be necessary to perform the duties imposed upon Service Oklahoma by
law.

SECTION 61. There is hereby appropriated to the Office of the
State Auditor and Inspector from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Five Million Four
Hundred Thirteen Thousand Three Hundred Fifteen Dollars
($5,413,315.00) or so much thereof as may be necessary to perform
the duties imposed upon the Office by law.

SECTION 62. There is hereby appropriated to the State Election
Board from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2026, the sum of Ten Million One Hundred Forty Thousand Fifty-
seven Dollars ($10,140,057.00) or so much thereof as may be
necessary to perform the duties imposed upon the Board by law.

SECTION 63. There is hereby appropriated to the State Election
Board Voting System Revolving Fund created in Enrolled Senate Bill
No. 1143 of the 1st Session of the 60th Oklahoma Legislature from
any monies not otherwise appropriated from the General Revenue Fund
ENR. H. B. NO. 2766 Page 16
of the State Treasury for the fiscal year ending June 30, 2024, the
sum of Twelve Million Dollars ($12,000,000.00) or so much thereof as
may be necessary to perform the duties imposed upon the Board by
law.

SECTION 64. There is hereby appropriated to the Office of the
State Treasurer from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Two Million Nine Hundred Twenty-
three Thousand Two Hundred Twenty-seven Dollars ($2,923,227.00) or
so much thereof as may be necessary to perform the duties imposed
upon the Office by law.

SECTION 65. There is hereby appropriated to the Office of the
State Treasurer from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Ninety-five Thousand Dollars
($95,000.00) or so much thereof as may be necessary to pay for state
land reimbursements.

TRANSPORTATION

SECTION 66. The Department of Transportation is hereby
authorized to expend during the fiscal year ending June 30, 2026,
from the Rebuilding Oklahoma Access and Driver Safety Fund of the
State Treasury, the sum of Six Hundred Ten Million Dollars
($610,000,000.00) to be budgeted and expended in accordance with
law.

SECTION 67. The Department of Transportation is hereby
authorized to expend during the fiscal year ending June 30, 2026,
from the State Transportation Fund of the State Treasury, the sum of
Two Hundred Four Million Five Hundred Nine Thousand Five Hundred
Twenty-eight Dollars ($204,509,528.00) or so much thereof as may be
necessary to perform the duties imposed upon the Department of
Transportation by law. Of the authorization, One Hundred Ninety-
five Million Thirty-nine Thousand Four Hundred Sixty-one Dollars
($195,039,461.00) shall be transferred to the State Highway
Construction and Maintenance Fund and shall be expended in the same
manner and for the same purposes as provided by law for other monies
accruing to the credit of the State Highway Construction and
Maintenance Fund, and Six Million Nine Hundred Thousand Dollars
($6,900,000.00) shall be authorized for transfer to the Public
Transit Revolving Fund of the State Treasury.

ENR. H. B. NO. 2766 Page 17
SECTION 68. There is hereby appropriated to the Department of
Transportation from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Seven Hundred Fifty-nine Thousand
Three Hundred Eighty-six Dollars ($759,386.00) or so much thereof as
may be necessary to perform the duties imposed upon the Department
by law.

SECTION 69. There is hereby appropriated to the Oklahoma
Department of Aerospace and Aeronautics from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2024, the sum of
Twenty-six Million Six Hundred Thousand Dollars ($26,600,000.00) or
so much thereof as may be necessary to perform the duties imposed
upon the Department by law.

SECTION 70. There is hereby appropriated to the Oklahoma Space
Industry Development Authority from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Nine Hundred
Thousand Dollars ($900,000.00) or so much thereof as may be
necessary to perform the duties imposed upon the Authority by law.
The monies appropriated in this section shall be transferred to the
Oklahoma Space Industry Development Authority Revolving Fund,
created in Section 5208.1 of Title 74 of the Oklahoma Statutes.

PUBLIC HEALTH

SECTION 71. There is hereby appropriated to the Department of
Mental Health and Substance Abuse Services from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2026, the sum of Two
Hundred Seventy-eight Million One Hundred Twenty-four Thousand Six
Hundred Thirty-six Dollars ($278,124,636.00) or so much thereof as
may be necessary to perform the duties imposed upon the Department
by law. Of the funds appropriated herein, Four Million Five Hundred
Thirty-two Thousand Five Hundred Seventy-three Dollars
($4,532,573.00) shall be transferred to the Mental Health Transport
Revolving Fund (247), created in Section 1-110.1 of Title 43A of the
Oklahoma Statutes, and the sum of Twelve Million Five Hundred
Thousand Dollars ($12,500,000.00) shall be transferred to the County
Community Safety Investment Fund, created in Section 2-312.1 of
Title 43A of the Oklahoma Statutes, which shall be distributed
according to Section 2-312.4 of Title 43A of the Oklahoma Statutes.

ENR. H. B. NO. 2766 Page 18
SECTION 72. There is hereby appropriated to the Department of
Mental Health and Substance Abuse Services from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2024, the sum of One
Hundred Twelve Million Five Hundred Ninety-five Thousand Two Hundred
Forty-two Dollars ($112,595,242.00) or so much thereof as may be
necessary to perform the duties imposed upon the Department by law.

SECTION 73. There is hereby appropriated to the Department of
Mental Health and Substance Abuse Services from any monies not
otherwise appropriated from the Alcoholic Beverage Control Fund of
the State Treasury for the fiscal year ending June 30, 2026, the sum
of Twelve Million Six Hundred Thousand Seven Hundred Eighty-one
Dollars ($12,600,781.00) or so much thereof as may be necessary to
perform the duties imposed upon the Department by law.

SECTION 74. There is hereby appropriated to the J.D. McCarty
Center for Children with Developmental Disabilities from any monies
not otherwise appropriated from the General Revenue Fund of the
State Treasury for the fiscal year ending June 30, 2026, the sum of
Four Million Seven Hundred Fifty-five Thousand Five Hundred Forty-
three Dollars ($4,755,543.00) or so much thereof as may be necessary
to perform the duties imposed upon the Center by law.

SECTION 75. There is hereby appropriated to the Oklahoma
Department of Veterans Affairs from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Forty Million Three
Hundred Forty-nine Thousand Two Hundred Thirty-three Dollars
($40,349,233.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 76. There is hereby appropriated to the Oklahoma Health
Care Authority from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of One Billion Thirty-one Million
Seven Hundred Twenty-eight Thousand Nine Hundred Seventy-six Dollars
($1,031,728,976.00) or so much thereof as may be necessary to
perform the duties imposed on the Authority by law.

SECTION 77. There is hereby appropriated to the Oklahoma Health
Care Authority from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Two Hundred Thirty-six Million
Forty Thousand Three Hundred Twenty-one Dollars ($236,040,321.00) or
ENR. H. B. NO. 2766 Page 19
so much thereof as may be necessary to perform the duties imposed on
the Authority by law.

SECTION 78. There is hereby appropriated to the Oklahoma Health
Care Authority from any monies not otherwise appropriated from the
Rate Preservation Fund of the State Treasury, the sum of Thirty-four
Million Five Hundred Ninety-seven Thousand Five Hundred Thirty-one
Dollars ($34,597,531.00).

SECTION 79. There is hereby appropriated to the Oklahoma Health
Care Authority from any monies not otherwise appropriated from the
Health Care Enhancement Fund of the State Treasury for the fiscal
year ending June 30, 2026, the sum of Ninety-eight Million One
Hundred Seventy-three Thousand Nine Hundred Fifty Dollars
($98,173,950.00) or so much thereof as may be necessary to perform
the duties imposed on the Authority by law.

SECTION 80. There is hereby appropriated to the Oklahoma Health
Care Authority from any monies not otherwise appropriated from the
Tobacco Settlement Fund of the State Treasury, the sum of Ten
Million Dollars ($10,000,000.00) or so much thereof as may be
necessary to perform the duties imposed on the Authority by law.

SECTION 81. There is hereby appropriated to the Oklahoma
Medical Marijuana Authority from any monies not otherwise
appropriated from the Special Cash Fund of the State Treasury, the
sum of Thirty-seven Million Six Hundred Thirty-two Thousand Dollars
($37,632,000.00) or so much thereof as may be necessary to perform
the duties imposed upon the Authority by law.

SECTION 82. There is hereby appropriated to the State
Department of Health from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Seventy-one Million One Hundred
Fifty-six Thousand Three Hundred Fifty-five Dollars ($71,156,355.00)
or so much thereof as may be necessary to perform the duties imposed
on the Department by law. Of the funds appropriated in this
section, the sum of Eighteen Million Dollars ($18,000,000.00) shall
be transferred to the Choosing Childbirth Revolving Fund, created in
Section 1-740.20 of Title 63 of the Oklahoma Statutes.

SECTION 83. There is hereby appropriated to the State
Department of Health from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Twenty Million Dollars
ENR. H. B. NO. 2766 Page 20
($20,000,000.00) or so much thereof as may be necessary to perform
the duties imposed on the Department by law.

SECTION 84. There is hereby appropriated to the Oklahoma State
University Medical Authority from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Eighty-three
Million Eight Hundred Forty-eight Thousand One Hundred Eighty-nine
Dollars ($83,848,189.00) or so much thereof as may be necessary to
perform the duties imposed upon the Authority by law.

SECTION 85. There is hereby appropriated to the Oklahoma State
University Medical Authority Behavioral Health Workforce Development
Fund from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2026, the sum of One Million Dollars ($1,000,000.00) to be
budgeted and expended in accordance with law.

SECTION 86. There is hereby appropriated to the University
Hospitals Authority from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Two Hundred Nineteen Million Two
Hundred Sixty-seven Thousand Four Hundred Thirty-seven Dollars
($219,267,437.00) or so much thereof as may be necessary to perform
the duties imposed upon the Authority by law.

SECTION 87. There is hereby appropriated to the University
Hospitals Authority from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Thirty Million Dollars
($30,000,000.00) or so much thereof as may be necessary to perform
the duties imposed upon the Authority by law.

HUMAN SERVICES

SECTION 88. There is hereby appropriated to the Oklahoma
Commission on Children and Youth from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Three Million One
Hundred Three Thousand Eighty-seven Dollars ($3,103,087.00) or so
much thereof as may be necessary to perform the duties imposed upon
the Commission by law.

SECTION 89. There is hereby appropriated to the Department of
Human Services from any monies not otherwise appropriated from the
ENR. H. B. NO. 2766 Page 21
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Seven Hundred Fifty-seven Million
One Hundred Eighty-six Thousand Forty-five Dollars ($757,186,045.00)
or so much thereof as may be necessary to perform the duties imposed
upon the Department by law. Of the funds appropriated in this
section, the Department of Human Services shall transfer the sum of
One Hundred Fifty-seven Million Thirty-nine Thousand Two Hundred
Seventy-two Dollars ($157,039,272.00) to the Developmental
Disability Services Revolving Fund, created in Section 1026.1 of
Title 56 of the Oklahoma Statutes.

SECTION 90. There is hereby appropriated to the Department of
Human Services from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Sixty-five Million Dollars
($65,000,000.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law. Of the funds
appropriated in this section, the Department of Human Services shall
transfer the sum of Forty-five Million Dollars ($45,000,000.00) to
the Developmental Disability Services Revolving Fund, created in
Section 1026.1 of Title 56 of the Oklahoma Statutes.

SECTION 91. There is hereby appropriated to the State
Department of Rehabilitative Services from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Forty-two Million,
Four Hundred Two Thousand Nine Hundred Fifty-one Dollars
($42,402,951.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 92. There is hereby appropriated to the Office of
Disability Concerns from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Three Hundred Twenty-seven Thousand
Ninety-five Dollars ($327,095.00) or so much thereof as may be
necessary to perform the duties imposed upon the Office by law.

SECTION 93. There is hereby appropriated to the Office of
Juvenile Affairs from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of One Hundred Seven Million Four
Hundred Twenty-three Thousand Seven Hundred Eighty-six Dollars
($107,423,786.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

ENR. H. B. NO. 2766 Page 22
NATURAL RESOURCES

SECTION 94. There is hereby appropriated to the Oklahoma
Corporation Commission from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2023, the sum of Twenty Million Three Hundred
Ninety-three Thousand Five Hundred Fifty-one Dollars
($20,393,551.00) or so much thereof as may be necessary to perform
the duties imposed upon the Commission by law.

SECTION 95. There is hereby appropriated to the Oklahoma
Department of Agriculture, Food, and Forestry from any monies not
otherwise appropriated from the Special Cash Fund of the State
Treasury, the sum of Fifty-five Million Eight Hundred Thirty-seven
Thousand Three Hundred Sixteen Dollars ($55,837,316.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Department by law.

SECTION 96. There is hereby appropriated to the Oklahoma
Department of Agriculture, Food, and Forestry from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2023, the sum of One
Million Five Hundred Thousand Dollars ($1,500,000.00) to provide
curriculum materials and instruction on the April 19, 1995, Alfred
P. Murrah Federal Building bombing to students in this state.

SECTION 97. There is hereby appropriated to the Oklahoma
Department of Commerce from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2024, the sum of Twenty-eight Million Two
Hundred Ninety-three Thousand Six Hundred Forty-two Dollars
($28,293,642.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 98. There is hereby appropriated to the Rural Economic
Action Plan Fund from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Thirty-three Million Dollars
($33,000,000.00) or so much thereof as may be necessary to implement
the provisions of Sections 2006 through 2013 of Title 62 of the
Oklahoma Statutes.

SECTION 99. There is hereby appropriated to the Department of
Environmental Quality from any monies not otherwise appropriated
from the Special Cash Fund of the State Treasury, the sum of Twenty-
ENR. H. B. NO. 2766 Page 23
one Million Four Hundred Forty-seven Thousand Six Hundred Seventy-
six Dollars ($21,447,676.00) or so much thereof as may be necessary
to perform the duties imposed upon the Department by law.

SECTION 100. There is hereby appropriated to the Department of
Labor from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2026, the sum of Two Million Three Hundred Fifty-four Thousand
Three Hundred Thirty-six Dollars ($2,354,336.00) or so much thereof
as may be necessary to perform the duties imposed upon the
Department by law.

SECTION 101. There is hereby appropriated to the Department of
Labor from any monies not otherwise appropriated from the Special
Occupational Health and Safety Fund for the fiscal year ending June
30, 2026, the sum of One Million Eighty-three Thousand Two Hundred
Eighty-five Dollars ($1,083,285.00) or so much thereof as may be
necessary to perform the duties imposed upon the Department by law.

SECTION 102. There is hereby appropriated to the Department of
Labor from any monies not otherwise appropriated from the Special
Occupational Health and Safety Fund for the fiscal year ending June
30, 2024, the sum of One Hundred Forty Thousand Five Hundred Ninety-
two Dollars ($140,592.00) or so much thereof as may be necessary to
perform the duties imposed upon the Department by law.

SECTION 103. There is hereby appropriated to the Department of
Mines from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2024, the sum of One Million Three Hundred Forty-eight Thousand
Six Hundred Eighty-three Dollars ($1,348,683.00) or so much thereof
as may be necessary to perform the duties imposed upon the
Department by law.

SECTION 104. There is hereby appropriated to the J.M. Davis
Memorial Commission from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Five Hundred Thousand Dollars
($500,000.00) or so much thereof as may be necessary to perform the
duties imposed upon the Commission by law.

SECTION 105. There is hereby appropriated to the Oklahoma
Conservation Commission from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2023, the sum of Thirty-one Million Two Hundred
ENR. H. B. NO. 2766 Page 24
Twelve Thousand One Hundred Forty-nine Dollars ($31,212,149.00) or
so much thereof as may be necessary to perform the duties imposed
upon the Commission by law. Of the funds appropriated in this
section, the sum of Five Million Nine Hundred Thirty-five Thousand
Dollars ($5,935,000.00) shall be transferred to the North Canadian
Watershed Restoration Revolving Fund, created in Section 3-8-103 of
Title 27A of the Oklahoma Statutes.

SECTION 106. There is hereby appropriated to the Oklahoma
Tourism and Recreation Department from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2023, the sum of Twenty-five Million
Nine Hundred Sixty-nine Thousand Three Hundred Eighty-six Dollars
($25,969,386.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 107. The Oklahoma Historical Society is hereby
authorized to expend the sum of Two Hundred Fifty Thousand Dollars
($250,000.00) from the Oklahoma Civil Rights Trail Revolving Fund,
created pursuant to Section 503 of Title 53 of the Oklahoma
Statutes, for the benefit of the Standing Bear Museum for
maintenance and operations.

SECTION 108. There is hereby appropriated to the Oklahoma
Historical Society from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Eighteen Million Five Hundred
Seventy-nine Thousand Forty-eight Dollars ($18,579,048.00) or so
much thereof as may be necessary to perform the duties imposed upon
the Oklahoma Historical Society by law.

SECTION 109. There is hereby appropriated to the Oklahoma Water
Resources Board from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Eleven Million Two Hundred Fourteen
Thousand Seventy-five Dollars ($11,214,075.00) or so much thereof as
may be necessary to perform the duties imposed upon the Board by
law. Of the funds appropriated in this section, the sum of One
Million Dollars ($1,000,000.00) shall be transferred to the Hazard
Mitigation Financial Assistance Fund, created in Section 1085.93 of
Title 82 of the Oklahoma Statutes. Of the funds appropriated, the
Director of the Office of Management and Enterprise Services shall
transfer monies to the Rural Economic Action Plan Water Projects
Fund (225), created pursuant to Section 2002.1 of Title 62 of the
Oklahoma Statutes, in amounts and ratios requested by the agency for
ENR. H. B. NO. 2766 Page 25
the Rural Economic Action Plan program except that the cumulative
amounts transferred shall not exceed the cumulative amounts of equal
monthly allotments of the appropriation made to the Oklahoma Water
Resources Board.

SECTION 110. There is hereby appropriated to the Oklahoma State
University Veterinary Medical Authority from any monies not
otherwise appropriated from the Special Cash Fund of the State
Treasury, the sum of Twenty-three Million Three Hundred One Thousand
Five Hundred Thirty-two Dollars ($23,301,532.00) or so much thereof
as may be necessary to perform the duties imposed upon the Authority
by law.

SECTION 111. There is hereby appropriated to the Oklahoma
Workforce Commission from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of One Million Dollars ($1,000,000.00)
or so much as may be necessary to perform the duties imposed upon
the Commission by law.

PUBLIC SAFETY

SECTION 112. There is hereby appropriated to the Alcoholic
Beverage Laws Enforcement Commission from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2024, the sum of Four Million Nine
Hundred Five Thousand Four Hundred Fifty Dollars ($4,905,450.00) or
so much thereof as may be necessary to perform the duties imposed
upon the Commission by law.

SECTION 113. There is hereby appropriated to the Board of
Medicolegal Investigations from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Fifteen Million
Nine Hundred Ninety-two Thousand Seven Hundred Sixty-one Dollars
($15,992,761.00) or so much thereof as may be necessary to perform
the duties imposed upon the Board by law.

SECTION 114. There is hereby appropriated to the Council on Law
Enforcement Education and Training from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Five Million One
Hundred Twelve Thousand Eight Hundred Fifty-one Dollars
($5,112,851.00) or so much thereof as may be necessary to perform
the duties imposed upon the Council by law.
ENR. H. B. NO. 2766 Page 26

SECTION 115. There is hereby appropriated to the Council on Law
Enforcement Education and Training from any monies not otherwise
appropriated from the CLEET Fund of the State Treasury for the
fiscal year ending June 30, 2026, the sum of Two Million Four
Hundred Seventy-two Thousand Two Hundred Five Dollars
($2,472,205.00) or so much thereof as may be necessary to perform
the duties imposed upon the Council by law.

SECTION 116. There is hereby appropriated to the Council on Law
Enforcement Education and Training from any monies not otherwise
appropriated from the CLEET Fund of the State Treasury for the
fiscal year ending June 30, 2024, the sum of Four Hundred Fifty-four
Thousand Six Hundred Seventy-five Dollars ($454,675.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Council by law.

SECTION 117. There is hereby appropriated to the Department of
Corrections from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Four Hundred Fifty-six Million
Eight Hundred Forty Thousand Seven Hundred Forty-two Dollars
($456,840,742.00) or so much thereof as may be necessary to perform
the duties imposed upon the Department by law.

SECTION 118. There is hereby appropriated to the Department of
Corrections from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Ninety Million Five Hundred
Eighteen Thousand Two Hundred Eighty Dollars ($90,518,280.00) or so
much thereof as may be necessary to perform the duties imposed upon
the Department by law.

SECTION 119. There is hereby appropriated to the Department of
Public Safety from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Forty-one Million Five Hundred
Fifty-nine Thousand Four Hundred Forty-one Dollars ($41,559,441.00)
or so much thereof as may be necessary to perform the duties imposed
upon the Department by law.

SECTION 120. There is hereby appropriated to the Department of
Public Safety from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Seventy-nine Million Two Hundred
ENR. H. B. NO. 2766 Page 27
Eighty-seven Thousand Thirteen Dollars ($79,287,013.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Department by law. Of the funds appropriated herein, the Department
of Public Safety is authorized to transfer an amount not to exceed
Five Million Five Hundred Thousand Dollars ($5,500,000.00) to the
Department of Public Safety Patrol Academy Revolving Fund, created
by Section 2-146 of Title 47 of the Oklahoma Statutes.

SECTION 121. There is hereby appropriated to the Oklahoma State
Bureau of Investigation from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2026, the sum of Forty Million Three Hundred
Sixty-one Thousand Six Hundred Thirty-one Dollars ($40,361,631.00)
or so much thereof as may be necessary to perform the duties imposed
upon the Bureau by law.

SECTION 122. There is hereby appropriated to the Oklahoma State
Bureau of Narcotics and Dangerous Drugs Control from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2026, the sum of Three
Million Eighty-two Thousand Four Hundred Twenty-four Dollars
($3,082,424.00) or so much thereof as may be necessary to perform
the duties imposed upon the Bureau by law.

JUDICIARY

SECTION 123. There is hereby appropriated to the Office of the
Attorney General from any monies not otherwise appropriated from the
Special Cash Fund of the State Treasury, the sum of Eighteen Million
Seven Hundred Nine Thousand Two Hundred Seventy-seven Dollars
($18,709,277.00) or so much thereof as may be necessary to perform
the duties imposed upon the Office by law.

SECTION 124. There is hereby appropriated to the Office of the
Attorney General from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Fourteen Million Fifty-seven
Thousand Four Hundred Twelve Dollars ($14,057,412.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Office by law.

SECTION 125. The Office of the Attorney General is authorized
to transfer an amount not to exceed Three Hundred Twenty Thousand
Four Hundred Thirty Dollars ($320,430.00) from the Attorney
General’s Evidence Fund (700), created by Section 19 of Title 74 of
ENR. H. B. NO. 2766 Page 28
the Oklahoma Statutes, to the Attorney General’s Revolving Fund
(200), created by Section 20 of Title 74 of the Oklahoma Statutes.

SECTION 126. There is hereby appropriated to the Domestic
Violence and Sexual Assault Services Revolving Fund, created in
Enrolled Senate Bill No. 2039 of the 2nd Session of the 59th
Oklahoma Legislature, from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2026, the sum of Seventeen Million Dollars
($17,000,000.00) to be budgeted and expended in accordance with law.

SECTION 127. There is hereby appropriated to the Office of the
Attorney General from any monies not otherwise appropriated from the
Special Cash Fund of the State Treasury, the sum of One Million Five
Hundred Nine Thousand Three Hundred Seventy-eight Dollars
($1,509,378.00) to transfer to the Legal Services Revolving Fund
(250), created pursuant to subsection G of Section 921.1 of Title 12
of the Oklahoma Statutes.

SECTION 128. There is hereby appropriated to the Oklahoma
Sheriff’s Office Funding Assistance Revolving Fund, created in
Section 20k-1B of Title 74 of the Oklahoma Statutes, from any monies
not otherwise appropriated from the Special Cash Fund of the State
Treasury, the sum of Eighteen Million Dollars ($18,000,000.00) to be
budgeted and expended in accordance with law.

SECTION 129. There is hereby appropriated to the Council on
Judicial Complaints from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Three Hundred Thousand Dollars
($300,000.00) or so much thereof as may be necessary to perform the
duties imposed upon the Council by law.

SECTION 130. There is hereby appropriated to the District
Attorneys Council from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Twenty-six Million Two Hundred Four
Thousand Three Hundred Twenty-one Dollars ($26,204,321.00) or so
much thereof as may be necessary to perform the duties imposed upon
the district attorneys and the District Attorneys Council by law.
Of the funds appropriated herein, the District Attorneys Council
shall transfer up to the sum of Four Hundred Ninety-one Thousand
Fourteen Dollars ($491,014.00) or so much thereof as may be required
by the district attorneys and the District Attorneys Council to the
District Attorneys Evidence Fund for necessary expenses relative to
ENR. H. B. NO. 2766 Page 29
any case within the official responsibility of the offices of the
district attorneys as provided by Section 215.40 of Title 19 of the
Oklahoma Statutes. Of the funds appropriated herein, the District
Attorneys Council shall transfer the sum of Two Million Five Hundred
Thousand Dollars ($2,500,000.00) or so much thereof as may be
required to the Sexual Assault Examination Fund, created by Section
142.20 of Title 21 of the Oklahoma Statutes.

SECTION 131. There is hereby appropriated to the District
Attorneys Council from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2024, the sum of Two Million Eight Hundred Seventy-
one Thousand One Hundred Four Dollars ($2,871,104.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Council by law.

SECTION 132. There is hereby appropriated to the District
Attorneys Council from any monies not otherwise appropriated from
the General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Eight Million Three Hundred Twenty-
five Thousand Two Hundred Forty-nine Dollars ($8,325,249.00) or so
much thereof as may be necessary to perform the duties imposed upon
the Council by law.

SECTION 133. There is hereby appropriated to the District
Attorneys Council from any monies not otherwise appropriated from
the Special Cash Fund of the State Treasury, the sum of Forty-eight
Million Six Hundred Forty Thousand Two Hundred Eighty-three Dollars
($48,640,283.00) or so much thereof as may be necessary to perform
the duties imposed upon the Council by law.

SECTION 134. For the fiscal year ending June 30, 2026, up to
Nine Hundred Thousand Dollars ($900,000.00) is authorized to be
transferred from the Crime Victims Compensation Revolving Fund,
created by Section 142.17 of Title 21 of the Oklahoma Statutes, to
the District Attorneys Council to support the Crime Victims
Compensation Board.

SECTION 135. For the fiscal year ending June 30, 2026, up to
One Million Five Hundred One Thousand Three Hundred Seventy-five
Dollars ($1,501,375.00) is authorized to be transferred from the
Crime Victims Compensation Revolving Fund, created by Section 142.17
of Title 21 of the Oklahoma Statutes, to the District Attorneys
Council for duties to support victim-witness services.

ENR. H. B. NO. 2766 Page 30
SECTION 136. There is hereby appropriated to the Oklahoma
Indigent Defense System from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2026, the sum of Twenty-six Million Four
Hundred Seventy Thousand One Hundred Twenty-five Dollars
($26,470,125.00) or so much thereof as may be necessary to perform
the duties imposed upon the System by law.

SECTION 137. There is hereby appropriated to the Pardon and
Parole Board from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Two Million Six Hundred Four
Thousand Four Hundred Forty-six Dollars ($2,604,446.00) or so much
thereof as may be necessary to perform the duties imposed upon the
Board by law.

SECTION 138. There is hereby appropriated to the Court of
Criminal Appeals from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Four Million Six Hundred Eighty-six
Thousand Seven Hundred Seventy-five Dollars ($4,686,775.00) or so
much thereof as may be necessary to perform the duties imposed upon
the Court of Criminal Appeals by law.

SECTION 139. The Supreme Court is hereby authorized to expend
during the fiscal year ending June 30, 2026, from the State Judicial
Revolving Fund of the State Treasury, the sum of Fifteen Million
Five Hundred Thirty-seven Thousand Three Hundred Fourteen Dollars
($15,537,314.00) or so much thereof as may be necessary for the
financial support of the district courts.

SECTION 140. There is hereby appropriated to the Supreme Court
from any monies not otherwise appropriated from the General Revenue
Fund of the State Treasury for the fiscal year ending June 30, 2026,
the sum of Seventy-one Million Four Hundred Twenty-two Thousand Nine
Hundred Eighty-three Dollars ($71,422,983.00) or so much thereof as
may be necessary to perform the duties imposed upon the district
courts by law.

SECTION 141. There is hereby appropriated to the Supreme Court
from any monies not otherwise appropriated from the General Revenue
Fund of the State Treasury for the fiscal year ending June 30, 2024,
the sum of Sixteen Million Ninety-three Thousand Thirty-seven
Dollars ($16,093,037.00) or so much thereof as may be necessary to
ENR. H. B. NO. 2766 Page 31
perform the duties imposed upon the Supreme Court or Court of Civil
Appeals by law.

SECTION 142. There is hereby appropriated to the Supreme Court
from any monies not otherwise appropriated from the General Revenue
Fund of the State Treasury for the fiscal year ending June 30, 2025,
the sum of Twelve Million Seven Hundred Sixty-five Thousand Seven
Hundred Fifty-two Dollars ($12,765,752.00) or so much thereof as may
be necessary to perform the duties imposed upon the Supreme Court or
Court of Civil Appeals by law. Of the funds appropriated herein,
the Supreme Court is authorized to transfer up to Ten Million Five
Hundred Thousand Dollars ($10,500,000.00) to the Family
Representation and Advocacy Program Revolving Fund, created by
Section 802 of Title 10 of the Oklahoma Statutes, to implement the
provisions of the Family Representation and Advocacy Act.

SUPPLEMENTALS

SECTION 143. There is hereby appropriated to the Oklahoma Tax
Commission from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Eight Million Seven Hundred Eighty-
eight Thousand Twenty-six Dollars ($8,788,026.00) to be transferred
to the Ad Valorem Reimbursement Fund, created pursuant to Section
193 of Title 62 of the Oklahoma Statutes, for the purpose of
reimbursing counties that claim a loss of revenue due to a tax
exemption granted to veterans and their surviving spouses pursuant
to the provisions of Sections 8D, 8E, and 8F of Article X of the
Oklahoma Constitution.

SECTION 144. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Sixty-four Million Eight Hundred
Forty-eight Thousand Two Hundred Ninety-two Dollars ($64,848,292.00)
to be transferred to the Ad Valorem Reimbursement Fund, created
pursuant to Section 193 of Title 62 of the Oklahoma Statutes, for
the purpose of reimbursing counties for school districts that claim
a loss of revenue due to a tax exemption granted pursuant to the
provisions of Section 6B of Article X of the Oklahoma Constitution.

SECTION 145. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
Education Reform Revolving Fund, created in Section 34.89 of Title
62 of the Oklahoma Statutes, the sum of Eleven Million Four Hundred
ENR. H. B. NO. 2766 Page 32
Fifty-three Thousand One Hundred Thirteen Dollars ($11,453,113.00)
or so much thereof as may be necessary for the Certified Employee
Health Benefit Allowance.

SECTION 146. There is hereby appropriated to the State Board of
Education from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2023, the sum of Ten Million Five Hundred Fifty-nine
Thousand Four Hundred Forty-one Dollars ($10,559,441.00) or so much
thereof as may be necessary for the Support Personnel Health Benefit
Allowance.

SECTION 147. There is hereby appropriated to the Department of
Mental Health and Substance Abuse Services from any monies not
otherwise appropriated from the General Revenue Fund of the State
Treasury for the fiscal year ending June 30, 2024, the sum of
Twenty-seven Million Four Hundred Four Thousand Seven Hundred Fifty-
eight Dollars ($27,404,758.00) for the payment of agency payroll.

SECTION 148. REDESIGNATION From the funds appropriated to the
Department of Mental Health and Substance Abuse Services in Enrolled
Senate Bill No. 1125 of the 2nd Session of the 59th Oklahoma
Legislature, the sum of Four Million One Hundred Thousand Dollars
($4,100,000.00), notwithstanding the limitation provided in Section
3 of Enrolled House Bill No. 2929 of the 2nd Session of the 59th
Oklahoma Legislature, shall be redesignated and available to the
Department of Mental Health and Substance Abuse Services for the
payment of agency payroll.

SECTION 149. There is hereby appropriated to the Special Cash
Fund of the State Treasury from any monies not otherwise
appropriated from the Unclaimed Property Fund (711), the sum of
Ninety Million Dollars ($90,000,000.00) for availability of
appropriation.

SECTION 150. There is hereby appropriated to the Special Cash
Fund of the State Treasury from any monies not otherwise
appropriated from the State Insurance Commissioner Revolving Fund
(200), the sum of Eight Million Five Hundred Thousand Dollars
($8,500,000.00) for availability of appropriation.

SECTION 151. There is hereby appropriated to the Special Cash
Fund of the State Treasury from any monies not otherwise
appropriated from the Secretary of State (200), the sum of Eight
ENR. H. B. NO. 2766 Page 33
Million Five Hundred Thousand Dollars ($8,500,000.00) for
availability of appropriation.

SECTION 152. There is hereby appropriated to the Special Cash
Fund of the State Treasury from any monies not otherwise
appropriated from the Medical Marijuana Tax Fund (205), the sum of
Fifty-five Million Dollars ($55,000,000.00) for availability of
appropriation.

SECTION 153. There is hereby appropriated to the Special Cash
Fund of the State Treasury from any monies not otherwise
appropriated from the Oklahoma Medical Marijuana Authority Revolving
Fund (248), the sum of Twenty-five Million Dollars ($25,000,000.00)
for availability of appropriation.

SECTION 154. There is hereby appropriated to the Special Cash
Fund of the State Treasury from any monies not otherwise
appropriated from the Constitutional Reserve Fund, the sum of
Thirty-eight Million Seventy-seven Thousand Four Hundred Sixty-two
Dollars ($38,077,462.00), pursuant to the conditions described in
subparagraph a of paragraph 6 of Section 23 of Article X of the
Oklahoma Constitution, for availability of appropriation.

SECTION 155. There is hereby appropriated to the Legacy Capital
Financing Fund, created in Section 187B of Title 73 of the Oklahoma
Statutes, from any monies not otherwise appropriated from the
General Revenue Fund of the State Treasury for the fiscal year
ending June 30, 2026, the sum of Four Hundred Ninety-one Million Six
Hundred Thousand Dollars ($491,600,000.00) to be administered in
accordance with law.

SECTION 156. There is hereby appropriated to the Progressing
Rural Economic Prosperity Fund, created in Section 256 of Title 62
of the Oklahoma Statutes, from any monies not otherwise appropriated
from the General Revenue Fund of the State Treasury for the fiscal
year ending June 30, 2023, the sum of Fifty-eight Million Dollars
($58,000,000.00) for availability of appropriation.

SECTION 157. There is hereby appropriated to the Department of
Commerce from any monies not otherwise appropriated from the General
Revenue Fund of the State Treasury for the fiscal year ending June
30, 2026, the sum of Three Million Dollars ($3,000,000.00) to
facilitate and support ongoing efforts in workforce development,
enhance manufacturing and supply chain capabilities, and support the
ENR. H. B. NO. 2766 Page 34
expansion of research and development, and commercialization
activities in this state.

SECTION 158. There is hereby appropriated to the Military
Department of the State of Oklahoma from any monies not otherwise
appropriated from the General Revenue Fund of the State Treasury for
the fiscal year ending June 30, 2026, the sum of Twenty-one Million
Dollars ($21,000,000.00) or so much thereof as may be necessary to
enhance and improve military bases and facilities in Oklahoma. The
Military Department is authorized to transfer monies appropriated in
this section to the BIND – Schools Fund created in Enrolled House
Bill No. 2516 of the 1st Regular Session of the 60th Oklahoma
Legislature and the BIND – Technology Fund created in Enrolled House
Bill No. 2518 of the 1st Regular Session of the 60th Oklahoma
Legislature, provided the total of such transfers shall not exceed
the amount appropriated in this section.

SECTION 159. TRANSFER There is hereby transferred from the
Oklahoma Emission Reduction Technology Upstream and Midstream
Incentive Revolving Fund, created in subsection A of Section 55010
of Title 68 of the Oklahoma Statutes the sum of Twenty Million
Dollars ($20,000,000.00), to the Oklahoma Emission Reduction
Technology Downstream Incentive Revolving Fund created in subsection
B of Section 55010 of Title 68 of the Oklahoma Statutes, to be
utilized in accordance with law.

SECTION 160. There is hereby appropriated to the Oklahoma State
Regents for Higher Education, from any monies not otherwise
appropriated from the Progressing Rural Economic Prosperity Fund,
created in Section 256 of Title 62 of the Oklahoma Statutes, the sum
of Twenty Million Dollars ($20,000,000.00) for institutional
utilization.

SECTION 161. Appropriations, authorizations, and distributions
directed in this act to or from a revolving fund of the State
Treasury enacted during the 1st Session of the 60th Oklahoma
Legislature shall be executable upon the latter of the effective
date for such applicable section of this act or upon date of such
fund's creation.

SECTION 162. Sections 1 through 142, 155, 157, and 158 of this
act shall become effective July 1, 2025.

ENR. H. B. NO. 2766 Page 35
Passed the House of Representatives the 20th day of May, 2025.

Presiding Officer of the House
of Representatives

Passed the Senate the 22nd day of May, 2025.

Presiding Officer of the Senate

OFFICE OF THE GOVERNOR
Received by the Office of the Governor this ____________________
day of ___________________, 20_______, at _______ o'clock _______ M.
By: _________________________________
Approved by the Governor of the State of Oklahoma this _________
day of ___________________, 20_______, at _______ o'clock _______ M.

_________________________________
Governor of the State of Oklahoma

OFFICE OF THE SECRETARY OF STATE
Received by the Office of the Secretary of State this __________
day of ___________________, 20_______, at _______ o'clock _______ M.
By: _________________________________