Page:United States Statutes at Large Volume 58 Part 1.djvu/175

 78TH CONG., 2D SESS.-CH. 152-APR. 1, 1944 specified in the appropriation for this purpose in the District of Columbia Appropriation Act, 1944, $1,527.86. 67Stat. 317. Printing and binding: For an additional amount for printing and Pt ' P 60i . binding, fiscal year 1944, $7,055. Streetcar and bus fares: The limitation of $20,150, under the head- ing "Contingent and miscellaneous expenses" in the District of Colum- bia Appropriation Act, 1944, upon the amount which the Commis- 67Stat.31& sioners are authorized to expend for the purchase of streetcar and bus fares, is hereby increased to $23,150. SEWERS Cleaning and repairing sewers: For an additional amount for cleaning and repairing sewers and basins, fiscal year 1944, including the objects specified in the appropriation for this purpose in the District of Columbia Appropriation Act, 1944, $33,900. 57 stat.320. POLICEMEN AND FIREMEN'S RELIEF For an additional amount to pay the policemen and firemen's relief and other allowances as authorized by law, fiscal year 1944, $90,000. THE MUNICIPAL COURT OF ApPEALS FOR TiHE DISTRICT OF COLUMBIA Salaries and expenses: For an additional amount for personal services and all necessary expenses, other than printing and binding, and so forth, fiscal year 1943, $37.93. NATIONAL CAPITAL PARKS General expenses, public parks: For an additional amount for gen- eral expenses, public parks, fiscal year 1944, including the objects specified under this head in the District of Columbia Appropriation 7 stat.338. Act, 1944, $60,000. JUDGMENTS For the payment of final judgments, including costs, rendered against the District of Columbia, as set forth in House Document Numbered 412 of the present Congress, together with such further sum as may be necessary to pay the interest at not exceeding 4 per centum per annum on such judgments, as provided by law, from the date the same became due until the date of payment, $5,315.07. AUDITED CLAIMS For the payment of claims, certified to be due by the accounting officers of the District of Columbia, under the appropriations listed below, the balances of which have been exhausted or carried to the surplus fund under the provisions of section 5 of the Act of June 20, 1874 (31 U. S . C . 713), being for the service of the fiscal year 1941 18 Stat- and prior fiscal years, as follows: Free Public Library, binding, District of Columbia, 1941, $114.04; General advertising, District of Columbia, 1941, $131.70; District offices, expenses, District of Columbia, 1941, 26 cents; Sewage treatment plant, maintenance, District of Columbia, 1941, $760.89; Public schools, expenses, District of Columbia, 1941, $177.62; Public schools, repairs and improvements, buildings and grounds, District of Columbia, 1941, $86.44; Health Department, medical services, District of Columbia, 1941, $2.20; Department of Vehicles and Traffic, expenses, highway fund, Dis- trict of Columbia, 1941, $40.61; 155 58 STAT.]

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