Page:United States Statutes at Large Volume 77.djvu/870

 B38

PUBLIC LAW 88-25e-DEC. 30, 1963 CAPITAL

[77 STAT.

OUTLAY

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 D.c. Code 11- Act of May 14, 1948 (62 Stat. 235); construction projects as author^°nV r H A^ ized by the Acts of April 22, 1904 (33 Stat. 244), February 16, 1942 isio;4o°8oV (56 Stat. 91), May 18, 1954 (68 Stat. 105), June 6, 1958 (72 Stat. 183), 7-133; 9-220. and August 20, 1958 (72 Stat^ 686); including acquisition of sites; preparation of plans and specifications for the following buildings and facilities: Raymond Elementary School addition, new junior high school in the vicinity of 16th and Irving Streets Northwest, new junior high school in the vicinity of Bruce and Robinson Streets Southeast, new elementary school in the vicinity of Wheeler Road and Mississippi Avenue Southeast, West End Branch Library, Washington Cottage addition at the Maple (Jlen School and Industrial Arts Building at the Youth Center; and elementary school in the vicinity of 17th and E Streets, Northeast; for conducting preliminary surv^eys for the construction of a juvenile facility, and the installation of a sprinkler system at the District of Columbia J a i l; erection of the following structures, including building improvement and alteration and the treatment of grounds: Rudolph Elementary School addition, Hendley Elementary School addition, Kimball Elementary School addition, heating plant addition at the District of Columbia Village, Rabaut Junior High School, North Dakota and Kansas Avenues Northwest, Roper Junior High School, 48th and Meade Streets Northeast, Hine Junior High School replacement, Bunker Hill Elementary School addition, Southwest Branch Library, I^ngine Company Number 18 replacement, Dog Pound replacement, a children's cottage at the Junior Village, street cleaning tool houses replacement; $388,000 for the purchase of equipment for new school buildings; to remain available until expended, $46,536,500, of which $6,700,000 shall not become available for expenditure until July 1, 1964, $10,755,400 shall be payable from the highway fund, $2,970,000 shall be payable from the water fund, and $8,674,000 shall be payable from the sanitary sewage works fund, and $1,199,600 shall be available for construction services by the Director of Buildings and Grounds or by contract for architectural engineering services, as may be determined by the Commissioners, and the funds for the use of the Director of Buildings and Grounds shall be advanced to the appropriation account, "Construction services, Department of Buildings and Grounds": Provided, That $228,271 of funds heretofore appropriated under the heading "Capital Outlay, Public Building Construction" in the District of Columbia 74 Stat. 26. xlppropriation Act, 1961, is hereby rescinded: Provided further. That not to exceed $49,000 of funds heretofore appropriated under the heading "Capital Outlay, Washington Aqueduct," in such Act shall be available for improvements at the Dalecarlia Plant. GENERAL PROVISIONS Vouchers.

SEC. 2. Exccpt as otherwise provided herein, all vouchers covering expenditures of appropriations contained in this Act shall be audited before payment by the designated certifying official and the vouchers as approved shall be paid by checks issued by the designated disbursing official without countersignature. Maximum amount. SEC. 3. Wheucver in this Act an amount is specified within an appropriation for particular purposes or object of expenditure, such amount, unless otherwise specified, shall be considered as the maximum amount which may be expended for said purpose or object rather than an amount set apart exclusively therefor.

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