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FUNDS APPROPRIATED TO THE PRESIDENT

ECONOMIC STABILIZATION ACTIVITIES

SALARIES AND EXPENSES

For expenses necessary to carry out the Economic Stabilization Act of 1970, as amended, including activities under Executive Orders No. 11615 of August 15, 1971, and No. 11627 of October 15, 1971, both as amended ; activities under Proclamation 4074 of August 15, 1971; and hire of passenger motor vehicles, and services as authorized by 5 U.S.C. 3109, but at rates for individuals not to exceed the per

diem equivalent of the rate for GS-18, such amounts as may be determined from time to time by the Director of the Office of Management and Budget but not to exceed $20,153,000, to be derived by transfer from $20,153,000 balances reserved for savings in such appropriations to the depart- (by transfer) ments and agencies of the Executive Branch for the current fiscal year as the Director may determine: Provided, That advances or repayments from the above amounts may be made to any department or agency for expenses of carrying out such activities. [Total, chapter VIII:] [New budget (obligational) authority -

$210,556,000.) [By transfer

$20,153,000.

CHAPTER IX

CLAIMS AND JUDGMENTS For payment of claims settled and determined by departments and agencies in accord with law and judgments rendered against the United States by the United States Court of Claims and United States district courts, as set forth in Senate Document Numbered 92-45, and House Document Numbered 92–164, Ninety-second Congress, $21,569,856, together with such amounts as may be necessary to pay interest (as and when specified in such judgments or provided by saw) and such additional sums due to increases in rates of exchange as may be necessary to pay claims in foreign currency: Provided, That no judgment herein appropriated for shall be paid until it shall become final and conclusive against the United States by failure of the parties to appeal or otherwise: Provided further, That, unless otherwise specifically required by law or by the judgment, payment of interest wherever appropriated for herein shall not continue for more than thirty days after the date of approval of the Act.

21,569,856

(and indefinite)

CHAPTER X

GENERAL PROVISIONS

Sec. 901. No part of any appropriation contained in this Act shall remain available for obligation beyond the current fiscal year unless expressly so provided herein.

Sec. 902. The funds provided in the Department of Justice Appropriation Act, 1972, for Salaries and Expenses, Federal Bureau of Investigation, may be used, in addition to those uses authorized thereunder, for the exchange of identification records with officials of federally chartered or insured banking institutions to promote or maintain the security of those institutions, and, if authorized by State statute and approved by the Attorney General, to officials of State

and local governments for purposes of employment and licensing, any such exchange to be made only for the official use of any such official and subject to the same restriction with respect to dissemination as that provided for under the aforementioned Act.

Approved December 15, 1971.

LEGISLATIVE HISTORY

House REPORTS: No. 92–689 (Commission on Appropriations) and No. 92–725

(Commission of Conference).
SENATE REPORT No. 92-549 (Commission on Appropriations).
CONGRESSIONAL RECORD, volume 117 (1971):

December 2: Considered and passed House.
December 3: Considered and passed Senate, amended.
December 9: House agreed to conference report.

December 10: Senate agreed to conference report.
Grand total, all chapters:

New budget (obligational) authority

Appropriations to liquidate contract authority--- $20,096,000.
Trust funds -

$7,900,000.
By transfer

$24,759,100. Fiscal year 1971 (by transfer).

$250,000.

$3,406,385,371

NOTE:-The following tabulation is a classification by departments and establishments of new budget (obligational) authority made in the foregoing act:

[blocks in formation]

$1,587,000 21, 302, 000 (10,096,000)

(9,746, 100) 2,838, 790,000

(7,900,000)

(660,000) 24, 922, 515

$1,687,000
21, 302, 000
(10,096,000)

(9,746,100)
2,838, 790,000
(7,900,000)

(660,000)
24, 922, 515

IV

HUD, Space, Science, Veterans Adminis

tration, and other independent agencies.. Interior and related agencies

Appropriations to liquidate contract au

thority.

By transfer.
Labor, and Health, Education, and Welfare
and related agencies..

Trust funds

By transfer
Legislative branch.

(250,000) 119, 010,000 110, 354, 000

58, 294,000 (10,000,000)

(200,000)

($250,000)

By transfer.
Public Works.
Commerce and related agencies.
Transportation and related agencies.
Appropriation to liquidate contract au-

thority.

By transfer
Treasury, Postal Service, independent agen-

cies, and funds appropriated to the Presi-
dent.

By transfer..
Claims and judgments.

Grand total.

Appropriations to liquidate contract

authority. Trust funds. By transfer.

V
VI.
VII

119, 010,000
110,354, 000

58, 294, 000
(10,000,000)

(200,000)

VIII

210, 550,000
(20.153,000)
21,569, 856

IX.

3, 406, 385, 371

210, 556,000
(20, 169, 000)

21,569, 856 3, 406,385, 371

(20,096,000) (7,900,000) (25,009, 100)

(20,096,000)

(7,900,000) (24,759, 100)

(260,000)

DISTRICT OF COLUMBIA APPROPRIATION

ACT, 1972

Public Law 92-202

92nd Congress, H.R. 11932

December 18, 1971

AN ACT

Making appropriations for the government of the District of Columbia and other

activities chargeable in whole or in part against the revenues of said District for the fiscal year ending June 30, 1972, and for other purposes.

Be it enacted by the Senate and House of Representatives of the United States of America in Congress assembled, That the following sums are appropriated, out of any money in the Treasury not otherwise appropriated, for the District of Columbia for the fiscal year ending June 30, 1972, and for other purposes, namely:

FEDERAL PAYMENT TO THE DISTRICT OF COLUMBIA For payment to the following funds of the District of Columbia for the fiscal year ending June 30, 1972: $166,000,000 to the general fund; $2,572,000 to the water fund; and $1,514,000 to the sanitary sewage works fund, as authorized by the District of Columbia Revenue Act of 1947, as amended (D.C. Code, sec. 47–2501(a); 82 Stat. 612), and the Act of May 18, 1954 (D.C. Code, sec. 43–1541 and 1611).

[Total, Federal payment, $170,086,000.]

$166,000,000

2,572,000 1,514,000

LOANS TO THE DISTRICT OF COLUMBIA FOR CAPITAL OUTLAY For loans to the District of Columbia, as authorized by the Act of December 9, 1969 (83 Stat. 320), the Act of May 18, 1954 (68 Stat. 105, 110), and the Act of June 2, 1950 (64 Stat. 195), $102,086,000, which 102,086,000 together with balances of previous appropriations for this purpose,

(loan shall remain available until expended and be advanced upon request of appropriation) the Commissioner, as follows: To the highway fund, $8,000,000, to the water fund, $6,000,000, to the general fund, $72,186,000, and to the sanitary sewage works fund, $15,600,000.

[Total, Federal funds to the District of Columbia, $272,172,000.]

COMMISSION ON THE ORGANIZATION OF THE GOVERNMENT OF THE

DISTRICT OF COLUMBIA

SALARIES AND EXPENSES

For expenses necessary to carry out title I of the Act of September 22, 1970 (Public Law 91-405), as amended, establishing the Commission on the Organization of the Government of the District of Columbia, $125,000, to remain available until expended.

[Grand total, néw budget (obligational) authority, Federal funds (ali definite appropriations), $272,597,000.]

425,000

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DIVISION OF EXPENSES

The following amounts are appropriated for the District of Columbia for the current fiscal year out of the general fund of the District of Columbia, except as otherwise specifically provided :

GENERAL OPERATING EXPENSES

General operating expenses, $58,757,000, of which $596,700 shall be ($58,757,000)

$ payable from the highway fund (including $65,900 from the motor vehicle parking account), $90,200 from the water fund, and $65,700 from the sanitary sewage works fund: Provided, That the certificates of the Commissioner (for $2,500) and of the Chairman of the City Council (for $2,500) shall be sufficient voucher for expenditures from this appropriation for such purposes, exclusive of ceremony expenses, as they may respectively deem necessary: Provided further, That, for the purpose of assessing and reassessing real property in the District of Columbia, $5,000 of the appropriation shall be available for services as authorized by 5 U.S.C. 3109, but at rates for individuals not in excess of $100 per diem: Provided further, That not to exceed $7,500 of this appropriation shall be available for test borings and soil investigations: Provided further, That $1,380,000 of this appropriation (to remain available until expended) shall be available solely for District of Columbia employees' disability compensation : Provided further, That not to exceed $60,000 of this appropriation shall be available for settlement of property damage claims not in excess of $500 each and personal injury claims not in excess of $1,000 each: Provided further, That not to exceed $50,000 of any appropriations available to the District of Columbia may be used to match financial contributions from the Department of Defense to the District of Columbia Office of Civil Defense for the purchase of civil defense equipment and supplies approved by the Department of Defense, when authorized by the Commissioner.

PUBLIC SAFETY

Public safety, including employment of consulting physicians, diagnosticians, and therapists at rates to be fixed by the Commissioner; cash gratuities of not to exceed $75 to each released prisoner; purchase of one hundred and fifty-five passenger motor vehicles for replacement only (including one hundred and forty for police-type use and five for fire-type use without regard to the general purchase price limitation for the current fiscal year but not in excess of $400 per vehicle for police-type and $600 per vehicle for fire-type use above such limitation); $168,275,000, of which $5,004,600 shall be payable (168,275,000) from the highway fund (including $112,000 from the motor vehicle parking account): Provided, That the Police Department and Fire Department are each authorized to replace not to exceed five passenger carrying vehicles annually whenever the cost of repair to any damaged vehicle exceeds three-fourths the cost of the replacement.

EDUCATION

Education, including provision of insurance, maintenance, and acceptance of not to exceed thirty-one passenger motor vehicles on a loan basis for exclusive use in the driver education program, the development of national defense education programs, $171,517,000, (171,517,000) of which $125,100 shall be payable from the highway fund: Provided, That certificates of the following officials shall each be sufficient voucher for expenditures from this appropriation for such purposes

as they may respectively deem necessary within the amounts specified: Superintendent of Schools, $1,000; President of the Federal City College, $1,000; President of the Washington Technical Institute, $1,000; and President of District of Columbia Teachers College, $1,000.

Section 5533(c) of title 5, United States Code, shall not apply to compensation received by teachers of the public schools of the District of Columbia for employment in a civilian office during the period July 1, 1971, to August 31, 1971.

RECREATION

Recreation, $12,611,000.

($12,611,000)

HUMAN RESOURCES

(182,402,000)

Human resources, including reimbursement for services rendered to the District of Columbia by Freedmen's Hospital; and care and treatment of indigent patients in institutions, including those under sectarian control, under contracts to be made by the Director of Human Resources; $182,402,000: Provided, That the inpatient rate and outpatient rate under such contracts, with the exception of Children's Hospital, and for services rendered by Freedmen's Hospital shall not exceed $38 per diem and the outpatient rate shall not exceed $6 per visit; the inpatient rate and outpatient rate for Children's Hospital shall not exceed $40 per diem and $6.75 per visit; and the inpatient rate (excluding the proportionate share for repairs and construction) for services rendered by Saint Elizabeths Hospital for patient care shall be $21.99 per diem: Provided further, That total reimbursements to Saint Elizabeths Hospital, including funds from Title XIX of the Social Security Act, shall not exceed the amount for the fiscal year 1970: Provided further, That the hospital rates specified herein shall not apply, beginning July 1, 1969, to services provided to patients who are eligible for such services under the District of Columbia plan for medical assistance under Title XIX of the Social Security Act: Provided further, That this appropriation shall be available for the furnishing of medical assistance to individuals sixty-five years of age or older who are residing in the District of Columbia without regard to the requirement of one-year residence contained in the District of Columbia Appropriation Act, 1946, under the heading “Operating Expenses, Gallinger Municipal Hospital”, and this appropriation shall also be available to render assistance to such individuals who are temporarily absent from the District of Columbia : Provided further, That the authorization included under the heading Department of Public Health”, in the District of Columbia Appropriation Act, 1961, for compensation of convalescent patients as an aid to their rehabilitation is hereby extended to the Vocational Rehabilitation Administration of the Department of Human Resources: Provided further, That this appropriation shall be available for the treatment, in any institution, under the jurisdiction of the Commissioner and located either within or without the District of Columbia, of individuals found by a court to be chronic alcoholics.

HIGHWAYS AND TRAFFIC

Highways and traffic, including $160,600 for traffic safety education without reference to any other law; $600 for membership in the American Association of Motor Vehicle Administrators and $1.200 for membership in the Vehicle Equipment Safety Commission; rental of one passenger-carrying vehicle for use by the Commissioner; and purchase of forty-six passenger motor vehicles, of which forty-four shall

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