Page:United States Statutes at Large Volume 104 Part 3.djvu/930

 104 STAT. 2282 PUBLIC LAW 101-520—NOV. 5, 1990 (13) of the amount appropriated for "Architect of the Capitol" under the paragraph entitled "Library Buildings and Grounds", "Structural and Mechanical Care", as set forth in title II, $5,000,000 shall be unavailable for obligation or expenditure in such fiscal year; (14) of the amount appropriated for "Government Printing Office" under the paragraph entitled "Office of Superintendent of Documents", "Salaries and Expenses", as set forth in title II, $755,000 shall be unavailable for obligation or expenditure in such fiscal year; (15) of the amount appropriated for "General Accounting Office" under the paragraph entitled "Salaries and Expenses', as set forth in title II, $3,968,000 shall be unavailable for obligation or expenditure in such fiscal year; (b) Any amount made unavailable for obligation or expenditure in fiscal year 1991 by subsection (a) shall remain available for obligation or expenditure (for that same purpose) in fiscal year 1992. SEC. 313 (a) Section 116(d) of the John C. Stennis Center for Public Service Training and Development Act (2 U.S.C. 1105(d)) is amended to read as follows: "(d) PROCEEDS FROM CERTAIN TRANSACTIONS CREATED TO FUND.— In addition to the appropriations received pursuant to section 121, the interest on, and the proceeds from the sale or redemption of, any obligations held in the fund pursuant to section 119(a), shall be credited to and form a part of the fund.". (b) Section 117(a) of such Act (2 U.S.C. 1106(a)) is amended to read as follows: "(a) IN GENERAL.— The Secretary of the Treasury is authorized to pay to the Center from the interest and earnings of the fund, and moneys credited to the fund pursuant to section 119(a), such sums as the Board determines are necessary and appropriate to enable the Center to carry out the provisions of this subtitle.". (c) Section 119(a) of such Act (2 U.S.C. 1108(a)) is amended— (1) by deleting "and" at the end of paragraph (6); and (2) by deleting paragraph (7) and inserting in lieu thereof the following: "(7) make expenditures for official reception and representation expenses as well as expenditures for meals, entertainment and refreshments in connection with official training sessions or other authorized programs or activities; "(8) apply for, receive and use for the purposes of the Center grants or other assistance from Federal sources; "(9) establish, receive and use for the purposes of the Center fees or other charges for goods or services provided in fulfilling the Center's purposes to persons not enumerated in section 115(b); "(10) invest, as specified in section 116(b), moneys authorized to be received under this section; and "(11) make other necessary expenditures.". SEC. 314. The funds appropriated to the Clerk of the House in the Fiscal Year 1986 Urgent Supplemental Appropriations Act, Public Law 99-349, and subsequently transferred to the Architect of the Capitol pursuant to the Legislative Branch Appropriations Act, 1989, Public Law 100-458 for Capitol Complex Security Enhancements shall be withheld from obligation and disbursement until September 30, 1991 and pursuant to section 202 of Public Law 100-119, this action is a necessary (but secondary) result of a signifi-

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