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PUBLIC LAW 87-265-SEPT. 21, 1961

[75

ST A T.

Public Law 87-265 September 21, 1961 [H. R. 8072]

AN ACT Making appropriations for the government of the District of Columbia and other activities chargeable in vphole or in part against the revenues of said District for the fiscal year ending June 30, 1962, and for other purposes.

FEDERAL P A Y M E N T TO D I S T K ICT OF C O L U M B I A District of C o lumbia Appropriation Act, 1962.

68 Stat. 104. D. C. C o d e 431602.

D. C. C o d e 431540; D. C. Code 9-220.

Be it enacted by the Senate and House of Representatives of the United States of America in Congress assetribted^ That there are appropriated for the District of Columbia for the fiscal year ending June 30, 1962, out of (1) the general fund of the District of Columbia (unless otherwise herein specifically provided), hereinafter known as the general fund, such fund being composed of the revenues of the District of Columbia other than those applied by law to special funds, and $30,000,000, which is hereby appropriated for the purpose out of any money in the Treasury not otherwise appropriated (to be advanced July 1, 1961), (2) the highway fund (when designated as payable therefrom), established by law (D.C. Code, title 47, ch. 19), (3) the water fund (when designated as payable therefrom), established by law (D.C. Code, title 43, ch. 15), and $1,855,000, which is hereby appropriated for the purpose out of any money in the Treasury not otherwise appropriated (to be advanced July 1, 1961), (4) th3 sanitary sewage works fund (when designated as payable therefrom), established by law (Public Law 364, 83d Congress), and $898,000, which is hereby appropriated for the purpose out of any money in the Treasury not otherwise appropriated (to be advanced July 1, 1961), and (5) the motor vehicle parking fund (when designated as payable therefrom), established hj law (D.C. Code, title 40, ch. 8), sums as shown herein; and there is hereby appropriated, out of any money in the Treasury not otherwise appropriated, $29,000,000, which, together with balances of previous appropriations for this purpose, ^ a l l remain available until expended, for loans authorizsd by the Act of May 18, 1954 (68 Stat. 101), and the Act of June 6, 1958 (72 Stat. 183), to be advanced upon request of the Commissioners to the following funds: general fund, $20,400,000, of which $3,600,000 shall be available for the financing of appropriations made for capital outlay during prior fiscal years, and sanitary sewage works fund, $8,600,000. OPERATING EXPENSES For expenses necessary for functions under this general head: GENERAL OPERATING EXPENSES

General operating expenses, plus so much as may be necessary to compensate the Engineer Commissioner at a rate equal to each civilian member of the Board of Commissioners of the District of Columbia, hereafter in this Act referred to as the Commissioners; $15,409,760, of which $290,000 (to remain available until expended) shall be available solely for District of Columbia employees' disability compensation and $113,000 shall be payable from the highway fund, $23,900 from the water fund, $6,400 from the sanitary sewage works fund, and $48,000 from the motor vehicle parking fund: Provided, That the certificate of the Commissioners shall be sufficient voucher for the expenditure of $2,600 of this appropriation for such purposes, exclusive of ceremony expenses, as they may deem necessary.

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