SEVEN TIETH C ONGRESS . SESS. II. CH. 707. 1929 .
1631 following institutions and for not to exceed the following amounts for the fiscal years enumerated, respectively Children's Hospital : Fiscal year 1928, $14,658 ; fiscal year 19 29, Children's Hospital . $15,000. Providence Hospital : Fiscal year 1928, $952 .
Providence Hospital . Garfield Memorial Hospital : Fiscal year 1928, $1,874 .
Em ergency Hospital . Central Dispensary and Emergency Hospital : Fiscal year 192 8, mergency Hospital . $487 .80 ; fiscal year 1929, $6,300 .
Georgetown Univer- Georgetown University Hospital : Fiscal year 1928, $2,178.50 .
sity Hospital . Eastern Dispensary and Casualty Hospital : Fiscal year 19 28, C asualt y Hosp ital . $320 .35 ; fiscal year 1929, $2,100. Hospital for the Insane : For support of indigent insane of the HSaint Elizabeths Distr ict of Columb ia in Saint El izabeths Hosp ital, as prov ided by i nSu pp ort of in di gen t law, for the fiscal years that follow For 1928, $4,035 .99 ; For 1929, $145,000 . MILITIA For pay of troops other than Government employees, to be dis- bursed under the authority and direction of the commanding general, fiscal year 1929, $693 .25. Militia . Pay of troops . PUBLIC BUILDINGS AND PUBLIC PARKS OF THE NATIONAL CAPITAL
Public Buildings and P ublic Parks . For an additional amount for " Gen eral Expenses , Public Park s, M ainten ance, etc . District of Columbia, 1929," including the same objects specified under this head in the District of Columbia A ppropriation Act for the fiscal year 1929, $20,000 . WATER DEPARTMENT
Water Department . For maintenance of the Water Department distribution system, Maintenance, etc., including the same objects specified under this head in the District of distribution system . Col umbia Appropr iation Act fo r the fiscal y ear 1929, $25,000, p ay - able from the reve nues of the Wa ter Departmen t . AUDITED CLAIMS
Audited claims. For the p ayment of the following cla ims, certifie d to be due by Payment of claims certified by District the accounting officers of the District of Columbia, under appropria- accounting officers . tions the balances of which have been exhaust ed or carried to the Vol . 1s, p. 110. surplus fund under the provisions of section 5oftheActofJune U. S. Code, p. 1022. 20, 1874 (U . S . C ., p . 1022, sec. 713), being for the service of the fiscal year 1927 and prior fiscal years :
Designated objects . For Public Utilities Commission, expenses, 1926, $3 .12 ; For sites for playgrounds, 1925, $1 .25 ; For public schools- For fuel, gas, and electricity, 1925, $46 .95 ; For repairs to buildings, 1925, $92 .33 ; For Public Utilities Commission, expenses, 1925, $1.56 ; For police court, witness fees, 1925, 75 cents ; For Tuberculosis Hospital, maintenance, 1925, $5 .57 ; For workhouse, maintenance, 1925, $95 .60 ; For Metropolitan police, house of detention, 1925, 35 cents ; For mun icipal lodgin g house, maint enance, 19 25 , $7 .2 1 ; For new Eastern High School, $97.50 ; For courts, District of Columbia, opinions, Court of Appeals, 1922, $143 ; For public schools, contingent expenses, 1924, $12 ; For water department, maintenance and operation, 1923 (to be paid from revenues of the water department), $19.80 ;