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Nebraska; and $4,000,000 of these amounts shall be derived from the
Highway Trust Fund: Provided, That this appropriation shall be
available only upon enactment into law of authorizing legislation by
the Ninety-third Congress.

TERRITORIAL HIGHWAYS (LIQUIDATION OF CONTRACT
AUTHORIZATION)

For payment of obligations incurred in carrying out the provisions of title 23, United States Code, section 215, $2,500,000, to remain available until expended.

DARIEN GAP HIGHWAY

For necessary expenses for construction of the Darien Gap Highway in accordance with the provisions of section 216 of title 23 of the United States Code, $5,000,000, to remain available until expended. FEDERAL-AID HIGHWAYS (LIQUIDATION OF CONTRACT AUTHORIZATION) (TRUST FUND)

For carrying out the provisions of title 23, United States Code, which are attributable to Federal-aid highways, not otherwise provided, including reimbursement for sums expended pursuant to the provisions of section 2 of the Pacific Northwest Disaster Relief Act of 1965 (79 Stat. 131), reimbursement for sums expended pursuant to the provisions of section 21 of the Alaska Omnibus Act, as amended (78 Stat. 505), $4,315,900,000, or so much thereof as may be available in and derived from the "Highway trust fund", to remain available until expended.

FOREST HIGHWAYS (LIQUIDATION OF CONTRACT AUTHORIZATION)

For payment of obligations incurred in carrying out the provisions of title 23, United States Code, section 204, pursuant to contract authorization granted by title 23, United States Code, section 203, to remain available until expended, $8,000,000.

$2,500,000 (liquidation of contract authorization)

5,000,000

4,315,900,000 (liquidation of contract authorization)

8.000.000 (liquidation of contract authorization)

PUBLIC LANDS HIGHWAYS (LIQUIDATION OF CONTRACT

AUTHORIZATION)

For payment of obligations incurred in carrying out the provisions of title 23, United States Code, section 209, pursuant to the contract authorization granted by title 23, United States Code, section 203, $3,000,000, to remain available until expended.

[Total, Federal Highway Administration, $38,820,000.]

NATIONAL HIGHWAY TRAFFIC SAFETY

ADMINISTRATION

TRAFFIC AND HIGHWAY SAFETY

For expenses necessary to discharge the functions of the Secretary with respect to traffic and highway safety and functions under the

3,000,000 (liquidation of contract authorization)

Motor Vehicle Information and Cost Savings Act (Public Law 92-513), $14,757,000, of which $38,632,000 shall be derived from the Highway trust fund, together with $9,000,000 to be transferred from the appropriation for "Construction of Compliance Facilities": Provided. That not to exceed $14.328.000 shall remain available until expended for the contractual and State grant requirements of the Motor Vehicle Information and Cost Savings Act.

[For an additional amount of $30,335,000 for 1974 for the foregoing purposes, see p. 290.]

STATE AND COMMUNITY HIGHWAY SAFETY (LIQUIDATION OF CONTRACT
AUTHORIZATION)

For payment of obligations incurred in carrying out the provisions of title 23, United States Code, section 402, to remain available until expended, $100,000,000, of which $70,000,000 shall be derived from the Highway trust fund.

[Total, National Highway Traffic Safety Administration, $44,757,000.]

FEDERAL RAILROAD ADMINISTRATION

OFFICE OF THE ADMINISTRATOR

SALARIES AND EXPENSES

For necessary expenses of the Federal Railroad Administration, $2,900,000.

$14,757, 000 9,000,000 (by transfer)

100,000,000 (liquidation of contract authorization)

2,900,000

RAILROAD RESEARCH

For necessary expenses for conducting railroad research activities, $10,350,000, to remain available until expended.

10,350,000

RAILROAD SAFETY

For necessary expenses in connection with railroad safety, not otherwise provided for, $8.900,000, of which $1,400,000 shall be available only for additional safety inspectors.

8,900,000

GRANTS-IN AID FOR RAILROAD SAFETY

For grants-in-aid to carry out a railroad safety program, $1,500,000: Provided, That this appropriation shall be available only upon enactment of authorizing legislation by the Ninety-third Congress. HIGH-SPEED GROUND TRANSPORTATION RESEARCH AND DEVELOPMENT For necessary expenses for research, development, and demonstrations in high-speed ground transportation, $20,100,000, to remain available until expended.

REDUCTION IN APPROPRIATIONS

Appropriations heretofore granted under the head "Grants to National Railroad Passenger Corporation" are reduced by the sum of $9,100,000.

GRANTS TO THE NATIONAL RAILROAD PASSENGER CORPORATION

To enable the Secretary of Transportation to make grants to the National Railroad Passenger Corporation, $102,100,000, to remain

1,500,000

20,100,000

-9,100,000 (rescission)

102,100,000

available until expended, of which $48,100,000 shall be available only upon the enactment into law of authorizing legislation by the Ninetythird Congress: Provided, That not to exceed $500,000 is to be expended only in connection with the construction of station and related facilities to serve the Metroliner at New Carrollton, Maryland. THE ALASKA RAILROAD

ALASKA RAILROAD REVOLVING FUND

The Alaska Railroad Revolving Fund shall continue available until expended for the work authorized by law, including operation and maintenance of oceangoing or coastwise vessels by ownership, charter, or arrangement with other branches of the Government service, for the purpose of providing additional facilities for transportation of freight, passengers, or mail, when deemed necessary for the benefit. and development of industries or travel in the area served; and payment of compensation and expenses as authorized by 5 U.S.C. 8146, to be reimbursed as therein povided; and not to exceed $1,000,000 of the Fund shall be available for use in construction and engineering work on an extension of the Alaska Railroad from Fairbanks, Alaska, to the International Airport located near that city: Provided, That no employee shall be paid an annual salary out of said fund in excess of the salaries prescribed by the Classification Act of 1949, as amended, for grade GS-15, except the general manager of said railroad, one assistant general manager at not to exceed the salaries prescribed by said Act for GS-17, and five officers at not to exceed the salaries prescribed by said Act for grade GS-16.

[Total, Federal Railroad Administration_ [Appropriations

[Rescission of unobligated balance

$136,750,000.]
145, 850,000.]
-9,000,000.]

[For an appropriation of $6,000,000 for 1974 to be derived by transfer for administrative expenses of the United States Railway Associ ation, see p. 110.

URBAN MASS TRANSPORTATION ADMINISTRATION

URBAN MASS TRANSPORTATION FUND

ADMINISTRATIVE EXPENSES

For necessary administrative expenses of the urban mass transportation program authorized by the Urban Mass Transportation Act of 1964 (49 U.S.C. 1601 et seq., as amended by Public Law 91-453), in connection with the activities, including uniforms and allowances therefor, as authorized by law (5 U.S.C. 5901-5902); hire of passenger motor vehicle; and services as authorized by 5 U.S.C. 3109; $5,000,000.

RESEARCH, DEVELOPMENT, AND DEMONSTRATIONS AND UNIVERSITY
RESEARCH AND TRAINING

For an additional amount for the urban mass transportation program, as authorized by the Urban Mass Transportation Act of 1964, as amended (49 U.S.C. 1601 et seq.), to remain available until expended; $35,050,000: Provided, That $32,300,000 shall be available for research, development, and demonstrations, $2,250,000 shall be available for university research and training, and not to exceed $500,000 shall be available for managerial training as authorized under the authority of the said act.

$5,000,000

35,050,000

LIQUIDATION OF CONTRACT AUTHORIZATION

For payment to the urban mass transportation fund, for liquidation of contractual obligations incurred under authority of the Urban Mass Transportation Act of 1964 (49 U.S.C. 1601 et seq., as amended by Public Law 91-453), $380,000,000, to remain available until expended.

Total, Urban Mass Transportation Administration, $40,050,000.]

SAINT LAWRENCE SEAWAY DEVELOPMENT
CORPORATION

The Saint Lawrence Seaway Development Corporation is hereby authorized to make such expenditures, within the limits of funds and borrowing authority available to such Corporation, and in accord with law, and to make such contracts and commitments without regard to fiscal year limitations as provided by section 104 of the Government Corporation Control Act, as amended, as may be necessary in carrying out the programs set forth in the budget for the current fiscal year for such Corporation except as hereinafter provided.

LIMITATION ON ADMINISTRATIVE EXPENSES, SAINT LAWRENCE SEAWAY

DEVELOPMENT CORPORATION

Not to exceed $820,000 shall be available for administrative expenses which shall be computed on an accrual basis, including not to exceed $3,000 for official entertainment expenses to be expended upon the approval or authority of the Secretary of Transportation: Provided, That Corporation funds shall be available for the hire of passenger motor vehicles and aircraft, operation and maintenance of aircraft, uniforms or allowances therefor for operation and maintenance personnel, as authorized by law (5 U.S.Č. 5901-5902), and $15,000 for services as authorized by 5 U.S.C. 3109.

[Total, title I, Department of Transportation:
[New budget (obligational authority) –
[Appropriations (all definite) ____
Rescission of unobligated balance_
[By transfer----

[Appropriations to liquidate contract au-
thorizations

[Appropriations for debt reduction__
Limitation on administrative expenses----

$2,601,550, 006.]
2,610, 650, 006.]

TITLE II-RELATED AGENCIES

-9,100,000.] 111,900,000.]

5,046, 400, 000.]
171,994.
820,000.]

NATIONAL TRANSPORTATION SAFETY BOARD

SALARIES AND EXPENSES

For necessary expenses of the National Transportation Safety Board, $7,975,000.

CIVIL AERONAUTICS BOARD

SALARIES AND EXPENSES

For necessary expenses of the Civil Aeronautics Board, including hire of aircraft; hire of passenger motor vehicles; services as authorized by 5 U.S.C. 3109; uniforms, or allowances therefor, as authorized by law (5 U.S.C. 5901-5902); and not to exceed $1,000 for official reception and representation expenses, $14,767,000,

$380,000,000 (liquidation of contract authorization)

820,000 (limitation)

7,975,000

14,767,000

PAYMENTS TO AIR CARRIERS

For payments to air carriers of so much of the compensation fixed and determined by the Civil Aeronautics Board under section 406 of the Federal Aviation Act of 1958 (49 U.S.C. 1376), as is payable by the Board, $66,431,000, to remain available until expended. [Total, Civil Aeronautics Board, $81,198,000.]

INTERSTATE COMMERCE COMMISSION

SALARIES AND EXPENSES

For necessary expenses of the Interstate Commerce Commission, including services as authorized by 5 U.S.C. 3109, $34,750,000, of which $150,000 shall be available for valuation of pipelines: Provided, That Joint Board members and cooperating State commissioners may use Government transportation requests when traveling in connection with their duties as such.

THE PANAMA CANAL

CANAL ZONE GOVERNMENT

OPERATING EXPENSES

For operating expenses necessary for the Canal Zone Government, including operation of the Postal Service of the Canal Zone; hire of passenger motor vehicles; uniforms or allowances therefor, as authorized by law (5 U.S.C. 5901-5902); expenses incident to conducting hearings on the Isthmus; expenses of special training of employees of the Canal Zone Government as authorized by 5 U.S.C. 4101-4118; contingencies of the Governor, residence for the Governor; medical aid and support of the insane and of lepers and aid and support of indigent persons legally within the Canal Zone, including expenses of their deportation when practicable; and maintaining and altering facilities of other Government agencies in the Canal Zone for Canal Zone Government use, $59,000,000.

CAPITAL OUTLAY

For acquisition of land and land under water and acquisition, construction, and replacement of improvements, facilities, structures, and equipment, as authorized by law (2 C.Z. Code, sec. 2; 2 C.Z. Code, sec. 371), including the purchase of not to exceed fifteen passenger motor vehicles of which thirteen are for replacement only; improving facilities of other Government agencies in the Canal Zone for Canal Zone Government use; and expenses incident to the retirement of such assets; $3,500,000, to remain available until expended.

PANAMA CANAL COMPANY

CORPORATION

The Panama Canal Company is hereby authorized to make such expenditures within the limits of funds and borrowing authority available to it and in accordance with law, and to make such contracts and commitments without regard to fiscal year limitations as provided by section 104 of the Government Corporation Control Act, as amended (31 U.S.C. 849), as may be necessary in carrying out the programs set forth in the budget for the current fiscal year for

$66,431,000

34,750,000

59,000,000

3,500,000

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