Page:United States Statutes at Large Volume 85.djvu/712

 682

PUBLIC LAW 92-202-DEC. 18, 1971

[85 STAT.

Public Law 92-202 AN ACT December 18, 1971

[H. R, 11932]

Making appropriations for the government of the District of Columbia and other activities chargeable in whole or in part against the revenues of said District for the fiscal year ending June 30, 1972, and for other purposes.

v e it enacted by the Senate and House of Representatives of the District of United States of America in Congress assembled, That the following Columbia Appropriation Act, 1972. sums are appropriated, out of any money m the Treasury not otherwise appropriated, for the District of Columbia for the fiscal year ending June 30, 1972, and for other purposes, namely: FEDERAL PAYMENT TO THE DISTRICT OF COLUMBIA

Ante. p. 654. los! ^*^'* ^°^'

For payment to the following funds of the District of Columbia for the fiscal year ending June 30, 1972: $166,000,000 to the general fund; $2,572,000 to the water fund; and $1,514,000 to the sanitary sewage works fund, as authorized by the District of Columbia Revenue Act of ^947^ ^s amended (D.C. Code, sec. 47-2501 (a); 82 Stat. 612), and the -^^^ ^^ ^ ^ y ^^' ^^^^ (^•^- ^^^^' ^^- 43-1541 and 1611). LOANS TO THE DISTRICT OF COLUMBIA FOR CAPITAL OUTLAY

For loans to the District of Columbia, as authorized by the Act of D. C. Code 1 December 9, 1969 (83 Stat. 320), the Act of May 18, 1954 (68 Stat. 105, 1441 note. 110), and the Act of June 2, 1950 (64 Stat. 195), $102,086,000, which D. C. Code 431604. together with balances of previous appropriations for this purpose, D!c.*^code 7-133. shall Tcmain available until expended and be advanced upon request of D.C. Code 43- the Commissioner, as follows: To the highway fund, $8,000,000, to the ^5^*°'

w a t e r fund, $6,000,000, to the g e n e r a l fund, $72,486,000, and to the s a n i t a r y sewage w o r k s fund, $15,600,000. COMMISSION O N THE ORGANIZATION OF THE G O V E R N M E N To r THE D I S T R I C T OF C O L U M B I A SALARIES A N D EXPENSES

For expenses necessary to carry out title I of the Act of Septemn'*r?*o*ll^V_ino ^^"^ 2^5 l^'^'O (Public Law 91-405), as amended, establishing the D.C, Code 1-102 Commission on the Organization of the Government of the District note. of Columbia, $425,000, to remain available until expended. DIVISION OF EXPENSES

The following amounts are appropriated for the District of Columbia for the current fiscal year out of the general fund of the District of Columbia, except as otherwise specifically provided: GENERAL OPERATING EXPENSES

General operating expenses, $58,757,000, of which $596,700 shall be payable from the highway fund (including $65,900 from the motor vehicle parking account), $90,200 from the water fund, and $65,700 from the sanitary sewage works fund: Provided, That the certificates of the Commissioner (for $2,500) and of the Chairman of the City Council (for $2,500) shall be sufficient voucher for expenditures from this appropriation for such purposes, exclusive of ceremony expenses, as they may respectively deem necessary: Provided further. That, for the purpose of assessing and reassessing real property in the District of Columbia, $5,000 of the appropriation shall be available for

�