Pub. L. 90-392, tit. I, ch. III, under "District of Columbia Funds"
District of Columbia Funds
District of Columbia Funds operating expenses General Operating Expenses For an additional amount for “General operating expenses”, $1,535,558, of which $2,700 shall be payable from the highway fund (including $1,800 from the motor vehicle parking account), $900 from the water fund, and $300 from the sanitary sewage works fund: Provided, That $1,000,000 of this appropriation shall remain available until September 30, 1968, for the purpose of conducting a summer program for children and youth. Public Safety For an additional amount for “Public safety”, $6,466,076, of which $700 shall be payable from the highway fund, $200 from the water fund, and $200 from the sanitary sewage works fund. 82 Stat. 312 Education For an additional amount for “Education”, $5,690,000: Provided, That $675,000 of this appropriation shall remain available until September 30, 1968, for the purpose of conducting summer programs for children and youth. Health and Welfare For an additional amount for “Health and Welfare”, $2,214,000. Settlement of Claims and Suits For payment of claims in excess of $250, approved by the Commissioner in accordance with the provisions of the Act of February 11, 1929, as amended (45 Stat 1160; 46 Stat. 500; 65 Stat. 131), $36,800. Capital Outlay For an additional amount for “Capital outlay”, to remain available until expended, $847,000, of which $77,000 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 Commissioner. Division of Expenses The sums appropriated herein for the District of Columbia shall, unless otherwise specifically provided for, be paid out of the general fund of the District of Columbia.