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SB 6
Utah Senate•Passed
Summary
SB 6, “Transportation and Infrastructure Base Budget”, was introduced in the Senate on Jan 16, 2026 by Sen. Don Ipson (R) with 1 co-sponsor. It last saw action on Jan 31, 2026: Governor Signed in Lieutenant Governor's office for filing.
Record
Text
SB 6 has 1 co-sponsor and 2 roll calls.
sb6/enrolled.txtEnrolled Copy S.B. 61Transportation and Infrastructure Base Budget2026 GENERAL SESSIONSTATE OF UTAHChief Sponsor: Don L. IpsonHouse Sponsor: Doug Welton23 LONG TITLE4 General Description:5 This bill supplements or reduces appropriations otherwise provided for the support and6 operation of state government for the fiscal year beginning July 1, 2025 and ending June 30,7 2026 and appropriates funds for the support and operation of state government for the fiscal8 year beginning July 1, 2026 and ending June 30, 2027.9 Highlighted Provisions:10 This bill:11 ▸ provides appropriations for the use and support of certain state agencies;12 ▸ provides appropriations for other purposes as described; and13 ▸ provides intent language.14 Money Appropriated in this Bill:15 This bill appropriates $333,556,400 in operating and capital budgets for fiscal year 2026,16 including:17 ▸ $54,000,000 from General Fund; and18 ▸ $279,556,400 from various sources as detailed in this bill.19 This bill appropriates $14,191,000 in expendable funds and accounts for fiscal year 2026, all20 of which is from the various sources as detailed in this bill.21 This bill appropriates $7,600,000 in business-like activities for fiscal year 2026, all of which is22 from the General Fund.23 This bill appropriates $885,300 in fiduciary funds for fiscal year 2026, all of which is from the24 various sources as detailed in this bill.25 This bill appropriates ($19,818,800) in capital project funds for fiscal year 2026, all of which26 is from the General Fund.27 This bill appropriates $3,818,523,900 in operating and capital budgets for fiscal year 2027,S.B. 6 Enrolled Copy28 including:29▸ $165,018,600 from General Fund; and30▸ $197,521,800 from Income Tax Fund; and31▸ $3,455,983,500 from various sources as detailed in this bill.32This bill appropriates $118,913,500 in expendable funds and accounts for fiscal year 2027, all33 of which is from the various sources as detailed in this bill.34This bill appropriates $41,736,700 in business-like activities for fiscal year 2027, all of which35 is from the various sources as detailed in this bill.36This bill appropriates $15,440,000 in restricted fund and account transfers for fiscal year 2027,37 all of which is from the General Fund.38This bill appropriates $3,522,200 in fiduciary funds for fiscal year 2027, all of which is from39 the various sources as detailed in this bill.40This bill appropriates $2,382,304,900 in capital project funds for fiscal year 2027, including:41▸ $7,237,400 from General Fund; and42▸ $88,461,800 from Income Tax Fund; and43▸ $2,286,605,700 from various sources as detailed in this bill.44 Other Special Clauses:45This bill provides a special effective date.46 Uncodified Material Affected:47ENACTS UNCODIFIED MATERIAL4849 Be it enacted by the Legislature of the state of Utah:50Section 1. FY 2026 Appropriations.51The following sums of money are appropriated for the fiscal year beginning July 1,52 2025, and ending June 30, 2026. These are additions to amounts previously appropriated for53 fiscal year 2026.54Subsection 1(a). Operating and Capital Budgets55Under the terms and conditions of Title 63J, Chapter 1, Budgetary Procedures Act, the56 Legislature appropriates the following sums of money from the funds or accounts indicated for57 the use and support of the government of the state of Utah.58 DEPARTMENT OF GOVERNMENT OPERATIONS - DFCM59 ITEM 1 To Department of Government Operations - DFCM - DFCM60The Legislature intends that the Division of61Facilities Construction and Management report to the-2-Enrolled Copy S.B. 662Transportation and Infrastructure Appropriations63Subcommittee by May 1st, 2026 on the following related64to the state capital development involvement in65preparation for the 2034 Winter Olympic Games: (1) A66list of state, county and municipal facilities or buildings67being considered for use by the Olympic Host Committee68to support the games, this includes, but is not limited to,69sports facilities, athlete housing sites, parking or70transportation-related capital or facility needs or any71other use; (2) Projected capital needs for identified72facilities to make them games ready by 2034; (3)73Projected new construction needs and costs for74state-owned buildings or sites and infrastructure,75including but not limited to transportation, sewer,76electrical, etc. to support the games; (4)77Recommendations from the agency for regular reporting78to and involvement by the Legislature regarding79Olympic-related capital matters.80 UTAH EDUCATION AND TELEHEALTH NETWORK81 ITEM 2 To Utah Education and Telehealth Network - Utah Education and Telehealth82 Network Operations83From Closing Nonlapsing Balances (10,344,200)84Schedule of Programs:85Course Management Systems (10,344,200)86 OFFICE OF THE STATE TREASURER87 ITEM 3 To Office of the State Treasurer - State Treasurer88From Beginning Nonlapsing Balances 186,60089From Closing Nonlapsing Balances 70,00090Schedule of Programs:91Treasury and Investment 30,00092Unclaimed Property 226,60093 CAPITAL BUDGET94 ITEM 4 To Capital Budget - Capital Development - Higher Education95The Legislature intends that any funds remaining-3-S.B. 6 Enrolled Copy96from the funding item titled "SUU Stadium Flood Repair97and Prevention" (H.B. 2, 2022 General Session, Item 38)98be made available for the Coliseum Restoration Project at99Southern Utah University.100 ITEM 5 To Capital Budget - Capital Development - Other State Government101From General Fund, One-time 44,000,000102Schedule of Programs:103Ogden Multi-Agency State Office Building 30,000,000104Draper Site Remediation 14,000,000105 ITEM 6 To Capital Budget - Capital Improvements106From General Fund, One-time 10,000,000107Schedule of Programs:108Capital Improvements 10,000,000109 STATE BOARD OF BONDING COMMISSIONERS - DEBT SERVICE110 ITEM 7 To State Board of Bonding Commissioners - Debt Service - Debt Service111From Beginning Nonlapsing Balances 1,226,400112From Closing Nonlapsing Balances 787,100113Schedule of Programs:114G.O. Bonds - State Govt 18,100115Revenue Bonds Debt Service 1,995,400116 TRANSPORTATION117 ITEM 8 To Transportation - Aeronautics118From Beginning Nonlapsing Balances 7,700,000119Schedule of Programs:120Aeronautics Administration 500,000121Airplane Operations 7,200,000122Under the terms of 63J-1-603 of the Utah Code,123the Legislature intends that up to $7,000,000 of124appropriations provided for the Aeronautics line item in125Item 28, Chapter 468, Laws of Utah 2023, shall not lapse126at the close of FY 2026. Expenditures of these funds are127limited to the purchase of a state plane.128Under the terms of 63J-1-603 of the Utah129Code, the Legislature intends that up to $1,500,000 of-4-Enrolled Copy S.B. 6130appropriations provided for the Aeronautics line item in131Item 52, Chapter 487, Laws of Utah 2024, shall not lapse132at the close of FY 2026. Expenditures of these funds are133limited to advanced air mobility and unmanned aerial134systems.135Under the terms of 63J-1-603 of the Utah136Code, the Legislature intends that up to $200,000 of137appropriations provided for the Aeronautics line item in138Item 50, Chapter 4, Laws of Utah 2025, shall not lapse at139the close of FY 2026. Expenditures of these funds are140limited to state planes maintenance costs.141There is appropriated to the Department of142Transportation from the Aeronautic Restricted Account,143not otherwise appropriated, a sum sufficient, but not144more than the surplus of the Aeronautic Restricted145Account, to be used by the department for the146construction, improvement, operation and maintenance147of publicly used airports in Utah. No portion of the148money appropriated by this item shall be used either149directly or indirectly to enhance or increase the150appropriations otherwise made by this act to the151Department of Transportation for other purposes.152 ITEM 9 To Transportation - Highway System Construction153From Beginning Nonlapsing Balances (2,016,500)154From Closing Nonlapsing Balances 103,676,200155Schedule of Programs:156Special Projects 101,659,700157There is appropriated to the Department of158Transportation from the Transportation Fund, not159otherwise appropriated, a sum sufficient but not more160than the surplus of the Transportation Fund, to be used161by the department for the construction, rehabilitation, and162preservation of State highways in Utah. The Legislature163intends that the appropriation fund first, a maximum-5-S.B. 6 Enrolled Copy164participation with the federal government for the165construction of federally designated highways, as166provided by law, and fund construction of State167highways, as funding permits. No portion of the money168appropriated by this item shall be used either directly or169indirectly to enhance the appropriation otherwise made170by this act to the Department of Transportation for other171purposes.172The Legislature intends that any unexpended173funds from the one-time appropriation of $20,000,000 for174the Highway Systems Construction line item in Item17551,Chapter 485, Laws of Utah 2023, shall not lapse at the176close of FY 2026.177Under the terms of 63J-1-603 of the Utah178Code, the Legislature intends that up to $88,500,000 of179appropriations for the Highway System Construction line180item in Item 251, Chapter 486, Laws of Utah 2023, shall181not lapse at the close of FY 2026.182Under terms of Utah Code Annotated Section18363J-1-603, the Legislature intends that up to $41,000,000184of appropriations for the Highway System Construction185line item in Item 162, Chapter 300, Laws of Utah 2022,186shall not lapse at the close of FY 2026.187 ITEM 10 To Transportation - Engineering Services188From Beginning Nonlapsing Balances 3,366,300189Schedule of Programs:190Engineering Services 600,000191Highway Project Management Team 100,000192Preconstruction 270,000193Program Development 160,000194Research 2,016,000195Right-of-Way 130,000196Structures (295,000)197Transit Capital Development 300,000-6-Enrolled Copy S.B. 6198Active Transportation 85,300199Under the terms of 63J-1-603 of the Utah Code,200the Legislature intends that up to $1,000,000 of201appropriations provided for the Engineering line item in202Item 156, Chapter 168, Laws of Utah 2025, shall not203lapse at the close of FY 2026. Expenditures of these204funds are limited to construction training.205Under the provisions of Utah Code Annotated206Title 63G Chapter 6b, the Legislature intends that of the207appropriations provided in Infrastructure and General208Government Base Budget" (Senate Bill 6, 2024 General209Session), Item 79, the Utah Department of Transportation210provide a direct award grant of up to $1,000,000 to cities,211towns, or other organizations outside of metropolitan212planning organization boundaries in Fiscal Year 2026 for213emerging area planning.214Under the provisions of Utah Code Annotated215Title 63G Chapter 6b, the Legislature intends that the216Utah Department of Transportation use the ongoing217appropriation to this line item to provide a direct award218grant of $315,000 to Wasatch Front Regional Council219and $120,000 to the Mountainland Association of220Governments in Fiscal Year 2026 for transportation221planning.222Under the terms of 63J-1-603 of the Utah223Code, the Legislature intends that up to $100,000 of224appropriations provided for the Engineering line item in225Item 420, Chapter 539, Laws of Utah 2025, shall not226lapse at the close of FY 2026. Expenditures of these227funds are limited to broadband.228Under the terms of 63J-1-603 of the Utah229Code, the Legislature intends that up to $4,100,000 of230appropriations provided for the Engineering Services line231item in Item 54, Chapter 4, Laws of Utah 2025, shall not-7-S.B. 6 Enrolled Copy232lapse at the close of FY 2026. Expenditures of these233funds are limited to: engineering services special project,234$300,000; road usage charge program, $2,500,000; SPR235state match for federal projects, $600,000; emerging236areas, $200,000; active transportation, $200,000; and237transit capital development, $300,000.238Under the terms of 63J-1-603 of the Utah239Code, the Legislature intends that up to $3,000,000 of240appropriations provided for the Engineering line item in241Item 156, Chapter 168, Laws of Utah 2025, shall not242lapse at the close of FY 2026. Expenditures of these243funds are limited to surplus property.244 ITEM 11 To Transportation - Operations/Maintenance Management245From Beginning Nonlapsing Balances 4,273,600246Schedule of Programs:247Equipment Purchases (3,101,000)248Field Crews 4,486,500249Lands and Buildings 1,346,900250Maintenance Administration (3,835,300)251Maintenance Planning 162,400252Region 1 Operations 100,000253Region 2 Operations 100,000254Region 3 Operations 100,000255Region 4 Operations 100,000256Shops 3,580,300257Traffic Management Division 948,800258Traffic Safety/Tramway 285,000259Under the terms of Utah Code Annotated Section26063J-1-603, the Legislature intends that up to $50,000 in261unexpended proceeds derived from annual registration of262tramways shall not lapse at the close of FY 2026.263Expenditures of these funds are limited to the tramway264program.265Under the terms of 63J-1-603 of the Utah-8-Enrolled Copy S.B. 6266Code, the Legislature intends that up to $800,000 of267appropriations provided for the Region Management line268item in Item 56, Chapter 4, Laws of Utah 2025, shall not269lapse at the close of FY 2026. Expenditures of these270funds are limited to Region Management.271The Legislature also intends that any272unexpended funds from the one-time appropriation of273$6,000,000 for the Advanced Traffic Management274System, as authorized in item 45, Chapter 441, Laws of275Utah 2021, shall not lapse at the close of FY 2026.276Expenditures of these funds are limited to the Advanced277Traffic Management System.278The Legislature intends for the Department of279Transportation to utilize maintenance funds previously280allocated for state highways now eligible for the281Transportation Investment Fund of 2005 to address282maintenance and preservation issues on other state283highways.284Under the terms of Utah Code Annotated285Section 63J-1-603, the Legislature intends that up to286$1,500,000 in unexpended proceeds derived from the287sale of real property or an interest in real property from a288maintenance facility shall not lapse at the close of FY2892026. Expenditures of these funds are limited to the290purchase or improvement of another maintenance291facility, including real property.292Under the terms of Utah Code Annotated293Section 63J-1-603, the Legislature intends that up to294$7,000,000 of appropriations provided for295Operations/Maintenance Management in Item 55,296Chapter 4, Laws of Utah 2025, shall not lapse at the close297of FY 2026. Expenditures of these funds are limited to298highway maintenance: $2,000,000; and equipment299purchases: $3,000,000; and lands and buildings:-9-S.B. 6 Enrolled Copy300$2,000,000.301 ITEM 12 To Transportation - Region Management302From Beginning Nonlapsing Balances 800,000303From Closing Nonlapsing Balances (300,000)304Schedule of Programs:305Region 1 325,700306Region 2 (385,400)307Region 3 291,500308Region 4 268,200309 ITEM 13 To Transportation - Safe Sidewalk Construction310From Beginning Nonlapsing Balances 1,277,000311Schedule of Programs:312Sidewalk Construction 1,277,000313The Legislature intends that the funds314appropriated from the Transportation Fund for pedestrian315safety projects be used specifically to correct pedestrian316hazards on State highways. The Legislature also intends317that local authorities be encouraged to participate in the318construction of pedestrian safety devices. The319appropriated funds are to be used according to the criteria320set forth in Section 72-8-104, Utah Code Annotated,3211953. The funds appropriated for sidewalk construction322shall not lapse at the close of FY 2026. If local323governments cannot use their allocation of Sidewalk324Safety Funds in two years, these funds will be available325for other governmental entities which are prepared to use326the resources. The Legislature intends that local327participation in the Sidewalk Construction Program be on328a 75% state and 25% local match basis.329 ITEM 14 To Transportation - Support Services330From Beginning Nonlapsing Balances 1,120,100331Schedule of Programs:332Administrative Services 120,100333Community Relations 200,000- 10 -Enrolled Copy S.B. 6334Data Processing 300,000335Ports of Entry 500,000336Under the terms of Utah Code Annotated Section33763J-1-603, the Legislature intends that up to $1,000,000338of appropriations provided for Support Services in Item33959, Chapter 4, Laws of Utah 2025, shall not lapse at the340close of FY 2026. Expenditures of these funds are limited341to computer software development projects, $300,000;342building improvements, $500,000; and communication343outreach projects, $200,000.344Under the terms of Utah Code Annotated345Section 63J-1-603, the Legislature intends that any346expended funds from the one-time appropriation of347$850,000 from the Transportation Fund to Support348Services in Item 138, Chapter 463, Laws of Utah 2018,349shall not lapse at the close of FY 2026. Expenditures of350these funds are limited to the development of rules and351standards.352 ITEM 15 To Transportation - Transportation Investment Fund Capacity Program353From Beginning Nonlapsing Balances (397,010,000)354From Closing Nonlapsing Balances 399,943,100355Schedule of Programs:356Transportation Investment Fund Capacity357Program 2,933,100358There is appropriated to the Department of359Transportation from the Transportation Investment Fund360of 2005, not otherwise appropriated, a sum sufficient, but361not more than the surplus of the Transportation362Investment Fund of 2005, to be used by the department363for the construction, rehabilitation, and preservation of364State and Federal highways in Utah. No portion of the365money appropriated by this item shall be used either366directly or indirectly to enhance or increase the367appropriations otherwise made by this act to the- 11 -S.B. 6 Enrolled Copy368Department of Transportation for other purposes.369Under the terms of 63J-1-603 of the Utah370Code, the Legislature intends that up to $15,976,200 of371appropriations provided for the TIF Capacity Program372line item in Item 3, Chapter 77, Laws of Utah 2022, shall373not lapse at the close of FY 2026. Expenditures of these374funds are limited to requirements in Chapter 77, Laws of375Utah 2022.376Under the terms of 63J-1-603 of the Utah377Code, the Legislature intends that up to $35,000,000 of378appropriations provided for the TIF Capacity Program379line item in Item 48, Chapter 441, Laws of Utah 2021,380shall not lapse at the close of FY 2026. Expenditures of381these funds are limited to requirements in Chapter 485,382Laws of Utah 2021.383 ITEM 16 To Transportation - Amusement Ride Safety384From Beginning Nonlapsing Balances 116,200385Schedule of Programs:386Amusement Ride Safety 116,200387Under terms of Utah Code Annotated Section38863J-1-603, the Legislature intends that up to $200,000 of389appropriations provided for Amusement Ride Safety in390Item 60, Chapter 4, Laws of Utah 2025, shall not lapse at391the close of FY 2026. Expenditures of these funds are392limited to the Amusement Ride Safety program.393 ITEM 17 To Transportation - Transit Transportation Investment394From Beginning Nonlapsing Balances (25,581,000)395From Closing Nonlapsing Balances 189,837,600396Schedule of Programs:397Transit Transportation Investment 164,256,600398Under the terms of 63J-1-603 of the Utah Code,399the Legislature intends that appropriations provided for400the Transit Transportation Investment line item in Item40161, Chapter 4, Laws of Utah 2025, shall not lapse at the- 12 -Enrolled Copy S.B. 6402close of FY 2026. Expenditures of these funds are limited403to the Transit Transportation Investment program.404 ITEM 18 To Transportation - Pass-Through405From Beginning Nonlapsing Balances 317,900406Schedule of Programs:407Pass-Through 317,900408Under the terms of 63J-1-603 of the Utah Code,409the Legislature intends that up to $400,000 of410appropriations provided for the Pass-Through line item in411Item 63, Chapter 4, Laws of Utah 2025, shall not lapse at412the close of FY 2026. Expenditures of these funds are413limited to technical planning assistance.414 ITEM 19 To Transportation - Railroad Crossing Safety415From Beginning Nonlapsing Balances 110,000416Schedule of Programs:417Railroad Crossing Safety Grants 110,000418Under terms of Utah Code Annotated Section41963J-1-603, the Legislature intends that up to $200,000 of420appropriations provided for the Railroad Crossing Safety421Grants line item in Item 64, Chapter 4, Laws of Utah4222025, shall not lapse at the close of FY 2026.423Expenditures of these funds are limited to railroad424crossing safety grants.425Subsection 1(b). Expendable Funds and Accounts426The Legislature has reviewed the following expendable funds. The Legislature427 authorizes the State Division of Finance to transfer amounts between funds and accounts as428 indicated. Outlays and expenditures from the funds or accounts to which the money is429 transferred may be made without further legislative action, in accordance with statutory430 provisions relating to the funds or accounts.431 TRANSPORTATION432 ITEM 20 To Transportation - County of the First Class Highway Projects Fund433From Restricted Revenue, One-time (46,000,000)434From Restricted Tax Revenue, One-time 46,000,000435From Beginning Fund Balance 20,712,600- 13 -S.B. 6 Enrolled Copy436From Closing Fund Balance (20,712,600)437The Legislature intends that if amounts438appropriated from the County of the First Class Highway439Projects Fund to debt service exceed the amounts needed440to cover payments on the debt in FY 2026, the Division441of Finance should transfer from these funds only the442amounts needed for debt service.443 ITEM 21 To Transportation - Road Usage Charge Program Special Revenue Fund444From Beginning Fund Balance 576,300445From Closing Fund Balance (526,300)446Schedule of Programs:447Road Usage Charge Program Special Revenue448Fund 50,000449 ITEM 22 To Transportation - Marda Dillree Corridor Preservation Fund450From Restricted Revenue, One-time (11,000,000)451From Restricted Tax Revenue, One-time 11,000,000452From Revenue Transfers, One-time 25,000,000453From Other Financing Sources, One-time (25,000,000)454From Beginning Fund Balance (175,727,700)455From Closing Fund Balance 175,727,700456 ITEM 23 To Transportation - Rural Transportation Infrastructure Fund457From Beginning Fund Balance (4,537,200)458From Closing Fund Balance 19,037,200459Schedule of Programs:460Rural Transportation Infrastructure Fund 14,500,000461 ITEM 24 To Transportation - Office of Rail Safety Account462From Dedicated Credits Revenue, One-time (259,000)463From Beginning Fund Balance (231,400)464From Closing Fund Balance 131,400465Schedule of Programs:466Office of Rail Safety Account (359,000)467 ITEM 25 To Transportation - Tollway Special Revenue Fund468From Beginning Fund Balance 150,600469From Closing Fund Balance (150,600)- 14 -Enrolled Copy S.B. 6470Subsection 1(c). Business-like Activities471The Legislature has reviewed the following proprietary funds. Under the terms and472 conditions of Utah Code 63J-1-410, for any included Internal Service Fund, the Legislature473 approves budgets, full-time permanent positions, and capital acquisition amounts as indicated,474 and appropriates to the funds, as indicated, estimated revenue from rates, fees, and other475 charges. The Legislature authorizes the State Division of Finance to transfer amounts between476 funds and accounts as indicated.477 DEPARTMENT OF GOVERNMENT OPERATIONS - DFCM478 ITEM 26 To Department of Government Operations - DFCM - Division of Facilities479 Construction and Management - Facilities Management480From General Fund, One-time 7,600,000481Schedule of Programs:482ISF - Facilities Management 7,600,000483 TRANSPORTATION484 ITEM 27 To Transportation - State Infrastructure Bank Fund485From Beginning Fund Balance (8,998,800)486From Closing Fund Balance 8,998,800487Subsection 1(d). Fiduciary Funds488The Legislature has reviewed proposed revenues, expenditures, fund balances, and489 changes in fund balances for the following fiduciary funds.490 OFFICE OF THE STATE TREASURER491 ITEM 28 To Office of the State Treasurer - Navajo Trust Fund492From Trust and Agency Funds, One-time (4,947,100)493From Other Financing Sources, One-time 4,947,100494From Beginning Fund Balance 6,490,000495From Closing Fund Balance (5,604,700)496Schedule of Programs:497Utah Navajo Trust Fund 885,300498Subsection 1(e). Capital Project Funds499The Legislature has reviewed the following capital project funds. The Legislature500 authorizes the State Division of Finance to transfer amounts between funds and accounts as501 indicated.502 CAPITAL BUDGET503 ITEM 29 To Capital Budget - DFCM Capital Projects Fund- 15 -S.B. 6 Enrolled Copy504From General Fund, One-time (19,818,800)505From Beginning Fund Balance (234,801,000)506From Closing Fund Balance 234,801,000507Schedule of Programs:508DFCM Capital Projects Fund (19,818,800)509 ITEM 30 To Capital Budget - State Agency Capital Development Fund510From Beginning Fund Balance (1,584,100)511From Closing Fund Balance 1,584,100512 TRANSPORTATION513 ITEM 31 To Transportation - Transportation Investment Fund of 2005514From Beginning Fund Balance 1,833,688,100515From Closing Fund Balance (1,833,688,100)516The Legislature intends, that if amounts517appropriated from the Transportation Investment Fund of5182005 to debt service exceed the amounts needed to cover519payments on the debt in FY 2026, the Division of520Finance transfers from these funds only the amounts521needed for debt service.522There is appropriated to the Department of523Transportation from the Transportation Fund, not524otherwise appropriated, a sum sufficient but not more525than the surplus of the Transportation Fund, to be used526by the department for the construction, rehabilitation, and527preservation of State highways in Utah. The Legislature528intends that the appropriation fund first, a maximum529participation with the federal government for the530construction of federally designated highways, as531provided by law, and fund construction of State532highways, as funding permits. No portion of the money533appropriated by this item shall be used either directly or534indirectly to enhance the appropriation otherwise made535by this act to the Department of Transportation for other536purposes.537There is appropriated to the Department of- 16 -Enrolled Copy S.B. 6538Transportation from the Transportation Investment Fund539of 2005, not otherwise appropriated, a sum sufficient, but540not more than the surplus of the Transportation541Investment Fund of 2005, to be used by the department542for the construction, rehabilitation, and preservation of543State and Federal highways in Utah. No portion of the544money appropriated by this item shall be used either545directly or indirectly to enhance or increase the546appropriations otherwise made by this act to the547Department of Transportation for other purposes.548The Legislature intends that $3,000,000549appropriated from the Transportation Investment Fund550(2025 General Session, S.B 3, Item 458) in fiscal year5512026 to conduct an environmental impact study at I-15552Salem/Benjamin be made one-time.553The Legislature intends that $2,000,000554appropriated from the Transportation Investment Fund555(2025 General Session, S.B 3, Item 458) as a direct556award grant in fiscal year 2026 to Kane County for557improvements and completion of the Coral Pink Sand558Dunes Road be made one-time.559 ITEM 32 To Transportation - Transit Transportation Investment Fund560From Restricted Revenue, One-time (52,137,400)561From Designated Sales Tax, One-time 52,137,400562From Beginning Fund Balance 387,537,300563From Closing Fund Balance (387,537,300)564The Legislature intends that the Department of565Transportation use up to $6,000,000 of Transit566Transportation Investment Fund balances to pay rural567transit litigation in FY 2026.568 ITEM 33 To Transportation - Rail Transportation Restricted Account569From Beginning Fund Balance 311,200570From Closing Fund Balance (311,200)571 ITEM 34 To Transportation - Cottonwood Canyon Transportation Investment Fund- 17 -S.B. 6 Enrolled Copy572From Restricted Revenue, One-time (20,000,000)573From Designated Sales Tax, One-time 20,000,000574From Beginning Fund Balance 37,435,900575From Closing Fund Balance (37,435,900)576 ITEM 35 To Transportation - Active Transportation Investment Fund577From Beginning Fund Balance 46,951,200578From Closing Fund Balance (46,951,200)579 ITEM 36 To Transportation - Transportation Infrastructure General Fund Support Subfund580From Beginning Fund Balance 306,077,500581From Closing Fund Balance (306,077,500)582 ITEM 37 To Transportation - Commuter Rail Subaccount583From Beginning Fund Balance 46,332,600584From Closing Fund Balance (46,332,600)585Section 2. FY 2027 Appropriations.586The following sums of money are appropriated for the fiscal year beginning July 1,587 2026, and ending June 30, 2027. These are additions to amounts previously appropriated for588 fiscal year 2027.589Subsection 2(a). Operating and Capital Budgets590Under the terms and conditions of Title 63J, Chapter 1, Budgetary Procedures Act, the591 Legislature appropriates the following sums of money from the funds or accounts indicated for592 the use and support of the government of the state of Utah.593 DEPARTMENT OF GOVERNMENT OPERATIONS - DFCM594 ITEM 38 To Department of Government Operations - DFCM - DFCM595From General Fund 4,422,800596From Income Tax Fund 819,500597From Dedicated Credits Revenue 1,955,200598From Capital Projects Fund 4,402,000599From Beginning Nonlapsing Balances 845,100600From Closing Nonlapsing Balances (845,100)601Schedule of Programs:602DFCM Administration 4,298,600603Energy Program 490,000604Governor's Residence 350,500605Capital Improvement 4,138,900- 18 -Enrolled Copy S.B. 6606Development 1,760,700607Real Estate 560,800608In accordance with UCA 63J-1-903, the609Legislature intends that the Department of Government610Operations - DFCM report on the following DFCM line611item performance measures for FY 2027: 1. Accuracy of612Capital Budget Estimates (CBE) (Target = 5%) and 2.613Capital Improvement Projects Completed in the Fiscal614Year They Are Funded (Target = 75%).615 UTAH EDUCATION AND TELEHEALTH NETWORK616 ITEM 39 To Utah Education and Telehealth Network - Digital Teaching and Learning617 Program618From Income Tax Fund 200,300619From Federal Funds 5,300620From Beginning Nonlapsing Balances 361,000621From Closing Nonlapsing Balances (361,000)622Schedule of Programs:623Digital Teaching and Learning Program 205,600624 ITEM 40 To Utah Education and Telehealth Network - Utah Education and Telehealth625 Network Operations626From General Fund 890,500627From Income Tax Fund 35,315,200628From Federal Funds 4,653,900629From Dedicated Credits Revenue 15,983,400630From Beginning Nonlapsing Balances 26,540,200631From Closing Nonlapsing Balances (26,540,200)632Schedule of Programs:633Administration 5,004,200634Course Management Systems 2,703,100635Instructional Support 5,942,300636KUEN Broadcast 754,600637Operations and Maintenance 268,200638Public Information 396,100639Technical Services 38,296,500- 19 -S.B. 6 Enrolled Copy640Utah Telehealth Network 3,478,000641 OFFICE OF THE STATE TREASURER642 ITEM 41 To Office of the State Treasurer - State Treasurer643From General Fund 1,350,200644From General Fund Restricted - State Treasurer645Investment Management Account 2,131,900646From Unclaimed Property Trust 3,422,000647Schedule of Programs:648Money Management Council 135,100649Treasury and Investment 3,355,000650Unclaimed Property 3,414,000651In accordance with UCA 63J-1-903, the652Legislature intends that the Office of the State Treasurer653report on the following State Treasurer line item654performance measures for FY 2027: 1. PTIF Rate Spread655to Benchmark Rate (Target = 0.15%) and 2. Ratio of656Claim Dollars Paid to Unclaimed Property Received657(Target = 50%).658 ITEM 42 To Office of the State Treasurer - Advocacy Office659From Land Trusts Protection and Advocacy Account 693,100660Schedule of Programs:661Advocacy Office 693,100662In accordance with UCA 63J-1-903, the663Legislature intends that the Office of the State Treasurer664report on the following Advocacy Office line item665performance measures for FY 2027: 1. Annual System666Accountability Report Timeliness (Days After January66715 That Report Is Complete) (Target = 0); 2. Beneficiary668Representation (Target = 90%); 3. Legislator Outreach669Completion (Target = 95%); and 4. Timeliness of Trust670Reports (Target = 90%).671 CAPITAL BUDGET672 ITEM 43 To Capital Budget - Capital Development - Other State Government673From Income Tax Fund, One-time 65,000,000- 20 -Enrolled Copy S.B. 6674From Capital Projects Fund 3,577,400675Schedule of Programs:676Offender Housing 2,077,400677Convergence Hall 65,000,000678Capitol Hill Complex 1,500,000679 ITEM 44 To Capital Budget - Capital Development - Public Education680From Beginning Nonlapsing Balances 26,647,500681From Closing Nonlapsing Balances (26,647,500)682 ITEM 45 To Capital Budget - Capital Improvements683From General Fund 120,153,700684From Income Tax Fund 161,186,800685From Income Tax Fund, One-time (65,000,000)686Schedule of Programs:687Capital Improvements 216,340,500688 STATE BOARD OF BONDING COMMISSIONERS - DEBT SERVICE689 ITEM 46 To State Board of Bonding Commissioners - Debt Service - Debt Service690From General Fund 31,875,400691From Transportation Investment Fund of 2005 216,718,000692From Dedicated Credits Revenue 30,782,000693From County of First Class Highway Projects Fund 3,650,500694From Beginning Nonlapsing Balances 114,771,500695From Closing Nonlapsing Balances (73,695,000)696Schedule of Programs:697G.O. Bonds - State Govt 71,900,700698G.O. Bonds - Transportation 220,368,500699Revenue Bonds Debt Service 31,833,200700 TRANSPORTATION701 ITEM 47 To Transportation - Aeronautics702From General Fund 1,072,800703From Federal Funds 1,184,900704From Dedicated Credits Revenue 263,900705From Aeronautics Restricted Account 8,955,600706Schedule of Programs:707Aeronautics Administration 1,993,800- 21 -S.B. 6 Enrolled Copy708Aid to Local Airports 3,300,000709Airplane Operations 1,557,400710Airport Construction 4,506,000711Civil Air Patrol 120,000712 ITEM 48 To Transportation - Highway System Construction713From Transportation Fund 232,272,300714From Federal Funds 660,252,900715From Expendable Receipts 55,473,100716From Revenue Transfers 1,500,000717Schedule of Programs:718Construction 414,755,600719Rehabilitation / Preservation 407,874,100720Special Projects 1,971,500721Cooperative Agreements 124,897,100722 ITEM 49 To Transportation - Engineering Services723From General Fund 468,700724From Transportation Fund 93,599,000725From Federal Funds 70,131,900726From Dedicated Credits Revenue 2,573,900727From Active Transportation Investment Fund 964,700728From Marda Dillree Corridor Preservation Fund 126,400729From Transit Transportation Investment Fund 3,178,000730Schedule of Programs:731Civil Rights 547,900732Construction Management 3,828,000733Engineering Development Pool 3,480,500734Engineering Services 4,494,800735Environmental 3,317,400736Highway Project Management Team 1,197,800737Planning and Investment 464,300738Materials Lab 7,188,100739Preconstruction 4,421,300740Program Development 69,999,500741Research 5,109,500- 22 -Enrolled Copy S.B. 6742Right-of-Way 3,969,800743Structures 5,954,600744Transit Capital Development 3,178,000745Active Transportation 964,700746Broadband 468,700747Road Usage Charge Program 2,837,300748Support Services Administration 7,338,800749Human Resources Management 4,548,400750Data Processing 17,709,900751Internal Auditor 1,577,400752Community Relations 4,848,600753Risk Management 6,083,900754Building and Grounds 1,132,400755Comptroller 4,831,300756Procurement 1,549,700757In accordance with UCA 63J-1-903, the758Legislature intends that the Transportation report on the759following Engineering Services line item performance760measures for FY 2027: 1. Delay for Interstates and761Arterials Along Wasatch Front (Target = 100%); 2.762Employee Fatalities (Target = 0); 3. Employee Injuries763(Target = 2.28); 4. High Volume Pavement Performance764in Good/Fair Condition (Target = 95%); 5. Internal765Equipment Damage (Target = 6.85%); 6. Low Volume766Pavement Performance in Good/Fair Condition (Target =76790%); 7. Maintain Bridge Condition (Target = 80%); 8.768Maintain the Health of Intelligent Transportation769Systems (Target = 90%); 9. Maintain the Health of770Signals (Target = 90%); 10. Reliability on All Major771Routes (Target = 91%); 11. Traffic Crashes (Target =77257,997); 12. Traffic Fatalities (Target = 285); 13. Traffic773Serious Injuries (Target = 1,724); and 14. Transit774Ridership (Target = 1%).775 ITEM 50 To Transportation - Operations/Maintenance Management- 23 -S.B. 6 Enrolled Copy776From Transportation Fund 303,889,300777From Transportation Investment Fund of 2005 8,445,700778From Federal Funds 23,281,000779From Dedicated Credits Revenue 12,094,000780From Cottonwood Canyon Transportation Investment781Fund 400,000782From Rail Transportation Restricted Account 800,000783From Revenue Transfers 1,050,000784From Transportation Safety Program Restricted Account 15,000785From Beginning Nonlapsing Balances 300,000786From Closing Nonlapsing Balances (300,000)787Schedule of Programs:788Equipment Purchases 17,780,500789Lands and Buildings 9,655,000790Maintenance Administration 32,737,500791Maintenance Planning 6,330,300792Region 1 Operations 33,881,300793Region 2 Operations 46,143,500794Region 3 Operations 30,774,200795Region 4 Operations 61,831,500796Seasonal Pools 1,690,400797Shops 8,221,400798Traffic Management Division 23,262,800799Traffic Safety/Tramway 3,931,500800Region Management: Region 1 9,736,400801Region Management: Region 2 19,508,800802Region Management: Region 3 8,338,400803Region Management: Region 4 11,502,200804Operations Line Adjustment 6,500,000805Transportation Safety Program 15,000806Ports of Entry 15,766,400807Railroad Operations 2,367,900808 ITEM 51 To Transportation - Transportation Investment Fund Capacity Program809From Transportation Fund 129,341,600- 24 -Enrolled Copy S.B. 6810From County of First Class Highway Projects Fund 1,318,100811From Designated Sales Tax 1,287,163,100812Schedule of Programs:813Transportation Investment Fund Capacity814Program 1,251,473,100815Transit Transportation Investment 23,449,700816Commuter Rail 46,900,000817Active Transportation Investment 45,000,000818Cottonwood Canyons Transportation Investment 51,000,000819 ITEM 52 To Transportation - Amusement Ride Safety820From General Fund 221,500821From General Fund Restricted - Amusement Ride Safety822Restricted Account 373,900823Schedule of Programs:824Amusement Ride Safety 595,400825In accordance with UCA 63J-1-903, the826Legislature intends that the Transportation report on the827following Amusement Ride Safety line item performance828measures for FY 2027: 1. Completed Ride Registrations829(Target = 75%); 2. Inspectors Registered (Target = 35);830and 3. Registered Rides (Target = 275).831 ITEM 53 To Transportation - Pass-Through832From General Fund 1,563,000833From Transportation Fund 227,918,000834Schedule of Programs:835Pass-Through 1,563,000836Safe Sidewalk Construction 500,000837B and C Roads 227,418,000838Under the provisions of Utah Code Annotated839Title 63G Chapter 6b, the Legislature intends that the840Department of Transportation provide a direct award841grant of up to $1,500,000 from the General Fund in fiscal842year 2027 to city and local governments outside of843metropolitan planning organization areas for technical- 25 -S.B. 6 Enrolled Copy844assistance planning.845Under the provisions of Utah Code Annotated846Title 63G Chapter 6b, the Legislature intends that the847Department of Transportation provide a direct award848grant of $63,000 from the General Fund in fiscal year8492027 to the Utah Transit Authority for coordinated850mobility planning.851 ITEM 54 To Transportation - Railroad Crossing Safety852From Rail Transportation Restricted Account 366,000853Schedule of Programs:854Railroad Crossing Safety Grants 366,000855Subsection 2(b). Expendable Funds and Accounts856The Legislature has reviewed the following expendable funds. The Legislature857 authorizes the State Division of Finance to transfer amounts between funds and accounts as858 indicated. Outlays and expenditures from the funds or accounts to which the money is859 transferred may be made without further legislative action, in accordance with statutory860 provisions relating to the funds or accounts.861 TRANSPORTATION862 ITEM 55 To Transportation - County of the First Class Highway Projects Fund863From Licenses/Fees 5,410,300864From Interest Income 1,000,000865From Restricted Tax Revenue 46,000,000866From Beginning Fund Balance 29,580,600867From Closing Fund Balance (22,733,200)868Schedule of Programs:869County of the First Class Highway Projects Fund 59,257,700870 ITEM 56 To Transportation - Road Usage Charge Program Special Revenue Fund871From Beginning Fund Balance 1,177,600872From Closing Fund Balance (1,177,600)873 ITEM 57 To Transportation - Marda Dillree Corridor Preservation Fund874From Transportation Investment Fund of 2005 20,000,000875From Dedicated Credits Revenue 900,000876From Interest Income 4,000,000877From Restricted Tax Revenue 11,000,000- 26 -Enrolled Copy S.B. 6878From Revenue Transfers 25,000,000879From Beginning Fund Balance 85,182,600880From Closing Fund Balance (94,382,600)881Schedule of Programs:882Marda Dillree Corridor Preservation Fund 51,700,000883 ITEM 58 To Transportation - Rural Transportation Infrastructure Fund884From Transportation Fund 7,500,000885From Licenses/Fees 11,400,000886From Beginning Fund Balance 3,762,800887From Closing Fund Balance (15,162,800)888Schedule of Programs:889Rural Transportation Infrastructure Fund 7,500,000890 ITEM 59 To Transportation - Litter Abatement Expendable Special Revenue Fund891From Dedicated Credits Revenue 455,800892Schedule of Programs:893Litter Abatement Expendable Special Revenue894Fund 455,800895 ITEM 60 To Transportation - Tollway Special Revenue Fund896From Beginning Fund Balance 150,600897From Closing Fund Balance (150,600)898Subsection 2(c). Business-like Activities899The Legislature has reviewed the following proprietary funds. Under the terms and900 conditions of Utah Code 63J-1-410, for any included Internal Service Fund, the Legislature901 approves budgets, full-time permanent positions, and capital acquisition amounts as indicated,902 and appropriates to the funds, as indicated, estimated revenue from rates, fees, and other903 charges. The Legislature authorizes the State Division of Finance to transfer amounts between904 funds and accounts as indicated.905 DEPARTMENT OF GOVERNMENT OPERATIONS - DFCM906 ITEM 61 To Department of Government Operations - DFCM - Division of Facilities907 Construction and Management - Facilities Management908From Dedicated Credits Revenue 41,735,100909Schedule of Programs:910ISF - Facilities Management 41,735,100911Budgeted FTE 168- 27 -S.B. 6 Enrolled Copy912Authorized Capital Outlay 396,600913In accordance with UCA 63J-1-903, the914Legislature intends that the Department of Government915Operations - DFCM report on the following Division of916Facilities Construction and Management - Facilities917Management line item performance measure for FY9182027: Maintenance Costs per Square Foot as Compared919to the Private Sector (Target = 18%).920 TRANSPORTATION921 ITEM 62 To Transportation - State Infrastructure Bank Fund922From Interest Income 11,450,000923From Beginning Fund Balance 106,711,900924From Closing Fund Balance (118,160,300)925Schedule of Programs:926State Infrastructure Bank Fund 1,600927Subsection 2(d). Restricted Fund and Account Transfers928The Legislature authorizes the State Division of Finance to transfer the following929 amounts between the following funds or accounts as indicated. Expenditures and outlays from930 the funds to which the money is transferred must be authorized by an appropriation.931 ITEM 63 To Long-term Capital Projects Fund932From General Fund 15,440,000933From Beginning Fund Balance 112,197,000934From Closing Fund Balance (112,197,000)935Schedule of Programs:936Long-term Capital Projects Fund 15,440,000937Subsection 2(e). Capital Project Funds938The Legislature has reviewed the following capital project funds. The Legislature939 authorizes the State Division of Finance to transfer amounts between funds and accounts as940 indicated.941 CAPITAL BUDGET942 ITEM 64 To Capital Budget - DFCM Capital Projects Fund943From General Fund 3,577,400944From Beginning Fund Balance 922,235,000945From Closing Fund Balance (922,235,000)- 28 -Enrolled Copy S.B. 6946Schedule of Programs:947DFCM Capital Projects Fund 3,577,400948 ITEM 65 To Capital Budget - SBOA Capital Projects Fund949From Dedicated Credits Revenue 450,000950From Other Financing Sources 10,200,000951From Beginning Fund Balance 1,944,900952From Closing Fund Balance (1,944,900)953Schedule of Programs:954SBOA Capital Projects Fund 10,650,000955 ITEM 66 To Capital Budget - Higher Education Capital Projects Fund956From Income Tax Fund 75,851,500957From Beginning Fund Balance 127,300958From Closing Fund Balance (127,300)959Schedule of Programs:960Higher Education Capital Projects Fund 75,851,500961 ITEM 67 To Capital Budget - Technical Colleges Capital Projects Fund962From Income Tax Fund 12,610,300963From Beginning Fund Balance 385,100964From Closing Fund Balance (385,100)965Schedule of Programs:966Technical Colleges Capital Projects Fund 12,610,300967 ITEM 68 To Capital Budget - State Agency Capital Development Fund968From Beginning Fund Balance 33,415,900969From Closing Fund Balance (33,415,900)970 TRANSPORTATION971 ITEM 69 To Transportation - Transportation Investment Fund of 2005972From Licenses/Fees 101,825,200973From Interest Income 86,114,900974From Revenue Transfers 1,120,813,400975From Pass-through 900,000976From Beginning Fund Balance 2,955,192,700977From Closing Fund Balance (2,302,692,500)978Schedule of Programs:979Transportation Investment Fund 1,962,153,700- 29 -S.B. 6 Enrolled Copy980 ITEM 70 To Transportation - Transit Transportation Investment Fund981From Interest Income 7,000,000982From Revenue Transfers 52,137,400983From Beginning Fund Balance 682,238,600984From Closing Fund Balance (547,910,000)985Schedule of Programs:986Transit Transportation Investment Fund 193,466,000987 ITEM 71 To Transportation - Rail Transportation Restricted Account988From General Fund 3,660,000989From Interest Income 150,000990From Beginning Fund Balance 5,124,000991From Closing Fund Balance (7,768,000)992Schedule of Programs:993Rail Transportation Restricted Account 1,166,000994 ITEM 72 To Transportation - Cottonwood Canyon Transportation Investment Fund995From Interest Income 1,000,000996From Revenue Transfers 20,000,000997From Beginning Fund Balance 206,822,500998From Closing Fund Balance (197,822,500)999Schedule of Programs:1000 Cottonwood Canyon Transportation Investment1001 Fund 30,000,0001002 ITEM 73 To Transportation - Active Transportation Investment Fund1003 From Interest Income 1,000,0001004 From Revenue Transfers 45,000,0001005 From Beginning Fund Balance 138,778,4001006 From Closing Fund Balance (138,848,400)1007 Schedule of Programs:1008 Active Transportation Investment Fund 45,930,0001009 ITEM 74 To Transportation - Transportation Infrastructure General Fund Support Subfund1010 From Beginning Fund Balance 306,077,5001011 From Closing Fund Balance (306,077,500)1012 ITEM 75 To Transportation - Commuter Rail Subaccount1013 From Revenue Transfers 46,900,000- 30 -Enrolled Copy S.B. 61014 From Beginning Fund Balance 46,332,6001015 From Closing Fund Balance (46,332,600)1016 Schedule of Programs:1017 Commuter Rail Subaccount 46,900,0001018 Section 3. FY 2027 Appropriations.1019 The following sums of money are appropriated for the fiscal year beginning July 1,1020 2026, and ending June 30, 2027. These are additions to amounts previously appropriated for1021 fiscal year 2027.1022 Subsection 3(a). Operating and Capital Budgets1023 Under the terms and conditions of Title 63J, Chapter 1, Budgetary Procedures Act, the1024 Legislature appropriates the following sums of money from the funds or accounts indicated for1025 the use and support of the government of the state of Utah.1026 CAPITAL BUDGET1027 ITEM 76 To Capital Budget - Pass-Through1028 From General Fund 3,000,0001029 Schedule of Programs:1030 Olympic Park Improvement 3,000,0001031 Under the provisions of Utah Code Annotated1032 Title 63G Chapter 6b, the Legislature intends that the1033 Division of Facilities Construction and Management1034 provide a direct award grant of $3,000,000 from the1035 General Fund to the Utah Olympic Legacy Foundation in1036 fiscal year 2026 for facility repairs and capital1037 improvements to the venues under their authority.1038 Subsection 3(b). Fiduciary Funds1039 The Legislature has reviewed proposed revenues, expenditures, fund balances, and1040 changes in fund balances for the following fiduciary funds.1041 OFFICE OF THE STATE TREASURER1042 ITEM 77 To Office of the State Treasurer - Navajo Trust Fund1043 From Other Financing Sources 4,847,1001044 From Beginning Fund Balance 107,436,0001045 From Closing Fund Balance (108,760,900)1046 Schedule of Programs:1047 Utah Navajo Trust Fund 3,522,200- 31 -S.B. 6 Enrolled Copy1048 Section 4. Effective Date.1049 (1) Except as provided in Subsection (2), this bill takes effect July 1, 2026.1050 (2) The actions affecting Section 1 (Effective upon governor's approval) take effect:1051 (a) except as provided in Subsection (2)(b), May 6, 2026; or1052 (b) if approved by two-thirds of all members elected to each house:1053 (i) upon approval by the governor;1054 (ii) without the governor's signature, the day following the constitutional time limit of1055 Utah Constitution, Article VII, Section 8; or1056 (iii) in the case of a veto, the date of veto override.- 32 -
Transportation and Infrastructure Base Budget
Sponsors
Sen. Don Ipson (R) sponsors SB 6, and 1 member has co-sponsored it.
Committees
SB 6 went before 1 committee: Rules.
History
SB 6 has taken 30 actions since Jan 16, 2026, the latest on Jan 31, 2026.
| Chamber | Action | |||
|---|---|---|---|---|
Jan 31, 2026 | — | Governor Signed in Lieutenant Governor's office for filing | ||
Jan 30, 2026 | Senate | Enrolled Bill Returned to House or Senate in Senate Secretary | ||
Jan 30, 2026 | Senate | Senate/ enrolled bill to Printing in Senate Secretary | ||
Jan 30, 2026 | Senate | Senate/ received enrolled bill from Printing in Senate Secretary | ||
Jan 30, 2026 | — | Senate/ to Governor in Executive Branch - Governor |
Votes
SB 6 went to 2 roll calls across both chambers, the latest on Jan 29, 2026 at 73–0.
| Chamber | Question | Yea | Nay | |||
|---|---|---|---|---|---|---|
Jan 29, 2026 | House | House/ passed 3rd reading | 73 | 0 | ||
Jan 28, 2026 | Senate | Senate/ passed 2nd & 3rd readings/ suspension | 28 | 0 |
Source: le.utah.gov · legiscan.com
