Page:United States Statutes at Large Volume 87.djvu/340

From Wikisource
Jump to navigation Jump to search
This page needs to be proofread.

[87 STAT. 308]
PUBLIC LAW 93-000—MMMM. DD, 1973
[87 STAT. 308]

308

•^5 Stat. 343;

86 Stat. 1426 42 USC 1396

PUBLIC LAW 93-91-AUG. 14, 1973

[87 STAT.

not apply, beginning July 1, 1969, to services provided to patients who are eligible for such services under the District of Columbia plan for medical assistance under Title X IX of the Social Security Act: Provided further, That this appropriation shall be available for the furnishing of medical assistance to individuals sixty-five years of age or older who are residing in the District of Columbia: Provided further, That this appropriation shall be available for the treatment, in any institution, under the jurisdiction of the Commissioner and located either within or without the District of Columbia, of individuals found by a court to be chronic alcoholics. HIGHWAYS

AND

TRAFFIG

Highways and traffic, including $162,600 for traffic safety education; $600 for membership in the American Association of Motor Vehicle Administrators and $1,500 for membership in the Vehicle Equipment Safety Commission; rental of one passenger-carrying vehicle for use by the Commissioner; and purchase of sixteen passenger motor vehicles for replacement only; $23,460,200, of which $17,227,300 shall be payable from the highway fund (including $640,800 from the motor vehicle parking account): Provided, That this appropriation shall not be available for the purchase of drivertraining vehicles. ENVIRONMENTAL

SERVICES

Environmental services, $45,010,000, of which $11,931,100 shall be payable from the water fund, $13,629,500 from the sanitary sewage works fund, and $15,700 from the metropolitan area sanitary sewage works fund. PERSOlSrAL SERVICES

For pay increases and related retirement costs for general schedule employees, wage board employees, and Public Schools cafeteria employees to be transferred by the Commissioner of the District of Columbia to the appropriations for the fiscal year 1974 from which said employees are properly payable, $13,782,000, of which $534,400 shall be payable from the highway fund (including $6,800 from the motor vehicle parking account), $501,400 from the water fund, and $369,200 from the sanitary sewage works fund. R E P A Y M E N T OF LOANS A N D

INTEREST

For reimbursement to the United States of funds loaned in compliance with sections 108, 217, and 402 of the Act of May 18, 1954 D. c. Code 4 3 (68 Stat. 103,109, and 110), as amended; section 9 of the Act of Sep1540, 43-1616, 7-1^3.^""'"'"' tember 7, 1957 (71 Stat. 619), as amended; section 1 of the Act of D.c. Code 2June 6, 1958 (72 Stat. 183), as amended; and section 4 of the Act of D c Code 9June 12, 1960 (74 Stat. 211), including interest as required thereby, 22 0'. ' $39,633,000, of which $6,110,100 shall be payable from the highway 1623?' ^°^^ '^^' fund, $2,041,400 from the water fund, $1,436,000 from the sanitary sewage works fund, and $56,700 from the metropolitan area sanitary sewage works fund. CAPITAL

72 Stat. 15.

^^^f'y\°tz f' 220/40-804.'

OUTLAY

For reimbursement to the United States of funds loaned in compliance with the Act of August 7, 1946 (60 Stat. 896), as amended, and payments under the Act of July 2, 1954 (68 Stat. 443), construction projects as authorized by the Acts of April 22, 1904 (33 Stat. 244), May 18, 1954 (68 Stat. 105, 110), June 6, 1958 (72 Stat. 183), August 20, 1958 (72 Stat. 686), and the Act of December 9, 1969 (83