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66TH CONGRESS, 3d Session.

SENATE.

{

REPORT No. 677.

DISTRICT OF COLUMBIA APPROPRIATION BILL, 1922.

JANUARY 6 (calendar day, JANUARY 8), 1921.-Ordered to be printed.

Mr. CURTIS, from the Committee on Appropriations, submitted the following

REPORT.

[To accompany H. R. 15130.]

The Committee on Appropriations, to whom was referred the bill (H. R. 15130) making appropriations to provide for the expenses of the government of the District of Columbia for the fiscal year ending June 30, 1922, and for other purposes, report the same to the Senate with various amendments, and present herewith information relative to the changes recommended and comparative results of same, as follows:

DISTRICT OF COLUMBIA, 1922.

Amount of bill as passed House..........

Decrease (net) of bill proper by Senate committee.....

Amount of bill proper as reported to Senate...

Increase recommended by Senate committee for emergency items to be paid one-half from the surplus revenues of the District of Columbia....

Amount of bill as reported to the Senate....

Amount of estimates for 1922, regular and supplemental.......

The bill as reported to the Senate is less than the regular and supplemental estimates for 1922..

$19, 807, 012. 99

66, 349. 13

19, 740, 663. 86

2,276, 500.00

22, 017, 163.86

25, 039, 044.99

3,021, 881. 13

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Health Department:

Special services in detection of adulteration of drugs and foods...

$100.00

Repairs to contagious-disease ward in Garfield Memorial
Hospital.....

5,000.00

Repairs to contagious-disease ward in Providence Hospital...

3,000.00

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Temporary Home for ex-Union Soldiers and Sailors......

National Library for the Blind..

500.00

31, 500.00

1,000.00

5,000.00

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Washington Aqueduct..

Maintenance, Water Department.....

Water main between Chevy Chase Circle, Georgia Avenue,

and Elder Street, NW...

Total, water service...

20,000.00

20,000.00

160, 000. 00

200, 000. 00

Emergency appropriations, one-half to be paid from
surplus appropriations:

School buildings, building for office of the Recorder of Deeds,
Municipal stables, storehouses, and asphalt plant, play-
grounds, street lighting, nurses' home at Tuberculosis
Hospital, parks, sites for feeble-minded institution, and
Industrial Home School...

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Contingent and miscellaneous expenses:

Printing annual and special reports...

Court of Appeals Building.....

Total, contingent and miscellaneous expenses.

Improvements and repairs:

Paving, repaving, grading, and improving streets...

Opening, widening, and extending streets, avenues, and roads (from specific to an indefinite appropriation).....

Sewers:

Total, improvements and repairs.

Upper Potomac interceptor.

Schools:

$2,276, 500.00 2, 762, 390. 87

$1,200.00

1,400.00

6,000.00

300.00

8,900,00

5,000.00

16,000.00

21,000.00

108, 340.00

50,000.00

158, 340. 00

4,000.00

Buildings and grounds (net).......

Fire department:

Forage.......

Courts and prisons:

Support of convicts.....

253,000.00

3,000.00

35,000.00

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