FM 2020

FM 20-22 Lapsed Federal Fund Appropriation Accounts with Cash Balances

FM 20-21 Update of Revenue Estimates

FM 20-20 Approved Fringe Benefit Rate for FY 19 and Revised Interim Fringe Benefit Rate for FY 21

FM 20-19 Request for Information on Routine Repair and Maintenance

FM 20-18 Report on Non-General Fund Information

FM 20-17 Deferment of Review of the Program Structure and Performance Measures

FM 20-16 Instructions for Completion of the FY20 and FY21 Variance Report

FM 20-15 Fiscal Biennium 2021-23 Executive Budget Request and the Program and Financial Plan for the Period 2021-27

FM 20-15 Attachment 1

FM 20-15 Attachment 2

FM 20-15 Attachment 3

FM 20-15 Attachment 4

FM 20-15 Attachment 5

FM 20-15 Attachment 6

FM 20-15 Attachment 7

FM 20-15 Attachment 8

FM 20-15 Attachment 9

FM 20-14 Interim Fringe Benefit Rates for FY 21

FM 20-13 Update of Revenue Estimates

FM 20-12 Impact of House Bill No. 2200, H.D. 1, S.D. 1, Relating to the State Budget

FM 20-11 Fiscal Year-End Treasury Deposit Receipts Process

FM 20-10 Request for Non-Salary Collective Bargaining Cost Data

FM 20-09 Review of Prior Year Encumbrances

FM 20-09 Attachment (AGR – DEF)

FM 20-09 Attachment (EDN – LNR)

FM 20-09 Attachment (PSD – UOH)

FM 20-08 Update of Revenue Estimates

FM 20-07 Expedited Processing of COVID19 Federal Funds

FM 20-06 Acceleration of Capital Improvement Program Projects

FM 20-05 Budget and Expenditure Control

FM 20-04 Lapsed Federal Fund Appropriation Accounts with Cash Balances

FM 20-03 Revised Procedures to Request Appropriation & Establish Appropriation Accounts and Allotment for Appropriated & Non-Appropriated Federal Funds

FM 20-02 Cash Management Requirements for Federal-State Fund Transfers

FM 20-01 Update of Revenue Estimates