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11.1 11.3 11.5
General and special funds:
REPAYABLE ADVANCES TO THE HIGAWAY Trust Fund For repayable advances to the "Highway trust fund" during the current fiscal year, as authorized by section 209(d) of the Highway Revenue Act of 1956 (70 Stat. 899), $250,000,000.
A temporary advance to the Highway trust fund will be required during 1966 because expenditures during the first half of the year will exceed available revenues. The deficiency is expected to reach a maximum of $250 million by December 31, 1965. Thereafter receipts will begin to exceed expenditures and will be adequate to repay the advances with interest prior to June 30, 1966.
438 20 46 1
5 2,223 225
5 2,429 225
Under proposed legislation, 1966.-Funds in the amount of $20 million will be needed to finance technical research, tests, and demonstrations of high-speed ground transportation in the Northeast Corridor (Boston-Washington) under proposed legislation which would authorize thé Secretary of Commerce to conduct research in this field to improve the efficiency and economy of intercity passenger transportation.
ADVANCES AND REIMBURSEMENTS
Program and Financing (in thousands of dollars)
Identification code 06-80-3900-0-4-506
On July 19, 1963, Public Law 88-67 repealed the Inland Waterways Corporation Act, and directed the Secretary of Commerce to pay into the Treasury, as miscellaneous receipts, all future receipts and all remaining funds of the Corporation.
During 1964, all known liabilities were paid, and the contingent liability for one suit remaining in the courts will become payable, if plaintiff should be successful, out of funds appropriated as required to pay judgments.
The corporate fund balance has been returned to the Treasury, and current collections are being deposited as miscellaneous receipts. The purchaser repaid the outstanding principal balance of $3,125 thousand, plus accrued interest, on October 21, 1964.
Program by activities: 10 Transportation research (costs-obliga
tions) (object class 25.1).. Financing: 11 Receipts and reimbursements from admin
istrative budget accounts..
New obligational authority..
ALLOCATIONS RECEIVED FROM OTHER ACCOUNTS
Note.- Obligations incurred under allocations from other accounts are included in the schedules of the parent appropriations as follows:
Funds appropriated to the President, “Public works acceleration."
*Salaries and expenses.
“Salaries and expenses, foreign currency program." Forest Service, “Forest roads and trails (liquidation of contract authoriza.
tion)." Defense Military: Army:
“ Military construction."
Air Force, “Military construction."
of contract authorization): Bureau of Reclamation. "Construction of Recreational and Fish Wildlife
Facilities." National Park Service, "Construction (liquidation of contract authorization).' State. "Rama Road, Nicaragua." Atomic Energy Commission:
**Plant acquisition and construction."
Construction and equipment."
"Special international exhibitions."
GENERAL PROVISIONSDEPARTMENT OF
COMMERCE Sec. 302. During the current fiscal year applicable appropriations and funds available to the Department of Commerce shall be available for the activities specified in the Act of October 26, 1949 (5 U.S.C. 596a), to the extent and in the manner prescribed by said Act.
Sec. 303. During the current fiscal year appropriations to the Department of Commerce which are available for salaries and expenses shall be available for hire of passenger motor vehicles; services as authorized by section 15 of the Act of August 2, 1946 (5 U.S.C. 55a), but, unless otherwise specified, at rates for individuals not to exceed [$75] $100 per diem; and uniforms, or allowances therefor, as authorized
by the Act of September 1, 1954, as amended (5 U.S.C. 2131). (Department of Commerce Appropriation Act, 1965.)
The following narrative statement covers the active duty appropriations for the Army, Navy, Marine Corps and Air Force.
1. Pay and allowances of officers.—This provides for the pay and allowances of officers of the military service on active duty.
2. Pay and allowances of enlisted personnel. This provides for the pay and allowances of enlisted persons of the military service on active duty, payments for initial issues and replacement clothing under the monetary clothing allowance system.
3. Pay and allowances of cadets and midshipmen.-This provides for the pay and allowances of cadets and midshipmen at the three service academies, and aviation cadets.
The numbers of active duty military personnel provided for are shown in the following table:
Supplemental appropriations for 1965 are anticipated for separate transmittal to provide funds for the additional costs resulting from the enactment of legislation effective September 1, 1964, increasing the pay and allowances of certain military personnel.
4. Subsistence of enlisted personnel.-This provides for the purchase of food supplies for issue as rations to enlisted personnel, including emergency and operational rations. În addition, it provides for a cash allowance paid to enlisted personnel who are given permission to mess separately or who are stationed at places where rations in kind are not available.
5. Permanent change of station travel. This provides for permanent change of station travel for individuals and groups of military personnel and their dependents, including dislocation and separation travel allowances, storage of household goods in commercial_facilities, and transportation of personal property. Payment for services furnished by the Military Sea Transportation Service and Military Air Transport Service for transportation to and from overseas of military personnel, their dependents, household goods, and automobiles is also included.
6. Other military personnel costs.--This provides for expenses of apprehension of deserters and escaped military prisoners, payment of interest on money deposited by enlisted personnel, and payment of death gratuities to beneficiaries of military personnel.
General and special funds:
MILITARY PERSONNEL, ARMY For pay, allowances, individual clothing, subsistence, interest on deposits, gratuities, permanent change of station travel (including all expenses thereof for organizational movements), and expenses of temporary duty travel between permanent duty stations, for members of the Army on active duty (except (those undergoing reserve training);] members of reserve components provided for elsewhere); [$4,221,000,000] $4,102,600,000, and, in addition [$85,000,000) $240,000,000 of which $210,000,000 shall be derived by transfer from the Army stock fund and the Defense stock fund and $30,000,000 shall be derived by transfer from the Army industrial fund: Provided, That not to exceed $12,300,000 of the unobligated
Officers. Enlisted. Academy cadets and midshipmen.. Aviation cadets.....