Page:United States Statutes at Large Volume 95.djvu/1201

 PUBLIC LAW 97-91—DEC. 4, 1981

95 STAT. 1175

Fund is established and that no revenues from Federal sources shall be used to support the operations of the Lottery and Charitable Games Control Board: Provided further, That the level of administrative expenses to be incurred by the Board shall be appropriated in the l3istrict's general fund budget as a transfer from locally generated revenues; administrative expenses being defined as all anticipated expenses of the Board for the coming fiscal year excluding moneys necessary for the payments of prizes to the winners of the games specified in D.C. Law 3-172: Provided further, That the Board shall have the authority to expend, from revenues generated by its operations, funds necessary for the payments of prizes: Provided further. That the annual expenses for prizes and administration of the Board shall not exceed resources available to the Board from appropriated authority or revenues generated by the operations of the Board: Provided further. That all revenues received by the Board in excess of the funds used by the Board for prize money in a given month shall be transferred to the general fund from the Lottery and Charitable Games Enterprise Fund through a general operating transfer, promptly after the first of the month for the preceding month: Provided further. That the Board may establish a reserve not to exceed 2 percent of projected annual prize payments to provide for prizes awarded in any month which may exceed the revenue generated during that month: Provided further. That the Mayor may approve a change in the reserve limit, as necessary, upon the request of the Board: Provided further. That the financial operations of the Board with respect to the amount appropriated for administrative expenses shall be in accordance with all laws, regulations, and policies of the District of Columbia government regarding appropriated funds: Provided further. That for the fiscal year ending September 30, 1982, and for each fiscal year thereafter, the District of Columbia Auditor shall conduct a comprehensive audit on the financial status of the Fund, including but not limited to all appropriations, revenues, and transfers to the Fund, and provide such report to the Mayor, Chairman of the District of Columbia Council, and to the Subcommittees on District of Columbia Appropriations of the House of Representatives and the Senate: Provided further. That in addition to current restrictions, advertising on public transportation and at stations and stops is prohibited: Provided further. That the advertising, sale, operation, or playing of the lotteries, raffles, bingos, or other games authorized by D.C. Law 3-172 is prohibited on the Federal enclave, and in adjacent public buildings and land controlled by the Shipstead-Luce Act as amended by 53 Stat. 1144, as well as in the Old Georgetown Historic District: Provided further. That the Board shall make an annual report to the Subcommittees on District of Columbia Appropriations of the House of Representatives and the Senate at the end of each year detailing the receipts and disbursements of the Board and summarizing measures of regulation and enforcement enacted as well as other information and recommendations deemed of value or which may be requested. PUBLIC SAFETY AND JUSTICE

Public safety and justice, including purchase of one hundred and thirty-five passenger motor vehicles for replacement only (including one hundred and thirty for police-type use and five for fire-type use without regard to the general purchase price limitation for the current fiscal year), $366,396,200, of which $5,539,000 shall be payable from the revenue sharing trust fund: Provided, That the Police

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