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LEGISLATIVE HISTORY
HOUSE REPORT No. 92–144 (Committee on Appropriations).
SENATE REPORT No. 92–77 (Committee on Appropriations).
CONGRESSIONAL RECORD, Vol. 117 (1971):

April 22: Considered and passed House.
April 23 : Considered and passed Senate, amended.
April 27 : House concurred in Senate amendments.

Grand total, all chapters:
New budget (obligational) authority--

$1,037,872,000

By transfer---NOTE.—The following tabulation is a classification by chapters of new budget (obligational) authority made in the foregoing act:

13,000,000

Chapter

Department or establishment

Amount

I.
II
MI.

($19.000.000)
735, 979,000

IV
V

Department of Defense-Military (by transfer).
Veterans Ariministration.
Departments of Labor, and Health, Education, and Welfare, and related

agencies.
Small Business Administration
Funds appropriated to the President

Grand total.

By transfer

11,893, 000 265,000,000 25,000,000

1,037, 872,000

(13,000,000)

SECOND SUPPLEMENTAL APPROPRIATIONS

ACT, 1971

Public Law 92-18 92nd Congress, H.R. 8190

May 25, 1971

AN ACT

Making supplemental appropriations for the fiscal year ending June 30, 1971,

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, to supply supplemental appropriations (this Act may be cited as the "Second Supplemental Appropriations Act, 1971") for the fiscal year ending June 30, 1971, and for other purposes, namely:

TITLE I

CHAPTER I

DEPARTMENT OF AGRICULTURE

COOPERATIVE STATE RESEARCH SERVICE

PAYMENTS AND EXPENSES

$1,000,000

For an additional amount of $1,000,000 for contracts and grants for scientific research under the Act of August 4, 1965 (7 U.S.C. 450(i)), to remain available until expended.

CONSUMER AND MARKETING SERVICE

CONSUMER PROTECTIVE, MARKETING, AND REGULATORY PROGRAMS For an additional amount for "Consumer protective, marketing, and regulatory programs”, including not to exceed $915,000 for reimbursement to the grading trust fund

for costs incurred in implementation of the Egg Products Inspection Act (Public Law 91-597, approved December 29, 1970), $3,379,000.

3,379,000

FOOD AND NUTRITION SERVICE

FOOD STAMP PROGRAM

250,000,000

For an additional amount for “Food stamp program", $250,000,000, of which $35,000,000 shall be available for the approximately 147 counties which have been duly qualified but have not been included in the Food Stamp Program: Provided, That any unobligated balance of this appropriation shall be merged with the appropriation provided under

this head for the fiscal year 1972.

AGRICULTURAL STABILIZATION AND CONSERVATION SERVICE

DAIRY AND BEEKEEPER INDEMNITY PROGRAMS

For indemnity payments to beekeepers, as authorized by section 804 of the Agricultural Act of 1970, $3,500,000, to remain available until expended.

$3,500,000

FARMERS HOME ADMINISTRATION

EMERGENCY CREDIT REVOLVING FUND

65,000,000

For an additional amount for the “Emergency credit revolving fund”, as anthorized by the Act of August 8, 1961 (7 U.S.C. 1967), $65,000,000, to remain available until expended. [Total, Department of Agriculture, $322,879,000.]

RELATED AGENCIES

ENVIRONMENTAL PROTECTION AGENCY

OPERATIONS, RESEARCH, AND FACILITIES

For an additional amount for "Operations, research, and facilities", for necessary expenses of the Environmental Protection Agency, including hire of passenger motor vehicles; hire, maintenance, and operation of aircraft; services as authorized by 5 U.S.C. 3109, but at rates for individuals not to exceed the per diem rate equivalent to the rate for GS-18; purchase of reprints; library memberships in societies or associations which issue publications to members only or at a price to members lower than to subscribers who are not members; $13,000,000, to remain available until expended.

13,000,000

NATIONAL COMMISSION ON MATERIALS POLICY

SALARIES AND EXPENSES

50,000

For expenses necessary to carry out the provisions of title II of the Act of October 26, 1970 (84 Stat. 1234-1235), $50,000.

[Total, related agencies, $13,050,000.]

[ Total, chapter 1, new budget (obligational) authority, $335,929,000.]

CHAPTER II

DEPARTMENT OF DEFENSE-MILITARY

RETIRED MILITARY PERSONNEL

RETIRED PAY, DEFENSE

For an additional amount for “Retired pay, Defense,” $166,400,000.

166,400,000

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For an additional amount for “Federal payment to the District of Columbia”, for the general fund of the District of Columbia, $22,206,000.

DISTRICT OF COLUMBIA Funds

$22,206,000

GENERAL OPERATING EXPENSES

For an additional amount for "General operating expenses", $2,557,035.

(2,557,035)

PUBLIC SAFETY

For an additional amount for “Public safety”, $2,806,000.

(2,806,000)

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For an additional amount for "Human resources", $1,512,000.

(4,512,000)

HIGHWAYS AND TRAFFIC

For an additional amount for “Ilighways and traffic”, $525,000.

(525,000)

BANITARY ENGINEERING

For an additional amount for "Sanitary engineering", $132,500, of which $132,500 shall be payable from the water fund.

(132,500)

SETTLEMENT OF CLAIMS AND SUITS

For an additional amount for "Settlement of claims and suits", $35,409.

CAPITAL OUTLAY

(35,409)

(2,988,393)

For an additional amount for “Capital outlay", to remain available until expended, $2,988,393, of which $1,285,000 shall be payable from the highway fund and $350,000 from the sanitary sewage works fund: Provided, That $124,000 shall be available for construction services by the Director of General Services or by contract for architectural engineering services, as may be determined by the Commissioner.

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