Page:United States Statutes at Large Volume 75.djvu/602

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PXJBLIC LAW 87-265-SEPT. 21, 1961

[75 S T A T.

HIGHWAYS AND TRAFFIC

Highways and Traffic, including $63,200 for traffic safety education without reference to any other law; and purchase of forty passenger motor vehicles for replacement only, of which three for use by the Commissioners shall be without regard to the statutory limitation on the purchase price of passenger-carrying motor vehicles but at a cost not to exceed $750 each in addition to the trade-in allowed for the present vehicles in use by the Commissioners; $10,818,700, of which $7,037,700 shall be payable from the highway fund and $197,500 from the motor vehicle parking fund: Provided, That this appropriation shall not be available for the purchase of driver-training vehicles. SANITARY ENGINEERING

Sanitary Engineering, including the purchase of six passenger motor vehicles for replacement only, $19,647,000, of which $190,000 shall be payable from the highway fund, $6,562,700 shall be payable from the water fund, and $3,643,100 shall be payable from the sanitary sewage works fund. PEISSONAL SERVICES, WAGE-BOARD EMPLOYEES

For pay increases and related retirement cost for wage-board employees, to be transferred by the Commissioners of the District of Columbia to the appropriations for the fiscal year 1962 from which said employees are properly payable, $1,223,000, of which $75,200 shall be payable from the highway fund, $112,800 from the water fund, and $60,700 from the sanitary sewage works fund. MISCELLANEOUS SETTLEMENT OF CLAIMS AND SUITS

For the payment of claims in excess of $250, approved by the Commissioners in accordance with the provisions of the Act of February D.c. c o d e i - 11, 1929, as amended (45 Stat. 1160; 46 Stat. 500; 65 Stat. 131), 901-1-906.

$17,188. AUDITED

D. C. C o d e 472413.

CLAIMS

For an amount for the payment of claims, certified to be due by the accounting officers of the District of Columbia, under appropriations the balances of which have been exhausted or credited to the general or special funds of the District of Columbia as provided by law (D.C. Code, title 47, sec. 130a), being for the service of the fiscal year 1960 and prior fiscal years, $44,022, together with such further sums as may be necessary to pay the interest on audited claims for refunds at not exceeding 4 per centum per annum as provided by law (Act of July 10, 1952, 66 Stat. 546, sec. 14d). CAPITAL OUTLAY

D, C. Code 8-106 note. D. C. C o d e 11103. D. C. C o d e 431540. D. C. C o d e 4 3 15 10; 40-804; 7132; 9 - 2 2 0; 4 0804.

For reimbursement to the United States of funds loaned in compliance with section 4 of the Act of May 29, 1930 (46 Stat. 482), as amended, the Act of August 7, 1946 (60 Stat. 896), as amended, the Act of May 14, 1948 (62 Stat. 235), and section 108 of the Act of May 18, 1954 (68 Stat. 103), including interest as required thereby; construction projects as authorized by the Acts of April 22, 1904 (33 Stat. 244), February 16, 1942 (56 Stat. 91), May 18, 1954 (68 Stat. 105,110), June 6, 1958 (72 Stat. 183), and August 20, 1958 (72 Stat. 686); including acquisition of sites; preparation of plans and specifications for the

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