State Codes and Statutes

Statutes > New-york > Stf > Article-6 > 89-b

§  89-b.  Dedicated  highway and bridge trust fund. 1. There is hereby  established in the joint  custody  of  the  state  comptroller  and  the  commissioner  of  taxation and finance a special fund to be known as the  "dedicated highway and bridge trust fund".    2. The dedicated highway and bridge trust fund shall  consist  of  two  accounts:  (a)  the  special obligation reserve and payment account; and  (b) the highway and bridge capital account. Moneys in each account shall  be kept separate and not commingled with any other moneys in the custody  of the comptroller.    3. * (a) The special obligation  reserve  and  payment  account  shall  consist  (i)  of  all  moneys  required to be deposited in the dedicated  highway and bridge trust fund pursuant to the provisions of sections two  hundred five, two  hundred  eighty-nine-e,  three  hundred  one-j,  five  hundred  fifteen  and eleven hundred sixty-seven of the tax law, section  four hundred one of the vehicle and traffic law, and section  thirty-one  of  chapter fifty-six of the laws of nineteen hundred ninety-three, (ii)  all  fees,  fines  or  penalties  collected  by  the   commissioner   of  transportation  pursuant  to  section  fifty-two  and subdivisions five,  eight and twelve of section eighty-eight of the highway law, subdivision  fifteen of section three hundred eighty-five of the vehicle and  traffic  law,  section  two of the chapter of the laws of two thousand three that  amended this paragraph, subdivision (d) of section three hundred four-a,  paragraph one of subdivision (a) and subdivision (d)  of  section  three  hundred  five,  subdivision  six-a  of  section four hundred fifteen and  subdivision (g) of section twenty-one hundred twenty-five of the vehicle  and traffic law, section  fifteen  of  this  chapter,  excepting  moneys  deposited with the state on account of betterments performed pursuant to  subdivision  twenty-seven  or  subdivision thirty-five of section ten of  the highway law,  (iii)  any  moneys  collected  by  the  department  of  transportation for services provided pursuant to agreements entered into  in  accordance  with section ninety-nine-r of the general municipal law,  and (iv) any other moneys collected therefor or credited or  transferred  thereto from any other fund, account or source.    * NB Effective until March 31, 2015    *   (a)  The  special  obligation  reserve  and  payment account shall  consist (i) of all moneys required to  be  deposited  in  the  dedicated  highway and bridge trust fund pursuant to the provisions of sections two  hundred  eighty-nine-e,  three  hundred  one-j, five hundred fifteen and  eleven hundred sixty-seven of the tax law, section four hundred  one  of  the vehicle and traffic law, and section thirty-one of chapter fifty-six  of  the  laws  of nineteen hundred ninety-three, (ii) all fees, fines or  penalties collected by the commissioner of  transportation  pursuant  to  section  fifty-two  and  subdivisions  five, eight and twelve of section  eighty-eight of the highway law, subdivision fifteen  of  section  three  hundred  eighty-five  of the vehicle and traffic law, section fifteen of  this chapter, excepting moneys deposited with the state  on  account  of  betterments   performed   pursuant   to   subdivision   twenty-seven  or  subdivision thirty-five of section ten of the  highway  law,  (iii)  any  moneys  collected  by  the  department  of  transportation  for services  provided pursuant to agreements entered into in accordance with  section  ninety-nine-r  of  the  general municipal law, and (iv) any other moneys  collected therefor or credited or transferred  thereto  from  any  other  fund, account or source.    * NB Effective March 31, 2015    (b)  Moneys  in  the  special  obligation  reserve and payment account  shall, following appropriation  by  the  legislature,  be  used  to  pay  amounts due to the New York state thruway authority as dedicated highway  and  bridge  trust  fund  cooperative agreement payments pursuant to theprovisions of  dedicated  highway  and  bridge  trust  fund  cooperative  agreements  entered  into  between  the  authority and the department of  transportation pursuant to sections  ten-e,  ten-f,  and  ten-g  of  the  highway  law, the provisions of section three hundred eighty-five of the  public authorities law, and pursuant to the provisions of this section.    (c) The comptroller is hereby  authorized  and  directed  to  transfer  monthly no later than the last day of each month, any moneys, if any, in  excess  of  the  aggregate  amounts required to be set aside in order to  meet the requirements established in paragraph (d) of this  subdivision,  to  the  highway and bridge capital account, provided however that in no  event shall such transfers occur unless and until the aggregate  of  all  dedicated  highway  and bridge trust fund cooperative agreement payments  certified to the comptroller  for  such  fiscal  year  shall  have  been  appropriated   in  accordance  with  the  provisions  of  this  section.  Additionally, in no event shall the comptroller pay over and  distribute  any  revenues  of  the  fund to any person other than the New York state  thruway authority if any payment required to be set  aside  pursuant  to  paragraph  (b) of this subdivision has not been made to the authority on  the date by which it was required to have been  made  pursuant  to  such  schedule; provided, however, that no person, including such authority or  the  holders  of its bonds or notes shall have any lien on such revenues  and such agreement shall  be  executory  only  to  the  extent  of  such  revenues available to the state in such fund.    (d)  Upon  receipt by the comptroller of a certificate or certificates  from the chairperson of the New York state thruway  authority  submitted  pursuant  to section three hundred eighty-five of the public authorities  law, that such authority  requires  a  payment  or  payments,  from  the  dedicated  highway and bridge trust fund, the comptroller shall pay from  such fund pursuant to an appropriation on or before the fifteenth day of  any month preceding the payment as the chairperson thereof may direct in  any  such  certificate,  the  amount  or  amounts  so   certified.   The  chairperson of such authority shall furnish the commissioner of taxation  and  finance with copies of such certificates. In order to set aside the  moneys necessary to meet the amounts required on  the  payment  date  or  dates  herein,  the comptroller shall comply with the provisions of this  subdivision.    (e) Except for the purpose of meeting a dedicated highway  and  bridge  trust  fund  cooperative  agreement payment required pursuant to section  three hundred eighty-five of the public authorities law that is due on a  monthly basis or more frequently, prior to transferring any moneys  from  the   account  pursuant  to  paragraph  (c)  of  this  subdivision,  the  comptroller shall set aside on a monthly basis  all  revenues  deposited  pursuant  to  this subdivision as received until the amount set aside is  equal to, twenty percent of the interest due on such obligations on  the  next succeeding interest payment date multiplied by the number of months  from  the  date  of  the  last  such payment and ten percent of the next  principal installment due on such obligations multiplied by  the  number  of  months  from  the  date of the last such principal installment where  principal is due on an annual  basis  or  twenty  percent  of  the  next  principal  installment  due on such obligations multiplied by the number  of months from the date of the last  such  principal  installment  where  principal  is  due  on  a semiannual basis. For the purpose of meeting a  required dedicated highway and bridge trust fund  cooperative  agreement  payment  that  is  due  on  a  monthly  basis  or  more  frequently, the  comptroller  shall  set  aside  all  revenues  deposited   pursuant   to  subdivision  two  of  this  section  as received until the amount so set  aside is, in the reasonable judgment of the comptroller,  sufficient  to  pay  the  required  highway  and bridge trust fund cooperative agreementpayment  on  or  before  such  payment  date.  In  no  event  shall  the  comptroller  be  held  liable  for  the  failure  to set aside an amount  sufficient to pay the required dedicated highway and bridge  trust  fund  cooperative agreement payment to the authority.    (f) In the event that the amount set aside by the comptroller pursuant  to  paragraph  (e)  of  this  subdivision  is not sufficient to meet the  dedicated highway and bridge trust fund cooperative  agreement  payments  required  pursuant  to  a  certificate  or certificates submitted by the  chairperson  pursuant  to  subdivision  two  of  section  three  hundred  eighty-five  of  the  public  authorities  law,  the  comptroller  shall  immediately transfer first from the highway and bridge capital  account,  and  then, if necessary, from the general fund to the special obligation  reserve and payment account, an amount which,  when  combined  with  the  amount set aside pursuant to paragraph (e) of this subdivision, shall be  sufficient   to  make  the  dedicated  highway  and  bridge  trust  fund  cooperative agreement payments required pursuant to such certificate  or  certificates.   Following   such   an   event,  the  comptroller  shall,  immediately set aside the amounts required pursuant to paragraph (e)  of  this  subdivision,  set  aside  and  pay the next moneys received by the  special obligation reserve and payment account to reimburse the  general  fund for moneys which were transferred to the special obligation reserve  and  payment  account  pursuant to this paragraph. Such amounts shall be  set aside until the full amount of moneys transferred from  the  general  fund  shall  have  been set aside and any such moneys set aside shall be  transferred to the general fund no later  than  the  last  day  of  each  month.    4.  The highway and bridge capital account shall consist of all moneys  transferred from the special obligation reserve and payment account  and  any  other  moneys  credited or transferred thereto from any other fund,  account or source.    5. * a. Moneys in the dedicated highway and bridge trust  fund  shall,  following   appropriation   by   the   legislature,   be  utilized  for:  reconstruction, replacement, reconditioning, restoration, rehabilitation  and preservation  of  state,  county,  town,  city  and  village  roads,  highways,  parkways,  and bridges thereon, to restore such facilities to  their intended functions; construction, reconstruction, enhancement  and  improvement  of  state, county, town, city, and village roads, highways,  parkways, and bridges thereon, to address current and projected capacity  problems including costs for  traffic  mitigation  activities;  aviation  projects authorized pursuant to section fourteen-j of the transportation  law  and  for payments to the general debt service fund of amounts equal  to amounts required for service contract payments  related  to  aviation  projects  as provided and authorized by section three hundred eighty-six  of the public authorities law; programs to assist small and minority and  women-owned   firms   engaged   in   transportation   construction   and  reconstruction  projects, including a revolving fund for working capital  loans, and a bonding guarantee assistance  program  in  accordance  with  provisions of this chapter; matching federal grants or apportionments to  the  state  for  highway,  parkway  and  bridge  capital  projects;  the  acquisition of real property and interests therein required or  expected  to  be required in connection with such projects; preventive maintenance  activities necessary to ensure that highways, parkways and bridges  meet  or exceed their optimum useful life; expenses of control of snow and ice  on  state highways by the department of transportation including but not  limited to personal services, nonpersonal services and fringe  benefits,  payment  of  emergency aid for control of snow and ice in municipalities  pursuant to section fifty-five of the highway law, expenses  of  control  of  snow and ice on state highways by municipalities pursuant to sectiontwelve of the highway law, and  for  expenses  of  arterial  maintenance  agreements  with  cities pursuant to section three hundred forty-nine of  the highway law; personal services  and  fringe  benefit  costs  of  the  department of transportation for bus safety inspection activities; costs  of  the  department  of  motor  vehicles,  including  but not limited to  personal  and   nonpersonal   services;   costs   of   engineering   and  administrative  services  of the department of transportation, including  but not limited to fringe benefits; the contract  services  provided  by  private  firms in accordance with section fourteen of the transportation  law;  personal  services  and  nonpersonal  services,   for   activities  including  but  not  limited  to  the  preparation  of  designs,  plans,  specifications and estimates; construction  management  and  supervision  activities;  costs  of  appraisals,  surveys,  testing and environmental  impact statements for transportation projects;  expenses  in  connection  with  buildings,  equipment,  materials and facilities used or useful in  connection with the maintenance,  operation,  and  repair  of  highways,  parkways  and  bridges  thereon;  and  project  costs for: construction,  reconstruction, improvement, reconditioning  and  preservation  of  rail  freight   facilities   and   intercity  rail  passenger  facilities  and  equipment; construction, reconstruction, improvement, reconditioning and  preservation  of   state,   municipal   and   privately   owned   ports;  construction,    reconstruction,    improvement,    reconditioning   and  preservation  of  municipal  airports;  privately  owned  airports   and  aviation capital facilities, excluding airports operated by the state or  operated  by  a  bi-state  municipal corporate instrumentality for which  federal funding is not available provided the project is consistent with  an approved  airport  layout  plan;  and  construction,  reconstruction,  enhancement,   improvement,  replacement,  reconditioning,  restoration,  rehabilitation and preservation of state, county, town, city and village  roads, highways, parkways and bridges; and construction, reconstruction,  improvement, reconditioning and preservation of fixed  ferry  facilities  of   municipal  and  privately  owned  ferry  lines  for  transportation  purposes, and the payment of debt service required on any  bonds,  notes  or  other  obligations and related expenses for highway, parkway, bridge  and  project  costs  for:  construction,  reconstruction,   improvement,  reconditioning and preservation of rail freight facilities and intercity  rail  passenger  facilities and equipment; construction, reconstruction,  improvement, reconditioning and preservation  of  state,  municipal  and  privately   owned   ports;  construction,  reconstruction,  improvement,  reconditioning and preservation of municipal airports;  privately  owned  airports and aviation capital facilities, excluding airports operated by  the  state or operated by a bi-state municipal corporate instrumentality  for which federal funding is  not  available  provided  the  project  is  consistent   with   an   approved  airport  layout  plan;  construction,  reconstruction, enhancement, improvement,  replacement,  reconditioning,  restoration,  rehabilitation  and  preservation  of state, county, town,  city  and  village  roads,   highways,   parkways   and   bridges;   and  construction,    reconstruction,    improvement,    reconditioning   and  preservation of fixed ferry facilities of municipal and privately  owned  ferry lines for transportation purposes, purposes authorized on or after  the effective date of this section. Beginning with disbursements made on  and  after the first day of April, nineteen hundred ninety-three, moneys  in such fund shall be available to  pay  such  costs  or  expenses  made  pursuant  to  appropriations  or  reappropriations made during the state  fiscal year  which  began  on  the  first  of  April,  nineteen  hundred  ninety-two.   Beginning   the  first  day  of  April,  nineteen  hundred  ninety-three, moneys in such fund shall also be used for payments to the  general debt service fund of  amounts  equal  to  amounts  required  forservice  contract  payments  as provided and authorized by section three  hundred eighty of the public authorities law and by  section  eleven  of  chapter  three  hundred  twenty-nine  of  the  laws  of nineteen hundred  ninety-one, as amended.    * NB Effective until March 31, 2015    * a.  Moneys  in  the  dedicated  highway and bridge trust fund shall,  following  appropriation  by   the   legislature,   be   utilized   for:  reconstruction, replacement, reconditioning, restoration, rehabilitation  and  preservation  of  state,  county,  town,  city  and  village roads,  highways, parkways, and bridges thereon, to restore such  facilities  to  their  intended functions; construction, reconstruction, enhancement and  improvement of state, county, town, city, and village  roads,  highways,  parkways, and bridges thereon, to address current and projected capacity  problems  including  costs  for  traffic mitigation activities; aviation  projects authorized pursuant to section fourteen-j of the transportation  law and for payments to the general debt service fund of  amounts  equal  to  amounts  required  for service contract payments related to aviation  projects as provided and authorized by section three hundred  eighty-six  of the public authorities law; programs to assist small and minority and  women-owned   firms   engaged   in   transportation   construction   and  reconstruction projects, including a revolving fund for working  capital  loans,  and  a  bonding  guarantee assistance program in accordance with  provisions of this chapter; matching federal grants or apportionments to  the  state  for  highway,  parkway  and  bridge  capital  projects;  the  acquisition  of real property and interests therein required or expected  to be required in connection with such projects; preventive  maintenance  activities  necessary to ensure that highways, parkways and bridges meet  or exceed their optimum useful life; expenses of control of snow and ice  on state highways by the department of transportation including but  not  limited  to personal services, nonpersonal services and fringe benefits,  payment of emergency aid for control of snow and ice  in  municipalities  pursuant  to  section fifty-five of the highway law, expenses of control  of snow and ice on state highways by municipalities pursuant to  section  twelve  of  the  highway  law,  and for expenses of arterial maintenance  agreements with cities pursuant to section three hundred  forty-nine  of  the  highway  law;  personal  services  and  fringe benefit costs of the  department of transportation for bus safety inspection activities; costs  of  engineering  and  administrative  services  of  the  department   of  transportation,  including  but  not  limited  to  fringe  benefits; the  contract services provided by private firms in accordance  with  section  fourteen  of  the  transportation law; personal services and nonpersonal  services, for activities including but not limited to the preparation of  designs, plans, specifications and  estimates;  construction  management  and  supervision  activities;  costs of appraisals, surveys, testing and  environmental impact statements for transportation projects; expenses in  connection with buildings, equipment, materials and facilities  used  or  useful  in  connection  with  the  maintenance, operation, and repair of  highways,  parkways  and  bridges  thereon;  and  project   costs   for:  construction,    reconstruction,    improvement,    reconditioning   and  preservation of rail freight facilities  and  intercity  rail  passenger  facilities  and  equipment;  construction,  reconstruction, improvement,  reconditioning and preservation of state, municipal and privately  owned  ports;  construction,  reconstruction,  improvement,  reconditioning and  preservation  of  municipal  airports;  privately  owned  airports   and  aviation capital facilities, excluding airports operated by the state or  operated  by  a  bi-state  municipal corporate instrumentality for which  federal funding is not available provided the project is consistent with  an approved  airport  layout  plan;  and  construction,  reconstruction,enhancement,   improvement,  replacement,  reconditioning,  restoration,  rehabilitation and preservation of state, county, town, city and village  roads, highways, parkways and bridges; and construction, reconstruction,  improvement,  reconditioning  and preservation of fixed ferry facilities  of  municipal  and  privately  owned  ferry  lines  for   transportation  purposes,  and  the payment of debt service required on any bonds, notes  or other obligations and related expenses for highway,  parkway,  bridge  and   project  costs  for:  construction,  reconstruction,  improvement,  reconditioning and preservation of rail freight facilities and intercity  rail passenger facilities and equipment;  construction,  reconstruction,  improvement,  reconditioning  and  preservation  of state, municipal and  privately  owned  ports;  construction,   reconstruction,   improvement,  reconditioning  and  preservation of municipal airports; privately owned  airports and aviation capital facilities, excluding airports operated by  the state or operated by a bi-state municipal corporate  instrumentality  for  which  federal  funding  is  not  available provided the project is  consistent  with  an  approved  airport   layout   plan;   construction,  reconstruction,  enhancement,  improvement, replacement, reconditioning,  restoration, rehabilitation and preservation  of  state,  county,  town,  city   and   village   roads,   highways,   parkways  and  bridges;  and  construction,   reconstruction,    improvement,    reconditioning    and  preservation  of fixed ferry facilities of municipal and privately owned  ferry lines for transportation purposes, purposes authorized on or after  the effective date of this section. Beginning with disbursements made on  and after the first day of April, nineteen hundred ninety-three,  moneys  in  such  fund  shall  be  available  to pay such costs or expenses made  pursuant to appropriations or reappropriations  made  during  the  state  fiscal  year  which  began  on  the  first  of  April,  nineteen hundred  ninety-two.  Beginning  the  first  day  of  April,   nineteen   hundred  ninety-three, moneys in such fund shall also be used for payments to the  general  debt  service  fund  of  amounts  equal to amounts required for  service contract payments as provided and authorized  by  section  three  hundred  eighty  of  the public authorities law and by section eleven of  chapter three hundred  twenty-nine  of  the  laws  of  nineteen  hundred  ninety-one, as amended.    * NB Effective March 31, 2015    b.  Subject  to appropriation therefor and subject to subdivision four  of this section, beginning the first  day  of  April,  nineteen  hundred  ninety-three,  an  amount  of moneys in the dedicated highway and bridge  trust fund, together with any other moneys legally  available  therefor,  which  is  equivalent  to  the amount that was historically appropriated  from state sources, other than proceeds from  the  accelerated  capacity  and  transportation  improvements of the nineties bond act, for highway,  parkway and bridge  purposes  as  enumerated  in  paragraph  a  of  this  subdivision   shall   be  used  to  fund  highway,  parkway  and  bridge  expenditures that were historically  appropriated  from  state  sources,  other  than  proceeds  from  the accelerated capacity and transportation  improvements of the nineties bond act, for the  purposes  enumerated  in  paragraph a of this subdivision.    6.  All payments of moneys from the dedicated highway and bridge trust  fund shall be made on audit and warrant of the  comptroller.  Not  later  than twenty days after the end of each calendar quarter, the comptroller  shall  submit  to the director of the budget and the chairpersons of the  fiscal committees of the legislature a  report  showing  the  amount  of  receipts  identified  as  bond  proceeds  and  the  amounts,  separately  identified, received from taxes, fees, transfers, or other sources,  and  the  amounts  disbursed from the dedicated highway and bridge trust fund  for state operations, capital projects and transfers to other funds.7. There shall be a comprehensive financial report and  plan  for  the  dedicated  highway  and  bridge  trust fund. The governor shall annually  submit such plan to the legislature and the  comptroller  in  accordance  with  paragraph (e) of subdivision three of section twenty-two-c of this  chapter.    8.  The  state  comptroller  shall  at  the commencement of each month  certify to the director of the budget, the chairpersons  of  the  senate  finance  and  assembly  ways  and  means committees, the commissioner of  transportation, and the chairman of the  thruway  authority  the  amount  disbursed  from  the  dedicated  highway  and  bridge  trust fund in the  preceding month, the amounts reimbursed by the  thruway  authority,  the  revenues  received  in  the fund, and the unreimbursed disbursements, in  accordance with section ten-e of the highway law.    9. Not later than sixty days after the end of the state  fiscal  year,  the department of transportation shall provide to the state comptroller,  the  chairpersons  of  the  senate  finance  and assembly ways and means  committees and the division of the budget,  a  detailed  description  of  each  capital project let during the completed prior year that is funded  fully or partially from the dedicated highway  and  bridge  trust  fund.  Such  description  shall  include  a  project  identification  number, a  description of the project in less than thirty words, the work type, the  estimated total cost of the project and the probable life of  each  such  project.    10.  Not  later  than  March  first  of  each  state  fiscal year, the  department of transportation shall provide to the state comptroller, the  chairpersons  of  the  senate  finance  and  assembly  ways  and   means  committees  and  the  division  of the budget, a detailed description of  each capital project anticipated or available to  be  let  in  the  next  fiscal  year  that  is  planned to be funded fully or partially from the  dedicated highway and bridge trust fund. Such description shall  include  a  project  identification  number, a description of the project in less  than thirty words, the work  type,  the  estimated  total  cost  of  the  project and the probable life of each such project.    11.  The  department  of  transportation  shall  provide  to the state  comptroller and the chairpersons of the senate finance and assembly ways  and means  committees,  not  later  than  fourteen  days  subsequent  to  reimbursement  from  bond  proceeds  to the dedicated highway and bridge  trust  fund,  a  cooperative  agreement  schedule  of  all  projects  so  reimbursed.  Such  schedule  shall  include,  but  not be limited to, an  identifying project number, the work type, project description,  county,  total  cost,  percentage  of  federal  funding,  letting date, scheduled  completion date, life to date dedicated highway and  bridge  trust  fund  disbursements,   prior   amount   of  thruway  authority  bond  proceeds  reimbursement, the amount of the current reimbursement, and the probable  life of each such project.

State Codes and Statutes

Statutes > New-york > Stf > Article-6 > 89-b

§  89-b.  Dedicated  highway and bridge trust fund. 1. There is hereby  established in the joint  custody  of  the  state  comptroller  and  the  commissioner  of  taxation and finance a special fund to be known as the  "dedicated highway and bridge trust fund".    2. The dedicated highway and bridge trust fund shall  consist  of  two  accounts:  (a)  the  special obligation reserve and payment account; and  (b) the highway and bridge capital account. Moneys in each account shall  be kept separate and not commingled with any other moneys in the custody  of the comptroller.    3. * (a) The special obligation  reserve  and  payment  account  shall  consist  (i)  of  all  moneys  required to be deposited in the dedicated  highway and bridge trust fund pursuant to the provisions of sections two  hundred five, two  hundred  eighty-nine-e,  three  hundred  one-j,  five  hundred  fifteen  and eleven hundred sixty-seven of the tax law, section  four hundred one of the vehicle and traffic law, and section  thirty-one  of  chapter fifty-six of the laws of nineteen hundred ninety-three, (ii)  all  fees,  fines  or  penalties  collected  by  the   commissioner   of  transportation  pursuant  to  section  fifty-two  and subdivisions five,  eight and twelve of section eighty-eight of the highway law, subdivision  fifteen of section three hundred eighty-five of the vehicle and  traffic  law,  section  two of the chapter of the laws of two thousand three that  amended this paragraph, subdivision (d) of section three hundred four-a,  paragraph one of subdivision (a) and subdivision (d)  of  section  three  hundred  five,  subdivision  six-a  of  section four hundred fifteen and  subdivision (g) of section twenty-one hundred twenty-five of the vehicle  and traffic law, section  fifteen  of  this  chapter,  excepting  moneys  deposited with the state on account of betterments performed pursuant to  subdivision  twenty-seven  or  subdivision thirty-five of section ten of  the highway law,  (iii)  any  moneys  collected  by  the  department  of  transportation for services provided pursuant to agreements entered into  in  accordance  with section ninety-nine-r of the general municipal law,  and (iv) any other moneys collected therefor or credited or  transferred  thereto from any other fund, account or source.    * NB Effective until March 31, 2015    *   (a)  The  special  obligation  reserve  and  payment account shall  consist (i) of all moneys required to  be  deposited  in  the  dedicated  highway and bridge trust fund pursuant to the provisions of sections two  hundred  eighty-nine-e,  three  hundred  one-j, five hundred fifteen and  eleven hundred sixty-seven of the tax law, section four hundred  one  of  the vehicle and traffic law, and section thirty-one of chapter fifty-six  of  the  laws  of nineteen hundred ninety-three, (ii) all fees, fines or  penalties collected by the commissioner of  transportation  pursuant  to  section  fifty-two  and  subdivisions  five, eight and twelve of section  eighty-eight of the highway law, subdivision fifteen  of  section  three  hundred  eighty-five  of the vehicle and traffic law, section fifteen of  this chapter, excepting moneys deposited with the state  on  account  of  betterments   performed   pursuant   to   subdivision   twenty-seven  or  subdivision thirty-five of section ten of the  highway  law,  (iii)  any  moneys  collected  by  the  department  of  transportation  for services  provided pursuant to agreements entered into in accordance with  section  ninety-nine-r  of  the  general municipal law, and (iv) any other moneys  collected therefor or credited or transferred  thereto  from  any  other  fund, account or source.    * NB Effective March 31, 2015    (b)  Moneys  in  the  special  obligation  reserve and payment account  shall, following appropriation  by  the  legislature,  be  used  to  pay  amounts due to the New York state thruway authority as dedicated highway  and  bridge  trust  fund  cooperative agreement payments pursuant to theprovisions of  dedicated  highway  and  bridge  trust  fund  cooperative  agreements  entered  into  between  the  authority and the department of  transportation pursuant to sections  ten-e,  ten-f,  and  ten-g  of  the  highway  law, the provisions of section three hundred eighty-five of the  public authorities law, and pursuant to the provisions of this section.    (c) The comptroller is hereby  authorized  and  directed  to  transfer  monthly no later than the last day of each month, any moneys, if any, in  excess  of  the  aggregate  amounts required to be set aside in order to  meet the requirements established in paragraph (d) of this  subdivision,  to  the  highway and bridge capital account, provided however that in no  event shall such transfers occur unless and until the aggregate  of  all  dedicated  highway  and bridge trust fund cooperative agreement payments  certified to the comptroller  for  such  fiscal  year  shall  have  been  appropriated   in  accordance  with  the  provisions  of  this  section.  Additionally, in no event shall the comptroller pay over and  distribute  any  revenues  of  the  fund to any person other than the New York state  thruway authority if any payment required to be set  aside  pursuant  to  paragraph  (b) of this subdivision has not been made to the authority on  the date by which it was required to have been  made  pursuant  to  such  schedule; provided, however, that no person, including such authority or  the  holders  of its bonds or notes shall have any lien on such revenues  and such agreement shall  be  executory  only  to  the  extent  of  such  revenues available to the state in such fund.    (d)  Upon  receipt by the comptroller of a certificate or certificates  from the chairperson of the New York state thruway  authority  submitted  pursuant  to section three hundred eighty-five of the public authorities  law, that such authority  requires  a  payment  or  payments,  from  the  dedicated  highway and bridge trust fund, the comptroller shall pay from  such fund pursuant to an appropriation on or before the fifteenth day of  any month preceding the payment as the chairperson thereof may direct in  any  such  certificate,  the  amount  or  amounts  so   certified.   The  chairperson of such authority shall furnish the commissioner of taxation  and  finance with copies of such certificates. In order to set aside the  moneys necessary to meet the amounts required on  the  payment  date  or  dates  herein,  the comptroller shall comply with the provisions of this  subdivision.    (e) Except for the purpose of meeting a dedicated highway  and  bridge  trust  fund  cooperative  agreement payment required pursuant to section  three hundred eighty-five of the public authorities law that is due on a  monthly basis or more frequently, prior to transferring any moneys  from  the   account  pursuant  to  paragraph  (c)  of  this  subdivision,  the  comptroller shall set aside on a monthly basis  all  revenues  deposited  pursuant  to  this subdivision as received until the amount set aside is  equal to, twenty percent of the interest due on such obligations on  the  next succeeding interest payment date multiplied by the number of months  from  the  date  of  the  last  such payment and ten percent of the next  principal installment due on such obligations multiplied by  the  number  of  months  from  the  date of the last such principal installment where  principal is due on an annual  basis  or  twenty  percent  of  the  next  principal  installment  due on such obligations multiplied by the number  of months from the date of the last  such  principal  installment  where  principal  is  due  on  a semiannual basis. For the purpose of meeting a  required dedicated highway and bridge trust fund  cooperative  agreement  payment  that  is  due  on  a  monthly  basis  or  more  frequently, the  comptroller  shall  set  aside  all  revenues  deposited   pursuant   to  subdivision  two  of  this  section  as received until the amount so set  aside is, in the reasonable judgment of the comptroller,  sufficient  to  pay  the  required  highway  and bridge trust fund cooperative agreementpayment  on  or  before  such  payment  date.  In  no  event  shall  the  comptroller  be  held  liable  for  the  failure  to set aside an amount  sufficient to pay the required dedicated highway and bridge  trust  fund  cooperative agreement payment to the authority.    (f) In the event that the amount set aside by the comptroller pursuant  to  paragraph  (e)  of  this  subdivision  is not sufficient to meet the  dedicated highway and bridge trust fund cooperative  agreement  payments  required  pursuant  to  a  certificate  or certificates submitted by the  chairperson  pursuant  to  subdivision  two  of  section  three  hundred  eighty-five  of  the  public  authorities  law,  the  comptroller  shall  immediately transfer first from the highway and bridge capital  account,  and  then, if necessary, from the general fund to the special obligation  reserve and payment account, an amount which,  when  combined  with  the  amount set aside pursuant to paragraph (e) of this subdivision, shall be  sufficient   to  make  the  dedicated  highway  and  bridge  trust  fund  cooperative agreement payments required pursuant to such certificate  or  certificates.   Following   such   an   event,  the  comptroller  shall,  immediately set aside the amounts required pursuant to paragraph (e)  of  this  subdivision,  set  aside  and  pay the next moneys received by the  special obligation reserve and payment account to reimburse the  general  fund for moneys which were transferred to the special obligation reserve  and  payment  account  pursuant to this paragraph. Such amounts shall be  set aside until the full amount of moneys transferred from  the  general  fund  shall  have  been set aside and any such moneys set aside shall be  transferred to the general fund no later  than  the  last  day  of  each  month.    4.  The highway and bridge capital account shall consist of all moneys  transferred from the special obligation reserve and payment account  and  any  other  moneys  credited or transferred thereto from any other fund,  account or source.    5. * a. Moneys in the dedicated highway and bridge trust  fund  shall,  following   appropriation   by   the   legislature,   be  utilized  for:  reconstruction, replacement, reconditioning, restoration, rehabilitation  and preservation  of  state,  county,  town,  city  and  village  roads,  highways,  parkways,  and bridges thereon, to restore such facilities to  their intended functions; construction, reconstruction, enhancement  and  improvement  of  state, county, town, city, and village roads, highways,  parkways, and bridges thereon, to address current and projected capacity  problems including costs for  traffic  mitigation  activities;  aviation  projects authorized pursuant to section fourteen-j of the transportation  law  and  for payments to the general debt service fund of amounts equal  to amounts required for service contract payments  related  to  aviation  projects  as provided and authorized by section three hundred eighty-six  of the public authorities law; programs to assist small and minority and  women-owned   firms   engaged   in   transportation   construction   and  reconstruction  projects, including a revolving fund for working capital  loans, and a bonding guarantee assistance  program  in  accordance  with  provisions of this chapter; matching federal grants or apportionments to  the  state  for  highway,  parkway  and  bridge  capital  projects;  the  acquisition of real property and interests therein required or  expected  to  be required in connection with such projects; preventive maintenance  activities necessary to ensure that highways, parkways and bridges  meet  or exceed their optimum useful life; expenses of control of snow and ice  on  state highways by the department of transportation including but not  limited to personal services, nonpersonal services and fringe  benefits,  payment  of  emergency aid for control of snow and ice in municipalities  pursuant to section fifty-five of the highway law, expenses  of  control  of  snow and ice on state highways by municipalities pursuant to sectiontwelve of the highway law, and  for  expenses  of  arterial  maintenance  agreements  with  cities pursuant to section three hundred forty-nine of  the highway law; personal services  and  fringe  benefit  costs  of  the  department of transportation for bus safety inspection activities; costs  of  the  department  of  motor  vehicles,  including  but not limited to  personal  and   nonpersonal   services;   costs   of   engineering   and  administrative  services  of the department of transportation, including  but not limited to fringe benefits; the contract  services  provided  by  private  firms in accordance with section fourteen of the transportation  law;  personal  services  and  nonpersonal  services,   for   activities  including  but  not  limited  to  the  preparation  of  designs,  plans,  specifications and estimates; construction  management  and  supervision  activities;  costs  of  appraisals,  surveys,  testing and environmental  impact statements for transportation projects;  expenses  in  connection  with  buildings,  equipment,  materials and facilities used or useful in  connection with the maintenance,  operation,  and  repair  of  highways,  parkways  and  bridges  thereon;  and  project  costs for: construction,  reconstruction, improvement, reconditioning  and  preservation  of  rail  freight   facilities   and   intercity  rail  passenger  facilities  and  equipment; construction, reconstruction, improvement, reconditioning and  preservation  of   state,   municipal   and   privately   owned   ports;  construction,    reconstruction,    improvement,    reconditioning   and  preservation  of  municipal  airports;  privately  owned  airports   and  aviation capital facilities, excluding airports operated by the state or  operated  by  a  bi-state  municipal corporate instrumentality for which  federal funding is not available provided the project is consistent with  an approved  airport  layout  plan;  and  construction,  reconstruction,  enhancement,   improvement,  replacement,  reconditioning,  restoration,  rehabilitation and preservation of state, county, town, city and village  roads, highways, parkways and bridges; and construction, reconstruction,  improvement, reconditioning and preservation of fixed  ferry  facilities  of   municipal  and  privately  owned  ferry  lines  for  transportation  purposes, and the payment of debt service required on any  bonds,  notes  or  other  obligations and related expenses for highway, parkway, bridge  and  project  costs  for:  construction,  reconstruction,   improvement,  reconditioning and preservation of rail freight facilities and intercity  rail  passenger  facilities and equipment; construction, reconstruction,  improvement, reconditioning and preservation  of  state,  municipal  and  privately   owned   ports;  construction,  reconstruction,  improvement,  reconditioning and preservation of municipal airports;  privately  owned  airports and aviation capital facilities, excluding airports operated by  the  state or operated by a bi-state municipal corporate instrumentality  for which federal funding is  not  available  provided  the  project  is  consistent   with   an   approved  airport  layout  plan;  construction,  reconstruction, enhancement, improvement,  replacement,  reconditioning,  restoration,  rehabilitation  and  preservation  of state, county, town,  city  and  village  roads,   highways,   parkways   and   bridges;   and  construction,    reconstruction,    improvement,    reconditioning   and  preservation of fixed ferry facilities of municipal and privately  owned  ferry lines for transportation purposes, purposes authorized on or after  the effective date of this section. Beginning with disbursements made on  and  after the first day of April, nineteen hundred ninety-three, moneys  in such fund shall be available to  pay  such  costs  or  expenses  made  pursuant  to  appropriations  or  reappropriations made during the state  fiscal year  which  began  on  the  first  of  April,  nineteen  hundred  ninety-two.   Beginning   the  first  day  of  April,  nineteen  hundred  ninety-three, moneys in such fund shall also be used for payments to the  general debt service fund of  amounts  equal  to  amounts  required  forservice  contract  payments  as provided and authorized by section three  hundred eighty of the public authorities law and by  section  eleven  of  chapter  three  hundred  twenty-nine  of  the  laws  of nineteen hundred  ninety-one, as amended.    * NB Effective until March 31, 2015    * a.  Moneys  in  the  dedicated  highway and bridge trust fund shall,  following  appropriation  by   the   legislature,   be   utilized   for:  reconstruction, replacement, reconditioning, restoration, rehabilitation  and  preservation  of  state,  county,  town,  city  and  village roads,  highways, parkways, and bridges thereon, to restore such  facilities  to  their  intended functions; construction, reconstruction, enhancement and  improvement of state, county, town, city, and village  roads,  highways,  parkways, and bridges thereon, to address current and projected capacity  problems  including  costs  for  traffic mitigation activities; aviation  projects authorized pursuant to section fourteen-j of the transportation  law and for payments to the general debt service fund of  amounts  equal  to  amounts  required  for service contract payments related to aviation  projects as provided and authorized by section three hundred  eighty-six  of the public authorities law; programs to assist small and minority and  women-owned   firms   engaged   in   transportation   construction   and  reconstruction projects, including a revolving fund for working  capital  loans,  and  a  bonding  guarantee assistance program in accordance with  provisions of this chapter; matching federal grants or apportionments to  the  state  for  highway,  parkway  and  bridge  capital  projects;  the  acquisition  of real property and interests therein required or expected  to be required in connection with such projects; preventive  maintenance  activities  necessary to ensure that highways, parkways and bridges meet  or exceed their optimum useful life; expenses of control of snow and ice  on state highways by the department of transportation including but  not  limited  to personal services, nonpersonal services and fringe benefits,  payment of emergency aid for control of snow and ice  in  municipalities  pursuant  to  section fifty-five of the highway law, expenses of control  of snow and ice on state highways by municipalities pursuant to  section  twelve  of  the  highway  law,  and for expenses of arterial maintenance  agreements with cities pursuant to section three hundred  forty-nine  of  the  highway  law;  personal  services  and  fringe benefit costs of the  department of transportation for bus safety inspection activities; costs  of  engineering  and  administrative  services  of  the  department   of  transportation,  including  but  not  limited  to  fringe  benefits; the  contract services provided by private firms in accordance  with  section  fourteen  of  the  transportation law; personal services and nonpersonal  services, for activities including but not limited to the preparation of  designs, plans, specifications and  estimates;  construction  management  and  supervision  activities;  costs of appraisals, surveys, testing and  environmental impact statements for transportation projects; expenses in  connection with buildings, equipment, materials and facilities  used  or  useful  in  connection  with  the  maintenance, operation, and repair of  highways,  parkways  and  bridges  thereon;  and  project   costs   for:  construction,    reconstruction,    improvement,    reconditioning   and  preservation of rail freight facilities  and  intercity  rail  passenger  facilities  and  equipment;  construction,  reconstruction, improvement,  reconditioning and preservation of state, municipal and privately  owned  ports;  construction,  reconstruction,  improvement,  reconditioning and  preservation  of  municipal  airports;  privately  owned  airports   and  aviation capital facilities, excluding airports operated by the state or  operated  by  a  bi-state  municipal corporate instrumentality for which  federal funding is not available provided the project is consistent with  an approved  airport  layout  plan;  and  construction,  reconstruction,enhancement,   improvement,  replacement,  reconditioning,  restoration,  rehabilitation and preservation of state, county, town, city and village  roads, highways, parkways and bridges; and construction, reconstruction,  improvement,  reconditioning  and preservation of fixed ferry facilities  of  municipal  and  privately  owned  ferry  lines  for   transportation  purposes,  and  the payment of debt service required on any bonds, notes  or other obligations and related expenses for highway,  parkway,  bridge  and   project  costs  for:  construction,  reconstruction,  improvement,  reconditioning and preservation of rail freight facilities and intercity  rail passenger facilities and equipment;  construction,  reconstruction,  improvement,  reconditioning  and  preservation  of state, municipal and  privately  owned  ports;  construction,   reconstruction,   improvement,  reconditioning  and  preservation of municipal airports; privately owned  airports and aviation capital facilities, excluding airports operated by  the state or operated by a bi-state municipal corporate  instrumentality  for  which  federal  funding  is  not  available provided the project is  consistent  with  an  approved  airport   layout   plan;   construction,  reconstruction,  enhancement,  improvement, replacement, reconditioning,  restoration, rehabilitation and preservation  of  state,  county,  town,  city   and   village   roads,   highways,   parkways  and  bridges;  and  construction,   reconstruction,    improvement,    reconditioning    and  preservation  of fixed ferry facilities of municipal and privately owned  ferry lines for transportation purposes, purposes authorized on or after  the effective date of this section. Beginning with disbursements made on  and after the first day of April, nineteen hundred ninety-three,  moneys  in  such  fund  shall  be  available  to pay such costs or expenses made  pursuant to appropriations or reappropriations  made  during  the  state  fiscal  year  which  began  on  the  first  of  April,  nineteen hundred  ninety-two.  Beginning  the  first  day  of  April,   nineteen   hundred  ninety-three, moneys in such fund shall also be used for payments to the  general  debt  service  fund  of  amounts  equal to amounts required for  service contract payments as provided and authorized  by  section  three  hundred  eighty  of  the public authorities law and by section eleven of  chapter three hundred  twenty-nine  of  the  laws  of  nineteen  hundred  ninety-one, as amended.    * NB Effective March 31, 2015    b.  Subject  to appropriation therefor and subject to subdivision four  of this section, beginning the first  day  of  April,  nineteen  hundred  ninety-three,  an  amount  of moneys in the dedicated highway and bridge  trust fund, together with any other moneys legally  available  therefor,  which  is  equivalent  to  the amount that was historically appropriated  from state sources, other than proceeds from  the  accelerated  capacity  and  transportation  improvements of the nineties bond act, for highway,  parkway and bridge  purposes  as  enumerated  in  paragraph  a  of  this  subdivision   shall   be  used  to  fund  highway,  parkway  and  bridge  expenditures that were historically  appropriated  from  state  sources,  other  than  proceeds  from  the accelerated capacity and transportation  improvements of the nineties bond act, for the  purposes  enumerated  in  paragraph a of this subdivision.    6.  All payments of moneys from the dedicated highway and bridge trust  fund shall be made on audit and warrant of the  comptroller.  Not  later  than twenty days after the end of each calendar quarter, the comptroller  shall  submit  to the director of the budget and the chairpersons of the  fiscal committees of the legislature a  report  showing  the  amount  of  receipts  identified  as  bond  proceeds  and  the  amounts,  separately  identified, received from taxes, fees, transfers, or other sources,  and  the  amounts  disbursed from the dedicated highway and bridge trust fund  for state operations, capital projects and transfers to other funds.7. There shall be a comprehensive financial report and  plan  for  the  dedicated  highway  and  bridge  trust fund. The governor shall annually  submit such plan to the legislature and the  comptroller  in  accordance  with  paragraph (e) of subdivision three of section twenty-two-c of this  chapter.    8.  The  state  comptroller  shall  at  the commencement of each month  certify to the director of the budget, the chairpersons  of  the  senate  finance  and  assembly  ways  and  means committees, the commissioner of  transportation, and the chairman of the  thruway  authority  the  amount  disbursed  from  the  dedicated  highway  and  bridge  trust fund in the  preceding month, the amounts reimbursed by the  thruway  authority,  the  revenues  received  in  the fund, and the unreimbursed disbursements, in  accordance with section ten-e of the highway law.    9. Not later than sixty days after the end of the state  fiscal  year,  the department of transportation shall provide to the state comptroller,  the  chairpersons  of  the  senate  finance  and assembly ways and means  committees and the division of the budget,  a  detailed  description  of  each  capital project let during the completed prior year that is funded  fully or partially from the dedicated highway  and  bridge  trust  fund.  Such  description  shall  include  a  project  identification  number, a  description of the project in less than thirty words, the work type, the  estimated total cost of the project and the probable life of  each  such  project.    10.  Not  later  than  March  first  of  each  state  fiscal year, the  department of transportation shall provide to the state comptroller, the  chairpersons  of  the  senate  finance  and  assembly  ways  and   means  committees  and  the  division  of the budget, a detailed description of  each capital project anticipated or available to  be  let  in  the  next  fiscal  year  that  is  planned to be funded fully or partially from the  dedicated highway and bridge trust fund. Such description shall  include  a  project  identification  number, a description of the project in less  than thirty words, the work  type,  the  estimated  total  cost  of  the  project and the probable life of each such project.    11.  The  department  of  transportation  shall  provide  to the state  comptroller and the chairpersons of the senate finance and assembly ways  and means  committees,  not  later  than  fourteen  days  subsequent  to  reimbursement  from  bond  proceeds  to the dedicated highway and bridge  trust  fund,  a  cooperative  agreement  schedule  of  all  projects  so  reimbursed.  Such  schedule  shall  include,  but  not be limited to, an  identifying project number, the work type, project description,  county,  total  cost,  percentage  of  federal  funding,  letting date, scheduled  completion date, life to date dedicated highway and  bridge  trust  fund  disbursements,   prior   amount   of  thruway  authority  bond  proceeds  reimbursement, the amount of the current reimbursement, and the probable  life of each such project.

State Codes and Statutes

State Codes and Statutes

Statutes > New-york > Stf > Article-6 > 89-b

§  89-b.  Dedicated  highway and bridge trust fund. 1. There is hereby  established in the joint  custody  of  the  state  comptroller  and  the  commissioner  of  taxation and finance a special fund to be known as the  "dedicated highway and bridge trust fund".    2. The dedicated highway and bridge trust fund shall  consist  of  two  accounts:  (a)  the  special obligation reserve and payment account; and  (b) the highway and bridge capital account. Moneys in each account shall  be kept separate and not commingled with any other moneys in the custody  of the comptroller.    3. * (a) The special obligation  reserve  and  payment  account  shall  consist  (i)  of  all  moneys  required to be deposited in the dedicated  highway and bridge trust fund pursuant to the provisions of sections two  hundred five, two  hundred  eighty-nine-e,  three  hundred  one-j,  five  hundred  fifteen  and eleven hundred sixty-seven of the tax law, section  four hundred one of the vehicle and traffic law, and section  thirty-one  of  chapter fifty-six of the laws of nineteen hundred ninety-three, (ii)  all  fees,  fines  or  penalties  collected  by  the   commissioner   of  transportation  pursuant  to  section  fifty-two  and subdivisions five,  eight and twelve of section eighty-eight of the highway law, subdivision  fifteen of section three hundred eighty-five of the vehicle and  traffic  law,  section  two of the chapter of the laws of two thousand three that  amended this paragraph, subdivision (d) of section three hundred four-a,  paragraph one of subdivision (a) and subdivision (d)  of  section  three  hundred  five,  subdivision  six-a  of  section four hundred fifteen and  subdivision (g) of section twenty-one hundred twenty-five of the vehicle  and traffic law, section  fifteen  of  this  chapter,  excepting  moneys  deposited with the state on account of betterments performed pursuant to  subdivision  twenty-seven  or  subdivision thirty-five of section ten of  the highway law,  (iii)  any  moneys  collected  by  the  department  of  transportation for services provided pursuant to agreements entered into  in  accordance  with section ninety-nine-r of the general municipal law,  and (iv) any other moneys collected therefor or credited or  transferred  thereto from any other fund, account or source.    * NB Effective until March 31, 2015    *   (a)  The  special  obligation  reserve  and  payment account shall  consist (i) of all moneys required to  be  deposited  in  the  dedicated  highway and bridge trust fund pursuant to the provisions of sections two  hundred  eighty-nine-e,  three  hundred  one-j, five hundred fifteen and  eleven hundred sixty-seven of the tax law, section four hundred  one  of  the vehicle and traffic law, and section thirty-one of chapter fifty-six  of  the  laws  of nineteen hundred ninety-three, (ii) all fees, fines or  penalties collected by the commissioner of  transportation  pursuant  to  section  fifty-two  and  subdivisions  five, eight and twelve of section  eighty-eight of the highway law, subdivision fifteen  of  section  three  hundred  eighty-five  of the vehicle and traffic law, section fifteen of  this chapter, excepting moneys deposited with the state  on  account  of  betterments   performed   pursuant   to   subdivision   twenty-seven  or  subdivision thirty-five of section ten of the  highway  law,  (iii)  any  moneys  collected  by  the  department  of  transportation  for services  provided pursuant to agreements entered into in accordance with  section  ninety-nine-r  of  the  general municipal law, and (iv) any other moneys  collected therefor or credited or transferred  thereto  from  any  other  fund, account or source.    * NB Effective March 31, 2015    (b)  Moneys  in  the  special  obligation  reserve and payment account  shall, following appropriation  by  the  legislature,  be  used  to  pay  amounts due to the New York state thruway authority as dedicated highway  and  bridge  trust  fund  cooperative agreement payments pursuant to theprovisions of  dedicated  highway  and  bridge  trust  fund  cooperative  agreements  entered  into  between  the  authority and the department of  transportation pursuant to sections  ten-e,  ten-f,  and  ten-g  of  the  highway  law, the provisions of section three hundred eighty-five of the  public authorities law, and pursuant to the provisions of this section.    (c) The comptroller is hereby  authorized  and  directed  to  transfer  monthly no later than the last day of each month, any moneys, if any, in  excess  of  the  aggregate  amounts required to be set aside in order to  meet the requirements established in paragraph (d) of this  subdivision,  to  the  highway and bridge capital account, provided however that in no  event shall such transfers occur unless and until the aggregate  of  all  dedicated  highway  and bridge trust fund cooperative agreement payments  certified to the comptroller  for  such  fiscal  year  shall  have  been  appropriated   in  accordance  with  the  provisions  of  this  section.  Additionally, in no event shall the comptroller pay over and  distribute  any  revenues  of  the  fund to any person other than the New York state  thruway authority if any payment required to be set  aside  pursuant  to  paragraph  (b) of this subdivision has not been made to the authority on  the date by which it was required to have been  made  pursuant  to  such  schedule; provided, however, that no person, including such authority or  the  holders  of its bonds or notes shall have any lien on such revenues  and such agreement shall  be  executory  only  to  the  extent  of  such  revenues available to the state in such fund.    (d)  Upon  receipt by the comptroller of a certificate or certificates  from the chairperson of the New York state thruway  authority  submitted  pursuant  to section three hundred eighty-five of the public authorities  law, that such authority  requires  a  payment  or  payments,  from  the  dedicated  highway and bridge trust fund, the comptroller shall pay from  such fund pursuant to an appropriation on or before the fifteenth day of  any month preceding the payment as the chairperson thereof may direct in  any  such  certificate,  the  amount  or  amounts  so   certified.   The  chairperson of such authority shall furnish the commissioner of taxation  and  finance with copies of such certificates. In order to set aside the  moneys necessary to meet the amounts required on  the  payment  date  or  dates  herein,  the comptroller shall comply with the provisions of this  subdivision.    (e) Except for the purpose of meeting a dedicated highway  and  bridge  trust  fund  cooperative  agreement payment required pursuant to section  three hundred eighty-five of the public authorities law that is due on a  monthly basis or more frequently, prior to transferring any moneys  from  the   account  pursuant  to  paragraph  (c)  of  this  subdivision,  the  comptroller shall set aside on a monthly basis  all  revenues  deposited  pursuant  to  this subdivision as received until the amount set aside is  equal to, twenty percent of the interest due on such obligations on  the  next succeeding interest payment date multiplied by the number of months  from  the  date  of  the  last  such payment and ten percent of the next  principal installment due on such obligations multiplied by  the  number  of  months  from  the  date of the last such principal installment where  principal is due on an annual  basis  or  twenty  percent  of  the  next  principal  installment  due on such obligations multiplied by the number  of months from the date of the last  such  principal  installment  where  principal  is  due  on  a semiannual basis. For the purpose of meeting a  required dedicated highway and bridge trust fund  cooperative  agreement  payment  that  is  due  on  a  monthly  basis  or  more  frequently, the  comptroller  shall  set  aside  all  revenues  deposited   pursuant   to  subdivision  two  of  this  section  as received until the amount so set  aside is, in the reasonable judgment of the comptroller,  sufficient  to  pay  the  required  highway  and bridge trust fund cooperative agreementpayment  on  or  before  such  payment  date.  In  no  event  shall  the  comptroller  be  held  liable  for  the  failure  to set aside an amount  sufficient to pay the required dedicated highway and bridge  trust  fund  cooperative agreement payment to the authority.    (f) In the event that the amount set aside by the comptroller pursuant  to  paragraph  (e)  of  this  subdivision  is not sufficient to meet the  dedicated highway and bridge trust fund cooperative  agreement  payments  required  pursuant  to  a  certificate  or certificates submitted by the  chairperson  pursuant  to  subdivision  two  of  section  three  hundred  eighty-five  of  the  public  authorities  law,  the  comptroller  shall  immediately transfer first from the highway and bridge capital  account,  and  then, if necessary, from the general fund to the special obligation  reserve and payment account, an amount which,  when  combined  with  the  amount set aside pursuant to paragraph (e) of this subdivision, shall be  sufficient   to  make  the  dedicated  highway  and  bridge  trust  fund  cooperative agreement payments required pursuant to such certificate  or  certificates.   Following   such   an   event,  the  comptroller  shall,  immediately set aside the amounts required pursuant to paragraph (e)  of  this  subdivision,  set  aside  and  pay the next moneys received by the  special obligation reserve and payment account to reimburse the  general  fund for moneys which were transferred to the special obligation reserve  and  payment  account  pursuant to this paragraph. Such amounts shall be  set aside until the full amount of moneys transferred from  the  general  fund  shall  have  been set aside and any such moneys set aside shall be  transferred to the general fund no later  than  the  last  day  of  each  month.    4.  The highway and bridge capital account shall consist of all moneys  transferred from the special obligation reserve and payment account  and  any  other  moneys  credited or transferred thereto from any other fund,  account or source.    5. * a. Moneys in the dedicated highway and bridge trust  fund  shall,  following   appropriation   by   the   legislature,   be  utilized  for:  reconstruction, replacement, reconditioning, restoration, rehabilitation  and preservation  of  state,  county,  town,  city  and  village  roads,  highways,  parkways,  and bridges thereon, to restore such facilities to  their intended functions; construction, reconstruction, enhancement  and  improvement  of  state, county, town, city, and village roads, highways,  parkways, and bridges thereon, to address current and projected capacity  problems including costs for  traffic  mitigation  activities;  aviation  projects authorized pursuant to section fourteen-j of the transportation  law  and  for payments to the general debt service fund of amounts equal  to amounts required for service contract payments  related  to  aviation  projects  as provided and authorized by section three hundred eighty-six  of the public authorities law; programs to assist small and minority and  women-owned   firms   engaged   in   transportation   construction   and  reconstruction  projects, including a revolving fund for working capital  loans, and a bonding guarantee assistance  program  in  accordance  with  provisions of this chapter; matching federal grants or apportionments to  the  state  for  highway,  parkway  and  bridge  capital  projects;  the  acquisition of real property and interests therein required or  expected  to  be required in connection with such projects; preventive maintenance  activities necessary to ensure that highways, parkways and bridges  meet  or exceed their optimum useful life; expenses of control of snow and ice  on  state highways by the department of transportation including but not  limited to personal services, nonpersonal services and fringe  benefits,  payment  of  emergency aid for control of snow and ice in municipalities  pursuant to section fifty-five of the highway law, expenses  of  control  of  snow and ice on state highways by municipalities pursuant to sectiontwelve of the highway law, and  for  expenses  of  arterial  maintenance  agreements  with  cities pursuant to section three hundred forty-nine of  the highway law; personal services  and  fringe  benefit  costs  of  the  department of transportation for bus safety inspection activities; costs  of  the  department  of  motor  vehicles,  including  but not limited to  personal  and   nonpersonal   services;   costs   of   engineering   and  administrative  services  of the department of transportation, including  but not limited to fringe benefits; the contract  services  provided  by  private  firms in accordance with section fourteen of the transportation  law;  personal  services  and  nonpersonal  services,   for   activities  including  but  not  limited  to  the  preparation  of  designs,  plans,  specifications and estimates; construction  management  and  supervision  activities;  costs  of  appraisals,  surveys,  testing and environmental  impact statements for transportation projects;  expenses  in  connection  with  buildings,  equipment,  materials and facilities used or useful in  connection with the maintenance,  operation,  and  repair  of  highways,  parkways  and  bridges  thereon;  and  project  costs for: construction,  reconstruction, improvement, reconditioning  and  preservation  of  rail  freight   facilities   and   intercity  rail  passenger  facilities  and  equipment; construction, reconstruction, improvement, reconditioning and  preservation  of   state,   municipal   and   privately   owned   ports;  construction,    reconstruction,    improvement,    reconditioning   and  preservation  of  municipal  airports;  privately  owned  airports   and  aviation capital facilities, excluding airports operated by the state or  operated  by  a  bi-state  municipal corporate instrumentality for which  federal funding is not available provided the project is consistent with  an approved  airport  layout  plan;  and  construction,  reconstruction,  enhancement,   improvement,  replacement,  reconditioning,  restoration,  rehabilitation and preservation of state, county, town, city and village  roads, highways, parkways and bridges; and construction, reconstruction,  improvement, reconditioning and preservation of fixed  ferry  facilities  of   municipal  and  privately  owned  ferry  lines  for  transportation  purposes, and the payment of debt service required on any  bonds,  notes  or  other  obligations and related expenses for highway, parkway, bridge  and  project  costs  for:  construction,  reconstruction,   improvement,  reconditioning and preservation of rail freight facilities and intercity  rail  passenger  facilities and equipment; construction, reconstruction,  improvement, reconditioning and preservation  of  state,  municipal  and  privately   owned   ports;  construction,  reconstruction,  improvement,  reconditioning and preservation of municipal airports;  privately  owned  airports and aviation capital facilities, excluding airports operated by  the  state or operated by a bi-state municipal corporate instrumentality  for which federal funding is  not  available  provided  the  project  is  consistent   with   an   approved  airport  layout  plan;  construction,  reconstruction, enhancement, improvement,  replacement,  reconditioning,  restoration,  rehabilitation  and  preservation  of state, county, town,  city  and  village  roads,   highways,   parkways   and   bridges;   and  construction,    reconstruction,    improvement,    reconditioning   and  preservation of fixed ferry facilities of municipal and privately  owned  ferry lines for transportation purposes, purposes authorized on or after  the effective date of this section. Beginning with disbursements made on  and  after the first day of April, nineteen hundred ninety-three, moneys  in such fund shall be available to  pay  such  costs  or  expenses  made  pursuant  to  appropriations  or  reappropriations made during the state  fiscal year  which  began  on  the  first  of  April,  nineteen  hundred  ninety-two.   Beginning   the  first  day  of  April,  nineteen  hundred  ninety-three, moneys in such fund shall also be used for payments to the  general debt service fund of  amounts  equal  to  amounts  required  forservice  contract  payments  as provided and authorized by section three  hundred eighty of the public authorities law and by  section  eleven  of  chapter  three  hundred  twenty-nine  of  the  laws  of nineteen hundred  ninety-one, as amended.    * NB Effective until March 31, 2015    * a.  Moneys  in  the  dedicated  highway and bridge trust fund shall,  following  appropriation  by   the   legislature,   be   utilized   for:  reconstruction, replacement, reconditioning, restoration, rehabilitation  and  preservation  of  state,  county,  town,  city  and  village roads,  highways, parkways, and bridges thereon, to restore such  facilities  to  their  intended functions; construction, reconstruction, enhancement and  improvement of state, county, town, city, and village  roads,  highways,  parkways, and bridges thereon, to address current and projected capacity  problems  including  costs  for  traffic mitigation activities; aviation  projects authorized pursuant to section fourteen-j of the transportation  law and for payments to the general debt service fund of  amounts  equal  to  amounts  required  for service contract payments related to aviation  projects as provided and authorized by section three hundred  eighty-six  of the public authorities law; programs to assist small and minority and  women-owned   firms   engaged   in   transportation   construction   and  reconstruction projects, including a revolving fund for working  capital  loans,  and  a  bonding  guarantee assistance program in accordance with  provisions of this chapter; matching federal grants or apportionments to  the  state  for  highway,  parkway  and  bridge  capital  projects;  the  acquisition  of real property and interests therein required or expected  to be required in connection with such projects; preventive  maintenance  activities  necessary to ensure that highways, parkways and bridges meet  or exceed their optimum useful life; expenses of control of snow and ice  on state highways by the department of transportation including but  not  limited  to personal services, nonpersonal services and fringe benefits,  payment of emergency aid for control of snow and ice  in  municipalities  pursuant  to  section fifty-five of the highway law, expenses of control  of snow and ice on state highways by municipalities pursuant to  section  twelve  of  the  highway  law,  and for expenses of arterial maintenance  agreements with cities pursuant to section three hundred  forty-nine  of  the  highway  law;  personal  services  and  fringe benefit costs of the  department of transportation for bus safety inspection activities; costs  of  engineering  and  administrative  services  of  the  department   of  transportation,  including  but  not  limited  to  fringe  benefits; the  contract services provided by private firms in accordance  with  section  fourteen  of  the  transportation law; personal services and nonpersonal  services, for activities including but not limited to the preparation of  designs, plans, specifications and  estimates;  construction  management  and  supervision  activities;  costs of appraisals, surveys, testing and  environmental impact statements for transportation projects; expenses in  connection with buildings, equipment, materials and facilities  used  or  useful  in  connection  with  the  maintenance, operation, and repair of  highways,  parkways  and  bridges  thereon;  and  project   costs   for:  construction,    reconstruction,    improvement,    reconditioning   and  preservation of rail freight facilities  and  intercity  rail  passenger  facilities  and  equipment;  construction,  reconstruction, improvement,  reconditioning and preservation of state, municipal and privately  owned  ports;  construction,  reconstruction,  improvement,  reconditioning and  preservation  of  municipal  airports;  privately  owned  airports   and  aviation capital facilities, excluding airports operated by the state or  operated  by  a  bi-state  municipal corporate instrumentality for which  federal funding is not available provided the project is consistent with  an approved  airport  layout  plan;  and  construction,  reconstruction,enhancement,   improvement,  replacement,  reconditioning,  restoration,  rehabilitation and preservation of state, county, town, city and village  roads, highways, parkways and bridges; and construction, reconstruction,  improvement,  reconditioning  and preservation of fixed ferry facilities  of  municipal  and  privately  owned  ferry  lines  for   transportation  purposes,  and  the payment of debt service required on any bonds, notes  or other obligations and related expenses for highway,  parkway,  bridge  and   project  costs  for:  construction,  reconstruction,  improvement,  reconditioning and preservation of rail freight facilities and intercity  rail passenger facilities and equipment;  construction,  reconstruction,  improvement,  reconditioning  and  preservation  of state, municipal and  privately  owned  ports;  construction,   reconstruction,   improvement,  reconditioning  and  preservation of municipal airports; privately owned  airports and aviation capital facilities, excluding airports operated by  the state or operated by a bi-state municipal corporate  instrumentality  for  which  federal  funding  is  not  available provided the project is  consistent  with  an  approved  airport   layout   plan;   construction,  reconstruction,  enhancement,  improvement, replacement, reconditioning,  restoration, rehabilitation and preservation  of  state,  county,  town,  city   and   village   roads,   highways,   parkways  and  bridges;  and  construction,   reconstruction,    improvement,    reconditioning    and  preservation  of fixed ferry facilities of municipal and privately owned  ferry lines for transportation purposes, purposes authorized on or after  the effective date of this section. Beginning with disbursements made on  and after the first day of April, nineteen hundred ninety-three,  moneys  in  such  fund  shall  be  available  to pay such costs or expenses made  pursuant to appropriations or reappropriations  made  during  the  state  fiscal  year  which  began  on  the  first  of  April,  nineteen hundred  ninety-two.  Beginning  the  first  day  of  April,   nineteen   hundred  ninety-three, moneys in such fund shall also be used for payments to the  general  debt  service  fund  of  amounts  equal to amounts required for  service contract payments as provided and authorized  by  section  three  hundred  eighty  of  the public authorities law and by section eleven of  chapter three hundred  twenty-nine  of  the  laws  of  nineteen  hundred  ninety-one, as amended.    * NB Effective March 31, 2015    b.  Subject  to appropriation therefor and subject to subdivision four  of this section, beginning the first  day  of  April,  nineteen  hundred  ninety-three,  an  amount  of moneys in the dedicated highway and bridge  trust fund, together with any other moneys legally  available  therefor,  which  is  equivalent  to  the amount that was historically appropriated  from state sources, other than proceeds from  the  accelerated  capacity  and  transportation  improvements of the nineties bond act, for highway,  parkway and bridge  purposes  as  enumerated  in  paragraph  a  of  this  subdivision   shall   be  used  to  fund  highway,  parkway  and  bridge  expenditures that were historically  appropriated  from  state  sources,  other  than  proceeds  from  the accelerated capacity and transportation  improvements of the nineties bond act, for the  purposes  enumerated  in  paragraph a of this subdivision.    6.  All payments of moneys from the dedicated highway and bridge trust  fund shall be made on audit and warrant of the  comptroller.  Not  later  than twenty days after the end of each calendar quarter, the comptroller  shall  submit  to the director of the budget and the chairpersons of the  fiscal committees of the legislature a  report  showing  the  amount  of  receipts  identified  as  bond  proceeds  and  the  amounts,  separately  identified, received from taxes, fees, transfers, or other sources,  and  the  amounts  disbursed from the dedicated highway and bridge trust fund  for state operations, capital projects and transfers to other funds.7. There shall be a comprehensive financial report and  plan  for  the  dedicated  highway  and  bridge  trust fund. The governor shall annually  submit such plan to the legislature and the  comptroller  in  accordance  with  paragraph (e) of subdivision three of section twenty-two-c of this  chapter.    8.  The  state  comptroller  shall  at  the commencement of each month  certify to the director of the budget, the chairpersons  of  the  senate  finance  and  assembly  ways  and  means committees, the commissioner of  transportation, and the chairman of the  thruway  authority  the  amount  disbursed  from  the  dedicated  highway  and  bridge  trust fund in the  preceding month, the amounts reimbursed by the  thruway  authority,  the  revenues  received  in  the fund, and the unreimbursed disbursements, in  accordance with section ten-e of the highway law.    9. Not later than sixty days after the end of the state  fiscal  year,  the department of transportation shall provide to the state comptroller,  the  chairpersons  of  the  senate  finance  and assembly ways and means  committees and the division of the budget,  a  detailed  description  of  each  capital project let during the completed prior year that is funded  fully or partially from the dedicated highway  and  bridge  trust  fund.  Such  description  shall  include  a  project  identification  number, a  description of the project in less than thirty words, the work type, the  estimated total cost of the project and the probable life of  each  such  project.    10.  Not  later  than  March  first  of  each  state  fiscal year, the  department of transportation shall provide to the state comptroller, the  chairpersons  of  the  senate  finance  and  assembly  ways  and   means  committees  and  the  division  of the budget, a detailed description of  each capital project anticipated or available to  be  let  in  the  next  fiscal  year  that  is  planned to be funded fully or partially from the  dedicated highway and bridge trust fund. Such description shall  include  a  project  identification  number, a description of the project in less  than thirty words, the work  type,  the  estimated  total  cost  of  the  project and the probable life of each such project.    11.  The  department  of  transportation  shall  provide  to the state  comptroller and the chairpersons of the senate finance and assembly ways  and means  committees,  not  later  than  fourteen  days  subsequent  to  reimbursement  from  bond  proceeds  to the dedicated highway and bridge  trust  fund,  a  cooperative  agreement  schedule  of  all  projects  so  reimbursed.  Such  schedule  shall  include,  but  not be limited to, an  identifying project number, the work type, project description,  county,  total  cost,  percentage  of  federal  funding,  letting date, scheduled  completion date, life to date dedicated highway and  bridge  trust  fund  disbursements,   prior   amount   of  thruway  authority  bond  proceeds  reimbursement, the amount of the current reimbursement, and the probable  life of each such project.