Page:United States Statutes at Large Volume 93.djvu/748

 93 STAT. 716

PUBLIC LAW 96-93-OCT. 30, 1979 of this appropriation shall be available for the fiscal year 1979 Metrobus operating subsidy. ENVIRONMENTAL SERVICES AND SUPPLY

Environmental services and supply, $78,297,800, of which $1,500,000 shall be payable from the revenue sharing trust fund: Provided, That this appropriation shall not be available for collecting ashes or miscellaneous refuse from hotels and places of business or from apartment houses with four or more apartments, or from any building or connected group of buildings operating as a rooming or boarding house as defined in the housing regulations of the District of Columbia. PERSONAL SERVICES

For pay increases and related costs, to be transferred by the Mayor of the District of Columbia to the appropriations for the fiscal year 1980 from which employees are properly payable, $58,354,500. REPAYMENT OF LOANS AND INTEREST

?oS- S?®. 43-1616 note' 7-133 ' D.C. Code 2-1727. n o KT 43-i6^^ D.C. Code 9-220 note and 47-241 note.

For reimbursement to the United States of funds loaned in compliance with the Act of August 7, 1946 (60 Stat. 896), as amended; sections 108, 217, and 402 of the Act of May 18, 1954 (68 Stat. 103,109, and 110), as amended; the Act of July 2, 1954 (68 Stat. 443); section 9 of ^^® ^^^ ^^ September 7, 1957 (71 Stat. 619), as amended; section 1 of the Act of June 6, 1958 (72 Stat. 183), as amended; section 4 of the Act of June 12, 1960 (74 Stat. 211), as amended; and section 723 of the District of Columbia Self-Government and Governmental Reorganization Act (Public Law 93-198), as amended, including interest as required thereby, $120,457,300. CAPITAL OUTLAY

For construction projects a s authorized by the Acts of April 22, 1904 D.C. Code (33 Stat. 244), May 18, 1954 (68 Stat. 105, 110), June 6, 1958 (72 Stat. 43-1510L 183), August 20, 1958 (72 Stat. 686), and the Act of December 9, 1969 43-i&^7-l32 ^^^ ^^a^- ^^^^» including acquisition of sites; p r e p a r a t i o n of plans and 7-133 note. ' specifications; conducting p r e l i m i n a r y survej's; erection of strucD.C. Code 9-220. tures, including building improvement and alteration and t r e a t m e n t D-C. Code of grounds; to r e m a i n available until expended, $157,531,300: ProD C Onie vided, That $5,378,100 shall be available for construction services by 1-1443. the Director of the Department of General Services or by contract for architectural engineering services, as may be determined by the Mayor, and the funds for the use of the Director of the Department of General Services shall be advanced to the appropriation account "Construction Services, Department of General Services": Provided further, That the amount appropriated to the Construction Services Fund, Department of General Services, be limited, during the current fiscal year, to ten per centum of appropriations for all construction projects, except for Project Numbered 24-99, Permanent Improvements, for which construction services shall be limited to twenty per centum of the appropriation: Provided further. Notwithstanding the foregoing, all authorizations for capital outlay projects, except those projects covered by the first sentence of section 23(a) of the FederalD.C. Code 7-135 Aid Highway Act of 1968 (Public Law 90-495, approved August 23, "°*®1968), for which funds are provided by this paragraph, shall expire on September 30, 1981, except authorizations for projects as to which

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