HOUSE OF REPRESENTATIVES

H.B. NO.

2437

THIRTIETH LEGISLATURE, 2020

 

STATE OF HAWAII

 

 

 

 

 

 

A BILL FOR AN ACT

 

 

relating to capital improvement projects for the benefit of THE Twenty-ninth REPRESENTATIVE DISTRICT.

 

 

BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF HAWAII:

 


     SECTION 1.  The director of finance is authorized to issue general obligation bonds in the sum of $5,500,000 or so much thereof as may be necessary and the same sum or so much thereof as may be necessary is appropriated for fiscal year 2020-2021 for the purpose of capital improvement projects for the twenty-ninth representative district, as follows:

1.   Lanakila district park baseball field

     Plans, construction, and equipment for shed replacement and maintenance.

     Plans                           $15,000

     Construction                    $25,000

     Equipment                       $10,000

          Total funding                        $50,000

     The sum appropriated for this capital improvement project shall be expended by the city and county of Honolulu.
2.   Kalihi Kai elementary

     Construction and equipment for playground replacement.

     Construction                    $75,000

     Equipment                       $75,000

          Total funding                       $150,000

     The sum appropriated for this capital improvement project shall be expended by the department of education.

3.   Puuhale elementary

     Plans, design, construction, and equipment for restriping and resurfacing of parking lot; perimeter fence.

     Plans                           $25,000

     Design                          $25,000

     Construction                   $150,000

     Equipment                      $100,000

          Total funding                       $300,000

     The sum appropriated for this capital improvement project shall be expended by the department of education.

4.   Shoreline remediation for Sand Island State Park

     Plans, design, construction, and equipment for shoreline remediation.

     Plans                        $1,000,000

     Design                       $1,000,000

     Construction                 $2,000,000

     Equipment                    $1,000,000

          Total funding                     $5,000,000

     The sum appropriated for this capital improvement project shall be expended by the department of land and natural resources.

     SECTION 2.  The appropriation made for the capital improvement projects authorized by this Act shall not lapse at the end of the fiscal year for which the appropriation is made; provided that all moneys from the appropriation unencumbered as of June 30, 2022, shall lapse as of that date.
     SECTION 3.  This Act shall take effect on July 1, 2020.

 

INTRODUCED BY:

_____________________________

 

 


 


 

Report Title:

CIP; Twenty-ninth Representative District; Appropriation

 

Description:

Appropriates funds for capital improvement projects in the twenty-ninth representative district.

 

 

 

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