Page:United States Statutes at Large Volume 20.djvu/149

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124 FORTYFIFTH CONGRESS. Sess. II. Ch. 191. 1878. and thirty-three cents; to John Hanley, seven thousand four hundred and thirty-nine dollars and seventy-three cents; to P. Lorillard and Company, twentyeight thousand five hundred dollars; to naval hospital fund, four thousand nine hundred and nine dollars and eighty-nine cents; also, on account of clothing indebtedness, one hundred and fifty thousand dollars; in all, two hundred and twentythree thousand eight hundred and ninety-eight dollars and eighty cents. Clerks. To pay two clerks of class one in the Bureau of Equipment and Recruiting, Navy Department, for the year ending June thirtieth, eighteen hundred and seventy-eight, two thousand tour hundred dollars. POST-OFFICE DEPARTMENT. Postmasters’ com- To meet a deficiency that may occur in the appropriation for compen- P¤¤8Mi¤¤· sation of postmasters, for the fiscal year ending June thirtieth, eighteen hundred and seventy-eight, four hundred thousand dollars, or so much thereof as may be necessary. Texas n¤d_ New For amount to pay balance due Texas and New Orleans Railroad g'l°*‘“° R“*1'°“d Company for carrying United States mails on route eight thousand five °‘ hundred and one, five hundred and seventy-seven dollars and sixteen cents; the same having been audited by the Sixth Auditor and estimated for and recommended by the Secretary of the Treasury as a deficiency for eighteen hundred and seventy-one, and prior years, in Executive Document number forty-tive, made to first session of Forty-fifth Congress. _y_ g_gp,,,d,,m,;,,_ To pay J. C. Clendennin, for carrying the mails in North Carolina in eighteen hundred and sixty-seven, the sum of one hundred and one dollars; being a deficiency for the year eighteen hundred —- Rcvtmuesarpost- To meetadeliciency that may occur in the revenues of the Post-Oiiice Office D¤p¤¤‘tm¤¤t· Department, for the fiscal year ending June thirtieth, eighteen hundred and seventy-eight, five hundred and fifty thousand dollars, or so much thereof as may be necessary. HOUSE OF REPRESENTATIVES. J.J·Sp¤lI¤¤¤¤· To pay James J. Spellman amount due him as page for the Doorkeeper’s office from March first to October fifteenth, eighteen hundred and seventy-seven, as approved by the Committee on Accounts, live hundred and seventy-two dollars and fifty cents. W. Douglas. To pay William Douglas for services as laborer from October fifteenth to October thirtieth, eighteen hundred and seventy-seven, thirty-three dollars and twenty-six cents; and from December fourth, eighteen hundred and seventyseven, to June thirtieth, eighteen hundred and seventy-eight, four hundred and fourteen dollars and seventy-eight cents; in all, four hundred and forty-eight dollars and four cents. C. Christian. To Charles Christian, for services as laborer in the office of the Sergeant-at-Arms from March first, eighteen hundred and seventy-seven, to June thirtieth, eighteen hundred and seventy-eight, eight hundred dollars. SMITHSONIAN INSTITUTION. T¤*¤¤P°¥*¤¤¤i<>¤°f To repay the Smithsonian Institution expenses incurred in the transd°fgé'§°;2;‘,2 portation of public documents under the joint resolution approved July 15 S{,,,__265_ twenty-fifth, eighteen hundred and sixty-eight, one thousand seven hundred and eighty-one dollars. Balances carried Sec. 2. That the following balances of appropriations, carried to the te ¤¤*P]9¤ {Md surplus fund under the provisions of the fifth section of the act approved “"}g§’_,";,:'g‘g°‘ June twentieth, eighteen hundred and seventy-four, being required to 18 S{,,,t_;1w{ complete the service of the fiscal year eighteen hundred and seventy- five, and prior years, are hereby continued and rendered available ior such purpose, namely: G- Br<>w¤· For amount due George Brown (of Minnesota), two hundred dollars;