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Motor Carrier Safety Operations and Programs

Schedules

TAFS: 069-8159 /X - Motor Carrier Safety Operations and Programs

Iterations:
Adjustment authority: Yes
Reporting categories: No
Line #SplitDescriptionAmountFootnotes
1000MEMandatory Unob Bal: Brought forward October 1 $234,338,142
1061EUnob Bal: Antic recov of prior year unpd/pd obl $15,000,000
1232SEQBA: Mand: New\Unob bal of approps temp reduced -$3,990,000See footnotes below
Footnotes for line 1232 (SEQ):

B1: The amount on line 1232 represents a 5.7% reduction to the anticipated BA shown on line 1250 pursuant to sections 251A and 256(k) of the Balance Budget and Emergency Deficit Control Act, as amended (BBEDCA), 2 U.S.C. 906(k)(1). During the remainder of the fiscal year, if the actual amount is different than line 1250, the amount on line 1232 is hereby adjusted and automatically apportioned so as to result in a 5.7% temporary reduction of the actual BA in by September 30.

1250BA: Mand: Anticipated appropriation $73,990,000
1600BA: Mand: Contract authority $375,000,000
1740BA: Disc: Spending auth:Antic colls, reimbs, other $2,000,000
1902Adj for total budgetary res subj to obl limitation -$1,955,833
1920Total budgetary resources avail (disc. and mand.) $694,382,309
6001Category A -- 1st quarter $68,776,375
6002Category A -- 2nd quarter $85,970,469
6003Category A -- 3rd quarter $103,164,564
6004Category A -- 4th quarter $85,970,469
6014Research & Technology Program FY 2024 - 2026 $14,073,000
6015Research & Technology Program FY 2023 - 2025 $5,917,329
6016Research & Technology Program FY 2022 - 2024 $1,000,000
6017License & Insurance Collections Fees $213,052,159See footnotes below
Footnotes for line 6017:

A2: The amount on line 1232 represents a 5.7% reduction to the anticipated BA shown on line 1250 pursuant to sections 251A and 256(k) of the Balance Budget and Emergency Deficit Control Act, as amended (BBEDCA), 2 U.S.C. 906(k)(1). During the remainder of the fiscal year, if the actual amount is different than line 1250, the amount on line 1232 is hereby adjusted and automatically apportioned so as to result in a 5.7% temporary reduction of the actual BA in by September 30. [Rationale: Footnote signifies that this TAFS has received or may receive an automatic apportionment.]

6018Reimbursable Collections $2,000,000
6019Information Technology FY 2024 - 2026 $63,098,000
6020Information Technology FY 2023 - 2025 $24,713,853
6021Information Technology FY 2022 - 2024 $3,698,444
6022Commercial Motor Vehicle Grants - CMV $594,571
6023CMV Additional $404,529
6024CIP, energy Products, SFD IT $328,180
6027Drug & Alcohol Collection Fees $21,620,367See footnotes below
Footnotes for line 6027:

A2: The amount on line 1232 represents a 5.7% reduction to the anticipated BA shown on line 1250 pursuant to sections 251A and 256(k) of the Balance Budget and Emergency Deficit Control Act, as amended (BBEDCA), 2 U.S.C. 906(k)(1). During the remainder of the fiscal year, if the actual amount is different than line 1250, the amount on line 1232 is hereby adjusted and automatically apportioned so as to result in a 5.7% temporary reduction of the actual BA in by September 30. [Rationale: Footnote signifies that this TAFS has received or may receive an automatic apportionment.]

6190Total budgetary resources available $694,382,309See footnotes below
Footnotes for line 6190:

A1: In addition to the amounts for total Contract Authority shown above, this account will also receive liquidating cash appropriations and is subject to the obligation limitation, across-the-board reductions and any other applicable term and condition as part of the continuing resolution. [Rationale: Footnote specifies when the funds are available for obligation pursuant to legal authority.]

Footnotes

Footnotes provide further information about, or establish further legal requirements related to the use of, the funds in a given line or set of lines in an apportionment. If footnotes appear on lines 1920 or 6190, they apply to all the lines in the 1xxx and 6xxx sections, respectively. The following are all the footnotes associated with this file.

NumberText
A1
In addition to the amounts for total Contract Authority shown above, this account will also receive liquidating cash appropriations and is subject to the obligation limitation, across-the-board reductions and any other applicable term and condition as part of the continuing resolution. [Rationale: Footnote specifies when the funds are available for obligation pursuant to legal authority.]
A2
The amount on line 1232 represents a 5.7% reduction to the anticipated BA shown on line 1250 pursuant to sections 251A and 256(k) of the Balance Budget and Emergency Deficit Control Act, as amended (BBEDCA), 2 U.S.C. 906(k)(1). During the remainder of the fiscal year, if the actual amount is different than line 1250, the amount on line 1232 is hereby adjusted and automatically apportioned so as to result in a 5.7% temporary reduction of the actual BA in by September 30. [Rationale: Footnote signifies that this TAFS has received or may receive an automatic apportionment.]
B1
The amount on line 1232 represents a 5.7% reduction to the anticipated BA shown on line 1250 pursuant to sections 251A and 256(k) of the Balance Budget and Emergency Deficit Control Act, as amended (BBEDCA), 2 U.S.C. 906(k)(1). During the remainder of the fiscal year, if the actual amount is different than line 1250, the amount on line 1232 is hereby adjusted and automatically apportioned so as to result in a 5.7% temporary reduction of the actual BA in by September 30.

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