Idea Transcript
COMBINED STATEMENT OF THE
RECEIPTS AND EXPENDITURES BALANCES, ETC., OF THE UNITED STATES FOR
THE FISCAL YEAR ENDED JUNE 30
TREASURY DEPARTMENT O&FiCE
SEcpE%9'
UNITED STATES GOVERNMENT
PRINTING OFFICE
WASHINGTON: 1934
TREASVRY DEPARTMENT
Document
No. 3061
Division of Bookkeeping and Warrants
RECEIPTS AND EXPENDITURES, BALANCES, ETC.
LETTER FROM
THE SECRETARY OF THE TREASURY TRANSMITTING
A Combined
Statement
of the Receipts and Expenditures, Balances, Etc., of the Government During the Fiscal Year Ended June 30, 1 9 3 3
—Referred
JANuxar 4, 1934.
to the Committee on Expenditures in the Executive Departments and ordered to be printed
The SPEAKER OF THE HOUSE OF REPRESENTATIVES.
TREASURY DEPARTMENT, OFFICE OF THE SECRETARY) Washington, December 89, 1988.
I
SIR: In compliance with the requirements of section 15 of the act, of July 31, 1894 (U. S.C., title 5, sec. 264), a combined statement of the receipts and expenditures, balances, etc. , of the
have the honor to transmit herewith Government for the fiscal year ended
Respectfully,
June 30, 1938.
H.
MORGENTHAU,
Jr. ,
Acting Secretary of the Treasmry.
3
COMBINED STATEMENT OF THE
RECEIPTS AND EXPENDITURES, BALANCES, ETC. OF
THE UNITED STATES DURING THE
FISCAL YEAR ENDED JUNE 30, 1933 (Details of Receipts on pp. 16 to 22 and of Expenditures
on pp. 81 to 352)
TREASVRY DEPARTMENT& OFFICE OF THE SECRETARY& DIVISION OF BOOKKEEPING AND WARRANTS&
Washington, December 89, 1888. have the honor to submit herewith a combined statement of the receipts and expenditures of the Government (general, special, and trust funds) for the fiscal year ended June 80, 1988, a summary of which is given below:
SIR:
I
RECEIPTS Ordinary receipts (p. 12) Deficit carried down
EXPENDITURES
$2, 244, 254, 061. 08 ' 3, 050, 694, 552. 07
Ordinary expenditures, including $461,604, 800 public-debt retirements chargeable against ordins, ry receipts (p. 13) 027, 040, 920. 67 '$4,1, 267, Reconstruction Finance Corporation 907, 692. 48
5, 294, 948, 613. 15 Public-debt receipts (p. 62) Balance in general fund June 80, 1932
9, 697, 082, 823. 58 891, 205, 129, 02
10, 088, 287, 952. 60
5&
Deficit brought down Public-debt expenditures (exclusive of publicdebt retirements chargeable against ordinary receipts) (p. 403) Balance in general fund June 30, 1933
294&
948, 613. 15
8, 050, 694, 552. 07 6, 183, 815, 625. 81 853, 777, 775. 22
10, 088, 287, 952. 60
In accordance with the requirements of the act of July 81, 1894, the receipts are classified, whenever practicable, States, and the expenditures by each separate head of appropriation. The receipts, appropriations, and expenditures are also classified according to general, special, and trust funds, respectively. On page 12 will be found a condensed statement of the receipts and expenditures classified according to these fund distinctions. The bases of the figures included in this report are explained in the Foreword appearing on pages 6 to 8. Respectfully,
by ports, districts, and
A. M. SMITH,
Hon. H. MoRGENTHAV, JR. , Acting Secretary of the Treasury. ' Deficit on
bh' Represents
obhsatlons
Chief, Dim'sion of BooHeeping and Warrants
basis of daily Treasury statement (unrevised) wss 83, 068, 366, 873. 68. net payments, on basis of daily Treasury statements (revised), from credit established on account of the purchase by the Secretary of the Treasury of the Finance Corporation under sec. 9 of the Reconstruction Finanoe Corporation Acn
of the Reconstruction
5
FOREWORD BASES OF FIGURES INCLUDED IN THIS REPORT
RECEIPTS The receipts of the United States Government as pllblished in this report are based upon warrants issued by the Secretary of the Treasury and represent the formal covering into the Treasury of the public moneys deposited in Treasury offices and Government depositaries during the fiscal year ended June 30, 1933.
Section 305 of the Revised Statutes (U. S. Code, title 31, sec. 147) provides that receipts for all moneys received by. the Treasurer of the United States shall be endorsed upon warrants signed by the Secretary of the Treasury, without which warrants, so signed, no acknowledgment for money received into the Public Treasury shall be valid.
EXPENDITURES The expenditures in this report are exhibited on two different bases, namely: (1) Warrants issued and (2) checks issued. (1) Warrants-issued basis. Under the provisions of the act of September 2, 1789, which later became section 305 of the Revised Statutes, the expenditures of the United States Government are based upon warrants issued by the Prom the organization of the Secretary of the Treasury. Government in 1789, down to and including the Fiscal year ended. June 30, 1926, tne detailed expenditures of the Government under separate heads of appropriations provided by Congress were exhibited on what is known as the "basis of warrants issued. There are two classes of warrants upon which expenditures are made from the United States Treasury; viz, (a) accountable warrants, so called because disbursin~ officers must regularly account for expenditures thereunder, which are issued to place funds to the credit of disbursing officers on the books of the Treasury of the United States, subject to their official check for the payment of Government obligations; and (b) settlement warrants, which authorize the Treasurer of the United States to make direct payments to claimants upon settlements of the accounting officers. Accountable warrants are issued practically as a bookThey form the legal basis for charges keeping expedient. against appropriation accounts upon the books of the Secretary of the Treasury and for corresponding credits to disbursing ofFicers' checking accounts upon the books of the Treasurer of the Umted States, but do not involve an actual expenditure of cash from the Treasury. at the time the warrants are issued. As far as the appropriation accounts upon the books of the Secretary of the Treasury are concerned, the warrants issued and charged thereto constitute expenditures on a warrant basis. To some extent, however, the money represented by such warrants is not actually expended during the fiscal year in which The unexpended baladvanced to disbursing ofFicers
',
—
"
ances of funds in such cases are either used in the following fiscal year or returned by repay covering warrants to the appropriations from which advanced on the books of the Secretary. While the differences between the total expenditures on a warrant basis and a checks-issued basis are not material in cases where the unexpended balances to the credit of disbursing ofFicers remain more or less constant from year to year, the former do not in all cases accurately reflect the trend of governmental expenditures, since they include unexpended balances remaining to the credit of disbursing officers at the end of the year but not expenditures from unexpended disbursing officers' balances at the beginning of the year. The expenditures on the basis of warrants issued in pursuance of section 305 of the Revised Statutes are shown in the fourth money column of this report beginning on page 81. (2) ChecIes-issued basis. In order to correct the situation described above an improved form of exhibiting the detailed expenditures of the Government was devised by the Treasury during the fiscal year 1927, under which expenditures are now shown on the basis of checks issued. This form excludes from expenditures moneys placed to the credit of disbursing officers by warrant which remain unexpended and to their official checking credit at the close of the fiscal year, and includes in expenditures all checks drawn by disbursing officers during the fiscal year 1933 against unexpended balances of moneys placed to their checking credit during the preceding fiscal year In other words, the expenditures on the basis of checks issued as exhibited. in this rcport represent all the checks drawn upon the Treasurer of the United States during the fiscal year 1938 in payment of Government obligations without regard to the fiscal year in which the funds may have been placed to the credit of disbursing officers by warrant. The detailecl expenditures on the basis of checks issued are shown in the fifth money column of this report beginning on page 81.
—
'
APPROPRIATIONS Article 1 (sec. 9) of the Constitution of the United States provides that no money shall be withdrawn from the Treasury but in consequence of appropriations made by law. The appropriations exhibited in this report are 6
the amounts which, by law, Congress authorized to be established upon the books of the Treasury during the fiscal year 1938. The figures necessarily differ somewhat from the appropriations exhibited in the annual "Digest
FOREWORD
"
1933, compiled by the Treasury Department, the "Statement of Appropriations for the Senate DocuSeventy-second Congress, First Session, ment No. 139, prepared under the direction of the Comof the Senate and House of mittees on Appropriations Representatives, and the comparative statement of appropriations for the fiscal year 1933 contained in the annual "Budget, 1933", for several reasons as may be observed by a study of the "Accountability Statement of Appropriations by Acts of Congress", appearing on pages 392 to These differences are due principally 397 of this report. to (1) the difference in the time at which the different reports are compiled, and (2) special provisions and limiacts in tations enacted by Congress in appropriation of the appropriations. For regard to the availability instance, the three documents mentioned above are compiled about the beginning of the fiscal year for which the appropriations are made, and, therefore, include estimated amounts to cover permanent and indefinite appropriations, whereas the Combined Statement of Receipts, Expenditures, Balances, etc. , of the United States is compiled after the close of the fiscal year, and the figures in are actiial. As to this report under such appropriations the time of the availability of appropriations it will be noted by reference to page 392 that of the total appropriations provided in the annual appropriation acts for the fiscal year 1933, aggregating $3, 145, 772, 899.22, the sum of $18, 121,963 was made immediately available by
of Appropriations,
"
Congress upon the dates of approval of the several acts, and therefore was established upon the books of the Treasury in the fiscal year 1932 instead of 1933. In like manner by the terms of the annual appropriation acts for 1934 aggregating $2, 541,373,998.67, the sum of $496,366, 580 was made immediately available upon the passage of such acts and, accordingly, was established upon the books of the Treasury. during the fiscal y'ear 1933. Appropriations contained in the Second Deficiency Act, fiscal year 1932, approved July 1, 1932, $22, 682, 623.20; the First Deficiency Act, fiscal year 1933, approved January 30, 1933, $3,756, 535.72; Second Deficiency Act, fiscal year 1933, approved March 4, 1933, $31,985,685. 12 (exclusive of $2, 150 not available until July. 1, 1933); Third Deficiency Act, fiscal year 1933, approved May 29, 1933, $994, 597.55 (exclusive of $22, 275 not available until July 1, 1933); Fourth Deficiency Act, fiscal year 1933, approved June 16, 1933, $3,610,082, 630.04 (exclusive of $16,901,910 not available until July 1, 1938) were established upon the books of the Treasury during the fiscal year 1933 and, therefore, are included in this report. Other differences in appropriation figures are attributable to the fact that certain appropriations provided by Congress in the annual and deficiency appropriation acts are not payable from the general fund of the Treasury, but are provided for from postal revenues and from special funds hereinafter described.
SURPLUS FUND Act June 20, 1874 (18 Stat. 110) The term "Surplus fund of the Treasury" as used by Congress in appropriation acts, and in the act of June 20, 1874 (U. S.C. title 31, sec. 713), and by the Treasury Department in the heading of the sixth and seventh money columns of this report, beginning on page Sl, does not represent a physical fund consisting of surplus cash or other assets as the term would ordinarily imply in accounting terminology. The term as herein used has no relation to surplus income. It is merely an expression to describe the writing off of the books of appropriations which have been repealed, or the unexpended balances of appropriations which have lapsed by limitation of law. Appropriations when made by Congress and established uponthebooksof the Treasury Department donotrepresent so much income or cash actually set aside in the »easury for the purposes specified in the appropriation acts. Appropriations are established upon the books of the Treasury simply as record accounts and merely represent the limit to which administrative offices may oblip«Government funds during the fiscal years specified m the appropriation acts, and as a general rule are based upon anticipated future tax collections and other receipts. It follows, therefore, that when appropriations, or unexIMPOUNDED
Impounded
salary
debt.
SALARY SAVINGS
as stated in the seventh beginning on page 81, Carried to the Surplus ~und", are the savings made as a result of the furlough savings
money column of this report under the heading, "Amount
pended balances of appropriations, are carried to what is termed in the law the smiles fund of the Treasury it involves simply a matter of writing such appropriations off of the books without increasing the cash in the Treasury or affecting it in any manner. Under the act of Congress approved June 12, 1870, as amended by the act of June 20, 1874, cited herein, on the last day of each fiscal year the Treasury writes off the unexpended balances of appropriations that have remained on the books for two full fiscal years, in addition to the year in which they were established. In contradistinction, the term "surplus" as used in connection with the receipts and expenditures of the Government, represents the ordinary receipts, i.e. , customs duties, internal revenue, and miscellaneous, for a given period in excess of the expenditures chargeable against such receipts for the same period, usually for a fiscal year. (See p. 5. ) There is no relation between the two terms described. The excess or surplus of the Government's receipts over its expenditures is not permitted to accumulate in the Treasury from year to year, but is used as promptly as conditions permit to reduce the public
and compensation deductions provided for by. section 110 of act approved June 30, 1932 (47 Stat. 403), as amended by section 4 (d) title II, act of March 20, 1933 (48
Stat. 13).
RESERVE FOR IMPOUNDED SALARY SAVINGS I'&serve for impounded salary savings as stated in the eighth money column of this report beginning on page 81, represents the amounts credited to this account
by the suspension of filling vacancies under theprovisions of section 203, act June 30, 1932 (47 Stat. 403),
FOEEWOED
The impounding
of such funds may be waived in by the President, when, in his judgment, such action is necessary and in the public interest.
writing
under these balances remaining Tile unexpended accounts will be carried to the "Surplus fund of the Treasury" after the net amounts to be impounded and returned to the Treasury have been actually determined.
FUND DISTINCTIONS The receipts, appropriations, and expenditures included in this report are classified according to funds, i. e. , (1) general fund, (2) special funds, and (3) trust funds. (1) General fund. The principal sources of receipts covered into the general fund are income tax, miscellaneous internal revenue, and customs duties. Receipts from miscellaneous sources, which are not earmarked for special expenditures, are also covered into the general fund. Such receipts include proceeds of Governmentowned securities (except those which are applicable to public-debt retirement), sale of surplus and condemned property, Panama Can. al tolls, fees of various kinds, fines, penalties, forfeitures, rentals, royalties, reimbursements, immigration head tax, sale of public land, tax on national-bank circulation, interest on public deposits, seigniorage on coinage of subsidiary silver and minor coins, etc. Moneys in the general fund may be withdrawn from the Treasury only in pursuance of appropriations made by Congress. There are four classes of appropriations payable from the general f'und of' the Treasury, namely: (e) Annual, being those made each year in the several departmental supply bills and. limited for obligation ' during the fiscal year for which made; (5) continuing (no-year), being available until expended or until the object for which appropriated has been accomplished, such as construction of public works; (c) permancntspecific, being fixed. amounts provided for each of a series of years by permanent legislation without annual being action of Congress; and (d) permanent-indefinite, indefinite amounts (so much as may be necessary) provided by permanent legislation without annual action of Congress, such as the iridefinite appropriation to coyer interest on the public debt. (2) Special fends. Special-fund receipts may be generally defined as funds received under special authorizations of law which may be expended only for the particular Special-fund receipts are purposes specified therein. earmarked at the time of their deposit and may not be used for the general expenditures of the Government. The more important special funds other than those applicable to debt retirement are the reclamation fund under the Department of the Interior, funds received for river and harbor improvements, Forest Service cooperative f'unds, proceeds from sales of ships, etc. , by the United States Shipping Board available for construction loans, assessments on Federal reserve banks for salaries and expenses of the Federal Reserve Board, and assessments upon national banks for expenses of examinations. There are many other special funds involving smaller amounts.
—
—
In connection with the collection and. use of special fund receipts, it will be noted by reference to page 23, and following pages, that ready references are given to the pages on which the appropriations of such receipts may be found. These references will be found especially helpful in cases where Congress has designated in advance the use of receipts from particular sources to several different objects of expenditure on a percentage basis, such as in the case of Federal water-power receipts (p. 27), forest reserve fund receipts (p. 34), mineral leasing act receipts (p. 40), Alasl-a fund receipts (p. 47), and Coos Bay wagon-road grant fund receipts (p. 41). (3) Trust fends. Trust funds represent moneys received by the Government for the benefit of individuals Moneys held in trust, being or classes of individuals. payable to or for the use of beneficiaries only, are not available for general expenditures of the Government. There are several classes of trust funds, the beneficiaries or groups of under which may be either individuals individuals. The funds may represent (a) moneys received directly from or for account of individuals, as in the case of moneys received from foreign Governments or other sources in trust for citizens of the United States or others under the act of February 27, 1896 (U. S.C. title 31, sec. 547); (5) moneys collected as revenues and held in trust, such as the proceeds of sales of Indian lands which are held as interest-bearing funds for the benefit of Indian tribes; and (c) proceeds of grants from the general fund of the Treasury in pursuance of treaty or other obligations such as the perpetual trust fund created for the Ute Indians under section 5 of the act of June 15, 1880 (21 Stat. , p. 204). Revenues of the municipal government of the District of Columbia and expenditures therefrom, for the purpose of the classificatio of receipts and expenditures in this report, are classified under the caption "Trust funds. The share of the United States of expenditures on account of the District of Columbia, which is payable "out of any moneys in the Treasury not otherwise appropriated", is classified under the caption "General fund. In like manner expenditures under appropriations from the general fund of the Treasury for account of certain trust funds, such as the adjusted service certificate fund, civil service retirement fund, and the Foreign Service retirement fund, are classified under the caption "General fund. Variations in the working balances under these funds due to variations between credits and charges thereto are stated in connection with expenditures under the caption "Trust funds.
—
"
"
"
"
' The unexpended balances on the books of the Treasurv, st the close of a fiscal year , under annual appropriations obli ations, after tvhich they are carried to the surplus fund of the 'i'reasury.
are available for 2 additional years for the psyruent of such
TABLE OF CONTENTS GENERAL Page
Page
Letter of Secretary of the Treasury Letter of Chief, Division of Bookkeeping and Warrants Foreword: Bases of figures included In this report Receipts and expenditures of the Government for the fiscal year ended June 30, 1933, classified according to funds
3 5 6 —8
Summary of expenditures of the Government for the fiscal year ended June 30, 1933, classified by departments and 73-80 organization units according to funds
12, 13
RECEIPTS Page
Summary of receipts by sources, fiscal year 1933 Summary of receipts by organization units, fiscal year 1933 Details of receipts by sources, fiscal year 1933 Summary of receipts by funds Miscellaneous receipts by organization units and sources:
Legislative: United States Senate House of Representatives Architect of the Capitol Library of Congress Government Printing Office Executive Office Independent offices: American Battle Monuments Commission American National Red Cross Board of Tax Appeals Bureau of Efficiency Civil Service Commission Employees' Compensation Commission -Farm Credit Administration Federal Board for Vocational Education Federal Home Loan Bank Board Federal Power Commission Federal Radio Commission Federal Reserve Board Federal Trade Commission General Accounting Office Interstate Commerce Commission National Advisory Committee for Aeronautics National Capital Park and Planning Commission
APPROPRIATIONS, LEGISLATIVE
14 15 22 16— 22
23 23 23 23, 24 24 25 25 25 25 25 25 26 26 26 26 27 28 28 28 28 28 28 28
Page
86, 87
87-89
Botanic Garden Library of Congress Government Printing Office
90
90-92 92& 93 EXECUTIVE
Executive Office INDEPENDENT Alien Property
American American Arlington
OFFICES
Custodian
Battle Monuments Commission National Red Cross Memorial Bridge Commission
card of Mediation Board of Tax Appeals Bureau of Efficiency Civil Service Commission Personnel Classification Board Commission of Fine Arts Employees' Compensation Commission Farm F'redit Administration Federal Board for VocationaljEducation Federal Farm Boa Agricultural marketing f und Federal Oil Conservation Board Federal Power Commission Federal Radio Commission Federal Reserve Board FederallTrade Commission General Accounting OScg
—
EXPENDITURES, BALANCES, ETC. 81-83 83-86
United States Senate House of Representatives Legislative, miscellaneous Architect of the Capitol
Page
Miscellaneous receipts by organization units and sources— Continued. Independent offices Continued. Public Buildings and Public Parks of the National 29 Capital 29 Railroad Administration and Transportation Act 29 Smithsonian Institution United States Shipping Board 29, 30 30 United States Tariff Commission 30-32 Veterans' Administration 32 Miscellaneous 32-35 Department of Agriculture Department of Commerce 35, 36 36-46 Department of the Interior 46-48 Department of Justice, including Judicial Department of Labor 48, 49 49-51 Navy Department 51 Post Office Department Department of State 51, 52 52-57 Treasury Department 57-60 War Department 61 Panama Canal 61 District of Columbia (details on p. 69) Public-debt receipts 62 62 Postal revenues 63-65 Customs receipts by districts and ports Internal-revenue receipts by States and districts 66, 67 68 Receipts from sales of public lands by States and districts District of Columbia receipts by sources (showing District of 69-72 Columbia and United States shares, respectively)
94 94 g4
94
94, 95
95 95 96 96 96, 97 97 g7-99
loo-101 gg
99 101
101, 102 102 102 103 103
Page
Interstate Commerce Commission National Advisory Committee for Aeronautics National Capital Park and Planning Commission Office of War Claims Arbiter
104 104, 105 105 105
Puerto Rican Hurricane Relief Commission 105 Public Buildings and Public Parks of the National Capital 105—107 Railroad Administration and Transportation Act 107 Reconstruction Finance Corporation 13 107-108 Smithsonian Institution National Museum 108, 109 109 United States Food Administration 109 United States Geographic Board 109 United States Grain Corporation United States Shipping Board 109, 110 110 United States Supreme Court Building Commission United States TarifF Commission 110, 111 111—117 Veterans' Administration 117 War Finance Corporation Miscellaneous commissions, boards, etc. : 119 Chicago World's Fair Centennial Celebration 118 George Rogers Clark Sesquicentennial Commission 118 George Washington Bicentennial Commission Investigation of enforcement of prohibition and other laws
Mount Rushmore National Memorial Commission Nitrate plants, plan for disposition Protection of interests of United States in leases on oil lands in former naval reserve Public Buildings Commission Relief, protection, and transportation of American citizens in Europe United States Massachusetts Bay Colony Tercentenary Commission United States Yorktown Sesquicentennial Commission Ws, r Policies Commission
118 118 118 118 118 118 119 119 119
10
TABLE OF CONTENTS Page
120 120 120 121
National Industrial Recovery Emergency Conservation Work Federal Home Loan Bank Board National Banking Emergency Act OF AGRICULTURE
DEPARTMENT
121 122 Library 122 Office of Experiment Stations 122 Extension Service 128 Weather Bureau 123 Bureau of Animal Industry 128 Bureau of Dairy Industry 124 Bureau of Plant Industry 124 Forest Service 124, 125 Bureau of Chemistry and Soils 125 Bureau of Entomology 126 Biological~Survey Bureau of 126, 127 Bureau of Public Roads 127, 128 Bureau of Agricultural Engineering 128 Bureau of Agricultural Economics 128, 129 Bureau of Home Economies 129 Bureau of Plant Quarantine 129, 130 Enforcement of the Grain Futures Act 180 Food and drug administration 130 Agricultural Adjustment Administration 180 Loans to farmers in storm, fiood, and drought stricken areas 181 Agriculture, miscellaneous 131, 182 Office of the Secretary Office of Information
Permanent funds
and indefinite
appropriations,
DEPARTMENT
including
OF COMMERCE
Office of the Secretary Radio Division Aircraft in Commerce
Bureau of Bureau of Bureau of Bureau of Bureau of Coast and Bureau of
Foreign and Domestic Commerce the Census Navigation and Steamboat Inspection Standards Lighthouses Geodetic Survey Fisheries
Patent Office
Bureau of Mines Commerce, miscellaneous DEPARTFIENT
133, 134 134 184, 135 — 185 137 137 188, 189 — 189 143 148, 144
144, 145 145, 146 146, 147 147& 148
149
OF THE INTERIOR
Office of the Secretary General Land Office, including
Public Land Service Bureau of Reclamation Geological Survey National Park Service Office of Education Government in the Territories Beneficiaries Interior, civil, miscellaneous Indian Aff'airs: Salaries and general expenses Education General support and administration Fulfilling treaty stipulations and support Miscellaneous expenses of Indian Service: Expenses in probate matters Indian lands Industrial assistance and advancement Development of water supply Irrigation and drainage: General funds Special funds Conservation of health Roads and bridges Monuments Miscellaneous Ini, crest accounts (permanent) Trust funds DEPARTMENT
150
151-153 154 154 154, 155 155, 156 153&
156-158 159, 160 160
161—168
168-166 166, 167 167—169
169
169-1/2
172, 178 174
174-179 182, 188
179-180 180, 181 181 181
184-190 191—198
OF JUSTICE
Office of the Attorney General Contingent expenses Detection and prosecution of crimes Miscellaneous objects
Bureau of Prisons Bureau of Prohibition
special 132, 188
199 199 200 200 201 201
Page
Judicial: Umted States Supreme Salaries of judges Court of Customs and United States Customs Court of Claims Territorial courts United States courts Penal and correctional Judicial, miscellaneous
Court
201 201 202 202 202, 203 203 208-205 — 205 210 210& 211
Patent Appeals Court
institutions
DEPARTMENT
OF LABOR
Office of the Secretary
211, 212
Bureau of Labor Statistics Bureau of Immigration Bureau of Naturalization Children's Bureau Women's Bureau Employment Service Housing Corporation Labor, miscellaneous
212 212, 213 218, 214 214 214 214 215 215
NAVY DEPARTMENT
Office of the Secretary
Bureau of Navigation Bureau of Engineering Bureau of Construction and Repair Bureau of Ordnance Bureau of Supplies and Accounts Naval supply account fund, with statement fers Bureau of Medicine and Surgery Bureau of Yards and Docks Bureau of Aeronautics Naval Academy Marine Corps Alterations to naval vessels Increase of the Navy Salaries, Navy Department Contingent expenses, etc Navy, miscellaneous General account of advances
216, 217
217-219 219 219&
220 220
221& 222
of trans223 222, 223 223 —226 228 228, 229 280 229, 230 280
231-288 233, 234 234, 285 235
POST OFFICE DEPARTMENT
Deficiencies in the postal revenues Miscellaneous expenses, Postal Service Expenditures from postal revenues Statement of the Postmaster General certifying extraordinary expenditures contributing to the deficiency of postal revenues for the fiscal year ended June 30, 1933 I DEPARTMENT
Salaries and expenses Foreign intercourse Permanent and indefinite and trust funds
237 236 418
414
OF STATE
appropriations,
including
289—249 special 249 — 251
TREASURY DEPARTMENT
Office of the Secretary Office of Chief Clerk and Superintendent
Division of Supply General Supply Committee Office of Commissioner of Accounts and Deposits Division of Bookkeeping and Warrants Public Debt Service Division of Appointments Office of Disbursing Clerk Bureau of Customs Bureau of the Budget Federal Farm Loan Bureau Office of Treasurer of the United States Office of Comptroller of the Currency Bureau of Internal Revenue Bureau of Prohibition Bureau of Industrial Alcohol Bureau of Narcotics Coast Guard Bureau of Engraving and Printing Secret Service Division Public Health Service
251 252 252 252, 253
253, 254 255 255 255 256 256, 257
258, 259 259 259 259 — 260 262 268 268
264-266
TABLE OF CONTENTS Page
267 Mists and assay offices Office of Supervising Architect (including public buildings): 267, 268 Operating expenses, public buildings 268, 269 Repairs, equipment etc. , public buildings Post offices, customhouses, courthouses, etc: Under act of June 30, 1938, section 801 (a) paragraph 10, of Emergency Relief and Construc269-273 tion Act of 1932 278 —289 Under act of May 25, 1926, as amended 290 Inspection stations 278, 291 Quarantine stations 278, 291 Marine hospitals 292 Veterans' hospitals 292, 298 Treasury, miscellaneous Special accounts: 294 Payment of Cape Cod Canal bonds 294 Purchase of obligations of foreign governments 294 Settlement of War Claims Act of 1928 294 Subscriptions to paid-in surplus, Federal land banks Subscriptions to preferred shares, Federal Savings and 294 Loan Associations Subscriptions to capital stock, Federal Deposit Insur294 ance Corporation 294 Subscriptions to capital stock, Federal land banks Subscriptions to capital stock, Federal intermediate 294 credit banks
Miscellaneous
WAR DEPARTMENT
Military activities: Salaries, War Department Office of the Secretary General Staff Corps
294-297 297 297 298 298 298-800
Adjutant General's Department Judge Advocate General's Department Finance Department . Accounting Funds: Army account of advances Working fund, War Department Special deposit account Quartermaster Corps Signal Corps Air Corps Medical Department
800 800 800 — 800 805 305 805, 306 806, 807
RECAPITULATIONS,
Trust funds DISTRICT OF COLUMBIA
classified according
—
— —
TABLE TABLE
404-409
and United States currency funds 410 7. Post Office Department: Statement of audited expenditures, in detail, for the service of the Post Office Department for the fiscal year 1988 411—413 statement of the Postmaster General certifying extraordinary expenditures contributing to postal deficiencies for fiscal year 1933 414 TABLE 8. Recapitulation of expenditures made during the fiscal year 1933 from specific and indefinite permanent annual appropriations, including special and trust
—
funds
.
including
PUBLIC DEBT
Interest Sinking fund Principal
and outstanding
POSTAL SERVICE
Expenditures
812 312 812 818, 314 314, 315 815, 316 316 816, 317 817 818 318-821 821,' 822 322 322J 828
328 824-827 825,' 827 327 328, 829 880 330
from postal revenues
382 —850 special
350-352 831 881 402, 408 404—409
411-418
SUMMARIES, ANI3 SPECIAL STATEMENTS
12, 18 Receipts: Summary of receipts by sources 14 Summary of receipts by organization units 15 Expenditures: Summary of expenditures by departments and organization units according to funds 73—380 Appropriations, expenditures, balances, etc. : Recapitulation of general, special, and trust funds, by organization units 858, 855 Recapitulation units departments, by organization bureaus, offices, etc 856—889 Summary by organization units, etc 890, 891 TABI, E 1. Accountability statement of appropriations by acts of Congress 892—897 TABLE 2. Analysis of appropriations established upon the books of the Treasury Department during the fiscal year ended June 30, 1933, by acts of Congress 398 TABLE 8. Private relief acts passed by third session of the Seventy-first Congress and established on books of Treasury Department during fiscal year 1988 399—401 TABLE 4. Public-debt retirements from ordinary receipts and indefinite appropriations, by loan titles, fiscal year 1933 402 TABLE 5. Statement of the public debt showing issues, redemptions, and amounts outstanding, by loan titles, fiscal
— — — 6.— Gold reserve —
appropriations,
Statement of issues, redemptions,
309-311 311 312
881
and operation
Salaries and miscellaneous Permanent and indefinite and trust funds
307, 309 318, 314
CANAL
PANAMA
Maintenance
Page
Summary of receipts and expenditures, to funds
Page
—
Continued. Military activities Corps of Engineers Fortifications, etc. , Panama Canal Ordnance Department Chemical Warfare Service Chief of Infantry Chief of Cavalry Chief of Field Artillery Chief of Coast Artillery Seacoast Defenses Military Academy Militia Bureau Organized Reserves Citizens' military training National Board for Promotion of Rifle Practice NonmIhtary actIVItIes: National cemeteries National military parks Miscellaneous, Quartermaster Corps Signal Corps Corps of Engineers, miscellaneous Rivers and harbors: Improving harbors Improving rivers Flood control and relief Inland Waterways Corporation War claims and relief acts
415—420
—
Page
9. Statement
of expenditures by certain departfor the benefit of, and from ments and establishments provided for, other departments appropriations and establishments 421& 422 TABI, E 10. Recapitulation of expenditures made during the fiscal year 1988 from appropriations for printing and binding 423 TABI, E 11. Recapitulation of expenditures made during 1933 from the annual and indefinite appropriations for "Increase of compensation" on account of the 6scal years
TABLE
— —
1919-24 428 Civil-service retirement and disability fund: TABLE 12. Summary statement of credits and charges under the fund and of securities held in investment fund by fiscal years from August 1, 1920, to June 80, 1938 424, 425 TABI, E 18. Summary statement of deductions from salaries by organization units, miscellaneous receipts, and repay covering warrants credited to the fund by fiscal years from August 1, 1920, to June 30, 1933 426, 427 TABI,E 14. Foreign Service retirement and disability fund: Summary statement of transactions under the fund and of securities held by fiscal years from 1925 to 1988, inclusive 428I 429 TABLE 15. Canal Zone retirement and disability fund: Sumn. ary statement of transactions under the fund and of securities held for the fiscal year 1938 429 TABLE 16. Adjusted-service certificate fund, Veterans' Administration: Summary statement of transactions and securities held under the fund by fiscal years from 1925 to 1938, inclusive 430 TABLE 17. Teachers' retirement fund, District of ColunIbia: Summary statement of transactions and securities held under the fund by fiscal years from 1920 to 1988, inclusive 481, 482 TABLE 18, Statement of the District of Columbia account fiscal year 1933 in accordance with act of June 29, 1922 (D.C. Code, title 20, sec. 682) 483 TABI, E 19. Statement of impounded salary and vacancy savings made during the fiscal year 1983 434
—
—
—
— —
—
— —
RECEIPTS AND EXPENDITURES OF THE GOVERNMENT FOR THE FISCAL YEAR ENDED JUNE 30, 1933, CLASSIFIED ACCORDING TO FUNDS [Repayments to appropriations
in excess of expenditures
are printed in ffclicl
Trust funds (various acts)
Special funds (various acts)
General fund
&
&
Total
RECEIPTS, ORDINARY Revenue receipts: Internal revenue Customs (excluding tonnage tax} Miscellaneous: Miscellaneous taxes Interest, exchange, and dividends Fines and penalties
$1, 609, 279, 596. 86 250, 512, 576. 51
$354, 253. 15 2, 195. 26
$1, 609, 633, 850. 01 250 514 771 77
5, 649, 962. 47 99,' 130, 226. 83 2, 938& 947. 24 9 396, 383. 01 1, 024, 156. 88 555& 432. 51 3 217, 283. 13 31, 810. 79 3' 016, 643. 91 22, 018, 005. 46 1, 792, 882. 79 1, 190, 729. 55
2, 040, 731. 97 4, 206, 179. 18 342, 312. 50 4, 261, 085. 96
5, 417& 996. 77 2, 728, 089. 52
7, 690, 694. 44 103, 336, 406. 01 3, 281, 259. 74 13, 657, 468. 97 1, 045, 256. 88 5, 973, 429. 28 5, 945, 372. 65 3, 990, 705. 26 3, 080, 434. 26 23, 617, 374. 28 4, 737, 880. 27 1, 733, 936. 54
970, 286. 04
1, 431, 635. 89 2, 695, 288. 99 236, 572. 53
Fees Forfeitures Assessments Reimbursements Gifts and contributions Sales of Government property products Sales of services Rents and royalties Permits, privileges, and licenses Mint receipts (profits on coinage, bullion deposits, etc. ) Forest reserve fund Postal receipts, Panama Canal United States revenues from District of Columbia sources
—
1, 431, 635. 89 1, 724& 952. 95 236& 572. 53
21, 100. 00
3, 958, 894. 47 63, 790. 35 1, 599, 368. 82 2, 944& 997. 48 543, 206. 99
73, 743. 84
Total revenue receipts
2&
73, 743. 84
543. 15
29, 454, 488. 46
54, 674. 31 5, 190, 635. 99
31, 553, 763. 38
1, 260, 568. 42
2, 818, 239. 86
013& 221,
2, 042, 676, 031. 61
¹nrevenue receipts:
Realization upon assets: Army costs due the United States from Germany Repayments of investments Sales of public lands Sales of Government property Trust funds (exclusive of District of Columbia) District of Columbia: District of Columbia revenues, taxes, trust
33, 655. 77
receipts
Adjustment (June 1932 deposits, cleared and counter entered in July 1932)
34, 410, 787. 01
34, 410, 787. 01
68, 904. 78
funds, etc
Total nonrevenue
$126, 186, 809. 75
54, 674. 31 36, 744, 399. 37 102, 560. 55 4, 078, 808. 28 126, 186, 809. 75
6, 539, 534. 49
34, 440, 908. 02
160, 597& 596. 76
201, 578, 039. 27
2, 019, 761, 077. 64
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 070. 88
9. 80
Total ordinary receipts
9. 80
2 019 761 067. 84
63, 895, 396. 48
20, 500, 415. 90
215, 630. 78
160, 597, 596. 76
2, 244, 254, 061. 08
EXPENDITURES General expenditures: Legislative establishment
369, 800. 98 781, 830, 707. 83 23, 063, 540. 01 57, 037, 663. 07 252, 191, 848. 46 41, 452, 259. 20 64, 741, 830. 85 43, 769, 885. 67 12, 998, 734. 54 342, 534, 126. 26 58, 603. 54 14, 713, 165. 53 265, 669, 925. 40 419, 311, 990. 03
Executive Office Veterans' Administration 4 Shipping Board Other independent offices and commissions Department of Agriculture Department of Commerce Department of the Interior ' Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department '
Total
j
2 340, 239, 497, 27
997. i&8
550, je78. 74 1, 405, 040. 13
20, 716, 046. 68 369, 800. 98 854, 001, 013. 35 28, 319, 623. 18 59, 488, 433. 44 255, 474, 526. 83 45, 314, 978. 49 78, 932, 544. 00 44, 671, 103. 85 13, 545, 740. 79 343, 103, 799. 09 58, 682. 54 15, 057, 723. 24 267, 632, 190. 60 420, 422, 032. 68
27, 496, 688. 96
79, 372, 003, 51
2, 447, 108„189 74
72, 170, 305. 52
5, 256, 083. 17
2, 598, 3, 282, 3, 863, 8, 752,
11&7, b'71. b1e
341. 91 678. 37 684. 29 572. 22
885. 00
5, 438, 140. 93
901, 218. 18 8', 780. 10 174, 101. 89 29. 00 75, 913. 24
636, 736. 35 395, 570. 94 268, 644. 47 2, 521, 743. 94 881f&
Exclusive of Distrirt of Columbia special and trust funds, Trust. fund receipts of 315,593.08 included in trust funds below. s United States revenues from District of Columbia sources stated under revenue receipts above. Includes the Bureau of Pensions and National Homes for Disabled Volunteer Soldiers under Executive order of July » Exclusive of Bureau of Pensions. See note 4. » Exclusive of National Homes for Disabled Volunteer Soldiers. See note 4. &
&
&
12
31&
1930,
13
RECEIPTS AND EXPENDITURES, 1933 gcccipts and cgpcnditures
J'une 80, 1988, classifie accordhng to funds of the governrrtent for the fiscal year ended [Repayments to appropriations
in excess of expenditures General fund
EXPENDITURES
$689, 243, 011. 82 425, 660, 300. 00
Interest
Sinking fund Purchase snd retirements
from foreign repayments Purchase and retirements from franchise-tax receipts (Federal Reserve credit banks) Forfeitures, gifts, etc Refund of receipts: Customs Internal Revenue and Industrial Alcohol Postal deficiency r Panama Canal Additional stock of Federal land banks Farm Credit Administration Agricultural marketing fund (net) Distribution of wheat and cotton for relief Adjusted-service certificate fund Civil-service retirement fund Government life-insurance fund Canal Zone retirement fund Foreign Service retirement fund District of Columbia,
Total
chargeable
$33, 886, 650. 00
$689, 243, 011. 82 425, 660, 300. 00 33, 886, 650. 00
2, 036, 750. 00
2, 036, 750. 00
12, 609, 694. 92 55, 682, 324. 58 117& 380, 192. 33 11, 417, 757. 84 8118& 5lj8. 00 180, 067. 36 8, 801&, 181r. 91 35, 105, 531. 67 100, 000, 000. 00 s 20, 850, 000. 00
59. 67
12, 609, 754. 59 55, 689, 938. 89 117, 380, 192. 33 11, 417, 757. 84
21, 100. 00
7, 614. 31
8/j8, 81rb; 00 988, 87/f. lr8
1, 118, 9lrL 88 s
5, 801', 181r. 91 35, 105, 531. 67 107, 601, 748. 76 61, 191, 504. 95
$7 601 748 76
' 40, 341, 504. 95 (rc) ' 544, 786. 93
416, 000. 00 7, 816, 049. 08
(")
544, 786. 93 678, 176. 38 42, 028, 625. 09
176. 38 34, 212, 576. 01 s 262&
62, 335, 921. 12
4, 035, 724, 414. 62 8, 683, 493. 95
162, 334, 796. 54
n
Finance Corporation
against
ordinary
receipts Excess of ordinary expenditures nary receipts
Trust funds (various acts)
Special funds (various acts)
21, 100. 00
3, 811, 053, 696. 96
Total ordinary expenditures Increase in outstanding checks
Total expenditures
are printed in italic]
—Continued
Public debt:
Reconstruction
—Continued
chargeable against ordi-
4, 027, 040, 920. 67 1&
267 907 692. 48
5, 294, 948, 613. 15
3, 050, 694, 552. 07
PUBLIC DEBT 9, 697, 082, 823. 58
Public-debt receipts
Public-debt expenditures (exclusive of $461,604, 800 chargeable against ordinary receipts included above) Excess of sll receipts over sll expenditures General fund balance June 30, 1932 General fund balance June
30, 1933
'1"or clsssfgcatfon of extraordinary
6, 646, 388, 271. 51 6, 183, 815, 625. 31
462, 572, 646. 20 391, 205, 129. 02
853, 777, 775. 22
expenditures contributing to the deficiency in postal revenues for the Qscal year ended June 30, 1933, see exhibit 1, p. 413. 1, 1933, deductions from salaries credited to the civil service, Foreign Service, snd Canal Zone retirement funds and the earnings from investments of such funds certiccate fund have been classised as receipts, whereas prior to that date such items were used to offset expenditures for the respective funds. Exclusive of $160,000 paid frozn the revenues of the District of Columbia. Stated under Veterans' Administration above. Represents net payments, on basis of daily Treasury statements (revised) from credit established on account of the purchase by the Secretary of the Treasury of the obligations ci the Reconstruction Finance Corporation under sec. 9 of the Reconstruction F insnce Corporation Act.
' Since July
and of the ad)usted-service
' ""
SUMMARY OF RECEIPTS BY SOURCES, FISCAL YEAR 1933 Qeneral fund
Special funds
Trust funds
Total
ORDINARY RECEIPTS REVENUE
Internal revenue (for details of internal-revenue by States and districts, see pp. 66, 67): Income tax Miscellaneous internal-revenue taxes Collections under enforcement of National tion Act'
receipts
Prohibi-
$746, 787, 142. 08 862, 100, 978. 60
391, 476. 18 279, 596. 86 609, 1,
Customs (for details of customs receipts by districts and ports, see pp. 63, 65): Duties Tonnage tax
5, 649, 962. 47 99, 130, 226. 83 2, 938, 947. 24 9& 396, 383. 01 1& 024, 156. 88 555, 432. 51 3, 217, 283. 13 31, 810. 79 3, 016, 643. 91 22, 018, 005. 46 1, 792, 882. 79 1, 190, 729. 55
—
$746 791 404 11 862, 450, 969. 72
354, 253. 15
391, 476. 18 1, 609, 633, 850. 01
195. 26
250, 514, 771. 77
2, 195. 26
250, 514, 771. 77
2, 040, 731. 97 4, 206, 179. 18
5, 417, 996. 77 2, 728, 089. 52 3, 958, 894. 47
7, 690, 694. 44 103, 336, 406. 01 3& 281, 259. 74 13, 657, 468. 97 1, 045, 256. 88 5, 973, 429. 28 5, 945, 372. 65 3, 990, 705. 26 3, 080, 434. 26 23, 617, 374. 28 4, 737, 880. 27 1, 733, 936. 54
970, 286. 04
1, 431, 635. 89 2, 695, 238. 99 236, 572. 53
(')
342, 312. 50
4, 261, 085. 96
21, 100. 00
63, 790. 35 1, 599, 368. 82 2& 944, 997. 48 543, 206. 99
1, 431, 635. 89 1, 724, 952. 95 236, 572. 53
2,
' $4, 262. 03 349, 991. 12
' 2,
250, 512, 576. 51 (') 250, 512, 576. 51
Public lands (included under nonrevenue receipts below). Miscellaneous (for details see pp. 16, 22): Miscellaneous taxes Interest, exchange, and dividends Fines and penalties Fees Forfeitures Assessments Reimbursements Gifts and contributions Sales of Government property products Sales of services Rents and royalties Permits, privileges, and licenses Mint receipts (profits on coinage, bullion deposits, etc. ) Forest reserve fund Postal receipts, Panama Canal United States revenues from District of Columbia sources ' Total miscellaneous revenue receipts
Total revenue receipts
s
73, 743. 84 153, 429, 369. 78
29, 098, 040. 05
73, 743. 84 182, 527, 409. 83
013, 221, 543. 15
29,
488. 46
2, 042, 676, 031. 61
31, 553, 763. 38 68, 904. 78 2& 818, 239. 86
54, 674. 31 36, 744, 399. 37 102, 560. 55 4, 078, 808. 28 126, 186, 809. 75
454&
NONREVENUE
Miscellaneous receipts (for details, see pp. 20, 22). Realization upon assets: Army costs due the United States from Germany Repayments of investments Sales of public lands (details by States on p. 68) Sales of Government property Trust funds District of Columbia: 7 District of Columbia revenues, taxes, etc United States revenues from District of Columbia sources Total miscellaneous nonrevenue receipts
Total miscellaneous
receipts
Adjustment (June 1932 deposits, cleared and counter entered in July 1932) Total ordinary receipts on basis of warrants issued'
54& 674. 31 5, 190, 635. 99 33, 655. 77 1, 260, 568. 42
$126, 186, 809. 75 34, 410, 787. 01
34,
410&
787. 01
6, 539, 534. 49
34, 440, 908. 02
160, 597, 596. 76
201, 578, 039. 27
159, 968, 904. 27
63, 538, 948. 07
160, 597, 596. 76
384, 105, 449 10
2, 019, 761, 077. 64
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 070. 88
160, 597, 596. 76
2, 244, 254, 061. 08
160, 597, 596. 76
9, 697, 082, 823. 58 11, 941, 336, 884. 66
160, 597, 596. 76
587, 631, 364. 48 12, 528, 968, 249 14
9. 80
9. 80
2, 019, 761, 067. 84
63, 895, 396. 48
9, 697, 082, 823. 58 11, 716, 843, 891. 42
63, 895, 396. 48
PUBLIC-DEBT RECEIPTS Public-debt receipts Total receipts including public-debt receipts POSTAL REVENUES Postal revenues under control of the Postmaster General Total receipts, including postal revenues
587, 631, 364. 48 12, 304, 475, 255. 90
Income tsx on railroads in Alaska, p. 259. » Philippine special funds, p. 259. s Additional collections were made from this source, amounting to $2, 095,977.10— under miscellaneous receipts; forfeitures, $186, 712.08; flnes snd penalties, $1,909,265, 02 (see p. 46). 4 Philippine special fund, p. 255. s Included under "Miscellaneous taxes" below beginning with the fiscsl year 1932. &
14
63, 895, 396. 48
Trust-fund receipts of $15, 593.08 iacluded in trust funds below. For details receipts by sources, see p. 69. ' Amount of ofUnited States revenues from District of Columbia sources, $73,743 gt& is shown under same title above under "Revenue. Receipts on basis of daily Treasury statements, revised, are the same ss those shown on basis of warrants issued. » &
"
&
SUMMARY OF RECEIPTS BY ORGANIZATION Qeneral fund
UNITS, FISCAI. YEAR Ig33 Special funds
Total
Trust funds
ORDINARY RECEIPTS $864, 145. 11 12, 988. 88
Legislative Executive Office Independent offices: American Battle Monuments Commission American National Red Cross
Smithsonian Institution U. S. Shipping Board U. S. Tariff Commission Veterans' Administration Miscellaneous Department of Agriculture Department of Commerce Department of the Interior (includes $102, 560, 55 sales of P ublic lands) Department of Justice, including judicial
Post Office Department De artment of Sta Treasury Department (includes $250, 514,771.77 customs and $1,609, 633,850.01 internal revenue) War De p artment Panama Canal District of Columbia District of Columbia revenues, taxes, etc United States revenues from District of Columbia sources Adjustment (June 1932 deposits, cleared and counterentered in July 1932) issued
receipts
on
basis
060, 322. 29 12, 988. 88
$1&
188. 28
Board of Tax Appeals Bureau of Efficiency Civil Service Commission Employees' Compensation Commission Farm Credit Administration 1 Federal Board for Vocational Education Federal Home Loan Bank Board Federal Power Commission Federal Radio Commission Federal Reserve Board Federal Trade Commission General Accounting Office Interstate Commerce Commission National Advisory Committee for Aeronautics National Capital Park and Planning Commission Public Buildings and Public Parks of the National Capital Railroad Administration and Transportation Act
Total ordinary
$196, 177. 18
62, 760. 08
188. 28
46) 272. 48
46, 272. 48 62) 760. 08
51. 87 61. 48
48. 00 545, 284. 03 45, 044. 14 208, 572. 90 452. 00 7. 80 7, 366. 02 5, 182. 48 6, 781. 82 1, 000, 000. 00
$8, 988. 14 2, 891. 83 356, 213. 62
15, 593. 08
2, 017, 465. 39
7, 492, 6, 000,
487, 510. 76
001. 11 28. 02
5, 833, 225. 21
13. 96 106, 518. 10 508. 81 4 827, 484. 66 1, 797, 349. 80 1 418, 963. 79
5,' 088, 699. 98
452. 00
2 017, 465.
38, 995. 89 977&
51. 87 61. 48 9& 036. 14 545, 284. 03 45, 044. 14 2, 891. 83 580, 379. 60
2, 405, 200. 31
500. 00
119, 599, 567. 38
3, 379, 946. 20 4& 144, 164. 55 7, 798, 473. 96
z3, 902, 816. 94 1, 713, 053. 92 17, 308. 08 4 203, 856. 76
187, 093. 37 98, 500. 00 976, 289. 20 476. 28 5, 533. 22
1, 960, 771, 419. 43 4, 847, 400. 05 20, 383, 754. 40
37, 612, 250. 35 1, 380, 437. 78 2, 800, 000. 00
3&
474. 86 921 630 88 8, 553. 74 195& 421. 96
38, 995. 89 977, 001. 11 28. 02 8, 238, 425. 52 13. 96 120, 706, 585. 48 508. 81 8& 207, 430. 86 5, 941, 514. 35
261, 912. 61 197& 424. 23 4' 009, 870. 68 2, 884& 765. 08 17, 784. 36 4, 480, 535. 22
044&
12&
&
6&
271, 145. 24 2, 119, 624. 61
1, 809. 86
1, 998, 385, 479. 64 8, 347& 462. 44 23, 183, 754. 40
34, 410, 787. 01
34, 410, 787. 01
73, 743. 84 2, 019, 761, 077. 64
73, 743. 84 63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 070. 88
9. 80
of warrants 2, 019, 761, 067. 84
39
7. 80 366. 02 693. 24 781. 82 000. 00
9. 80 Mar.
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254)
061. 08
g, 6g7, 082,
823. 58
PUBLIC-DEBT RECEIPTS Public-debt recei p ts
9, 697, 082, 823. 58
Total receipts, including public-debt
receipts
11, 716, 843, 891. 42
63, 895, 396. 48
160, 597, 596. 76
11, 941, 336, 884. 66
POSTAL REVENUES Postal 1'evenues under control of the Postmaster
Total receipts including postal revenues
General
587, 631, 364. 48 12, 304, 475, 255. 90
587, 631, 364. 48 63, 895, 396. 48
160, 597, 596. 76
12, 528& 968, 249. 14
' This"a««ment a does not include moneys covered into the Treasury on account of the Farru Credit Administration pursuant to the procedure prescribed by the Comptroller t«'„'f"' '"«»ted States, rePresenting unexpended balances of funds allocated by the Reconstruction Finance Corporation to the Secretary of Agriculture and subsequently
"
y the Seeretar Of AgriCulture tO the Farm Credit AdminiatratiOn 27, 1933. SinCe SuCh tranSaCtiOnS rePreSent merely the under EzeCutiVe Order NO. 6684 dated traatter f i between two governmental organizations, they are not included in either the receipts or expenditures of tliis report. Collectiona on account of the revolving fund of 'th F"m,Credit ", Administration, crested by aec, 6 of the Farm Credit, Act, of 1933 approved June 16, 1933, while covered into the Treasury as receipts for accounting purposes. cled thh report as credits against expenditures of the revolving fund. ' naiades'n $134, ' For details of 176.33 Housing Corporation receipts. receipts by sources, see 69.
,
'
'"«a
p.
15
DETAILS OF RECEIPTS BY SOURCES, FISCAL YEAR 1933 General fund
Special funds
Trust funds
Total
ORDINARY RECEIPTS REVENUE
Internal revenue (details on pp. 66, 67): Income tax Miscellaneous internal-revenue taxes Collections under enforcement of National Prohibition Act s
$746, 787, 142. 08 862, 100, 978. 60
Duties Tonnage tax
funding agreements
e e
Income tax on railroads in Alaska. Philippine special fund. See note 3, p. 14 for additional receipts from this source. Philippine tariff fund duties.
16
'
1, 609, 683, 850. 01
2, 195. 26
250, 5141 771. 77
2, 011, 417. 89
2, 011, 417 89
10, 207. 58 3, 415, 840. 68 1, 885, 062. 98 767, 648. 50 71, 207. 83
29, 814. 08
10, 207. 53 8, 415, 840. 63 1, 414, 377. 06 767, 648. 50 71, 207. 88
5, 649, 962. 47
2, 040, 731. 97
7, 690, 694. 44
65, 826, 857. 22
(')
428, 870. 29
1, 868, 850. 00
24, 869, 109. 68
35, 674. 74 2, 255, 853. 81
67, 190, 207. 22 24, 369, 109. 63 169, 658. 73
169, 658. 73
2, 040. 00
8, 765, 499. 31
35, 674. '74 2, 040. 00
2, 255, 853. 81 8, 765, 499. 81 452. 89
452. 39 104, 961. 80
1, 085, 152. 06 695. 79
'
8, 756. 24
104, 961. 80
905. 81
1, 085, 152. 06 1, 601. 60
2, 800, 000. 00
2, 800, 000 06
598, 640. 73
21, 574. 64
21, 574. 64
508 857 82
508, 857. 82
e e
3, 756. 24
598, 640. 78
99, 130, 226. 88 ~
854, 253. 15
428, 870. 29
purchased Gain by exchange Dividends on capital stock of the Panama Railroad owned by the United States Military and naval insurance, Veterans' Administration (repayments to appropriations) Federal control of transportation systems (repayments to appropriations) Loans to railroads after termination of Federal control (repayments to appropriations)
e
891, 476. 18
250, 514, 771. 77
(6)
250, 512, 576. 51
Interest on obligations of Reconstruction Finance Corporation purchased by the Secretary of the Treasury Interest on farmers' seed loans Interest on Library of Congress trust fund, investment account Interest on endowment fund, preservation of birthplace of Abraham Lincoln Interest on public deposits Interest on money loaned from construction loan fund Interest on investments of funds contributed for American National Red Cross Building Interest on investments, National Institute of Health, conditional gift fund Interest on miscellaneous obligations Discount on Treasury obligations redeemed and
$746, 791, 404. 11 862, 450, 969. 72
2, 195. 26
250, 512, 576. 51
Public lands (included in nonrevenue receipts, p. 68). Miscellaneous: Miscellaneous taxes: Federal Reserve banks franchise tax Tax on deficiencies in gold reserves of Federal Reserve banks Tax on circulation of national banks Tonnage tax Immigration head tax Taxes, licenses, fines, etc. , Canal Zone
Interest, exchange, and dividends: Interest on deferred collections or payments Interest on bonds of foreign governments under
' $4, 262. 08 849, 991. 12
391, 476. 18 1, 609, 279, 596. 86
Customs (details on pp. 68—65).
s
4, 206, 179. 18
108, 386, 406. 01
Included under "Miscellaneous taxes" below. Receipts credited direct to the appropriation by repay covering warrants during thc fiscal year 1933. e
e
17
RECEIPTS AND EXPENDITURES& 1983
—Continued
Details of receipts by sources, fiscal year 1988
Special funds
Qeueral fund
ORDINARY RECEIPTS REvENUE
Trust funds
Total
—Continued
continued
—
Continued. Miscellaneous Fines and penalties: Judicial Customs Service Immigration Service Navigation Enforcement of National Prohibition cial) Liquidated damages Navy fines and forfeitures
Act (judi-
s
$312, 884. 78 566, 012. 78 77, 476. 07 42, 378. 68
$312, 884. 78 566, 012. 78 77, 476. 07 42, 378. 63
1, 909, 265. 02 26, 668. 90
$342, 312. 50
1, 909, 265. 02 26, 668. 90 342, 312. 50 4, 261. 06
342, 312. 50
3, 281, 259. 74
4, 261. 06
Other
2, 988, 947. 24
Fees: Agricultural Commodities Act Alaska game laws Board of Tax Appeals Clerks, United States courts Commissions on telephone pay stations in Federal buildings and rented post offices Consular and passport Copying Copyright
183, 028. 37 11& 510. 06 62, 757. 58 1, 569, 186. 25
133, 028. 37 11, 510. 06 62, 757. 58 1, 569, 136. 25
64, 071. 16 4, 190& 719. 15
64, 071. 16 4, 190, 719. 15
21&
357. 32
2491 898. 30
Court of Claims Immigration (registration) Indian lands and timber Land offices (including commissions) Marshals, United States courts Naturalization Naval stores grading Navigation Patent Purchase of discharges, Navy and Corps Testing Warehouse Act
3 874. 00 152, 000. 15 59, 043. 74 55, 922. 23 202& 214. 10 2, 349, 346. 00 8& 603. 96 169, 199. 08 Marine
Other
Forfeitures: Bonds of aliens, contractors, etc Bribes to United Sta, tes officers Customs Service Under enforcement of National Prohibition Act (judicial) ' Judicial miscellaneous Unclaimed moneys and wages remaining in registry courts Unclaimed merchandise Unclaimed funds Unexplained balances in cash accounts Other
198, 958. 54
4, 062& 127. 42
5, 863. 40 28, 636. 70
5, 863. 40 28, 636. 70 19& 811. 00 39, 390. 46
19, 811. 00 39, 390. 46
9, 896,'383. 01
4, 261, 085. 96
13, 657, 468. 97
243, 154. 45 6, 724. 58 139, 205. 55
20, 600. 00
263, 754. 45 6, 724. 58 139, 205. 55
186, 712. 08 86, 880. 83
186) 712. 08 86& 880. 88
316, 323. 20 33, 962. 25 2, 953. 84 780. 83 7, 459. 27
500. 00
316, 323. 20 33, 962. 25 3& 453. 84 780. 83 7& 459. 27
.1, 024, 156. 88
21, 100. 00
1, 045, 256. 88
78, 000. 00
78, 000. 00
10. 99
10. 99
60, 585. 70 28, 300. 00 962. 00 4, 692. 80
60, 585. 70 28, 300. 00 962. 00 4, 692. 80
Assessments:
Immigration service overtime Collections from shipping companies for repatriation of American seamen Colorado River Dam fund, Boulder Canyon
project
Deposits for establishing wool standards Deposits, public survey work, Alaska Deposits, public survey work, general Upon Federal and joint-stock land banks and Federal intermediate credit banks for salaries and expenses Federal Farm Loan Board (act
' 470. 87
Mar. 4, 1925, 43 Stat. 1262)
' See note
—
3fSSr 34
3, p. 14, for additional receipts from this source.
— 3
21, 357. 32 249, 898. 30 3, 874. 00 152, 000. 15 59, 043. 74 254, 880. 77 202, 214. 10 2, 349, 346. 00 8, 603. 96 169, 199. 08 4& 062, 127. 42
&
Debit item, deduct, adjustmeuts of prior rear receipts.
'
470. 87
18
RECEIPTS AND EXPENDITURES
1933
&
—Continued
Details of receipts by sources, fiscal year 1888 General fund
ORDINARY RECEIPTS REvENUE
Trust funds
Special funds
Total
—Continued
—continued
——
Continued. Miscellaneous Assessments Continued. On Federal and joint-stock land banks, and credit banks for exFederal intermediate penses of examinations, Federal Farm Loan
Board
On Federal reserve
banks penses, Federal Reserve Assessments upon Federal salaries and expenses,
Bank Board
for salaries and exBoard home loan banks for Federal Home Loan
banks for salaries and expenses of national-bank examiners Guaranty fund by farmers in connection with seed-grain loans deductions and Furlough and compensation vacancy savings (special deposit accounts) General railroad contingent fund German Government's moiety, expenses, Mixed Claims Commission Naval hospital fund
$311, 490. 32
acts
$307, 334. 00
2, 017, 465.
39
2, 017, 465. 39
2, 321, 857. 20
2&
s 138&
105&
319 46
622. 73
487, 510. 76
138, 319. 46 487, 510. 76
5, 522. 23 414, 824. 56
414, 824. 56
5, 417, 996. 77
5, 973, 429. 28
5, 522. 23
14, 889. 55
14&
71, 594. 00
891. 83
2, 321, 857. 20
105, 622. 73
555, 432. 51
Deductions from awards of Mixed Claims Commission, United States and Germany, to for expenses incurred cover reimbursement by United States in respect thereof, settlement of War Claims act of 1928 By District of Columbia for advances for acquisition of lands under sec. 4, act May 29, 1930, as amended Maintenance of District of Columbia inmates in Federal penal and correctional institutions Refunds on empty containers By contractors for excess cost over contract price By State of Arizona for expenditures, nonproduction of cotton zones for 1930 crop losses Expenses, miscellaneous Expenses of redeeming national currency Inspection of food and farm products Gasoline State tax Government property lost or damaged Hospitalization charges and expenses Expenses of international service of ice observations and patrol Costs from estates of deceased Indians Maintenance operation and irrigation charges, irrigation systems, Indian Service Appropriations made for Indian tribes Collections, reclamation fund reclamation Auxiliary fund, Yuma project, Arizona Other
M
2, 891. 83
On National
Reimbursements: Construction charges (Indian Service) Collections under grain and cotton standards
$1&, 18'I&.
7
36, 957. 74
889. 55
108, 551. 74
1, 106. 84
1, 106. 84
1, 000, 000. 00
1&
000, 000. 00
120, 806. 92 5, 487. 46
120, 806. 92 5& 487. 46
563, 135. 86
563&
145, 954. 05 59, 756. 07 471, 942. 44 289, 432. 26 1, 858. 69 118, 222. 65 48, 608. 02
954. 05 59, 756. 07 471, 942. 44 289, 432. 26 1, 858. 69 118, 698 93
135. 86
&
476. 28
326, 302. 15
134, 189. 83 4
40, 083, 30
4, 083. 90
48, 608. 02 84, 659. 40 45, 555. 79
84, 659. 40 45, 555. 79
3, 217, 283. 13
Gifts and contributions: Forest Service cooperative work Library of Congress gift fund Library of Congress trust fund, investment account Return of salary and mileage paid to Members of Congress
145&
2, 349, 240. 80
326, 302. 15 134& 189. 83 2& 349& 240. 80
15, 112. 55
15, 112. 55 40, 083. 30
2, 728, 089. 52
5, 945, 372. 65
2, 344, 402. 42
50, 235. 63
2, 344, 402. 42 50, 235, 63
110, 266. 81
110, 266. 81 4, 083. 90
Debit item, deduct, adjustments of prior year receipts. salary savings and $10,684, 570.35 reserved for impounded salary sav&ngs& 4 In addition to this amount, $52, 811,505. 30 was carried to the surplus fund of the Trassury as impounded 11, act Mar during the fiscal year 1933, as shown on pp. 390, 434, under the provisions of the Economy Act of June 30, 1932 (47 Stat. 403, secs. 110 and 203, as amended by sec. 3 of title 61' salary savings and 645, 208. 40, reserve for impounded salary savings, for tl e postal Servioe. 403. on account of impounded of 361, $9, are exclusive $54, These figures 20, 1933), Includes no return of advances made to the "Reclamation fund. &
&
"
19
RECEIPTS AND EXPENDITURES, 1933
—Continued
Details of receipts by sources, ftscal year 1M8 Oeneral fund
Special funds
Trust funds
Total
ORDINARY RECEIPTS
continued REvENUE — — Continued. Miscellaneous Continued. Gifts and contributions —
For American National Red Cross Building
Moneys received from persons known Moneys received from persons unknown Donations to the United States Return of salary from constitutional officers Return of part of compensation of the President Donations, National Park Service For topographic survey of the United States Contributions for river and harbor improvements Contributions for fiood control For roads, bridges, and related works, Alaska Bequest of William F. Edgar, museum and library, Surgeon General's Office (Army)
—
products: property condemned ms, terials, Scrap and salvaged stores, waste paper, refuse, etc Agricultural products, including livestock and livestock products Card indexes, Library of Congress Dairy products Electric current, power plant, Coolidge Dam,
Sales of Government
$452. 01 7, 249. 16 4, 365. 31 2, 816. 66 12, 843. 75
31, 810. 79
Other
299, 902. 13 17, 500. 00
594, 336. 95 471, 500. 37 6, 621. 07
594, 336. 95 471& 500. 37 6, 621. 07
18, 309. 00
18, 309. 00
3, 958, 894. 47
3, 990, 705. 26
28, 662. 98 206, 832. 72 39, 494. 30
28, 567. 30
28, 567. 30
625, 708. 92 13, 833. 86 129, 185. 65 68& 409. 65 56, 452. 33 370, 070. 34 9, 688. 27 47, 999. 73 50, 230. 83 33, 206. 51
625, 708. 92 49, 056. 91 129, 185. 65 68, 409. 65 56, 452. 33 370, 070. 34 9, 688. 27 47, 999 73 50, 230. 83 33, 206. 51
35, 223. 05
63, 790. 35
3&
080, 434. 26
1, 096, 255. 36 1, 340. 12
1, 381, 122. 49 12, 176. 00 1, 096, 255. 36 1, 340. 12
82, 372. 58
82, 372. 58
145. 00
145. 00
217, 738. 04 52, 711. 81 48, 888. 89 183, 960. 53
218, 246. 33
217, 738. 04 52, 711. 81 48, 888. 89 183, 960. 53 218, 246. 33 240, 962. 40 19, 970, 514. 89 69, 918. 43 41& 021. 41
1, 599, 368. 82
23, 617, 374. 28
12, 176. 00
962. 40 19, 970, 514. 89 69, 918. 43 41, 021. 41
1, 381, 122. 49
240&
22, 018, 005. 46 Rents and royalties: Rent of public buildings grounds etc Rent of land Receipts under mineral leasing acts Royalties on oil i gas etc Rent of e ui ment Rent of docks wharves and piers Rent of telegraph and telephone facilities Rent of water-power sites Rent of Army tank cars Ot er
299, 902. 13 17, 500. 00
28, 662, 98 206, 832. 72 39, 494. 30
Corporation)
Quarantine charges (including fumigation, disinfection, inspection, etc. of vessels) Quarters, subsistence, and laundry service Radio service Storage and other charges Profit from sale of ships' stores, Navy Telephone and telegraph Tolls and profits, Panama Canal Work done for individuals, corporations, et al Otheer
4, 365. 31 2, 816. 66 12, 843. 75
1, 336, 867. 82
3, 016, 643. 91 Sale of services: Alaska Railroad fund receipts Fumigating and disinfecting Laundry and dry-cleaning operations Livestock breeding service Overhead charges on sales of services or supplies (War and Navy) Earnings from business operations (Housing
$45, 820. 09 452. 01 7, 249. 16
1, 336, 867. 82
A riz
Electric current (Dam Mo. 2, Muscle Shoals, Ala. , $554, 884. 14) Gas from helium plants Heat, light, and power Ice Occupational therapy products Public documents, charts, maps, etc Fox skins and furs Subsistence (meals, rations, etc. ) Water
$45, 820. 09
364, 829. 58 94, 370. 90 325, 938. 02 760, 348. 34 76, 336. 52 21, 784. 35 11, 747. 31 53, 070. 27 70, 000. 00 14, 457. 50 1, 792, 882. 79
2, 930, 396. 29
14, 601 19
2, 944, 997. 48
364, 829. 58 94, 370. 90 3, 256, 334. 31 774, 949. 53 76, 336. 52 21, 784. 35 11, 747. 31 53, 070. 27 70, 000. 00 14, 457. 50 4,
73?. SSO. 27
20
RECEIPTS AND EXPENDITURES, 1933
—
Details of receipts by sources, fiscal year 19SS Continued General fund
ORDINARY RECEIPTS REvENUE
Special funds
Trust funds
Total
—Continued
—continued
—
Continued. Miscellaneous Permits, privileges, and licenses: Alaska fund Business concessions Game and bird refuges revenue Immigration permits Licenses under Federal Water-Power Act Permits to enter national parks rights Pipe line, water and power-transmission Other
$175, 748. 19 713. 87 349, 289. 71 208, 587. 15 441, 405. 15 18, 193. 95 1, 841. 58
$186, 993. 37
1, 431, 685. 89
Forest reserve fund
1 724 952 95
Postal receipts, Panama Canal United States revenues from District of Columbia
sources»
Total miscellaneous
revenue receipts
Total revenue receipts
849, 289. 71 564, 750. 77 441, 405. 15 18, 193. 95 1, 841. 53
356, 218, 62
543, 206. 99
1, 190, 729. 55
Mint receipts (profits on coinage, bullion, deposits, etc. )
3186, 993. 87 175, 748. 19 713. 87
1, 788, 936. 54 1, 481, 635. 89
970, 286. 04
2, 695, 238. gg
286, 572. 53
236, 572. 53
73, 748. 84
73, 748. 84
153, 429, 869. 78
29, 098, 040. 05
182, 527, 409. 83
2, 018, 221, 548. 15
29, 454, 488. 46
2, 042, 676, 031, 61
NONREVENUE
M isceHancous:
Realization upon assets: Army costs due the United States from Germany
Repayments of investments: Federal control of transportation systems (repayments to appropriations) Loans to railroads after termination of Federal control, etc. (repayments to appropriations) Deposit by United States Shipping Board Merchant Fleet Corporation under sec. 806 (h), Economy Act, June 80, 1982 Agricultural credits and rehabilitation, emergency relief (repayments to appropriations) Farmers' seed-grain and feed loans (repayments to appropriations) Loans to farmers in storm, drought, and fiood-stricken areas to (repayments appropriations) Return of advances made to reclamation fund (see note 17, p. 41) Liquidation of capital stock, Federal land banks Reimbursement of relief moneys furnished to American citizens in Europe Principal of bonds of foreign governments under funding agreements Principal of Government-owned securities, sale of war supplies Construction costs of public works in Colon and Panama Other
Sales of public lands (details, by States, on p. 68)
' Receipts
credited direct to appropriations
54, 674. 81
'
1, 000. 00
' 443,
'
s
54, 674, 31
1, 000. 00
688. 88
443, 683. 83
1, 938, 240. 00
1, 938, 240. 60
1, 685, 639. 41
1, 685, 639. 41
' 24. 77
24. 77
014, 952. 42
1, 014, 952. 42
I&
(12)
61, 665. 00
61, 665. 0o
508. 81
508. 81
18, 755. 60
31, 567, 518. 98
31, 553, 763. 38
14, 657. 68
14, 657. 68
56, 387. 24 10, 171. 73
56, 887. 24 10, 171. 73
5, 190, 685. 99
31, 553, 768. 88
36, 744, 399 3'
83, 655. 77
68, 904. 78
102, 560 5
by repay covering warrants, during the fiscal year 1938.
» Trust fund receipts of $18,393.98 under licenses, Federal Water-power Act are included under nonrevenue «For details of receipts by sources, see p. 68. » No return of advances were made during the fiscal year 1933.
receipts& miscenaneot
s
t
ust funds, p. 31.
21
RECEIPTS AND EXPENDITURES& 1933
—Continued
Dsfails of receipts by sources, fiscal year 1988 General fund
ORDINARY RECEIPTS
Trust funds
Special funds
Total
—Continued
NONREVENUE~ontinued
—Continued. Continued. Realization upon assets —
Miscellaneous
Sales of Government property: Capital equipment, includes trucks, horses, cars, machinery, furniture and fixtures, and other capital equipment Land and buildings Lands, etc. , on account of military post construction fund Office material, etc. (General Supply Com-
mittee) War supplies Coos Bay wagon-road grant fund Oregon and California land-grant fund Funds received from sales of ships, etc. , and deposited for construction loans under sec. 11, Merchant Marine Act, 1920, as amended (45 Stat. 689) Ordnance material (war) Other
211. 16 141, 842. 13
$146&
11, 892. 75 947, 527. 80 5, 815. 28
7, 279. 30
1, 260, 568. 42
$3, 865. 68
$146, 211. 16 145, 207. 76
287, 070. 82
287, 070. 82
1, 648. 34 107, 490. 20
11, 892. 75 947, 527. 80 7& 463. 62 107, 490. 20
2, 405, 200. 81 7, 180. 64
283. 92
7& 180. 64 13, 563. 22
2, 818, 239. 86
4, 078, 808. 28
6&
Tfust funds: Government life-insurance fund Civil-service retirement and disability fund 's Foreign Service retirement and disability fund Canal Zone retirement and disability fund Deposits, general post fund, National Homes, Veterans' Administration Deposit of unclaimed moneys of former patients, Veterans' Administration hospitals Deposits, funds due incompetent beneficiaries, Veterans' Administration Interest on loans, adjusted service certificate fund 's Interest on investments, adjusted service certificate fund Relief and rehabilitation, and interest on investments, Employees' Compensation Com-
" "
"
mission Deposits of commissary funds, Federal prisons Deposits of funds of Federal prisoners Pension money, St. Elizabeths Hospital Personal funds of patients, St. Elizabeths Hospital Pay of the Navy, deposit fund Pay of the Marine Corps, deposit fund Navy pension fund, principal Pay of the Army, deposit fund Soldiers' Home permanent fund Proceeds from estates of deceased soldiers Deposit of Stars and Stripes and other funds to Recreation Fund, Army Civilian Conservation cash Corps, withheld allowances Indian moneys: Proceeds of labor, act June
13, 1930 Proceeds of labor agencies, schools, etc Oil and gas leases, etc. ,
$686, 151. 61
Okla Proceeds of sales and leases of Indian lands,
1,605, 114.45
Osage
$71, 095, 648. 26 40, 249, 908. 64 262, 272. 48 560, 930. 88
71, 095, 648. 26 40, 249, 908. 64 262, 272. 48 560, 980. 88
234, 884. 28
234, 884. 28
2, 424. 09
2, 424, 09
1, 661, 681. 42
1, 661, 631, 42
216, 806, 80
216, 806. 30
5, 577, 165. 31
5, 577, 165. 31
998. 14 954. 46 635. 44 176. 61
8, 988. 14 258, 954. 46 654, 635. 44 99 176. 61
158, 578. 48 84, 049. 47 161, 282. 09 91. 10 903, 877. 81 846, 254. 99 54, 426. 75
158, 578. 48 34, 049. 47 161, 282. 09 91. 10 908, 877. 81 346, 254. 99 54, 426. 75
807, 894. 90
807, 394. 90
7, 554. 20
7, 554. 20
2, 785, 400. 31
2, 785, 400. 31
15, 828. 66 83, 704. 73
15, 823. 66 83, 704. 73
809 75
126, 186, 809. 75
8, 258, 654, 99,
182, 887. 59
Reservation,
etc
Miscellaneous
2, 405, 200. 31
.
361, 750. 92 45. 74
Deposits
of unclaimed moneys of individuals whose whereabouts are unknown Miscellaneous trust funds
126& 186& u Since July 1, 1932, deductions from salaries credited to the Civil Servi ce, poreign Service, and Canal Zone retirement sadd c cf the adlustedoervice certificate fund have been classified as receipts, whereas prior to that date such items were used
funds and the earnings from investments of such funds to offset expenditures for the respective funds.
RECEIPTS AND EXPENDITURES& 1933 Details of receipts by sources, fiscal year
I &788— Continued
General fund
ORDINARY RECEIPTS NoNREvENUE
Special funds
Trust funds
Total
—Continued
—continued
——
Miscellaneous Continued. Trusts funds Continued. District of Columbia Revenue receipts: District of Columbia share United States share
":
(15)
receipts: District of Columbia share Total miscellaneous receipts under District of Columbia
$27, 509, 184. 95
$27, 509, 184. 95
27, 509, 184 95
27, 509, 184. 95
6, 901, 602. 06
6, 901, 602. 06
34, 410, 787. 01
34, 410, 787. 01
(&5)
Nonrevenue
(&5)
Total miscellaneous receipts, including Panama Canal. and "Sales of
"
public lands: Revenue receipts Nonrevenue receipts
Adjustment (June 1932 deposits, cleared and counter-entered in July 1932) Total ordinary receipts on basis of warrants issued
$153, 429, 369. 78
6, 539, 534. 49 159, 968, 904. 27
$29, 098, 040. 05 34, 440, 908. 02 63, 538, 948. 07
160, 597, 596. 76 160, 597, 596. 76
182, 527, 409, 83 201, 578, 039. 27 384, 105, 449. 10
2, 019, 761, 077. 64
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 070. 88
2, 019, 761, 067. 84
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 061. 08
9, 697, 082, 823. 58 11, 716, 843, 891. 42
63, 895, 396. 48
160, 597, 596. 76
9, 697, 082, 823. 58 11, 941, 336, 884. 66
587, 631, 364. 48 l2, 304, 475, 255. 90
63, 895, 396. 48
160, 597, 596. 76
587, 631, 364. 48 12, 528, 968, 249. 14
9. 80
9. 80
PUBLIC-DEBT RECEIPTS Public-debt receipts Total receipts into the general fund
POSTAL REVENUES Postal revenues under control of the Postmaster General Total receipts, including postal revenues » For details see p. 69. » Amount of United States revenues from District of Columbia
sou&sea, $73, 743.85, is shown under same
title under "Revenue, receipt.
", p. 20.
SUMMARY OF RECEIPTS BY FUNDS General fund
Special funds
Trust funds
&
Total
ORDINARY Internal revenue (details on pp. 66, 67): Income tax taxes Miscellaneous internal-revenue Collections under enforcement of National hibition Act '
Pro-
18 1, 609, 279, 596. 86 250, 512, 576. 51 (') 250, 512, 576. 51
Miscellaneous (details follow): Miscellaneous receipts (including lands, details on pp. 16, 22)
receipts
on
sales
basis
$4, 262. 03 349, 991. 12
$746, 791, 404. 11 862, 450, 969. 72
354, 253. 15
18 01 1, 609, 633, 850.
2, 195. 26
250, 514, 771 77
391& 476
Customs (details on pp. 63, 65): Duties Tonnage tax
Total ordinary-
$746, 787, 142. 08 862, 100, 978. 60
391& 476.
(') 2, 195. 26
250, 514, 771 77
of public
159, 968, 894. 47
63, 538, 948. 07 $160, 597, 596. 76
384, 105, 439. 30
of warrants
issued
2, 019, 761, 067. 84
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 061. 08
160, 597, 596. 76
9, 697, 082, 823. 58 11, 941, 336, 884. 66
PUBLIC-DEBT RECEIPTS Public-debt receipts (details on p. 62) Total receipts into the general fund &
&
&
Includes District of Columbia funds. Additional collections were made from this source, amounting Included under miscellaneous receipts, p. 36,
9 697 082 823 58 11, 716, 843, 891. 42
—
63, 895, 396. 48
to $2, 096, 977. 10 under miscellaneous receipts; forfeitures, $186,712.08; fines and penalties, $1,909,266 02.
.MISCELLANEOUS RECEIPTS, BY ORGANIZATION General fund
UNITS AND SOURCES
Special funds
rotal
Trust funds
LEGISLATIVE UNITED STATES SENATE
Revenue receipts:
Gifts and contributions: Return of mileage paid to Members of Congress
—
products: property Scrap and salvaged materials, condemned waste paper, refuse, etc
Sales of Government
$2, 841. 90
$2, 841. 90
stores,
Total, United States Senate
49. 75
49. 75
2, 891. 65
2, 891. 65
HOUSE OF REPRESENTATIVES
Revenue receipts:
Gifts and contributions:
Return of salary as Members of Congress Return of mileage paid to Members of Congress
—
products: property Scrap and salvaged materials, condemned stores, waste paper, refuse, etc
Sales of Government
Nonrevenue
1, 000. 00 242. 00
00
1, 242. 00
1) 242.
1, 768. 13
1, 768. 13
59. 00
59. 00
3, 069. 13
3, 069. 13
receipts:
Sales of Government
property:
Capital equipment
Total, House of Representatives OF THE CAPITOL
ARCHITECT
—
Revenue receipts:
products: Sales of Government property Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Heat, light, and power (Capitol power plant) Furnished Government Printing Office Furnished Washington City post office Furnished Seymour Ruff Sons
133. 13 126, 307. 64
$112, 562. 08 13, 360. 56 385. 00 126, 307. 64
Rents and royalties: Rent of public buildings Nonrevenue
and grounds
126, 440. 77
126, 440. 77
37, 992. 44
37, 992. 44
120. 00
120. 00
164, 553. 21
164, 553. 21
receipts:
Sales of Government
property:
Capital equipment
Total, Architect of the Capitol LIBRARY OF CONGRESS
Revenue receipts:
Interest, exchange, and dividends: Interest on deferred collections or payments Income on Library of Congress trust fund, investment account, act Mar. 3, 1925 (43 Stat. 1107) Bequest of Alexis V. Babine Beethoven Association. Wm. E. Benjamin R. R. Bowker Carnegie Corporation (und Elizabeth Sprsgue Coolidge . Daniel Guggenheim Archer M. Huntington fund Nicholas Longworth J. B. Wilbur
(For appropriation
.
..
account see p. 91.)
.
$35, 674. 74
$249. 50 504. 75 2, 366. 00 99. 73 3, 736. 80 7, 045. 11 3, 785. 15 6, 722. 50 13. 97
11, 151. 23 35, 674. 74
. 15
35, 674. 89
35, 674. 74
23
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, by organization
units and sources
General fund
—Continued
Special funds
Trust funds
Total
—Continued coNGREss — continued
LEGISLATIVE LIBRARy GF
Revenue receipts
Fees:
—Continued.
Copyright
$249, 898. 30
$249, 898. 30
71. 69
71. 69
Forfeitures: Unclaimed
moneys,
Copyright
Office
Reimbursements: Government property lost or damaged Transportation
67. 65 4 74 72. 39
Gifts and contributions: Contributions to Library of Congress gift fund, act Mar. 3, 1925 (43 Stat. 1107) American Council Learned Societies American Library Association Anonymous Carnegie Corporation fund Elizabeth Sprague Coolidge Friends of music in the Library of Congress General Educational Board John D. Rockefeller, Jr Social Science Research Council
.
(For appropriation
.
account, see p. 91.)
.
$50, 285. 63
$3, 500. 00 750. 00 6oo.'oo 8, 500. 00 16, 806. 86 1, 000. 00 11, 951. 01 5, 000. 00 2, 127. 76 50, 23a 63
Contributions to Library of Congress trust fund, investment account, act Mar. 3, 1925 (43 Stat.
1107)
Bowker donation Eltzabeth Sprague Coohdge Nicholas I ongworth Foundation J. B. Wilbur
(For appropriation
account, see p. 91.)
110, 266. 81
products: property —
Sales of Government Card indexes, Library of Congress Photo duplications
Nonrevenue receipts: Sales of Government property: Capital equipment
1. 00
160, 502. 44
160, 503. 44
206, 832. 72 2, 535. 20
209, 367. 92
209, 367. 92
100. 00
100. 00
196, 177. 18
655, 688. 63
OFFICE
Revenue receipts: Interest, exchange, and dividends: Interest on deferred collections or payments
Reimbursements: By contractors price
1. 00
459, 511. 45
Total, Library of Congress PRINTING
110, 266. 81
$5, 000. 00 250. 00 I, 350. 00 103, 666. 81
Moneys received from persons unknown
GOVERNMENT
72, 39
for excess of cost over contract
—
Sales of Government property products: Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Sale of publications
. 04
. 04
1, 061. 85
1, 061, 35
31, 092. 06 201, 966. 22 233, 058. 28
233, 058. 28 284, 119. 67
Total, Government
Printing Office
234, 119. 67
Total miscellaneous
receipts under Legislative
864, 145. 11
196, 177. 18
1, 060, 322. 29
RECEIPTS AND EXPENDITURES& 1933 ~iscettaneotts receipts, by organization
ttnits and sources
General fund
25
—Continued
Special funds
Trust funds
Total
EXECUTIVE OFFICE Revenue receipts:
Gifts and contributions: Return of part of compensation of the President under Economy Act of June 30, 1932, sec. 109, and act of Mar. 20, 1933, sec. 7, title II Donations to the United States
Sales of Government
12, 849. 75
product: property —
Scrap and salvaged materials, condemned waste paper, refuse, etc Nonrevenue
' $12, 843. 75 6. 00 $12&
849. 75
stores, 25. 50
25. 50
113. 63
113. 63
12, 988. 88
12, 988. 88
188. 28
188. 28
receipts:
Sales of Government
property:
Capital equipment
Total, Executive Oflice
INDEPENDENT
OFFICES
BATTLE MONUMENTS
AMERICAN
COMMISSION
Nonrevenue receipts: Sales of Government
property'. Capital equipment AMERICAN
NATIONAL
RED CROSS
Revenue receipts:
Interest, exchange, and dividends: Interest on investments of funds contributed for American National Red Cross Building (resolution Feb. 7, 1930, 46 Stat. 66) (For appropriation
Gifts and contributions: Funds contributed Cross Building 46 Stat.. 66)
for American (resolution
452. 39
National
45, 820. 09
45, 820. 09
46, 272. 48
46, 272. 48
Red
Feb. 7, 1930,
&
(For appropriation
$452. 39
account, see p. 94.)
account& see
p. 94.)
Total, American National Red Cross BOARD OF TAX APPEALS
Revenue receipts:
Fees: Fees for transcripts
of record
62, 757. 58
62, 757. 58
2. 50
2. 50
62, 760. 08
62, 760. 08
. 20
. 20
51. 67
51. 67
51. 87
51. 87
61. 48
61. 48
Nonrevenue
receipts: Sales of Government property: Capital equipment
Total, Board of Tax Appeals BUREAU OF EFFICIENCY
Revenue receipts:
Reimbursements: Expenses Sales of services:
Telephone and telegraph
Total, Bureau of Efliciency CIVIL SERVICE COMMISSION
Revenue receipts:
—
Sal es of Government property products: Scrap and salvaged materials, condemned waste paper refuse etc
'
stores,
For or complete ststemeni ststem on impounded salary , ss amended by sec. 3 of title II, sct Mar.savings snd reserved impounded 20„1M3) see p. 4s4.
salary savings under tbe pro»sfons o
26
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
units and sources
receipts, by organization
General fund
OFFICES
INDEPENDENT EMPLOYEES
COMPENSATION
—Continued
Special funds
Total
Trust funds
—Continued
COMMISSION
Revenue receipts:
Fees:
$48. 00
Copying
$48. 00
receipts: Trust fund: Receipts under
Nonrevenue
and Harbor Longshoremen's Workers' Compensation Act (act Mar. 4, 1927, 44 Stat. 1444) Interest on investments (For appropriation
Total,
$5, 000. 00 3, 988. 14
account, see p. 97.)
Employees'
Compensation
8, 988. 14
9, 036. 14
48. 00
'
products: property —
Nonrevenue receipts: Repayments of investments: Farmers' seed and feed loans, New Mexico (repayments to appropriation) Loans to farmers in drought and storm-stricken areas, emergency relief (repayments to appropriation) Loans to farmers in storm and flood-stricken area, Southeastern States (repayments to appropriation) Loans to farmers in storm, flood, and droughtstricken areas (repayments to appropriation) Loans to farmers in storm and drought-stricken areas, Southeastern States (repayments to appropriation) emercredits and rehabilitation, Agricultural gency relief (repayments to appropriation)
49, 137. 01
49, 137. 01
. 10
. 10
' '
24. 77
388, 669. 85 4
], 403. 10
' 1, 232. 76
' 4
2, 514. 12
102, 302. 32 496, 146. 92
496, 146. 92
Total, Farm Credit Administration FEDERAL BOARD FOR VOCATIONAL
988. 14
2
Revenue receipts: Interest, exchange, and dividends: Interest on farmers' seed and feed loans Sales of Government Other
8&
Commis-
sion FARM CREDIT ADMINISTRATION
8, 988. 14
'
545, 284. 03
545, 284. 03
EDIICATION
Revenue receipts: Interest, exchange, and dividends: Interest on public deposits
45, 044. 14
45, 044. 14
FEDERAL HOME LOAN BANK BOARD
Revenue receipts: Assessments: Assessments upon Federal home-loan banks for salaries and expenses, Federal Home Loan Bank Board, act July 22, 1932 (47 Stat. 737, sec, 18 (b)) (For appropriation
$2, 891. 83
2, 891. 83
account, see p. 120.)
See note 1, p. 15. See p, 32. receipts of $120,516.72 were collected from this source under the Department of Agriculture. ' Receipts credited direct to appropriations by repay covering warrants during the fiscal year 1933, see p. 98. Additional receipts were also collected from this source Department of Agriculture, p. 34. r
' Additional
under the
RECEIPTS AND EXPENDITURES& 1933 Jiifiscellaneous
receipts, by organization
units and sources
Qeneral fund
INDEPENDENT
OFFICES
27
—Continued
Special funds
Trust funds
Total
—Continued
FEDERAL POWER COMI&IISSION
Revenue receipts:
Fees:
$35. 75
Copying Permits, privileges, and licenses: Proceeds of licenses under Federal Water Power Act from Indian reservations, act June 10,
1920 (41 Stat. 1072)
Agua Csliente Reservation, Calif Augustine Reservation, Calif Camp McDowell, Ariz Crow Indians, Mont.
$15, 598. 08
.
.
Flathead Reservation, Mont Fort Hall Reservation, Idaho Klamath Reservation, Oreg Lac Courte Oreilles Reservation, AVis Ls Jolla Reservation, Calif Menominee Reservation, Wis Modoc Indians, Fort Bidwell, Calif Morongo Reservation, Calif Nez Perces Indians, Idaho Pals Reservation, Calif Pechanga Reservation, Calif Pottawatomie Indians, Wis Bincon Reservation, Calif Rosebud Reservation, S.Dak Salt River Indians, Ariz Sbosbone and Arapahoe Indians, Wyo Soboda Indians, Calif Tuolumne Rancheria Indians, Calif Uintah and Ouray Reservation& Utah Yakima Reservation, Wash Yuma Reservation, Calif
.
.. . .
.
.
.
. .
..
$25. 00 2, 45 18. 06 7. 50 12, 000. 00 79. 94 117.91 1, 200. 00 39. 00 1, 500. 00 . 61 22. 84 13. 50 8. 38 1. 00 5. 00 27. 50 5, 00 16. 94 145. 00 19. 00
1. 55 150. 00 98. 70 88. 20
Under the Federal Water Power Act the above receipts sre credited to "Proceeds of labor" (under each of the above tribes or reservations), pp. 195-198.
15, 593. 08
Proceeds of licenses under Federal Water Power Act from public lands and national forests, act June 10, 1920 (41 Stat. 1072) Alabama Alaska Arizona Arkansas. California Colorado
835. 75
24, 612. 74
8172, 289. 22
183, 924. 41
183, 924 40
208, 537. 15
356, 213 62
15, 593. 08
580, 343. 85
208, 572. 90
3o6, 213. 62
15, 593. 08
580, 379 60
$113.42
....
Florida.
Idaho Michigan Minnesota Missouri Montana Nevada New Hampshire North Carolina
.
Oregon
Pennsylvania South Dakota Tennessee Utah Virginia Washington. West Vxginia Wisconsin Wyoming Puerto. Rico
.
... . .. .
. .
1, 677. 01 563. 87 3, 505. 00 139, 057. 89 818. 25 . 12 13, 355. 74 45. 05 53. 92 . 74 382. 83 170. 16 7. 29 80. 00 9, 567. 30 100. 66 324. 35 5. 00 3, 955. 68 62. 43 18, 066. 21 3. 59 4, 211. 64 382. 23 391. 58
196, 901. 96 Under the Federal Water Power Act the above receipts are disposed ss ss follows: 50 percent ($98.450.99) credited to "Reclamation fund. p. 153. 37)4 percent ($73,838.23) credited to "Payments to States under Federal Water Power Act, p. 102. 12)4 percent ($24, 612.74) remains in general fund as Miscellaneous receipts.
"
"
Proceeds of licenses under Federal Water Power Act, improvements of navigable waters, act June 10, 1920 (41 Stat. 1072) Under the Federal Water Power Act the above receipts are disposed of as follows: 50 percent credited to "Maintenance and operation dame snd other improvements of navigable waters"of (Wsr), p. 327. 50 percent remains in general fund ss Miscellaneous
t
receipts.
Total, Federal Power Commission
RECEIPTS AND EXPENDITURES, 1933 Miscellaneotts
receipts, by organization
units and sources
General fund
INDEPENDENT
OFFICES
—Continued
Special funds
Trust funds
Total
—Continued
FEDERAL RADIO COMMISSION
Nonrevenue receipts: Sales of Government property: Capital equipment
$452. 00
$452. OO
FEDERAL RESERVE BOARD
Revenue receipts: Assessments: On Federal reserve banks for salaries and expenses, Federal Reserve Board, act Dec. 23, 1913 (38 Stat. 261, sec. 10) (For appropriation
$2, 017, 465. 39
2, 017, 465. 39
account, see p. 102.)
FEDERAL TRADE COMMISSION
Revenue receipts: Reimbursements: Government
property lost or damaged
7. 80
7. 80
OFFICE
GENERAL ACCOUNTING
Revenue receipts:
Fees:
148. 35 2. 00
Copying Other
—
products: Sales of Government property Scrap and salvaged materials, condemned waste paper, refuse, etc
150. 35
7, 050. 17
7, 050. 17
165. 50
165. 50
7, 366. 02
7, 366. 02
5, 182. 13
5 182. 13
stores,
Nonrevenue receipts: Sales of Government property: Capital equipment
Total, General Accounting Office INTERSTATE COMMERCE
150. 35
COMMISSION
Revenue receipts:
Fees:
Certifying railroad tariff's, etc
Assessments: General railroad
fund, act Feb. 28,
contingent
1920 (41 Stat. 489, sec. 422) (For appropriation
Total, Interstate Commerce Commission ADVISORY COMMITTEE
Revenue receipts: Reimbursements: Government
. 35
. 35 5, 182. 48
487, 510. 76
492, 693. 24
FOR AERONAUTICS
property lost or damaged
Sales of services: Professional and scientific
Total, National Advisory Committee for Aeronallt1cs NATIONAI.
487, 510. 76
—
products: Sales of Government property Scrap and salvaged materials, condemned stores, waste paper, refuse, etc
NATIONAL
487, 510. 76
account, see p. 104.)
CAFITAL FARE AND FLANNING
1. 00
1. OO
6, 780. 82
6, 780. 82
6, 781. 82
6, 781. 82
1, 000, 000. 00
1, 000, 000. 00
COMMISSION
Revenue receipts: Reimbursements:
By District of Columbia for advances for acquisition of lands under sec. 4, act May 29, 1930, as amended
(46 Stat. 865)
29
RECEIPTS AND EXPENDITURES& 1933 Miscellaneous
receipts, by organization
units and sources
General fund
—Continued
Special funds
Trust funds
Total
—
OFFICES Continued
INDEPENDENT
PUBLIC BUILDINGS AND PUBLIC PARKS OF THE NATIONAL CAPITAL
Revenue receipts:
Reimbursements:
By contractors for excess cost over contract price Government property lost or damaged
$356. 78 19. 38
—
products: Sales of Government property Scrap and salvaged materials, condemned waste paper, refuse, etc Steam Plans and specifications
stores,
18, 048. 00 5, 245. 16 4. 90 23&
Rents and royalties: Rent of public buildings Rent of land
Total, Public Buildings and Public Parks of the National Capital ADMINISTRATION
AND
TRANSPORTATION
23, 298. 06
298. 06
939. 41 1, 672. 66
and grounds
Permits, privileges, and licenses: Business concessions
RAILROAD
$376. 16
376. 16
2, 612. 07
2, 612. 07
12, 709. 60
12, 709. 60
995. 89
38, 995. 89
38&
ACT
Revenue receipts:
Interest, exchange, and dividends: Federal control of transportation systems (repayments to appropriations) On loans to railroads after termination of Federal control, etc. (repayments to appropriations)
s s
21, 574. 64
508, 357. 82 529, 932. 46
529, 932. 46 Assessments: Furlough and compensation deductions and vacancy savings (special deposit accounts)
' 2, 683. 88
Rents and royalties: Rent of equipment Nonrevenue
s
8/8. 56
2&
683. 88
s
8/8. o6
receipts:
Repayments of investments: Federal control of transportation systems (repayments to appropriations) Loans to railroads after termination of Federal control, etc. (repayments to appropriations)
Total, Railroad Administration tation Act SMITHSONIAN
and Transpor-
s
1, 000. 00
'443, 633. 33 444, 633. 33
444, 633. 33
977, 001. 11
977&
001. 11
INSTITUTION
Revenue receipts:
Reimbursements:
By contractors price
for excess cost over contract
U. S. SHIPPING
28. 02
28. 02
3, 765, 499. 31
3, 765, 499. 31
BOARD
tevenue receipts:
Interest, exchange, and dividends: Interest on moneys loaned from construction loan fund
"
' I"or corn lets p ete st statement on impounded salary savings and impounded salary savings under the provisions of th««nomy A't , ss amended by sec. 3 of tit e II, act Mar. 30, 1933), Seereserved p. 434. eceipts credited direct to "Railroad" appropriations warrants, during th«seal year 10 covering by repay e it ftemm Ad)ustment with appropriation "Federal Control of Transportation Systems" under transfer counter wsnant no. 0170 of Sept
RECEIPTS AND EXPENDITURES, 1933 Misceffaneotts
receipts, by orgnizafion
units and sources
General fund
INDEPENDENT v. s. 8HIppING
—
—Continued
Special funds
Trust funds
Total
—Continued —continued
OFFICES BQARD
Revenue receipts Continued. Assessments: Furlough and compensation deductions and vacancy savings (special deposit accounts)
1
$129, 485. 90
$129& 485. 90
Nonrevenue receipts: Repayments of investments: Deposit by U. S. Shipping Board Merchant Fleet Corporation under sec. 306 (h), Economy Act, June 30, 1932
1, 938, 240. 00
1, 938& 240. 00
Sales of Government property: Funds received from sale of ships, etc. , and deposited for construction loans under sec. 11, merchant marine act, 1920, as amended (45 Stat. 690) (For appropriation
$2, 405, 200. 31
2, 405, 200. 31
account, see p. 110.)
Total, U. S. Shipping Board
5, 833, 225. 21
2, 405, 200. 31
8&
238&
425. 52
~
U. S. TARIFF COMMISSION
Revenue receipts: Sales of Government property Photo duplications VETERANS
—products:
13. 96
13. 96
ADMINISTRATION
Revenue receipts: Interest, exchange, and dividends: Interest on deferred collections or payments Military and naval insurance, Veterans' Administration (repayments to appropriations)
110, 922. 48 I 598, 640. 73
709, 563. 21 Fines and penalties: Liquidated damages Other
709, 563. 21
3. 04 105. 98 109. 02
109, 02
Fees:
Commissions on telephone pay stations in Federal buildings outside of Washington, D. C Copying Commissions on vending machines
6, 985. 92
407. 61 1. 00
7, 394. 53
Forfeitures: Bonds of contractors Unclaimed funds of patients, Veterans' hospitals Unclaimed funds Unexplaine'd balances in cash accounts Other
39. 00 8. 43 13. 62 . 10 39. 70
100. 85 Reimbursements: Refund on empty containers By contr'actors for excess cost over contract price Expenses, miscellaneous Gasoline, State tax Government property lost or damaged Hospitalization charges and expenses Printing records Settlement of claims against various depositors Storage charges Transportation Other
7, 394. 53
"
500. 00
500. 00
600. 85
2, 550. 96
5, 341. 71 892. 24 103, 51 8, 054. 62 226. 44 10. 65
776. 57
. 25 288. 40 1, 469. 74 19, 715. 09
19, 715. 09
For complete statement on impounded salary savings and reserved impounded salary savings under the provisions of the Economy Act of June 30, 1932 (47 Stat. 403., secs, 110 and 203, as amended by sec. 3 of title II, act Mar. 20, 1933). See p. 434. 1233 Receipts credited direct to the appropriation "Military and naval insurance, Veterans' Administration", by repay covering warrants, during the cecal par value of United States securities received and credited to appropriation "Retirements from gifts, forfeitures, and other miscellaneous receipts" (public debt), p. 402. &
&
&
y~
RECEIPTS AND EXPENDITVRES, 31iscellaneous receipts, hy orgnizafion
unifs and sources
General fund
INDEPENDENT VETERANS
Revenue
1 933
—Continued
S pecial funds
Trust funds
Total
— —continued
OFFICES Continued
ADMfNISTRATION
Continued. receipts —
Gifts and contributions: Donations to the United States Moneys received from known persons Moneys received from persons unknown
1, 868. 73
property — products:
Sales of Government
$1, 398. 40 72. 55 392. 78
Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Agricultural products Dairy products Electric current Forms Fox skins
Ice
Heat, light, and water Livestock and livestock products Occupational therapy products Stores Subsistence Water Other
$1, 868. 73
38, 658. 27 1, 780. 52 194. 72 2& 129. 98 43. 73 1. 08 1, 403. 38 2, 677. 07 6, 164. 01 56, 089. 52 424. 94 82, 124. 99 1, 492. 25 1, 176. 15 144, 360. 61
Sales of services: Copies of hearings Laundry and dry-cleaning operations Quarters, subsistence, and laundry
144, 360. 61
157. 05 1, 991. 06 51, 829. 66 112. 25 58. 57 882. 50 705. 14
Storage and other charges Telephone and telegraph Work done 0ther
55, 286. 23 Rents and royalties: Rent of public buildings'and grounds Ground rent Rent of land Rent of land for grazing Rent of telegraph and telephone facilities
Permits, privileges, and licenses: Business concessions Nonrevenue receipts: Sales of Government
property:
Sale of buildings Capital equipment
55, 236. 28
47, 507. 22
53. 00
5, 797. 00
1, 068. 92 1. 75
54, 427. 89
54, 427. 89
98, 755. 88
98, 755. 88
8, 440. 92 11, 550. 14
14, 991. 06 Trust funds: ' Government life-insurance fund, act Dec. 24, 1919, as amended (48 Stat. 612, secs. 16, 17): Dividend deposits Interest on investments Interest on policy loans Interest on adjusted-service certificate loans m' Pr em' miums rv Res erv rves
14, 991. 06
$26, 336. 23
5, 701, 655. 04 1, 573, 131. 81
100, 353. 94 63, 574, 029. 48 120, 141. 76
71, 095, 648. 26 Interest fund r
ro
on loans,
adjusted-service
certificate
216, 806. 30
The recerpts of tbe Government hfe rnsursnce fund mcluded in thrs report represent only cash collections snd do not include premiums, dividends, interest, etc. , received by the , in stration by deduction from new loans. yuiy 1, lfr32, deductions from salaries credited to the Civil Service, Foreign Service, snd Canal Zone retirement funds and the earnings from investment of such funds snd of thnos the adiusted-service certificate fund have been classified as receipts, whereas prior to that date such items were used to offset expenditures for the respective funds.
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, by orgnization
ttnifs and sources
Qenersl fund
INDEPENDENT VETERANS
—Continued
Special funds
Total
—Continued —continued
OFFICES
ADMINISTRATION
Nonrevenue receipts — Continued, Trust funds — Continued. Interest on investments, icate fund "
adjusted-service
certif$5, 577, 165. 31
Contributions, civil-service retirement and disability fund (act May 29, 1930, 46 Stat. , pp. 475, 476, secs. 10, 11, amending prior acts. Decision of Comptroller General, Aug. 15, 1931, A-12269) te Interest on investments, civil-service retirement and disability fund 'o Contributions, Canal Zone retirement and disability fund (act Mar. 2, 1931, 46 Stat. , pp. 1471, 1477, secs. 1, 9, 10. Decision of Comptroller General, Aug. 15, 1931, A-12269)" Interest on investments, Canal Zone retirement and disability fund Deposits of unclaimed moneys of individuals whose whereabouts are unknown (decision of Comptroller General, Jan. 18, 1929, A-25240) Deposits of unclaimed moneys of former patients, Veterans' Administration hospitals (decisions of Comptroller General, July 31, 1929, and Apr. 12, 1930& A-28136) Deposits, funds due incompetent beneficiaries, Veterans' Administration (decision of Comptroller General, Dec. 23, 1932, A-46121) Deposits, general post fund, National homes, Veterans' Administration (decision of Comptroller General, Dec. 11, 1930, A-33194) Deposits, Horatio Ward fund, National homes& Veterans' Administration (decision of Comptroller General, Dec. 11, 1930, A-33194) (For appropriation
Trust funds
30, 497, 605. 11 9, 752, 298. 53
475, 945. 57 84, 985. 31
221. 95
2&
424. 09
1, 661, 631. 42
234, 834. 28
1. 25
accounts, see p. 117.)
48, 503, 919. 12
Total, Veterans' Administration
$1, 106, 518. 10
$500. 00
119, 599, 567. 38
$119, 599, 567. 38
119, 599, 567. 38
120, 706, 585. 48
MISCELLANEOUS
Nonrevenue receipts: Repayments of investments: Reimbursement of relief moneys American citizens in Europe
Total miscellaneous
receipts
furnished
under
to
508. 81
508. 81
Inde-
pendent Offices
9, 838, 092. 00
5, 316, 054. 39
119, 624, 148. 60
134, 778, 294. 99
DEPARTMENT OI' AGRICULTURE Revenue receipts: Interest, exchange, and dividends: Interest on deferred collections or payments Interest on farmers' seed and feed loans» Interest on public deposits
Fines and penalties: Other
4, 829. 96 120, 516. 72 3, 651. 88
128, 998. 56
128, 998. 56
100. 00
100. 00
Fees;
Agricultural commodities act Alaska game laws Commissions on telephone pay stations in Federal buildings outside of Washington, D. C Naval stores grading fees United States Warehouse Act
133, 028. 37 11, 510. 06 2. 84 8, 603. 96
19, 811. 00
172, 956. 23
172, 956. 23 » Additional receipts of 949, 137 01 were collected from this source under the Farm Credit Administration.
See p. 26,
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, bff organization
units and sources
Oeneral fund
DEPARTMENT OF AGRICULTURE
—
Special funds
$456. 00 225. 00 2, 901. 74 237. 45 3, 820. 19
Assessments: Funds deposited for establishing
$28, 300. 00
account see p. 129.)
and compensation Furlough deductions vacancy savings (special deposit accounts)
and
' 118. 77 118. 77
Reimbursements: Collections under Cotton Standards Act, Mar. 4, 1923 (42 Stat. 1518) (For appropriation
By contractors for excess cost over contract price By States for expenditures, nonproduction of cotton zones, for 1930 crop losses: Arizona Inspection of food products Inspection of perishable foods and other farm products offered for interstate commerce Gasoline State tax Government property lost or damaged Transportation, car mileage, etc Under grain standards act, cost of appeals Other
28, 418. 77
36, 957. 74 74. 00 1, 200. 40 145, 954. 05 5, 558. 42
283, 873, 84 90. 73 2, 348. 36 3. 60 71, 594. 00 1. 00
510, 698. 40 Gifts and contributions: Forest Service cooperative
1914 (38 Stat. 430)
fund,
act June 30,
36, 957. 74
547, 656. 14
2, 344, 402. 42
account see p. 125)
Moneys received from persons unknown
Sales of Government
28, 300. 00
account see p. 129.)
Refund on empty containers
(For appropriation
$3, 820. 19
wool standards,
act May 17, 1928 (45 Stat. 593) (For appropriation
Trust funds
—Continued
Continued. Forfeitures: Bonds of contractors Bonds, all other Livestock trespassing on national forest and parks Other
Revenue receipts
—Continued
—
products: property Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Agricultural products other than livestock and livestock products Buffalo, elk, and their products Dairy products
Grain samples Livestock and livestock products Loose cotton samples ps Plans and specifications Subsistence (meals, rations, etc. )
Rater Other
85. 10 85. 10
2, 344, 402. 42
2, 344, 487. 52
5, 396. 55 5, 694. 71
896. 00 39, 299. 58 9, 383. 02 3, 204. 36 12, 667. 37 10, 699, 12 274. 62 405. 00 168. 90 36. 00 792. 40 88, 917. 63
88, 917. 63
Sales of services:
Fumigating and disinfecting Copies of hearings Livestock breeding «3
or complete statement
W8, as amended
on impounded
—
salary savings and reserved impounded-salary
bysec. 3 oftitle II, act Mar. 20, 1933). seep. 434. 30857— 34 3
12, 176. 00 1, 884 70 24. 00 savings under the provisions of the Economy Act of June 30, 1932 (47 Stat. 4p3, secs lip
RECEIPTS AND EXPENDITURES& 1933 Miscellaneous
receipts, by organization
units and sources
Qeneral fund
DEPARTMENT OF AGRICULTURE
——
—Continued
Special funds
Trust funds
Total
—Continued
Revenue receipts Continued. Sales of services Continued. Professional and scientific Quarantine charges Storage and other charges Telephone and telegraph Work done Other
$1, 267. 90 5, 794. 00 7. 75 831. 06 21. 61 2, 466. 67 24, 473. 69
Rents and royalties: Rent of public buildings and grounds Rent of equipment Rent of telegraph and telephone facilities
$24, 473. 69
1, 869. 50
194. 98 60. 00
2, 124. 48
Permits, privileges, and licenses: Business concessions Upper Mississippi wild life and fish refuge Alaskan Islands, Alaska game law Revenues, game and bird refuges
2, 124. 48
713. 77 840. 53 625. 00 713. 87 2, 893. 17
Forest reserve fund
1, 724, 952. 95
2, 893. 17
$970, 286. 04
2, 695, 238. 99
(a) Under acts of Mar. 4, 1907 (34 Stat. 1270), Mar. 1, 1911 (36 Stat, 963), and June 30, 1914 (38 Stat. 441), 25 percent of all money received from each national forest is paid to the State in which such forest is situated. The sum of $568, 256&51 representing 25 percent of $2, 273, 026. 03 collected during 1932, as reported by the Department of Agriculture, was credited during the fiscal year 1933 to the appropriation account "Payments to States snd Territories from the national forests fund", p. 125. (b) Under the act of June 20, 1910 (36 Stat. 562), such "proportion of the gross proceeds of all the national forests within said State ss the area of land hereby granted to said State for school purposes, which are situate within said forest reserves * * " may bear to the total area of all the national forests within said State", is credited to the account "Payments to school funds, Arizona and New MexIn accordance with this proviico, national forests fund. sion, snd upon the basis of reports from the Department of Agriculture, $21,221.30 of the collections for the fiscal year 1932 was credited during t, he fiscal year 1933 to the appropriation account "Payments to school funds, Arizona and New Mexico, national forests fund", p. 125. (c) Under the act of Mar. 4, 1913 (37 Stat. 843), 10 percent of the forests reserve fund receipts is available for the construction and maintenance of roads and trails within the national forests. The sum of $227, 302.60, representing 10 percent of $2, 273, 026.03 collected during 1932 as reported by the Department of Agriculture, was credited during the fiscal year 1933 to the appropriation "Roads and trails for States, national forests fund", p. 125. The necessity for basing the amounts credited to the above-mentioned special funds on cofiections reported by the Department of Agriculture for the preceding year, instead of upon covering warrants for the current year, is due to the fact that sn accurate division of receipts cannot be made until the amounts belonging to the school funds of Arizona and New Mexico, under (b) above, have been determined by the Department of Agriculture.
"
Nonrevenue receipts: Repayments of investments: Loans to farmers in storm and flood-stricken areas, Southeastern States (repayments to appropriation) Loans to farmers in storm and drought-stricken area, Southeastern States (repayments to appropriation) Loans to farmers in storm, fiood, and droughtstricken areas (repayments to appropriation) Loans to farmers in drought and storm-stricken areas, emergency relief (repayments to appro-
priation) emercredits and rehabilitation, Agricultural gency relief (repayments to appropriation)
4
' 4
1, 965. 29
4
41, 216. 97
4
12, 595. 88
565, 354. 45
1, 533, 337. 09 2, 154, 469. 68
Receipts credited ducat to appropriations Farm Credit Administ&ation, p. 98. &
2, 154, 469. 68
by repay covering warrants during the fiscal year 1933; see p. 131. Additional receipts were also collected from thh somm under
RECEIPTS AND EXPENDITURES, 1938 ft&ft'scsIIawsotts
ttnt'ts art&f sources
receipts, bp orgarttzation
General fund
—Continued
Special funds
Trust funds
Total
—Continued
DEPARTMENT OF AGRICULTURE
—
Continued. Nonrevenue receipts Sales of Government property: Buildings Capital equipment
$2, 172. 50 10, 703. 81 12, 875. 81
Total miscellaneous receipts ment of Agriculture
under
$12, 875. 81
Depart4, 827, 484. 66
$3, 379, 946. 20
DEPARTMENT OF COMMERCE Revenue receipts: Miscellaneous
taxes:
Tonnage tax, United States (general fund) Tonnage tax, Philippine Islands (decision of Comptroller General, Feb. 6, 1981, A-18469) (For appropriation
1, 385, 062. 98
29, 314. 08
account see p. 134.) 1&
385, 062. 98
Interest, exchange, and dividends: Interest on deferred collections or payments Fines and penalties: Violation of air traffic regulations Navigation
29, 814. 08
482. 51
1
414 877 06 432. 51
1, 620. 00 154. 63
41&
42, 774. 68
42, 774. 68
Fees: Under China Trade Act Commissions on telephone pay stations in Federal buildings outside of Washington, D. C Copying Navigation Patent fees, 1983 Patent fees, 1982
2, 050. 00
28. 55
1, 122. 56
169, 199. 08 4,
(For appropriation
054& 7&
(Act Apr. 11, 1980 (46 Stat. 155).)
886. 67 240. 75
account see p. 147.)
Testing, Bureau of Mines Testing, Bureau of Standards
7, 085. 00 21, 601. 70 201&
Forfeitures: Bonds of contractors Customs service Unexplained balances in cash accounts
031. 89
4, 062, 127. 42
126. 71 9, 985. 28 2. 12
10, 114. 11 Assessments: Furlough
and compensation deductions and vacancy savings (special deposit accounts)
Reimbursements: Refund on empty containers
By contractors for excess of cost over contract price
Kx enses Gasoline State tax Government property lost or damaged Trans p ortation
4, 268, 159. 81
'
10, 114. 11
5. 00
5. 00
251. 00 451. 15 670 88 56. 46 5, 543. 72 16. 38 6, 989- 54
6, 989. 54
Gifts and contributions: Contributions for topographic
survey of United States, act Feb. 27, 1925 (48 Stat. 1011) (For appropriation account see p. 146.)
For complete statement on impounded salary savings snd reserved impounded , ss amended by sec. 3 of title II, act i&dar. 20, 1933). See p. 434.
17, 500. 00
salary savings under tbe provisions of
tb«conomy A« o
17, 500. 00
36
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, by orgartization
units artd sources
General fund
DEPARTMENT OF COMMERCE
—
Special funds
Trust funds
Total
Continued
Revenue receipts Continued. Sales of Government property products: Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Charts Gas from helium plants, net profits Gas from helium plants, Bureau of Mines (decision of Comptroller General, Apr. 28, 1932, A-30409; A-24076) (For appropriation
—Continued
—
306. 31 43, 351. 64 13, 833. 86
'j)5,
$35, 223. 00
account see p. 149)
6, 603. 50 39, 276. 53 31. 84 1, 058. 48
Maps Publications Stores Subsistence
109, 462. 06 Sales of services: Telephone and telegraph Work done by Department Other
30, 223. 05
90. 16 4, 866. 80
of Commerce
91. 88
5, 048. 84
Rents and royalties: Rent of public buildings and grounds Rent of land for grazing Rent of telegraph and telephone facilities Rentals on leases covering gas rights Pipe-line rentals gas
5, 048. 84
4, 338. 93 1, 837. 88 2. 00
"Bb'0. 00
—
15, 000. 00
20, 328. 81
Permits, privileges, and licenses: Business concessions (exclusive privileges) Permits, fishing and hunting Pipe-line water rights
20, 328. 81
2, 507. 00
117. 00 85. 00
2, 709. 00
Nonrevenue receipts: Sales of Government
property:
2, 709. 00
429. 20 9, 702. 10 25. 00 3, 234. 13
Buildings Capital equipment Land Land and buildings
13, 390. 43
Total miscellaneous
$144, 685. 11
receipts
under
13, 390. 43
Depart1, 797, 349. 80
ment of Commerce
4, 144, 164. 55
5, 941, 514. 35
DEPARTMENT OF THE INTERIOR Revenue receipts: Interest, exchange, and dividends: Interest on deferred collections or payments: Interior, civil Interest on public deposits Interest on advances to Colorado River Dam fund, Boulder Canyon project
16. 36 393. 09 (13)
409. 45
409. 45 Fines and penalties: Liquidated damages: Interior, civil Indian Service
.
!I&154. 87
112. 98
Public lands and reservations Trespass upon public lands and reservations
267. 85 100. 00 20. 00
387. 85
'
387. 85
, » Debit item, adjustment of receipts. » Interest due June 30, 1933, amounting io $1 416 960 76, and $99 557 34 on emergency construction proper, act July 21, 1932 w~ deferred for 1 year by the Secret ry of tbe TreKury under sec. 2 (d) of the act of Dec. 21, 1928 (45 Stat. 1057).
IIECEIPTS AND EXPENDITURES, 1933 Miscellaneous /
receipts, by organization
units ond sources
General fund
DEPARTMENT OF THE INTERIOR
Special funds
Trust funds
Total
—Continued
—
Continued. Fees: Copying: Interior, civil Indian Service
Revenue receipts
—Continued
$9, 817. 75 466. 24
Indian lands and timber (Indian Service) Fees and commissions, land offices, act June 17, 1902 (32 Stat. 888) (For appropriation
$10, 283. 99 59, 043. 74 n
55, 922. 28
$198 958. 54
account see p. 153.)
Water and power rights
8, 828. 68
134, 078. 64 Forfeitures: Bonds of contractors: Interior, civil Livestock trespassing on national forests and parks , Unclaimed funds of patients, Freedmen's Hospital Unclaimed funds of patients, St. Elizabeths Hospital Ihiclaimed moneys of legally adjudged insane of Alaska Unexplained balances in cash accounts: Indian Service
2&
198, 958. 54
000. 00 26. 00 7. 82
188. 29
191. 59 688. 78 2, 997. 48
2, 997. 48 Assessments: Revenues, Canyon
Colorado River Dam fund, Boulder project, act Dec. 21, 1928 (45 Stat.
1057) (For appropriation
$388, 032. 18
60&
585. 70
account see p. 153.)
Deposits, public survey work, general of Comptroller General, Aug. 81, 24693) Deposits, public survey work, Alaska of Comptroller General, Aug. 31, 24698)
(decision
1931, A-
4, 692. 80
(decision 1981, A-
962. 00
(For aPProPriation accounts see p, 159 )
deductions and Furlough and compensation vacancy savings (special deposit, accounts): Interior, civil $158. 09 Indian Service 150. 17
' 308. 26
308. 26 Reimbursenrents: Construction charges (Indian Service): Ahtanum project
66, 240. 50
29. 25 1, 001. 37 2, 150. 40 882. 85 7, 816. 71 184. 28 87. 74 6. 80 1, 706. 84 874. 81 299. 50
Blackfeet project Crow project Fort Peck project Fort Hall project Modoc Point project Pine River project Sand Creek project Uintah project Wind River project Yuma project
14, 889. 55 Refund on enipty containers: Interior, civil ' Indian Service
'F or comPlete
66, 548. 76
6. 18 47. 30
08. 48
14, 889. 55
I
salary savings and reserved impounded salary savings under the provisions of the Economy net of June 30, 1939 (47 Stat. 403., secs, ffsand203, asamendedbysec. softitleII, actMar. 20, 1933) seep 434 h s amount vras appropriated to the credit of the Reclamation fund (special fund), p. 153, during the fiscal year 1933,
statement on impounded
RECEIPTS AND EXPENDITURES) 1933 MiscelLaneous
receipts,
Sty
oryanizafion
units arid sources
General fund
DEPARTMENT OF THE INTERIOR
—Continued
Special funds
Trust funds
Total
—Continued
——
Revenue receipts Continued. Continued. Reimbursements By contractors for excess cost over contract
price: Interior, civil
$59. 31 63. 33
Indian Service
Gasoline State tax Government property )ost or damaged: Interior, civil Indian Service
$122. 64 33. 27 250. 63 832. 99
Costs collected from estates of deceased Indians
1, 083. 62 45, 555. 79
46, 848. 80
$461 848. 80
Irrigation charges, Wapato project, Washington, act Feb. 14, 1920 (41 Stat. 431) Revenues, power system, Flathead Reservation, Mont. , act May 10, 1926 (44 Stat. 465) (Indian Service) (For appropriation
$16, 666. 14 53, 093. 47
accounts see pp. 182, 183.)
69, 759. 61 Maintenance charges, irrigation system, act Aug. 1, 1914 (38 Stat. 583):
2, 647. 93 11, 161. 33 13, 891. 83 919. 63 19, 567. 99 561. 50
Ahtanum project, Washington Colorado River Reservation, Ariz Crow Reservation, Mont Fort Belknap Reservation, Mont Fort Hall Reservation, Idaho Ganado project, Navajo Reservation, Ariz Hogback project, Navajo Reservation, N. Mex Lummi project, Washington Modoc Point project, Oregon Pals Reservation, Calif Pine River project, Southern Ute Reservation, Colo Sand Creek project Satus project, Washington Toppenish-Simcoe project, Washington Uintah Reservation, Utah Walker River Reservation, Nev Wapato project, Washington Wind River, Diminished Reservation and ceded lands, Wyoming Yuma Reservation, Calif (For appropriation
4, 451. 05 634. 52 374. 10 140. 83
867. 66 497. 40 6, 887. 69 616. 04 23, 513. 19 55. 98 99, 463. 60 8, 136. 08 3, ?11. 11
accounts see p. 182.)
198, 099. 46 Maintenance and operation charges, irrigation system, act May 18, 1916 (39 Stat. 142): Blackfeet Reservation, Mont Flathead Reservation, Mont Fort Peck Reservation, Mont (For appropriation
198, 099. 46
4, 949. 83 51, 146. 70 2, 346, 55
accounts see p. 182.)
58, 443. 08
Collections, reclamation fund, act June 17, 1902 (32 Stat. 388, sec. 1), and all acts amendatory thereof or supplementary thereto Auxiliary reclamation fund, Yuma project, Arizona, act Jan. 25, 1917 (39 Stat. 868) (For appropriation
69, 759. 61
is 2)
58, 443. 08
349 240 80 15, 112. 55
accounts see pp. 153, 154.)
2, 364,
353. 35
» This amount includes no "Return of advances made to the Reclamation fund", under the act of June 8, lt)17. See note 17, p. 41.
2, 364, 353 35
39
RECEIPTS AND EXPENDITURES& 1933 Miscellaneous
receipts, by organization
units and sources
General fund
DEPARTMENT OF THE INTERIOR Revenue
Continued. receipts — —
—Continued
Special funds
vances")
Indian reservations, irrigation (reimbursable) Indian school support Sioux of different tribes including Santee Sioux, Nebr. , N. Dak. , and S.Dak Okanogan County, Wash. , maintenance and operation charges, allotted lands (reimbursable) Okanogan County, Wash. , water rights, etc. , for Indian allottees (reimbursable) Support of Indians (reimbursable) Yakima Reservation, Wash. , diversion dam and drainage system and distribution (reimbursable)
$2. 50
6. 00 1, 762. 00
131, 808. 17 27. 00 lb. 22 23. 86
17. 73
165. 85 204. 00 157. 50 134, 189. 83
Settlement of claims against various depositors: $84. 69 Interior civil 10. 00 Indian service
Transportation: Indian Service
$134, 189. 83
94. 69 4, 288. 67
133. 80
Other
4, 517. 16
4, 517. 16
200, 445. 34 Gifts and contributions: Donations to the United States: Indian Service Moneys received from persons unknown: Interior, civil Donations to National Park Service, act June 5,
299, 902. 13
6, 621. 07
account see p. 158.)
306, 523. 20
—
Sales of Government
products: property Scrap and salvaged materials, condemned stores, waste paper, refuse, etc. : Interior, civil $909. 09 Indian Service 1, 210. 41
Agricultural products livestock products
other than livestock and
Electric current: Interior, civil Indian Service
2,
119. 50 5. 00
$50 435. 09 175. 83
Electric current, power plant, Coolidge Dam, Ariz. , act Mar. 7, 1928 (45 Stat. 211) (Indian Service )
50, 610. 92 28, 567. 30
account see p. 182.)
Forms (Indian Service)
473. 00 304, 17
urs
Livestock and livestock products: Interior civil Indian service
aa eretofore
2, 891, 100. 84
account see p. 155.)
Funds contributed for improvement of roads, bridges, and related works, Alaska, act June fs 30 1921 (42 Stat 90)
(For appropriation
$2, 690, 655. 50
1. 21
1920 (41 Stat. 917)
(For appropriation
Total
—Continued
Continued. Reimbursements Reimbursement to United States on account of appropriations made for Indian tribes, as follows: Advertising sale of Indian lands (reimbursable) Blackfeet Reservation, Mont. , purchase of seeds, implements, etc. (reimbursable) Creek unallotted lands in Oklahoma, payment of drainage assessments (reimbursable) Industry among Indians ("Loans and ad-
(For appropriation
Trust funds
$2. 50 712. 19
714. 69 stated under War Depsrttnent.
306, 526. 36
40
RECEIPTS AND EXPENDITURES& 1933 Miscellaneous
recei pts, btf organization
units and sources
General fund
DEPARTMENT OF THE INTERIOR
—
Revenue receipts Continued. Sales of Government property Maps: .. Interior, civil Indian Service
—Continued
Special funds
Trust funds
Total
—Continued
—products
Contd. $80, 729. 53 2. 50
$30, 732. 03 144. 13 85. 00
Publications Session laws, Alaska
Stores: Interior, civil
221. 62 939. 87
Indian Service
Subsistence: Interior, civil Indian Service
1, 161. 49
1, 682. 61
162. 01 1, 844. 62
296. 90
Public timber Water
43, 865. 75
131, 857. 20
$28, 567. 30
$160, 424. 50
Hales of services:
Alaska Railroad fund receipts (decision of Comptroller General, Mar. 11, 1931, A-35435) (For appropriation
Medical, dental, and hospital: Interior, civil Indian Service
$853. 45 8, 713. 07
4, 566. 52
700. 00
Quarters
Cost of surveying
1, 381, 122. 49
account see p. 158.)
railroad
and
private
land
claims Telephone and telegraph; Interior, civil Work done, Interior, civil
7, 013. 47 6, 262. 12 2, 125. 73
20, 667. 84
Rents and royalties: Rent of public buildings and grounds: Interior, civil Royalties on coal leases in Alaska Rent of camp and house sites Ground rent Rent of land for grazing: $1, 856. 97 Interior, civil 1, 568. 00 Indian Service
Rent of land: Interior, civil Indian Service
2,
1, 381, 122. 49
171. 34
12, 831. 35 1, 016. 14 521. 46
3, 424. 97
6, 758. 18
751. 40
Receipts under Mineral Leasing Act Feb. 25, 1920 (41 Stat. 450, sec. 85) Esture product&on
$9, 101.90 203. 20 117, 00 643, 1, 53, 400. 04 225. 44 1, 4, 813. 02 715. 57 57, 240. 00 139, 092. 96 33, 515. 65 498. 05 79, 856. 89 10, 778. 63 1, 222, 775. 96
Alabama Arizona California Colorado Idaho I.ouisiana Montana Nevada New Mexico North Dakota South Dakota Utah Washington Wyoming
8, 256, 334. 31 Under the Miners] l.easing Act of Feb. 25, 1920 (41 Stat. 450, sec. follows: of as disposed 35), tbe shove receipts sre ftuture production: 37&&&& percent ($1,220, 820. 78) credited to "Payments to States from receipts under Mineral I.easing Act ", p. 152. 52)4 percent ($1,709, 575. 51) was credited to the "rReelamation fund" during the fiscal year 1933. 10 percent ($325, 938,02) remains in general fund as "Miscellaneous receipts.
"
7, 509. 58
325, 938. 02
2, 930, 396. 29
1, 401, 790. 33
41
RECEIPTS AND EXPENDITURES, 1933 Iyliscellaneous
receipts, by organization
units and sources
General fund
DEPARTMENT OF THE INTERIOR
— —
(For appropriation
account see p.
Special funds
Trust funds
Total
—Continued
Continued. Continued. Rents and royalties Royalties on oil and gas Moneys due Oklahoma from royalties, oil and gas, south half of Red River, act Mar. 4, 1923 (42 Stat. 1448) as amended
Revenue receipts
—Continued
$14, 377. 91
t7 534
20
152.)
Potash deposits, royalties, and rentals, act Feb. 7, 1927 (44 Stat. 1057), amending prior acts
7, 066. 99
(Receipts from the above source sre credited to "Reclamatian fund", p. 153.)
Rent of telegraph and telephone facilities: Interior, civil Rent of v& ater-power sites Permits, privileges, and licenses: Business concession (national parks) Permits to enter national parks Power permits Power-transmission permits
5&
061. 57 307. 50
373&
159. 84
2, 944, 997. 48
$3, 318, 157. 32
46, 762. 97 441, 405. 15 13, 091. 95 2. 00
501, 262. 07 receipts: Reps ments of investments: stum of advances made to the reclamation fund
501, 262. 07
Nonrevenue
Sale of public lands (for details see
33, 655. 77
p. 68)
Sales of Government property; Buildings: Interior, civil
" 68, 904. 78
102, 560. 55
$40. 00
Indian Service 153. 00 Capital equipment: Interior civil 1, 298. 22 Indian itervice 4, 602. 69 Land: Indian Service Sale of town lots, Alaska Proceeds of town sites, lots, Reclamation Service, act Apr. 16, 1906 (34 Stat. 116) .
193, 00 6, 800. 81
159. 00 488. 50 3, 365. 63
(Reoeipts from the two sources above are credited to "Reclamation fund", p. 153.)
Proceeds of Fort Hall irrigation and water system, Idaho (Indian Service) Coos Bay wagon road grant fund, act Feb, 26, (For appropriation
941. 76 5, 815. 28
1, 648. 34
account see p. 152.)
Under sec. 5 of the above-cited act the above receipts are disposed af ss follows: "After the proceeds from such [sales offends and timber within each of the two counties of Coos and Douglas, in the State of Oregon] amount to a sum equal to that applied to pay the accrued taxes and s sum equal to $2.50 per acre for each acre of such land therein 25 per centum of sll other moneys received from said lands shall be paid to the treasurer of the county in which the lands sold are situated for common schools,
'
* andtheremaindershallbecornespart roads " of the general fund in the Treasury of the United
States.
"
Oregon and California land-grant
9, 1916 (39 Stat. 222) (For appropriation
fund, act June
107, 490. 20
account see p. 152.)
Standing timber (Alaska)
6, 337. 54
19, 735. 89 » Under the aci, of June 25, 1910 (36 S fNmthe Reclamationfun&i
"
imbuis,
o,
"R
1
to
June 12 lg17 (4(i Stat, 149), w g f b ning
f
132, 240. 06
112, 504. 17
d" fromthegeneralfundofthe
Treasury,
&v&th tlie 0&seal year ending J&i»e 3" 931 (46 St t. 150v7), $5, ppp ppp a&i&iitional was advance d to th ral fund af the Treasury fro&n the reel n Stat 73) suspends this reimbursement to the gener &l fund until July 1 1934 appropriation "Five-percent funds ta States gangs) ", p. 152, ang $59, 394, 24 to the "Reclamation fund", p. 153,
y 1, 1933 Sec. 10 of the act of A P r. 1, 1932 (47 Of this am t $g p was credited to the
,
RECEIPTS AND EXPENDITURES) 1983
42 Miscellaneous
receipts, by organization
units and sources
General fund
DEPARTMENT OF THE INTERIOR Nonrevenue
receipts
Special funds
Trust funds
Total
—Continued
—Continued.
Trust funds:
Outstanding liabilities, (84 Stat. 1245) (For appropriation
lands, act Mar. 2, 1907
money,
Elizabeths Hospital (decision of Comptroller General, Dec. 18, 1927, 7 Comp. Gen. 386) (For appropriation
$6, 166. 95
account see p. 153.)
St. Elizabeths Hospital, act Feb. 2, 1909 (85 Stat. 592) Personal funds of patients, St. Elizabeths Hospital, act Feb. 2, 1909 (85 Stat. 592) Unclaimed moneys of discharged patients, St. Pension
—Continued
99, 176. 61 158, 578. 48
152. 56
accounts see p 169.)
259, 074. 55 of unclaimed individual Indian moneys Deposits ' (decision of Comptroller General, Nov. 28, 1927, A-20508) (For appropriation account see p. 195 ) Proceeds of sales and leases of Indian lands, etc. : Proceeds of labor, Indian moneys, agencies, schools, etc. , act May 17, 1926 (44 Stat. , p. 560), amending prior acts (For appropriation
$259, 074. 55
45. 74
182, 887. 59
account see p. 195.)
182, 383. 33
182, 888. 38 Proceeds of labor (act June 18, 1930, 46 Stat. 584; decision of Comptroller General, Sept. 30, 1929, A-27308): (For appropriation
account see p. 195.)
Agua Caliente Indians, California
Blackfeet Indians, Montana
Campo Indians, California Cheyenne River Indians, South Dakota Coeur d'Alene Indians, Idaho Colorado River Indians, Arizona Colville Indians, Washington Crow Indians, Montana Crow Creek Indians, South Dakota Devils Lake Indians, North Dakota Eastern Cherokee Indians, North Carolina Flathead Indians, Montana Fort Apache Indians, Arizona Fort Belknap Indians, Montana Fort Berthold Indians, North Dakota Fort Bidwell Indians, California Fort Hall Indians, Idaho Fort Peck Indians, Montana Goshute Indians, Utah Jicarilla Indians, New Mexico Kaibab Indians, Arizona Kaw Indians, Oklahoma Kiowa Indians, Oklahoma Klamath Indians, Oregon Lac du Flambeau Indians, Wisconsin Lower Brule Indians, South Dakota Martinez Indians, California Menominee Indians, Wisconsin Mescalero Indians, New Mexico Morongo Indians, California Navajo Indians, Arizona and New Mexico (oil, royalty, and leases) Navajo Indians of Leupp Agency, Arizona Neah Bay Indians, Washington Nez Perce Indians, Idaho Northern Navajo Indians, New Mexico Omaha Indians, Nebraska
268. 82 82, 018. 34 10. 60 18, 589. 58 600. 00 1, 606. 37 28, 368. 69 14, 157. 08 91. 50 1, 580. 21 2, 218. 16 12, 869. 87 80, 542. 83 1) 742. 08 1, 318. 48 6. 00 9, 812. 82 1, 782. 17 2, 083. 05 4& 148. 88 669, 71 67. 25 1, 819. 00 84, 190. 14 1, 067. 97 268. 02 607. 00 1, 844. 00 17, 798. 32 1&
617. 00
58, 565. 57
608. 44 7, 431. 65 2, 466. 91
175. 37 797. 87
I
RECEIPTS AND EXPENDITURES, 1933 f&rfisce/laneorzs
receipts, by organizatiort
units and sotrrces
General fund
DEPARTMENT OF THE INTERIOR
S pecial funds
Trust funds
Total
—Continued
——
receipts Continued. Trust funds Continued. Proceeds of sales and leases of Indian lands, etc. Continued. Proceeds of labor (act June 13, 1930, 46 Stat. 584; decision of comptroller General, Sept. 30, 1929, A-27308) Continued. Otoe and Missouri Indians, Oklahoma Paiute Indians of Paiute Agency, Utah Paiute Indians of Summit Lake, Nev Pala Indians, California Pawnee Indians, Oklahoma Pima Indians, Arizona Pine Ridge Indians, South Dakota Ponca Indians, Oklahoma Port Madison Indians, Washington Pottawatomi Indians, Wisconsin Puyallup Indians, Washington Pyramid Lake Indians, Nevada Quillehute Indians, Washington Quinaielt Indians, Washington Red Lake Indians, Minnesota Red Lake Indians, Minnesota (sawmill) Rocky Boy Indians, Montana Rosebud Indians, South Dakota Round Valley Indians California Sac and Fox Indians, )owa Sac and Fox Indians Oklahoma Salt River Indians, Arizona San Carlos Indians, Arizona Santa Clara Indians, New Mexico Seminole Indians, Florida Seneca Indians, Oklahoma Shivwits Indians, Utah Shoshone and Arapaho Indians, Wyo-
Nonrevenue
—Continued
—
—
ming Sisseton Indians, South Dakota Skull Valley Indians, Utah Southern Ute Indians, Colorado Spokane Indians, Washington Standing Rock Indians, North Dakota Swinomish Indians, Washington Tongue River Indians, Montana Tonkawa Indians, Oklahoma Truxton Canyon Indians, Arizona Tulalip Indians, Washington Tule River Indians, California Uintah and Ouray Indians, Utah Umatilla Indians, Oregon Ute Mountain Indians, Colorado Walker River Indians, Nevada Warm Springs Indians, Oregon Western Shoshone Indians, Nevada Wichita Indians, Oklahoma Winnebago Indians, Nebraska Yakima Indians, Washington Yuma Indians, California Zuni Indians, New Mexico
!f&593. 22
300. 00 500. 00 3. 30 133. 00 624. 42 439. 75 484. 78 13. 48 22. 43 10, 195. 66 1, 296. 50 800. 00 37, 256. 21 4, 527. 31 38, 163. 84 3, 100. 24 334. 28 354. 32 300. 00 1, 853. 42 229. 47 55 845 80 2, 072. 95 64. 50 39. 40 108. 15 46, 401. 90 6, 047. 01
280. 50 8. 00 3, 139. 79 1& 459. 67 305. 00 4, 388. 07 673. 75 7, 831. 33 1, 090. 50 60. 67 8, 978, 16 258. 00 8, 910. 13 283. 00 2& 454. 76 6, 660. 00 311. 85 154. 52 47, 642. 83 203. 00
314. 19
636, 151. 61 Blackfeet Reservation, Mont. , proceeds, sale of Indian lands, act Mar. 1, 1907 (34 Stat. 1038)(For appropriation
176. 50
account see p. 193.)
Cheyenne River Reservation, S.Dak. pro, ceeds, sale of Indian lands, act May 20,
1908 (35 Stat. 463)
Chippewas in Minnesota, proceeds, sale of Indian lands, act Jan. 14, 1889 (25 Stat. 645 Chippewas in Minnesota, proceeds sale of Indian lands, timber, etc. act Jan. 14 ,
1, 775. 18
)------
1889 (25 Stat, . 645) (For appropriation
accounts see p. 191.)
10, 081. 47
$636, 151. 61
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, by organization
units and sources
General fund
DEPARTMENT OF THE INTER1OR
——
(For appropriation
Trust funds
— $508. 57
account see p. 193.)
Crow Reservation, Mont. , proceeds, sale of Indian town sites, act June 4, 1920 (41 Stat. 757) (For appropriation
Special funds
—Continued
receipts Continued. Trusts fu»ds Continued. Proceeds of sales, and lease of Dulia» la»ds etc. Continued. Colville Reservation, Wash. , proceeds, sale of Indian lands, act Mar. 22, 1906 (84 Stat. 81)
Nonrevenue
—Continued
68. 00
account see p. 194.)
Crow Reservation, Mont. , proceeds, sale of Indian lands, act Apr. 27, 1904 (33 Stat.
361)
(For appropriation
670. 11 account see p. 191.)
Five Civilized Tribes, Oklahoma, proceeds, sale of Indian lands, etc. , act June 28, 1898 (30 Stat. 501) Flathead Reservation, Mont, , proceeds, sale of Indian lands, act Apr. 23, 1904 (33 Stat. 305) (For appropriation
68, 370. 32 2, 752. 28
accounts see p. 193.)
Fort Berthold
Reservation, N. Dak. , proceeds, sale of Indian lands, act Junc 1, 1910 (36 Stat. 458) (For appropriation
156. 24
account see p. 191.)
Fort Belknap Reservation,
Mo»t. , proceeds, sale of Indian town sites, act Mar. 3, 1921 (41 Stat. 1356) Fort Hall Reservation, Idaho, proceeds, sale of Indian town site, act May 31, 1918 (40 Stat. 592) (For appropriation
563)
18, 400. 00
account see p. 194.)
12, 557. 04
account see p. 194.)
Kiowa Agency Hospital, Oklahoma, proceeds, sale of Indian lands, act June 30, 1913 (38 Stat. 92) Kiowa, Comanche, and Apache Indians, Oklahoma, proceeds, sale of Indian lands, act Mar. 20, 1906 (34 Stat. 80) (For appropriation
i
3, 417. 02
Kiowa, Comanche, and Apache Indians, Oklahoma, moneys due for oil and gas, south half Red River, public resolution June 12, 1926 (44 Stat. 740) (For appropriation
~
account see p. 191.)
Jicarilla Reservation, N. Mex. , proceeds, sale of Indian timber, act Mar. 4, 1907 (34 Stat. 1413) (For appropriation
130. 00
accounts see p. 195.)
Fort Peck Reservation, Mont. , proceeds sale of Indian lands, act May 30, 1908 (35 Stat. (For appropriation
20, 00
530 43
accounts see p. 191.)
Wis. , proceeds, Reservation, Menominee sale of Indian lumber, etc. , act Mar. 28,
1908 (35 Stat. 51)
192 434. 35
(For appropriai, ion account see p. 191.)
Indian Reservation, Cheyen»e Mo»t. , proceeds of rents, royalties, etc. , act June 3, 1926 (44 Stat. 692)
Northern
(For appropriation
account see p. 194.)
340. 01
Total
RECEIPTS AND EXPENDITURES& 1933 ffffiecettaneotts
receipts, by organisation
units and sources
General fund
DEPARTMENT OF THE INTERIOR
45
—Continued
Special funds
Trust funds
—Continued
——
receipts Continued. Trust funds Continued. Proceeds of sales and leases of Indian lands, etc. Continued. Osage Indians, Oklahoma, deceased, proceeds, sale of Indian lands, act Apr. 18, 1912 (37 Stat. 87)
Nonrevenue
(For appropriation
—
Osage Reservation, Okla. , oil and gas leases, royalties, etc. , act June 28, 1906 (34 Stat. 544) (For appropriation
1231)
Rosebud Reservation, S.Dak. , proceeds, sale of Indian lands, act May 30, 1910 (36 Stat. 4 51)
Stat. 819)-
1908 (35 Stat. 463)
Standing Rock Reservation, N. Dak. , proceeds, sale of Indian lands, act Feb. 14, 1913 (37 Stat. 677)
1905 (33 Stat. 1020 art.
III)
Uintah and White River Ute, proceeds, sale of Indian lands, act May 27, 1902 (32 Stat. 263 264)-
18, 971. 18
1, 612. 24
933. 85
1, 507. 45
316. 00
accounts eee p. 195.)
Ute Indians, proceeds, sale of Indian lands, act June 15, 1880 (21 Stat. 203) (For appropriation
694. 72
accounts see p. 192.)
Shoshone or Wind River Reservation, Wyo. , proceeds, sale of Indian lands, act Mar. 3,
(For appropriation
429. 22
account eee p. 195.)
Standing Rock Reservation, N. Dak. , proceeds, sale of Indian lands, act May 29,
(For appropriation
35. 28
account eee p. 192.)
Seneca Nation of New York, proceeds of tribal leases, etc. , act Feb. 28, 1901 (31 (For appropriation
10. 51
accounts see pp. 191, 194.)
Round Valley Reservation, Calif. , proceeds, sale of Indian lands, act Feb. 8, 1905 (33 Stat. 707) (For appropriation
2, 582. 10
account eee p. 191.)
Rosebud Reservation, S.Dak. , proceeds, sale of Indian lands, act Mar. 2, 1907 (34 Stat.
(For appropriation
7. 25
account eee p. 194.)
Red Lake Forest„Minn. , proceeds, sale of Indian lumber, etc. , act May 18, 1916 (39 Stat. 138) (For appropriation
1, 383. 93
account eee p. 194.)
Puye Cliff Ruins, N. Mex. , proceeds of admission fees, act Mar. 4, 1929 (45 Stat. 1586) (For appropriation
605, 114. 45
account eee p. 191.)
Piute Indians, Pyramid Lake Reservation, Nev. , proceeds, sale of Indian lands, act June 7, 1924 (43 Stat. 596) (For appropriation
1&
account see p. 194.)
Pine Ridge Reservation, S.Dak. , proceeds, sale of Indian lands, act May 27, 1910 (36 Stat. 442) (For appropriation
$1, 696. 49
account see p. 191.)
account see pp. 192, 193.)
9, 614. 73
Total
RECEIPTS AND EXPENDITURES& 1983 Miscellaneous
receipts,
f&y
organization
units and sources
General fund
DEPARTMENT OF THE INTERIOR
Special funds
Trust funds
Total
—Continued
——
receipts Continued. Trust funds Continued. Proceeds of sales and leases Indian lands, etc.
Nonrevenue
—Continued
—
Continued. Wind River Reservation, Wyo. , proceeds, oil and gas leases, act Aug. 21, 1916 (89
Stat. 519)
$9, 108. 60
[For appropriation account see p. 194.)
Yuma Reservation, Calif. , proceeds, sale of irrigable lands, act Apr. 21, 1904 (38 Stat. 224) (Fo3 appropriation
118. 84
account see p. 193.)
Total miscellaneous receipts, including $102, 560.55 for "Sales of public lands", under Department of the Interior
$1, 418, 968. 79
$7, 798, 478. 96
1, 966, 865. 87
$1, 966, 865. 87
2, 785, 400. 81
2, 785, 400. 31
8, 044, 474. 86
3, 044, 474. 86
3, 044, 474. 86
12, 261, 912. 61
DEPARTMENT OF JUSTICE Revenue receipts: Interest, exchange, and dividends: Interest on deferred collections or payments Interest on public deposits
Fines and penalties: Na, vigation Under enforcement (judicial)'s Other
of National
Prohibition
708. 86
1, 148. 14 1, 846. 50
Act
1, 846. 50
1, 224. 00 1, 909, 265. 02
312, 884. 78 2, 228, 373. 80
2, 228, 873. 80
Fees: Clerks of courts Commissions on telephone pay stations in Federal buildings outside of Washington, D. C Copying Court of Claims Court of Customs and Patent Appeals Marshals Passport applications 'c Other fees collected by officers other than clerks and marshals of courts
1, 569, 186. 25
528. 48 85. 00 8, 874. 00 8, 414. 92 202, 214. 10 1, 049. 00
9, 461. 84
1, 794, 718. 04
1, 794, 718. 04
Forfeitures: Bonds Bonds Bonds Bonds Bonds, Bribes
of aliens of contractors under narcotic acts under National Prohibition Act all other to United States officers Under National Prohibition Act (includes sale of all seized property)'9 Unclaimed funds Unclaimed funds of inmates, National Training School for Boys, Washington, D. C Unclaimed moneys remaining in registry of courts 5 years or longer Unclaimed wages of seamen remaining in registry of courts more than 6 years Unexplained balances in cash accounts Other
s
8, 814. 38
57, 382. 44 17, 701. 80 116, 628. 78 1, 677. 62 4, 681. 18
s
100. 00
186, 712. 08 2, 158. 58
196. 69 244&
382. 85
71, 940. 35 61. 28 86, 880. 83 799, 208. 81
100. 00
799, 308. 81
Par value of United States securities received and credited to appropriati on "Retirements from gifts , forfeitures, snd other miscellaneous receipts" (Public debt), p,
» For additional collections under "Enforcement of the National Prohibit ion Act" see note 3, p. 14. a& Additional collections of $50, 303 for this fee were made by Department of State, see p. 51.
403
RECEIPTS AND EXPENDITURES, 1983 I9Iisceltaneous
recei pts, bff organization
units
General fund
DEPARTMENT OF JUSTICE Revenue receipts Assessments:
47
and sources — Continued Special funds
Trust funds
Total
—Continued
—Continued.
I
and deductions and compensation Furlough vacancy savings (special deposit accounts)
Reimbursements: Printing records Maintenance of District of Columbia inmates in Federal penal and correctional institutions Refund on empty containers
By contractors for excess cost over contract price Expenses, United States courts Gasoline State tax Government property lost or damaged Moneys recovered in narcotic and prohibition cases Settlement of claims against various depositors Other
$810. 99
$310. 99
6, 120. 76
120, 806. 92 25. 20
89. 30
5, 241. 08
860. 03 60, 840. 43 2, 466. 86
723. 45
5, 286. 15
201, 860. 18 Gifts and contributions: Donatione to the United States Return of salary from constitutional
officers
'
201, 860. 13
1, 416. 87
2, 816. 66
4, 288. 08
4, 283. 03
—
products: Sales of Government property Scrap and salvaged materials, condemned waste paper, refuse, etc Buffalo, elk, and their products
stores,
Livestock and livestock products Subsistence (meals, rations, etc. ) Other
2, 014. 41 22. 87
85. 28 646. 05 281. 66 3, 000. 22
3, 000. 22 Sales of services: Quarters Storage Work done by Department
of Justice
4. 50 1. 72 94. 08
100. 30
100. 80 Rents and royalties: Rent of public buildings Rent of land Rent of equipment
and grounds
275. 58 3. 00 12. 00
290. 58
290. 58 Permits, privileges, and licenses: Alaska fund (act Mar. 3, 1913 (87
Stat. , 728))
186, 993. 37
$186, 998. 87
Receipts from the above fund are disposed of as follows: 65 percent ($121,645.69) credited to "Wagon roads, bridges, and trails, Alaska fund" (Interior Department), p. 168. 25 percent ($46, 748.34) credited to "Public schools, Alaska fund" (interior Department), p. 158. 10 percent ($18,699.34) credited to "Relief of the indigent, Alaska fund" (Treasury Department), p. 253.
Nonrevenue receipts: Sales of Government
property:
Capital equipment ail
48, 849. 50
15, 918. 08
d
59, 762, 58
59, 762. 58 Trust funds: Deposits
of unclaimed
moneys of individuals are unknown (decision of Comptroller General, Jan. 18, 1926, A-12510) Deposits of funds of Federal prisoners (decision of Comptroller General, July 9, 1981, A-19891) whose whereabouts
' por complete statement on im ounded sal a sa asd203, asamendedby d d mpounded e y sec. 3 off title1 II, act Mar. 20, 1933), see p. 434.
.
$7, 957. 05
654, 635. 44 salary savings under the provisions of the Eco
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, by organization
units and sources
General fund
DEPARTMENT
OF JUSTICE
—Continued
Special funds
Trust funds
Total
—Continued
——
receipts Continued. Trust funds Continued.
Nonrevenue
Deposits of unclaimed funds of I&edcral prisoners (decision of Comptroller General, July 9, 1931,
A-19391)
$83. 93
Deposits of commissary funds, Federal prisons (decision of Comptroller General, July 9, 1931,
A-19391)
(For appropriation
258, 954. 46 accounts see p. 211.)
921, 630. 88
Total miscellaneous receipts under ment of Justice, including Judicial DEPARTMENT OF LABOR
Depart-
Revenue receipts: Miscellaneous taxes: Immigration head tax
Interest, exchange, and dividends: Interest on public deposits Fines and penalties: Immigration Naturalization
$5, 088, 699. 98
$187, 093. 37
921, 630. 88,
$921, 630. 88 6, 197, 424, 23
767, 643. 50
767, 643. 50
60. 50
60. 50
77, 476. 07 5. 00 77, 481. 07
77, 481. 07
Fees: Commissions on telephone pay stations in Federal buildings outside of Washington, D. C Immigration (registration) Naturalization Commissions on vending machines
426. 152, 000. 2, 349, 346. 2.
95 15 00 66
2, 501, 775. 76
Forfeitures: Bonds of aliens Immigration
35, 729. 52 30. 00
35, 759. 52 Assessments: Immigration overtime service, act Mar. 2, 1931 (46 Stat. 1467, sec. 2) (For appropriation
2&
s
501, 775. 76
20 500 00 20, 500. 00
56, 259. 52
78, 000. 00
78, 000. 00
account see p. 213.)
Reimbursements: Expenses of deporting aliens Printing records Gasoline State tax Government property lost or damaged Hospitalization charges and expenses Transportation charges, car mileage
Gifts and contributions: Moneys received from persons unknown
—
Sales of Governn(ent property products: Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Electric current Water
4, 458. 73
. 30
57. 23 346. 99 29, 948. 00 582. 23
35, 393. 48
35, 393. 48
5. 25
5. 25
396. 64 336. 00 117. 68 850. 32
850. 32 Permits, privileges, and licenses: Business concessions Immigration permits
381. 50 349, 289. 71 349, 671. 21
»
349, 671. 21
par value of United States securities received and credited to appreciation "Retirements from gifts, forfeitures, and other miscellaneous receipts" (Public debt), p.
402
'
RECEIPTS AND EXPENDITURES, 1933 Ifrfisceflaneoue
receipts, by organization
units and sources
General fund
DEPARTMENT OF LABOR
—Continued
Special funds
Trust funds
Total
—Continued
receipts: Trust funds: Passage moneys collected from steamship companies for return of deported aliens (act May 26, 1924 (43 Stat. 163), amending prior acts; and decision of Comptroller General, Mar. 12, 1924 (3 Comp. Gen. 612))
Nonrevenue
(For appropriation
of unclaimed
Deposits
$1, 450. 25
account see p. 213)
moneys
of individuals
sre unknown (decision of Comptroller General, Apr. 30, 1930, A —81318)
whose whereabouts (For appropriation
7, 103. 49
'
account see p. 216.)
8, 553. 74
$8, 553. 74
HOUSING CORPORATION
Revenue receipts:
Interest, exchange, snd dividends on capital stock: Interest on loans Sales of services: Profits from business operations
Nonrevenue
$31, 676. 55
31, 676. 55
145. 00
145. 00
102, 354. 78
102, 354. 78
receipts:
Sales of Government property: Land snd buildings (disposal of properties)
Total, miscellaneous ment of Labor
receipts
under
Depart-
3, 902, 816. 94
$98, 500. 00
8, 553. 74
4, 009, 870. 68
NAVY DEPARTMENT Revenue receipts:
Interest, exchange, and dividends: Interest on Government-owned securities Interest on public deposits Psy, miscellaneous, Navy (gain by exchs, nge), sct Mar. 3, 1893 (27 Stat. 716)
5. 78 18. 87
"905. 81 24. 15
Fines and penalties: Navy fines snd forfeitures (R.S. 934, sec. 4808, and act June 7, 1900, 31 Stat. 697) (For appropriation
905. 81
929. 96
342, 312. 50
account see p. 219 )
Other
1, 173. 99 1, 173. 99
342, 312. 50
343, 486. 49
Fees: Commissions on telephone pay stations in Federal buildings outside of Washington D. C Purchase of discharges, Navy and Marine Corps
88. 73 5, 863. 40 5, (52. 13
5, 952. 13 Forfeitures: Bonds of contractors Unexplained balances in cash accounts
10. 00 9. 94
19. 94
19. 94 Assessments: Naval hospital fund (R.S. 934, sec. 4808, and Mar. 2, 1799 I Stat. 729) (For appropriation a Creditedd to
annual appropriation
3QI67
3~
—
account see p. 223. )
"Pay, miscellaneous, "p. 216.
act 414, 824. 56
414, 824. 56
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts, by organization
units and sources
special funda
Qeneral fund
NAVY DEPARTMENT
—Continued ruat funda
Total
—Continued
—
Revenue receipts Continued. Reimbursements: Refund on empty containers By contractors for excess of cost over contract price
$1, 037. 27 12, 686. 52 3, 336. 15 3. 00 27, 910. 06 1, 452. 12 4, 127. 80 34. 20
Exper&ses
Gasoline State tax Government property lost or damaged Settlen&ent of clain&s against various depositors Transportation charges, car mileage Other
Gifts and contributions: Moneys received from persons known
—
Sales of Government property products: Scrap and salvaged materials, condemned stores, waste paper, refuse, etc Charts, Hydrographic Office Stores
50, 587. 12
$50, 587. 12
1. 93
1. 93
581, 163. 72 33, 848. 86 47. 00 615, 059. 58
615, Oo9. 58 Sales of services: Overhead charges on sales of service or supplies Radio service Profits from sale of ships' stores, Navy, act May 18, 1908 (85 Stat. 146) and decision of Comptroller of the Treasury, Jan. 20, 1914 (20 Comp.
50, 295. 45, 47, 028. 26
Dec. 516)
(For appropriation
$218, 246. 83
account see p. 222.)
1, 075. 60 8, 311. 02 45, 602. 41
Earnings, United States transports Telephone and telegraph Work done
152, 307. 74
Rents and royalties: Rent of public buildings and grounds Rent of docks, wharves, and piers Royalties, naval petroleum reserves, California
370, 554. 07
99, 664. 58 14, 040. 00 733, 085. 08 10. 40 1, 863. 27
Ref&t of equipment
Rent of telegraph and telephone facilities
Permits, privileges, and licenses: Business concessions
receipts: Repayments of investments; securities, sale of Proceeds Government-owned wa, r supplies Return of advances hy Kittery, Maine, water district, Portsmouth Navy Yard Return of advances by Eastern Massachusetts Street Railway
218, 246. 33
848, 668. 33
848, 663. 33
650. 00
6o0. 00
N&&nrcvcnue
~
13, 872. 20 9, 926. 95 244. 78 24, 043. 93
of Covernmcnt property: Buildings Capital equipment Sale of surplus war supplies
H:&h 3
24, 043. 93
1, 375. 00 1, 449. 00 11, 746. 08
14, 570. 08
14, 570. 08
Trust funds: Deposits
of unclaimed moneys of individuals whose whereabouts are unknown (decision of Comptroller General, Jan. 18, 1929, A-25240) (For appropriation
account see p. 233.)
$3. 50
RECEIPTS AND EXPENDITURES& ljifigcellaneous
receipts, by organization
1 938
units and sources
General fund
—Continued
Special funds
——
$91. 10
account see p. 235.)
Pav of the Navy, deposit fund, act Feb. 9, 1889 (25 Stat. 657) (For appropriation
84, 049. 47
account see p, 222. )
Pay of Marine Corps, deposit fund, act June 29, 1906 (34 Stat. 579) (For appropriation
161, 282. 09
account see p. 230.)
Funds due estate of John Cameron, Jr. , (decision of Comptroller General, Apr. 8, 1981, A-85988) (For appropriation
Total
—
Continued NAVY DEPARTMENT Continued. Nonrevenue receipts Trust funds Continued. Navy pension fund, principal, acts June 30, 1914 (88 Stat. , 898); Mar. 4, 1917 (39 Stat. , 1175) (For appropriation
Trust funds
"
/p.
80
account see p. 235.)
Total miscellaneous partment
receipts under Navy De-
$1, 718, 053. 92
$976, 289. 20
195, 421. 96
$195, 421. 96
195, 421. 96
2, 884, 765. 08
POST OFFICE DEPARTMENT (For postal revenues see p. 62.)
Revenue receipts:
Fees:
Commissions on telephone pay stations in rented post oflices outside of Washington, D. C
Forfeiture: Other
Reimbursements: Government
16, 808. 08
16, 308. 08
1, 000. 00
1, 000. 00
property lost or damaged
Total, miscellaneous Department
receipts under Post Office
17, 808. 08
"476. 28
476. 28
476. 28
17, 784. 86
DEPARTMENT OF STATE Revenue receipts:
Interest, exchange, and dividends: Interest on public deposits Gain by exchange Fines and penalties: Other
593. 44 638. 50 1, 281. 94
1, 231. 94
82. 84
32. 84
3, 111, 431. 65 442. 10 1, 027, 435. 50 808. 00 50, 112. 25 4, 190,
4, 190, 112. 25
46. 28
46. 28
Fees: Consular (including consular court fees) Copying Pass P ort Passport application ss
Forfeitures: Unclaimed
funds
Assessments: Collections
from shipping companies for repatriation of American seamen (decision of Comptroller General dated Apr. 22, 1929, A-26573 ) German Government's moiety, expenses, Mixed Claims Commission, acts Sept. 22, 1922 (42 Stat. 1051) ' Feb. 15, 1928 (45 Stat. 74); and decision of Comptroller General, Nov. 27, 1922, A-7284 (For appropriation
'&
accounts see p. 240.)
10. 99
5, 522. 23 5, 588. 22
Debit item, adjustment rhis amount having been erroneousl
as mrscef)aneous rece&pts was es a p Off) I) t", . 237.- i orderTreasury t that settlement couhi be made and the amount returned . . and procedure outlined in decision of the ComPtroller General, dated &tpr i5 f024 (3 iona co ections of 31,040 for this fee were made by Department of Justice, see p. 46.
« t"e
5, 533. 22
52
RECEIPTS AND EXPENDITURESI 1933 Miscellaneous
receipts, by organization
units and sources
General fund
DEPARTMI"NT OF STATE
—Continued
Special funds
Trust funds
Total
—Continued
—
Continued. Revenue receipts Reimbursements: Expenses Government property lost or damaged
$4. 40 1, 691. 18
$1, 695. 58
1, 695. 58
—
Sales of Governmeiit property products: Scrap and salvaged materials, condeinned waste paper, refuse, etc Maps Other
stores,
41. 20 60 " 28, 78. 85
" 8. 55
"8.5a Rents and royalties: Rent of public buildings and grounds Rent of telegraph and telephone facilities
Nonrevenue receipts: Sales of Government
2, 528. 55
50. 88
property: Capital equipment
2, 579. 43
2, 579. 43
8, 160. 99
8, 160. 99
Trust funds: Estates of decedents, R. S. 30o, sec. 1709, act Mar. 3, 1911 (36 Stat. 1083)
$1, 691. 96
Contribiitions, Foreign Service retirement and disability fund, act May 24, 1924 (43 Stat. 144), as ameiided (decisions of Comptroller General, Aug. 15, 1931, and June 30, 1932 (A-12269, 18469, and 35435) is Interest on investnients, Foreign Service retirement and disability fund (decisions of Comptroller General, Aug. 15, 1931, and June 30, 1932 (A-12269, 18469, and 35435)is Funds due, act Feb. 27, 1896 (29 Stat. 32): Santo Domingo Mining Co Wages due American seainen, act Feb. 27, 1896 (29 Stat. 32), and decision of Comptroller General, Nov. 7, 1927, A-19927 Claim of: Estate of Anders Ditlevsen Aagaars, against the Government of Denmark, act Feb. 27, 1896 (29 Stat. 32) Deposits of unclaimed moneys of individuals whose whereabouts are unknown; act Feb. 27, 1896 (29 Stat. 32), and decision of Comptroller General, Jan. 18, 1929, A-25240 (For appropriation
177, 519. 49
84, 752. 99
984. 63
377. 66
5, 346. 29
472. 22
account see p. 250.)
Total miscellaneous ment of State
receipts
under
271, 145. 24
271, 145. 24
271, 145. 24
4, 480, 535. 22
Depart4, 203, 856. 76
$5, 533. 22
TREASURY DEPARTMENT Revcniie receipts:
taxes: Federal Reserve banl- franchise tax, act Dcc. 23, 1913 i38 Stat. 258)
Miscellaneous
(For appropriation
Tax on circulation of national banks Tax on deficiencies in gold reserves of Federal Reserve banks
2,
011, 417. 89
account see p. 402.)
3,
415&
840. 63
10, 207. 53 3, 426, 048. 16
2, 011, 417. 89
5, 437, 466. 05
] f 032 d ductions from sajarIes credited to the civil service, Foreign Service, and Canal Zone retirement funds and the earnings from investments rt(Sc„ie fund have heen cfassirted as receipts, whereas prior to that date such items were used to offset expenditures (or the respective funds
» l)shit item, a&fjustment.
RECEIPTS AND EXPENDITURES, 1933 Misceffarteous
receipts, by organization
units and sources
General fund
TREASURY DEPARTMENT receipts — Continued.
—Continued
Special funds
Trust funds
Total
—Continued
Re venue Interest, exchange, and dividends: Interest from Central Branch, Union Pacific Railroad Interest on deferred collections or payments Difference between redemption value and sale price of war-savings stamps Discount on Treasury obligations purchased Interest on obligations of Reconstruction Finance Corporation purchased by the Secretary of the Treasury under sec. 9 of the act of Jmi. 22, 1932, as amended by the act of July 21, 1932
$21, 506. 18 6, 766. 99 15. 80
1, 085, 152. 06
1, 113, 441. 03
$1, 113, 441. 03
24, 369, 109. 63
24, 369, 109. 63
Interest on funded
obligations of foreign governments held by the United States under refunding agreements, acts Feb. 9, 1922, Feb. 28, 1923, Mar. 12, 1924, May 23, 1924, Dec. 22, 1924, Apr. 28, 1926, Apr. 30, 1926, May 3, 1926, Mar. 30, 1928, Feb. 4, 1929, Feb. 14, 1929, and Dec. 18, 1929, on account of: Finland
Great Britain Greece Italy Latvia Lithuania (For appropriation
account see p. 402. )
65, 826, 857. 22
Dividend on 23 shares of series A 6 percent cumulative preferred stock of the Kansas, Oklahoma 8z Gulf Ry. Co Gain by exchange Interest on investments, act May 26, 1930 (46
Stat. 379):
National Institute Gift Fund (For appropriation
of Health
1, 105. 59 65, 550, 000. 00 65, 376. 00 9, 337. 50 108, 652. 12 92, 386. 01
$127, 250. 00 1, 236, 100. 00
I&
363, 350. 00
67, 190, 207. 22
138. 00 57. 29
Conditional 3, 756. 24
account scc p. 266.)
Interest on public deposits
2, 204, 949. 25
Fines and penalties: Liquidated damages Customs Internal Revenue
2, 205, 144. 54
3, 756. 24
93, 514, 552. 42
1, 367, 106. 24
2, 208,
900. 78
94, 881, 658. 66
23, 239. 90 566, 019. 78
183. 00
589, 435. 68
Fees: Commissions on telephone pay stations in Federal buildings, Washington, D. C Collections were made by departments and independent offices as follows: Architect of the Capitol Library of Congress Government Printing Oflice Independent offices' Bureau of Ffficiency Civil Service Commission. Federal Trade Commission. General Accounting Office Interstate Commerce Commission Public Buildings and Public Parks of the National Capital Smithsonian Institution U. S. Tariff Commission Veterans' Administration Department of Agriculture Department of Commerce Department of the Interior Department of Justice Department of I.abor Navy Department = Post Office Department Treasury Department. War Department
..
3264. 11 547. 70 96. 36
17. 07 120. 98 66. 46 548. 85 383. 41 723. 04 109. 07 50. 67 1, 770. 92 879. 14 1, 414. 35 650. 20 206. 33 154. 65 1, 714. 11 890. 81 3, 511, 22 1, 002. 16
15, 121. 61
15, 121. 61
589, 435. 68
54
RECEIPTS AND EXPENDITURES& 1933 Miscellaneous
receipts, by organization
units and sources
Special funds
General fund
TREASURY DEPARTMENT
—Continued Trust funds
Total
—Continued
— —
Revenue receipts Continued. Fees Continued. Commissions on telephone pay stations in Federal buildings outside %ashington, D. C Copying Customs Commissions on vending machines
'ji22,
121. 23
8, 833. 96 5, 3?0. 05
82. 68
51, 529. 53 Forfeitures: Bonds of contractors Bonds under narcotic acts Bribes to United States officers Customs Effects of descrters, Coast Guard Secret Service Division Unclaimed and abandoned Inerchandise
$51&
510. 00 1, 350. 00
2, 043. 40 129, 220. 27 189. 88 1, 869. 91
(cus-
' ,
33, 962. 25 140. 19 86. 56 19. 80 Is $00. 00 1, 106. 30
toms) Unclaimed Government obligations Unclaimed funds Unexplained balances in cash accounts Miscellaneous seized property Other
170, 098. 56 Assessments: Upon Federal and joint-stock land banks and Federal intermediate credit banks for expenses of examinations, Federal Farm Loan Board Upon Federal and joint-stock land banks and Federal intermediate credit banks for salaries and expenses Federal Farm Los, n Board, act,j Mar. 4, 1925 (43 Stat. 1262) Upon national banl-s for expenses of examinations, act Dec. 23, 1913 (38 Stat. 272, sec. 21) as amended (For appropriation
529. 53
170, 098. 56
'4
311, 490. 32
$$, 156'. 38
'4
$?0 87
2, 321, 857. 20
account see p. 257.)
Guaranty fund by farmers seed-grain loans
in connection
with
I
j
105, 622. 73
417, 113. 05
i
2, 317, 230. 51
2, 734, 343. 56
RPIInbursenleI&ls.
Deductions from awards of Mixed Claims Con&mission, United States and Germany, to cover reimbursements for expenses incurred hy United States in respect thereof, settlement of War Claims Act of 1928, approved Mar. 10, 1928 (45 Stat. 255, sec. 2 (e)) Refund on empty containers Refund of enlistment allowances and clothing bounties, Coast Guard By contractors for excess of cost over contract price Expenses, miscellaneous Reimbursement to the United States from deposits of national banking associations and Federal reserve banks on account of: Salaries, Office of Treasurer of the United State (national currency, reimbursable),
1932
Salaries, Office of Comptroller of the Currency (national currency, reimbursable),
1932
Contingent expenses, national currency (reimbursable), 1932: Office of the Treasurer of the United States f32, 537. 58 Office of Coruptroller of the Currency 65, 024. 72 Gasoline State tax Government property lost or damaged Hospitalization charges and expenses Health Service) » Debit item, adjustment.
&'
(Public
Debit item adjustment
1, 106. 84
75. 50
1, 404. 76 1, 782. 39 45, 008. 64
822&
239. 94
52, 140. 20
97, 562. 30 632. 42 3, 921. 47
18, 433. 58 of prio r-year receipts and carried to tbe surplus fund under appropriation
accounts stated on p. 256.
RECEIPTS AND EXPENDITURES, 1938 Miscellaneous
recei pts, by organization
units and sources
General fund
TREASURY DEPARTMENT
——
Continued. Revenue receipts Continued. Reimbursements
Expense of ini, ernational tions and patrol
—Continued
Special funds
Trust funds
Total
—Continued
service of ice observa-
$84, 659. 40 $3, 513. 19 3, 513. 19 17, 565. 94 52, 697. 82 2, 203. 47 1, 652. 60 3, 513. 19
Canada Denmark Germany Great Britain Italy Norway Sweden
..
84, 659. 40
Moneys recovered in narcotic and prohibition cases Internal-revenue stamp contractor for salary of stamp agent
Transportation Other
487. 00 1, 053. 23 7. 23 750. 15
631, 265. 05 Gifts and contributions: Donations to the United States Moneys received from known persons Moneys received from persons unknown
1, 513. 78
375. 03
6, 742. 70
8, 631. 51
—
products: Sales of Government property Scrap and salvaged materials, condemned waste paper, refuse, etc
.. . . . .... . .. .
Bureau of Customs Bureau of Industrial Alcohol Coast Guard. Engraving and Printing General Supply Committee Internal Revenue Service Mint Service Public Buildings Public-debt Service Public Health Service Secret Service Treasury proper, miscellaneous
$631, 265. 05
8, 631. 51
stores, 176, 486. 24 $2, 325. 67
186. 33
... .
1, 778. 99 4, 839. 10 20, 289. 05 43. 09 137, 758. 92 7, 061. 96 1, 065. 29 1, csa 84
1. 00 70. 00
176, 486. 24
products Electric current Heat, light, and water Livestock and livestock products (Public Health Service) Occupational therapy products (Public Health Service) Steam Stores. . Subsistence (meals, rations, etc. , Public Health Service) Wat e r Other Agricultural
76. 00 560. o4 200. 94
156. 58 362. 81 354. 24 151. 65 12, 156. 69 163. 85 110. 75
190, 779. 79 Sales of services: Laundry services (Public Health Service) Quarantine charges (including fumigation, disinfection, inspection, etc. , of vessels, Public
Health Service) Quarters, subsistence, and laundry services (Public Health Service) Radio service (Coast Guard) Storage and other charges (Customs Service) Telephone and telegraph
190, 779. 79
33. 00 211, 944. 04 144. 65 415. 63 19, 480. 35 41. 56 232, 059. 23
Rents and royalties: Rent of public buildiiigs and grounds Rcut of land Rent of telegraph and telephone facilities (Coast Guard )-
i I
232, 059. 23
124, 469. 43 62, 204. 03 4, 490. 34
191, 163. 80
191, 163. 80
RECEIPTS Miscellaneous
AND
EXPENDITURES, 1933
receipts, by organization
units artd sources
General fund
TREASURY DEPARTMENT
—Continued
Special funds
Trust funds
Total
—Continued
—
Revenue receipts Continued. Permits, privileges, and licenses: Business concessions
Mint receipts
etc. ):
(profits
on coinage,
$25. 00 bullion
$25. 00
deposits,
Charges on bullion deposits Charges on bars sold Charges on special assays of bullion and ores Proceeds of medals sold Proceeds of surplus bullion recovered Seigniorage, subsidiary silver coinage Seigniorage, minor coinage
450, 574. 02 10, 734. 83 I, 889. 75 6, 486. 76 110, 295. 23 696, 475. 63 155, 179. 67
receipts: Repayments of investments: Liquidation of capital stock of Federal land banks Principal payments on funded obligations of foreign governments held by the United States under refunding agreement, acts of Feb. 9, 1922, Feb. 28, 1923, Mar. 12, 1924, May 23, 1924, Dec. 22, 1924, Apr. 28, 1926, Apr. 30, 1926, May 3, 1926, Mar. 30, 1928, Feb. 4, 1929, Feb. 14, 1929, and Dec. 18, 1929, on account of: Czechoslovakia Finland Great Britain tviaa Latv
I, 431, 635. 89
I, 431, 635. 89
61, 665. 00
61, 665. 00
Nonrevenue
4, 105. 60
450. 00
9, 200. 00
13, 755. 60 75, 420. 60 Hales of Governntent
Buildings Lsnci Capital equipment
$1, 496, 213. 38 57 550. 00 30, 000, 000. 00
31, 553, 763. 38
'31 553
763 38
31, 567,
&18. 98
31, 629, 183. 98
property:
Bureau of Custoros . Bureau of Industrial Alcol. ol Burr au of Narcotics Coast, Guard Division of Supply Interne! Revenue Service Public buildings Public Health Service.
790. 60
2, 001. 75
34, 802. 69 319, 990. 72 I, 128. 22 4, 001. 31 I, 859 25
819. 00 38. 15 4, 561 7!c 2, 404. 25
34, 802 so
Sale of office material, etc. (General Supply Committee) Sales were made to departments and independent offices as follows: House o! Bepresentcctives fi78 00 Library of C. ongress Gov, rnment Printin Office Independent ciffices: Alien Property Custodian Federal Farm Board (Ieneral Accounting Office Interstate Commerce Commis. 'ion National Advisory Committee for
sn.
OO
80. 00
1. 50 55. 01 100. 00 84. 11
Aeronautics Office of Public Buildings and Public Parks of the National Capital
Reconstruction Finance Corporation Smithsonian Institution IT. S. Tariff Commission Veterans' Administration Department of A riculture Department of Commerce Department of the Interior Department of.lustice Department of Labor Navy Department Post Office Department Department of State Treasury Department tvar Department Panama Canal District of Columbia
11, 892. 75
1. si0 257. 00 2, 406. 61
40. 00 8. 59 387. 90 1, 834. 91 75. ""i 987. 33 134. 82 67fi, 41
625. 05 150. 00 112. 00 2, 150. 40 2a 00
l. 75 I, 536. 61
11, 892. 75
Represents face amount of United States securities as principal appropriation account see p. 402, s
payments
and certain cash repayments
of principal which sre applicable
to public debt retirement.
F«
07
RECEIPTS AND EXPENDITURES& 1933 ff&Iisceltaneous
receif)ts, by organization
units and sources
Qeneral fund
—Continued
Special funds
Trust funds
Total
—Continued Continued. Nonrevenue receipts — Continued. Sales of Government property — TREASURY DEPATMENT
Proceeds of sales, building or purchase of vessels for the Coast Guard (R.S. 534, sec. 2748) and improving Proceeds of sales, rebuilding Coast Guard stations, act June 18, 1878 (20 Stat. 163) (For appropriation
$2, 516. 85
3, 767. 07
account see p. 262. )
$49, 487. 79 Trust funds: Deposits
6, 283. 92
$55, 771. 71
moneys of individuals are unknown (decision of General dated Jan. 18, 1926,
of unclaimed
whose whereabouts
Comptroller A-12510)
(For appropriation
$61. 11
account see p. 293.)
Proceeds from effects and moneys of deceased patients, Public Health Service (decision of General dated Oct. 29, 1928, Comptroller A-23554) (For appropriation
1, 748. 75
account see p. 266.)
Total miscellaneous Department
receipts under
Treasury 100, 979, 246. 06
37, 255, 801. 94
1, 809. 86
1, 809. 86
1, 809. 86
138, 236, 857. 86
WAR DEPARTMENT Revenue receipts:
Interest, exchange, and dividends: Interest on deferred collections or payments Interest on Government-owned securities, sale of war supplies (notes) Interest on endowment fund, preservation of birthplace of Abraham Lincoln, act July 17,
300, 198. 44 2,
919. 95
1916 (39 Stat. , p. 385) (For appropriation
2, 040. 00
account see p. 322.)
303, 118. 39 Fines and penalties: Violating regulations Liquidated damages Other
305, 158. 39
2, 040. 00
852. 40 3, 158. 11 67. 85 4, 078. 36
4, 078. 36
2, 463. 82
2, 463. 82
Fees: Commissions on telephone pay stations in Federal buildings outside of Washington, D. C
Forfeitures: Bonds of contractors Bonds, all other Unclaimed funds Unexplained balances in cash accounts Other
467. 25 41. 00 44. 29 46. 84 318. 10
917. 48
917. 48
5 406 66
5, 406. 66
Assessments: Furlough
and compensation deductions and vacancy savings (special deposit accounts)
Reimbursements: Auditing accounts of American Red Cross Repairs of Rock Island bridge, Rock Island, Ill Refund on empty containers By contractors for excess cost over contract price
' For or corn ct&mplete statement on impounded salary savings snd reserved impounded 203& as amended by sec. 3 of title II, act Mar. 20, 1933), see p. 434.
6, 273. 64 5, 856. 26 1, 420. 05
539, 695. 20
salary savings under the provisions of the Economy
act
of June 30. 1932 (42 Stat. 403, secs 110
58
RECEIPTS AND EXPENDITURES& 1933 Miscellaneous
receipts, by organization
units and sources
General fund
—Continued
Special funds
Trust funds
—Continued
WAR DEPARTMENT
——
Revenue receipts Continued. Reimbursements Continued. Expenses Gasoline State tax Government property lost or damaged Settlement of claims against various depositors Transportation, car mileage, etc
$143. 80 22. 04 6, 886. 37
" $ $8$. 8f
843. 03
556, 716. 08
Gifts and contributions: Donations to the United States Moneys received from known persons Moneys received from persons unknown Bequest of William F. Edgar, museum and library, Surgeon General's Office (Army) Act Mar. 1, 1933 (47 Stat. 1420) (For appropriation
$556, 716. 08
28. 81 2. 50 21. 12
$18, 309. 00
account see p. 307.)
18, 309. 00 I'unds contributed for improvement of (act Mar. 4, 1915, 88 Stat. 1053) and subsequent acts: Investigation of shore erosion, New Hampshire East Rockaway (Debs) Inlet, N. Y Washington Canal and South River, N. J Monroe Harbor, Mich Missouri River below Kansas City, Mo Mississippi River, Yazoo Mississippi Delta Levee District, Miss Mississippi River, Lower Yazoo Levee Dis-
7, 800. 00
trict
1, 960. 00
Biloxi Harbor, Miss Caloosahatchee River aml Lake Okeechobee drainage areas, Fla Brazos Island Harbor, Tex Yuba River, Calif San Joaquin River and Stockton Chs, nnel, Calif Ponce Harbor, Puerto Rico Nome Harbor, Alaska
5, 200. 00
25, 000. 00 265, OOO. OO 15, 000. 00
116, 000. 00 1, 126. 95 2, 500. 00
accounts see pp. 323, 327.)
594, 336. 95
Flood control
Funds
contributed
Stat. 948):
354, 867. 04
116, 633. 33
accounts see p. 327.)
471&
of roads, Funds contributed for improvement bridges, and related works, Alaska, act June 30, 1921 (42 Stat. 90) (For appropriation
594, 336. 95
for (act Mar. 1, 1917, 39
Flood control, Sacramento River, Calif Funds contributed for improvement of (act May 15, 1928, 45 Stat. 536, sec. 6): Flood control, Mississippi River, its outlets and tributaries (For appropriation
18, 361. 43
250. 00 100, 000. 00 500. 00 50, 000. 00 4, 000. 00
—
(For appropriation
Total
account see
471, 500. 37
(ss)
p. 158.)
52. 43
—
products: Sales of Government, property Scrap and salvaged materials, condemned waste paper, refuse, etc Agricultural products Charts Electric current » Debit item, adjustment.
500. 37
stores,
1, 084, 146. 32
467, 056. 41 400. 00 5, 302. 80 17, 187. 84
u Stated under the Department
of the Interior beginning with the i)sea) year 1933.
1, 084, 198. 75
RECEIPTS AND EXPENDITURES, 1933 ltriscellaneotts
receipts, by organization
units and sources
Qeneral fund
—Continued Continued. Revenue receipts — —products —Contd. Sales of Government property
—Continued
special funds
Trust funds
Total
WAR DEPARTMENT
Electric current (Dam No. 2, Muscle Shoals, Ala. )
Ice Maps Photos and films Publications Steam Stores Public timber Water Other
$554, 884. 14 67, 006. 27 1, 216. 12 3, 763. 25 1. 35 1, 648. 08 29. 14 25. 06 5, 055. 30 7& 648. 82 1, 131, 224. 58
Sales of services: Laundry and dry-cleaning
operations Livestock breeding service Overhead charges on sales of service or supplies Radio service Storage and other charges Telephone and telegraph Earnings, United States transports Work done
$1, 131, 224. 58
1, 094, 264. 30 1& 316. 12 32, 077. 13 1& 450. 00 164& 358. 46 225& 316. 24 30, 073. 85 1, 763. 11 1, 550, 619. 21
Rents and royalties: Rent of public buildings and grounds Rent of United States Army tank cars Rent of docks, wharves, and piers Rent of land— Bataan Military Reservation, Philippine Islands Miscellaneous Ground rent Rent of equipment Rent of telegraph and telephone facilities Rent of water power sites Royalties on oil and gas
1, 550, 619. 21
43, 072. 60 70, 000. 00 7, 744. 35 ss 81&
970. 78 30, 757. 99. 475. 00 76& 367. 70
217. GO
53, 070. 27 54. 00
259, 788. 68 Permits, privileges, and licenses: Business concessions Permit for cutting ice Power permits
259, 788. 68
13, 242. 47 259. 00 15. 00
516. 47
13, 516. 47
13&
54, 674. 31
54, 674. 31
785. 48
785. 48
Nonrevenue receipts: Army costs due the United
States from Germany: debt agreement of June 23, 1930, act June 5, 1930 (46 Stat. 501)
German-American
Repayment of investments: Proceeds of Government-owned war su ppplies Sales of Government Buildings
securities, sale of
property:
Capital equipment Sale of ordnance material, war, act Mar. 3, 1875 (18 Stat. 388) (For appropriation
Adjustment
$7, 180. 64
account see p. 3110
Sale of surplus war supplies
e Debit item.
9, 264. 67 18, 991. 71
with "Internal Revenue, philippine
935& 781. 72 Islands, Collections", special fuml, uuder transfer-counter
warrant No.
ss&24
of Fcb. 17, 1933,
60
RECEIPTS AND EXPENDITURES, 1933 Miscellaneous
receipts,
'
ffy
organization
units and sources
General fund
—Continued
Special funds
Trust funds
Total
—Continued Nonrevenue receipts — Continued. Sales of Government property — Continued. WAR DEPARTMENT
Sale of lands, etc. , on account of military post construction fund, acts Mar. 12, 1926 (44 Stat. 206); Feb. 25, 1927 (44 Stat. , 1236) (For appropriation
$287, 070. 82
account, see p. 305.)
Frie Ordnance Depot, Ohio Aberdeen Proving Grounds, led Amatol, N. J Army Medical Center, Washington, D. C Birmingham, Ala Buffalo, N. Y Camp Dix, N. J Camp Gordon, Ga Camp Harry J. Jones Camp Stanley, Tex Camp Upton, N. Y Carne, Ohio Dryden, Tex Fort Casey, Wash Fort Clinch, Fla Fort Devens, Mass Fort Humphrey, Va Fort McPherson, Ga Fort Miley, Calif Fort Monroe, Va Fort Reno, Okla Fort St. Philip, I.a Fort Strong, Mass Frankfort Arsenal, Pa Gaspar illa Island, Fla Jeffersonville, Ind Little Rock, Ark Long Island Air Reserve Depot, N. Y Moreno Point, Fla Nitro, W. Va Portsmouth, Va Raritan Arsenal, N. J St. Josephs Bay, Fla St. Philip, I a Salisbury Beach, Mass San Diego, Calif. San Francisco, Calif Souther Field, Ga Sumter County, Ga Washington, D. (' IVatervliet, N. Y
8391. 00 198. 50 290. 01 252. 25 8, 018. 58 180, 173. 22 60. 00 6, CCO. 00
170. 00 50. 00 50. 00 448. 50 50. 00 169. 05 7. 33 15. 00 568. 00 264. 00 38. 00 1, 109. 17 410. 00 66. 55 58. 10 693. 75 2, 000. 00 1, 085. 00 113.00 26, 50C. 00 7, 040. 81 9, 719. 91 31, 453. 65 101.00 I, 200. 00 2, 700. 00 481. 86 563. 45 17. 00 1, 700. 00 1, 800. 00 960. 00 84. 13 287, 070. 82
$964, 038. 10
294, 251. 46
$1, 258, 289. 56
Trust funds:
of unclaimed moneys of individuals whose whereabouts are unknown (decision of
Deposits
General dated Jan. 18, 1929, Comptroller A-25240) Proceeds from estates of deceased personnel, (decision of Comptroller War Department General, Apr. 3, 1931, A-35988) Proceeds from estates of deceased soldiers, R. S., sec. 4818; act Mar. 3, 1883 (22 Stat. 565); decisions of Comptroller General, July 9, 1924; July 31, 1924 (4 Comp. Gen. 138) Pay of the Army, deposit fund, act June 12, 1906 (34 Stat. 245) Soldiers' Home pernianent fund, R.S., secs. 3689, 4818, 4819; act Mar. 3, 1883 (22 Stat. 565, sec. 8); Feb. 21, 1931 (46 Stat. 1203) Deposit of Stars and Stripes and other funds to Recreation Fund, Army, act Mar. 4, 1933 (47 Stat. 1573) Civilian Conservation Corps withheld cash allowances (Executive Order No. 6129, dated May 11, 1933) (For appropriation
111. 62 54, 426. 75
903, 877. 81 346, 254. 99 807, 394. 90 7, 554. 20
accounts see p. 330.)
Total miscellaneous partment
$4. 34
receipts under
Wsr De4, 847, 400. 05
I, 380, 437. 78
2, 119, 624. 61
2, 119, 624. 61
2, 119, 624. 61
8, 347, 462. 44
RECEIPTS AND EXPENDITURES& 1933 ft&liscellaneous
receipts, by organization
units and sources
Oeneral fund
PANAMA Revenue receipts: Miscellaneous
taxes:
Special funds
Trust funds
$71, 207. 83
Interest, exchange, and dividends: Interest on construction costs of public works in Colon Interest on construction costs of public works in Panama Dividends on capital stock of the Panama Railroad owned by the United States (act July 14, 1932 (47 Stat. , 694)
Tot, .l
$71, 207. 83
19, 683. 42 29, 016. 12 $2 800 000 00
accounts see p. 331.)
48, 699. 54 Forfeitures: Unexplained
—Continued
CANAL
Taxes, fees, and fines, Canal Zone
(For appropriation
61
balances in cash accounts
Reimbursements:
By contractors for excess cost over contract price
Sales of services: Profits from business operations, Tolls, Panama Canal
2, 800, 000. 00
2, 848, 699. 54
1. 97
1. 97
370. 40
370. 40
506, 341. 85 19, 464, 173. 04
1932
Postal receipts, Panama Canal
receipts: Reps ments of investments: Construction costs of public works in Colon Construction costs of public works in Panama
19, 970, 514. 89
19, 970, 514. 89
236, 572. 53
236 572. 53
Nonrevenue
25, 683. 53 30, 703. 71
56, 387. 24
Total miscellaneous
receipts
under
Panama 20, 383, 754. 40
Canal
56, 387. 24 2, 800, 000. 00
23, 183, 754. 40
DISTRICT OF COLUMBIA Revenues of the District of Columbia: DistIrict of Columbia share United States share (For detail of receipts and statement account, see pp. 69.)
$34, 410, 787, 01
73, 743. 84 of District of Columbia
73, 743. 84 Total miscellaneous
receipts, including Canal and "Sales of public lands"
Total ordinary issued
Panama
34, 410, 787. 01
34, 484, 530. 85
159, 968, 894. 47
63, 538, 948. 07
160, 597, 596. 76
384, 105, 439. 30
2, 019, 761, 067. 84
63, 895, 396. 48
160, 597, 596. 76
2, 244, 254, 061. 08
receipts based on receipt warrants
PUBLIC DEBT RECEIPTS (For details see pp. 404408) General fund
Special funds
Trust funds
Tots.
Treasury bills $3, 061, 895, 000. 00 Certificates of indebtedness 330& 327 500 00 Certificates of indebtedness (adjusted-service certificate fund series )229, 900, 000. 00 Treasury notes (F&oreign Service retirement-fund series) 655, 000. 00 Treasury notes (Civil Service retirement-fund series) 74, 300, 000. 00 Treasury notes (Canal Zone retirement-fund series) 197, 000. 00 Treasury notes 3, 887, 541, 800. 00 Treasury savings securities 2, 381. 08 Postal Savings bonds 18, 380, 020. 00 Deposits for retirement of national-bank notes (act of July 14, 1890) 93, 884, 122. 50
Total public-debt receipts Total receipts, exclusive of postal revenues
9, 697, 082, 823. 58
$9, 697, 082, 823. 58
11, 716, 843, 891. 42
$63, 895, 396. 48 $160, 597, 596. 76 11, 941, 336, 884. 66
POSTAL REVENUES Under control of the Postmaster General
General fund
Post Office Department, Washington, D. C. : Miscellaneous receipts (post route map sales) Field service, Post Office Department: Sales of postage stamps and other stamped paper Second-class postage paid in money First-, second-, third-, and fourth-class postage paid in money under permit
Box rents
Miscellaneous receipts Foreign mail transit service Fines and penalties Dead letters Second-class application fees, act of July 7, 1932 Nonmetered application fees, act of July 7, 1932 Revenues from money-order business Unpaid money orders more than 1 year old Interest and profits, Postal Savings System
Total postal revenues Total receipts, including postal revenues
Special funds
Trust funds
Total
$2, 893. 90
456, 406, 991. 63 18&
153, 818. 98
81, 485, 365. 58 6, 859, 996. 63 327, 084. 32 810, 935. 24 39& 219. 88 89, 388. 60 57, 590. 00 92, 100. 00 15, 835, 124. 57 780, 628. 35 6, 690, 226. 80 587, 631, 364. 48
$587, 631, 364. 48
„12,304, 475, 255. 90
$63, 895, 396. 48 $160, 597, 596. 76 12, 528, 968, 249. 14
CUSTOMS RECEIPTS BY DISTRICTS AND PORTS (Page 63 to 65) [The port first named in the following list is the headquarters for the district. "Tonnage tax" receipts were classified and stated as "customs" receipts until June 30, 1932; beginning Jnly 1, 1932, they are classifie and stated as "miscellaneous receiPts" under the DePartment of Commerce, P. 35, by decision of the ComPtroller General, dated Feb. 6, 1931, L-18469]
Districts and ports of collection
Alaska, district no.
Deposits by districts— Duties
31:
Nome
$17, 498. 04
Petersburg Seward
Sitka Skagway St. Michael Unalaska Wrangell
26:
Douglas Naco San Luis Buffalo, district no. 9: Buffalo Dunkirk Niagara Falls New York, district no.
801, 003. 90
2, 598, 993. 82
10:
New York Albany
Newark, N. J Perth Amboy, N. Rochester, district no.
183, 235, 241. 28
J 8:
Rochester Fair Haven Oswego
Sodus Point, Syracuse
506, 609. 28
.
Utica St, Lawrence, district no. Ogdensburg Alexandria Bay Cape Vincent Champlain Chateaugay Clayton Fort Covington Malone Moo e rss Morristown Nayando Rouses Point Waddington Chicago, district No.
Deposits by districts— Duties
Dakota, district no. 34:
Juneau Cordova Craig Eagle Hyder Ketchikan
Arizona, district no. Nogales
Districts and ports of collection
7:
696, 808. 35
89:
Chica Michigan City, Ind Peori a Colorado, district No. 47: Denver Connecticut, district No. 6: Bridgeport Greenwich Hartford Middletown New Haven New London Nor walk South Manchester Stamford
4, 671, 076. 09
98, 720. 17
354, 663. 76
Pembina Ambrose Antler Carburg Crosby Hannah Hansboro Lancaster Neche Northgate Noyes, Minn Portal St. John Sarles Sherwood Wan aBa Westhope Minnesota, district no. 35: St. Paul and Minneapolis Duluth and Superior, district no. 36: Duluth, Minn. , and Superior, Wis. (including West Superior) Ashland, Wis Baudette International Falls Ranier Two Harbors Warroad El Paso, district no, 24: El Paso Columbus, N. Mex Fabius Presidio Galveston, district no. 22: Port Bolivar and Galveston (including Texas City) Dallas Houston Sabine, district No. 21: Port Arthur Beaumont Orange Sabine San Antonio, district no. 28: San Antonio Brownsville Corpus Christi Del Rio Eagle Pass Fort Worth Hidalgo Laredo Rio Grande City Roma Florida, district no. 18: Tampa (including Port Tampa) Apalachicola Boca Grande Fernandina (including St. Marys, Ga. ) Fort Pierce Jacksonville Key West Miami Panama City Pensacola St. Augustine West Palm Beach
$221, 726. 22
305, 083. 63
212, 684. 11
315, 039. 91
3, 512, 432. 50
69, 016. 96
818, 797. 49
2, 531, 373. 88
63
64
RECEIPTS AND EXPENDITURES, 1933 Customs receipts by districts and ports
—Continued
"Tonnage tax" receipts were classified and stated as "customs receipts until June 30, 1932; beginning July 1, 1932, they are classified and stated as "miscefianeous receipts" under the Department of Commerce, p. 35, by decision of the Comptroller General, dated Feb, 9, 1931,
[The port first named in the fouowing list
is the headquarters
for the district.
A-13499] Continued
Deposits by districts— Duties
Districts and ports of collection
Georgia, district no. 17: Savannah Atlanta Brunswick Hawaii, district no. 32: Honolulu Hilo Kahului
Michigan, district no. 38:
$3, 972, 848. 11
1, 314, 353. 79
Port Allen
Indiana, district no. 40: Indianapolis Evansville Iowa, district no. 44: Des Moines Dubuque Sioux City Kentucky, district no. 42: Louisville Paducah Los Angeles, district no. 27: Los Angeles Andrade Calexico Port San Luis San Ysidro
111, 428. 20
709, 828. 51
3, 077, 929. 21
Cheboygan Grand Haven Grand Rapids Port Huron Saginaw Sault Ste. Marie Mobile, district no. 19: Mobile Birmingham Gulfport, Miss Pascagoula, Miss Montana and Idaho, district no. 33: Great Falls, Mont
122, 638. 60 6, 007, 179. 25
Eureka
district no. 1:
Portland Bangor Bar Harbor
889, 979. 27
Eastport, Idaho Gateway, Mont Porthill, Idaho
141, 954. 24
Mont
New Orleans, district no. 20: New Orleans
11) 520, 232. 70
North Carolina, district no. 15: Wilmington Durham Elizabeth City Manteo New Bern Reids ville Winston-Salem Ohio, district no. 41:
8, 754, 014. 85
Cleveland Akron Ashtabula Cincinnati Columbus Conneaut
Bath Belfast Calais
Eastport Fort Fairfield Fort Kent Holeb Houlton Jackman Jonesport Limestone Madawaska Mars Hill N. H. (including Kittery, Portsmouth, Maine) Robbinston Rockland Van Buren Vanceboro Maryland, district no. 13: Baltimore Annapolis Cambridge Crisfield Washington, D. C Massachusetts, district no. 4: Chelsea, Cambridge, Boston (including Medford, Everett, Quincy, and Somer-
475, 958, 29
9, 084, 341. 73
Fall River Gloucester
18, 170, 855. 53 and
1, 538, 562. 64
Dayton Erie, Pa Sandusky Toledo Omaha, district no. 46: Omaha Lincoln Oregon, district no. 29: Portland Astoria Long View, Wash Marshfield Newport Philadelphia, district no. 11: Philadelphia (including Gloucester City, N. J.)
ville)
New Bedford Plymouth Pro vincetown Salem (including Beverly, Marblehead, Lynn) Springfield Vineyard Haven
$1, 771, 872. 03
Beaufort Charlotte
Tecate
Worcester
Detroit Bay City
Sweetgrass,
San Diego, district no. 25: San Diego San Francisco, district no. 28: San Francisco Oakland Maine and New Hampshire,
Deposits by districts— Duties
Districts and ports of collection
Chester Lewes, Del
348, 485. 63
406, 206. 82
Camden
Wilmington, Del Pittsburgh, district no. 12: Pittsburgh Rhode Island, district no. 5: Providence Newport South Carolina, district no. 16: Charleston Beaufort Georgetown St. Louis, district no. 45: St. Louis (including East St. Louis) Kansas City Oklahoma City, Okla St. Joseph Tulsa, Okla
and
18, 197i 212. 00
1, 121, 512. 64 1, 056, 627. 79
514, 519. 66
1, 245, 134 66
RECEIPTS AND EXPENDITURES, 1933 Customs receipts by districts and ports for the district. "Tonnage (The port first named m tbe following list is the headquarters July I ]932, they are classified and stated ss "miscellaneous receiPts" under the DePartment 1981, &(-18469]
—Continued
"customs" receipts until June 30, 1932, beginning of Commerce, P. 35, by decision of the ComPtroiler General, dated February 6,
ta&e" receipts were classified and stated as
Districts and ports of collection
Tennessee, district no. Memphis
Deposits by districts— Duties
Washington
43:
Seattle
Chattanooga Knoxville Little Rock, Ark
$71, 255. 70
Nashville
Utah and Nevada, district no. 48: Salt Lake City, Utah
19, 495. 53
Vermont, district no. 2: St, Albans (including townships of St. Albans, Swanton, Highgate, and Franklin)
Deposits by districts— Duties
Districts and ports of collection
district no 30
Aberdeen Anacortes Bellingham
Blaine Danville Zverett Ferry Friday Harbor Laurier Maison
$1, 560, 768, 45
Nighthawk
Northport
Beecher Falls Burlington
550, 968. 84
Alburg
Derby Line Island Pond North Troy Richford Newport
Olympia Oroville Port Angeles Port Townsend
South Bend Spokane Sumas Taconls, Wisconsin, district no. 37:
Virginia, district no.
Milwaukee Green Bay Manitowoc
14:
Norfolk and Newport Alexandria Cape Charles City Chincoteague Petersburg Reeds ville Richmond
News
6&
911, 068. 65
Marinette (including Racine
Menominee,
Mich. )
348, 759. 38
Sheboygan Sturgeon Bay
Total customs receipts
'250, 514 771. 77
Islands taritf collections. Duties appropriated under "Philippine special fund" (customs), p. 255. receipts as published in this report ditier in some respects from the figures published in the report of the Commissioner of Customs because the latter represent collections by customs officers throughout the country, while the former (this report) represent the actual deposit of such collections in the Treasury and its depositories during the fiscal year 1932, the difference being due to the fact that some of the collections in the latter part of the fiscal year do not reach the Treasury or one of its depositories until after &
Includes $2, 195.26 Philippine
Norz.
—The customs
June 30,
—
30367 34
— 5
INTERNAL-REVENUE
RECEIPTS, BY STATES AND DISTRICTS (Pages 66 and 67)
States and districts
Income tax
Miscellaneous
taxes
Collections under enforcement of National Prohibition Act
Total by districts
Total by States
&
Alabama, district of Arizona, district of Arkansas, district of
$1, 626, 985. 18 559, 665. 10 584, 679. 04
$1, 654, 898. 45 276, 373. 63 838, 957. 91
$11, 232. 80
$3, 293, 116. 43 836, 038. 73 1, 423, 636. 95
22, 089, 832. 60 28, 383, 407. 03
25, 997, 012. 03 17, 887, 073. 43
69, 986. 07 22, 578. 51
48, 156, 830. 70 46, 293, 058. 97
50, 473, 239. 63
43, 884, 085. 46
92, 564. 58
94, 449, 889. 67
3, 825, 317. 14 14, 567, 548. 06 11, 511, 455. 42 4, 278, 971. 32 3, 580, 817. 91 2, 662, 658. 39 467, 328. 99
1, 801, 996. 60 3, 901, 596. 55 1, 065, 649. 04 3, 302, 672. 54 2, 764, 350. 20 402, 678. 71 222, 630. 71
6, 912. 85
53, 721, 730. 42 2, 731, 369. 33
45, 746, 466. 41 3, 409, 422. 09
21, 824. 29 3, 886. 47
99, 490, 021. 12 6, 144, 677. 89
56, 453, 099. 75
49, 155, 888. 50
25, 710. 76
105, 634, 699. 01
105, 634, 699. 01
346, 241. 76 105, 723. 89 595, 868. 62 945, 742. 36 459& 951. 20 681, 441. 89
6, 108. 83
13, 790, 023. 80 6, 503, 026. 70 8, 893, 207. 63 54& 118, 327. 63 9, 428, 582. 69 3, 718, 992. 66
13, 790, 023. 80 6, 503, 026. 70 8, 893, 207. 63 54, 118, 327. 63 9, 428, 582. 69 3, 718, 992. 66
18, 949, 460. 25 6, 272, 880. 96
3, 764, 377. 63 2, 191, 227. 60
185. 00
22, 714, 022. 88 8, 464, 108. 56
25, 222, 341. 21
5, 955, 605. 23
185. 00
31, 178, 131. 44
317 178,
35, 169, 560. 06 29, 199, 589. 69 10, 027, 765. 27 471, 788. 68
14, 126, 520. 57 24, 921, 284. 10 5, 216, 926. 20
2, 244. 74
397, 035. 94
7, 631. 36 680. 30
49, 298, 325. 37 54, 120, 873. 79 15, 252, 322. 83 869, 504. 92
49, 298, 325. 37 54, 120, 873. 79 15, 252, 322. 83 869, 504. 92
14, 216, 702. 40 5, 377, 633. 90
17, 205, 503. 55 2, 778, 521. 68
1, 936. 00 3, 156. 30
31, 424, 141. 95 8, 159, 311. 88
19, 594, 336. 30
19, 984, 025. 23
5, 092. 30
39, 583, 453. 83
39, 583, 453. 83
636, 456. 94
484, 263. 75 1, 504, 764. 42 157, 523. 24
3, 976. 78 629. 28
563, 276. 74
25. 00
1, 124, 697. 47 3, 862, 529. 77 1, 680, 454. 66 1, 781, 435. 02
1, 124, 697. 47 3, 862, 529. 77 1, 680, 454. 66 1, 781, 435. 02
5, 504, 447. 38 31, 775, 990. 22
3, 110, 210. 95 30, 163, 042. 94
7, 539. 60 39, 009. 29
8, 672, 197. 93 61, 978, 042. 45
37, 330, 437. 60
33, 273, 253. 89
46, 548. 89
70, 650, 240. 38
70, 650& 240. 38
281, 488. 31
217, 297. 50
615. 91
499, 401. 72
499, 401. 72
$3, 293; 116. 43 836, 038. 73 1, 423, 636. 95
California:
First district Sixth district
Colorado, district of Connecticut, district of Delaware, district of Florida, district of Georgia, district of Hawaii, district of Idaho, district of
Illinois:
First district Eighth district
Indiana, district of Iowa, district of Kansas, district of Kentucky, district of Louisiana, district o'f Maine, district of Maryland: Maryland
District of Columbia
Massachusetts, district of Michigan, district of Minnesota, district of Mississippi, district of Missouri:
First district Sixth district
Montana, district of Nebraska, district of Nevada, district of New Hampshire, district of New Jersey:
First district Fifth district
New Mexico, district of Additional See p. 46. &
collections from this source, amounting
66
437, 673. 21 396, 972. 81 296, 602. 01 171, 846. 17 3, 963, 750. 64 3, 037, 084. 52 8, 4, 4, 4,
2, 357, 136. 07 1& 522, 931. 42 1, 218, 133, 28
5, 2, 4, 49, 5,
to 62, 095, 977. 10, were made under miscellaneous
1&
173. 03
1, 035. 00
139. 98
467. 94
330. 00 737. 00 739. 10 4, 880. 85 466. 25
5, 628, 18, 470, 12, 577, 7, 588, 6, 345, 3, 065, 690,
486. 77 179. 61 104. 46 556. 71 168. 11 477. 08 427. 64
94, 449, 889. 67 5, 628, 486. 77
18, 470, 179. 61 12, 577, 104. 46 I
7, 588, 556. 71 6, 345, 168. 11 3, 065, 477. 08 690, 427. 64
131. 44
receipts: Forfeitures, 6186,712.08, and fines and penalties, 86909&26602
RECEIPTS AND EXPENDITURES, 1933 Infernat-reuenue
Income tsx
States and districts
New
York: First district Second district Third district Fourteenth district Twenty-first district Twenty-eighth district
North Carolina, district of North Dakota, district of Ohio:
First district Tenth district Eleventh district Eighteenth district
Oklahoma, district of Oregon, district of
Pennsylvania:
recei pts, by States and districts
Miscellaneous
taxes
—Continued
Collections under enforcement of National Prohibition Act
Total by States
Total by districts
$19, 102, 670. 91 123, 885, 885. 54 69, 996, 323. 54 11, 209, 827. 76 3, 801, 957. 29 12, 005, 127. 30
$11, 332, 073. 25
77, 959, 386. 75 31, 724, 536. 84 4, 441, 877. 20 2, 463& 118. 16 4, 661, 053. 40
$67, 567. 20
2, 967. 01
$30, 434, 744. 16 201, 912, 839. 49 101, 720, 860. 38 15, 659, 240. 88 6, 266, 979. 00 16, 669, 147. 71
240, 001, 792. 34
132, 582, 045. 60
79, 973. 68
372, 663, 811. 62
$372, 663, 811. 62
12, 760, 720. 22 220, 657. 39
200, 368, 103. 74 226, 673. 89
231. 00
213, 129, 054. 96 447, 331. 28
213, 129, 054. 96 447, 331. 28
)
535. 92 1, 903. 55
7&
630. 54 174. 49 279. 42 659. 51
9, 394, 467. 15 2, 930, 923. 57 2, 493, 823. 27 10, 466, 250. 89
14, 133, 962. 4, 474, 250. 1, 794, 862. 17, 334, 408.
59 92 15 62
200. 80
594. 00
23, 528, 7, 405, 4, 289, 32, 800,
30, 285, 464. 88
37, 737, 484. 28
794. 80
68, 023, 743. 96
68, 023, 743. 96
4, 992, 953. 01 1, 556, 108. 22
19, 637, 536. 14 1, 101, 534. 45
4, 063. 12
24, 630, 489. 15 2, 661, 705. 79
24, 630, 489. 15 2, 661, 705. 79
42, 764& 988. 45 5, 209, 626. 64 17, 380, 295. 31
26, 015, 730. 30 3, 205, 960. 27 18, 736, 925. 03
14, 107. 00 12, 991. 60
68, 794, 825. 75 8, 428, 578. 51 36, 117, 220. 34
65, 354, 910. 40
47, 958, 615. 60
27, 098. 60
113, 340, 624. 60
113, 340, 624. 60
8, 762. 28
1, 210. 10
6, 403, 776. 46 1, 725, 241. 85
6, 403, 776. 46
.
First district Twelfth district Twenty-third district
Rhode Island, district of South Carolina, district of South Dakota, district of Tennessee, district of
5, 209, 1, 050, 266, 4, 246,
540. 36 950. 61 654. 24 537. 01
1, 193, 026. 00 665, 528. 96 336, 042. 19 4, 525, 475. 64
Texas: First district Second district
6, 941, 588. 68 6, 354, 497. 62
14, 038, 516. 29 6, 670, 136. 86
7, 799. 05 6, 592. 55
20, 987, 904. 02 13, 031, 227. 03
13, 296, 086. 30
20, 708, 653. 15
14, 391. 60
34, 019, 131. 05
34, 019, 131. 05
Utah, district of Vermont, district of Virginia, district of
857, 210. 42 605, 379. 78 9, 677, 206. 71
562, 821. 56 246, 005. 89 94, 087, 772. 34
50. 00
1, 420, 031. 98
851, 435. 67 103, 764, 979. 05
1, 420, 031. 98
Washington: Washington Alaska
3, 375, 084. 35 s 152, 168. 06
1, 804, 512 30 44, 577. 69
12, 462. 50
5, 192, 009 15
3, 527, 252. 41
1, 849, 089. 99
12, 462. 50
5, 388, 804. 90
5, 388, 804. 90
3, 025, 815. 80 7, 593 751 57 334, 752. 32
2, 779, 835- 50 11, 145, 651 9'9 180, 119 18 «350, 428. 75
339. 83 21, 970. 14
5, 805, 991 18 18, 761, 373. 70 514, 871. 50 350, 428. 75
5, 805, 991. 18 18, 761, 373. 70 514, 871. 50 350, 428. 75&
862, 450, 969. 72
391, 476. 18
West Virginia, district of Wisconsin, district of Wyoming, district of Phili ppine Islands
Total internal-revenue
receipts
746, 791, 404. 11
I, 725, 241. 85
602, 696. 43 8, 772, 012. 65
602, 696. 43 8, 772, 012. 65
851, 435. 67 103, 764, 979. 05
196, 745. 75
1, 609, 633, 850. 01
~
1, 609, 633, 850. 01
' i&eh«les 34, 262. 03 income tax on Alaska railroads, appropriated under "Additional income tax on railroads in Alaska" (special fund), p. 259. ' &ll &his amount 3349, 374. 50 is Philippine Islands revenues and 31,054.25 United States revenues. Additional collections from sale of stamps affixed to products from the Philip9'ne»i»ds were ma&le and sre included in the foregoing statement under the following districts: First California, 3157.37; Washington, 322.42; Hawaii, 3436.47; first Illinois, 20.30. "'"""g «ota( of 3349,991.12 Philippine Islands internal-revenue receipts covered by warrants issued during the fiscal year 1933 and appropriated under "Philippine special (und" (In&cruel revenue), p. 259.
«« —The internal-revenue
receipts as published in this report differ in some respects from the figures published in the report of the Commissioner of Internal Revenue because by Internal Revenue officers throughout the country, including amounts received through postmasters and customs otflcers, while the former (this report) ctual deposit of such collections in the Treasury and its depositories during the fiscal year 1932, the difference being due to the fast that some of the collections in the part of the fiscal year do uot reach the Treasury or one of its depositories until after June 30.
&heist st««e present co(lect(sos s«e&'
RECEIPTS FROM SALES OF PUBLIC LANDS BY STATES AND DISTRICTS Ststes snd districts
Alabama: Montgomery Alaska: Anchorage Nome Fairbanks Arizona: Phoenix Arkansas: Little Rock California: Los Angeles Sacramento Colorado: Denver Pueblo
Florida:
Gainesville
Idaho: Blackfoot
Coeur d'Alene Indiana Illinois Iowa Louisiana: Baton Rouge Michigan: Marquette Minnesota: Cass Lake Mississippi:
Jackson
Missouri: Springfield ~
Debit item.
68
Total by States
States snd districts
Totsl by States
Montana: $825, 26
Billings
Great Falls Nebraska: Alliance
11, 182. 50
411. 51 17, 895. 92 9, 672. 74
432. 08
' 11. 87 80. 00 50. 00
361. 76 597. 66 7. 62
320. 00
150. 00
Nevada: Carson City New Mexico: Las Cruces Santa Fe North Dakota: Bismarck Oklahoma: Guthrie Oregon: Lakeview Roseburg The Dalles South Dakota: Pierre
Utah: Salt Lake City Washington: Spokane Wisconsin: Wausau Wyoming: Buffalo Cheyenne Evanston
Total sales of public lands
$7, 595. 96
65. 30 3, 503. 58 4, 173. 30
393. 48 50. 00 5, 650. 52
156. 02
11, 048. 06 2, 964. 27
5, 173. 55
102, 560. 55
DISTRICT OF COLUMBIA RECEIPTS BY SOURCES [District of Columbia account on p. 4331 Basis of division of revenues
!
District of Columbia share
United 6tates share
Total
REVENUE RECEIPTS Taxes: Gasoline tax, road, and street fund (special fund, p 72). Realty Personal, tangible Personal, intangible Public utilities, banks, building associations, etc Insurance Motor vehicle, personal Beverage Unclassified, to be distributed in fiscal year 1934
Wholly District of Columbia do do do do do do do
$19, 784, 386. 63 1, 064, 320. 35 1& 744, 670. 16 2& 030, 112. 92 395, 912. 85 377, 982. 41 29, 987. 69 1& 000. 20
$19, 784, 386. 63 1, 064, 320. 35 1, 744, 670. 16 2, 030, 112. 92 395, 912. 85 377, 982. 41 29, 987. 69 1, 000. 20
25, 428, 373. 21
Total
25& 428&
373, 21
6, 5, 5,
252. 61 200. 88 095. 88 151. 97 165. 22 225. 78 720. 65
Interest:
Assessments for: Alleys Paving roadways Sewers Sidewalks
Street extensions Realty (delinquent taxes) Tangible, intangible, etc. (delinquent
Wholly District of Columbia do cia
do do do
taxes)
&10
Total Assessments for: Sewers Sidewalks
60 and 40
Total Fees: Copies of record of dog tax paid Dog pound Elevator inspection Health department, transcripts of records Inspection, places of public assembly, etc Insurance licenses, transfer of Motor vehicles, duplicate tags Motor vehicles, registration of Motor vehicles, registration cards, duplicate Motor vehicles, title certificates Motor vehicles, transfer of title Municipal court, clerk Occupational and business licenses, other than insurance, transfers of. Podiatry examinations Public convenience stations Recorder of deeds Re gi'ster of wills Tax certificates Gas meters Electric meters Public librar
Wholly District of Columbia clo clo &10 &10
do &10
do (io &10
do do do
do do clo
do do do do do
Total Permits: Building Business concessions
Electric Fences and hedges
Gas Guides Guard stones
holly District of Columbia do &10
clo
(io do do
252. 61 200. 88 6& 095. 88 5, 151. 97 5, 165. 22 400, 225. 78 22, 720. 65
400, 22,
439, 812. 99
439, 812. 99
20. 36 141. 43
$13. 58 94. 30
33. 94 235. 73
161. 79
107. 88
269. 67
171. 00
171. 00
2, 515. 00 8, 243. 50 2, 366. 00
2, 515. 00
8, 243. 50 2, 366. 00
470. 00 205. 25 1, 254. 00 181, 875. 00 2, 335. 00 73, 665. 00 l. 00 102, 956. 67 1, 863. 50
470. 00 205. 25 1, 254. 00 181, 875. 00 2, 335. 00 73, 665. 00 1. 00 102, 956. 67 1& 863. 50
80. 00
80. 00
2, 087. 11
2, 087. 11 74, 428. 00 84, 261. 41
13, 533. 00 3, 135. 70 2. 00 22, 670. 77
?4, 428. 00 84, 261. 41 13, 533. 00 3, 135. 70 2. 00 22, 670. 77
578, 118. 91
578, 118. 91
38, 029. 57 5, 911. 50 28, 048 65 182. 00 2, 361. 00 2. 00 16. 00
38, 029 57 5, 911. 50 28, 048 65 182. 00 2, 361 00 2. 00 16. 00
69
RECEIPTS AND EXPENDITURES, 1933 District of Columbia receipts by sot&ress
—Continued
Basis of division of revenues
REVENIJE RECEIPTS
District of Columbic Bbet'e
Ubite(f Btstbs Bbste
fbtsi
—Continued
—
Per(nits Continued Motor-vehicle operators Motor-vehicle operators, reissue of permits Motor-vehicle operators, duplicate permits Paved parkings Pipe lines Sewers Tanks Walls Water service
holly Distri ct of Columbia do do= do=
do do do do do
Total Licenses: Dogs Elevator operators Engineers Insurance Occupational and business other than insurance Plumbers
Wholly District of Columbia do do do do do
Total
Fines:
Juvenile court Police court
Wholly District of Columbia do
Wholly District of Columbia do do do do do do do do do do do do do do do do
Total Rents
Wholly District of Columbia Buildings do Conduit space on Francis Scott Key Bridge, etcdo Eastern Market do Fish wharf and market do Georgetown Market do Land do Pipe lines do Vault space &10 Western Market do Wharves do Wholesale Produce Market
Total Reimbursements Advertising taxes in arrears Board and care of insane Conscience fund District of Columbia property lost or damaged Recovery of payment from indigent cases in hos-
$65, 568. 00 226, 635. 00 2, 927. 00 82. 00 12. 00 1, 677. 00 36. 00 1, 314. 00 2, 053. 00
874, 854. 72
874, 864. 72
42, 746. 06
Wjtolly District ol' Columbia do do do do
42&
746, 06 599, 00 363, 00
699. 00 868. 00 48) 894. 91 374, 057. 77 897. 86
48, 894. 91 374, 057. 77 897, 86
558. 60
467, 558. 60
30. 00 270, 421. 90
30, 00 270, 421. 90
270, 451. 90
270, 451. 90
825. 00
825. 00 5, 465. 00
467&
Total Sale of products and services District Training School, pay patients Gallinger Municipal Hospital, pay patients Garbage grease Home for the Aged and Infirm, products Maps, District of Columbia Miscellaneous city refuse Old material Regulations Sevrage disposal from adjacent territory Surveyor's office, services Tuberculosis Hospital, pay patients Tuition, nonresident pupils Water fund (special fund, p. 72) Workhouse, products Penal institutions, commissary Other than penal institutions, commissary Excess delivery charges, department of vehicles and traffic.
$65, 568. 00 226, 685. 00 2, 927. 00 82. 00 12. 00 1& 677. 00 86. 00 1, 814. 00 2, 058. 00
5, 465. 00
18, 830. 86 31. 60 194. 25 290. 00 7, 868. 18 132. 85 975. 99 20, 586. 40 1, 622. 00 2, 885. 60
13, 880. 86 81. 60 194. 25 290. 00 7, 868. 18 182. 35 975. 99 20, 586. 40 1, 622. 00 2, 885. 60
12. 65 1, 342. 80 748. 25 514. 50
12. 65 1, 842. 30 748. 25 514. 50
56, 824 88
56, 824. 88
84, 812, 65 2, 767. 50 5, 089. 25 19, 090. 40
375. 00 60. 00 608. 59 24, 187. 78 5, 690. 20 16, 021. 84 8, 671. 50
34, 812. 65 2, 767. 5O 6, 089. 25 19, 090. 40 375. 00 60. 00 608 59 24, 187. 78 5, 690. 20 16, 021. 84 8, 671. 50
117, 324. 71
117, 324. 71
6, 876. 50 56 195 58 28. 19 2, 541. 38 355. 00
6, 876. 50 56, 195. 53 23. 19 2, 541. 38 355. 00
65, 991 60
65, 991. 60
pitals.
Total,
71
RECEIPTS AND EXPENDITURES& 1933 District of Columbia receipts by sources
—Continued
Basis of division of revenues
REVENUE RECEIPTS
Guaranty
share
Total
Wholly District of Columbia
$10. 00
$10. 00
3, 082. 35 26, 619. 41 93, 554. 10
248. 97 606. 71 84, 049. 13
3, 082. 35 6, 619. 41 93, 554. 10 97, 248. 97 606. 71 84, 049. 13
305, 160. 67
305, 160. 67
do
deposits
Assessments: Alleys Paving roadways Sewers Sidwalks Special, reimbursement
Wholly district of Columbia do do do do do
Street extensions
Total
97&
60 snd 40
Sewers Sidewalks
do
Total
50 and 50
Sewers Sales of Government Buildings
United States share
—Continued
Forfeitu res: Escheated Estates Relief Fund (special fund, p.
72).
District of Colurobis
property:
Wholly District of Columbia do Wholly United States
Land
(do)
tsl Tots
501. 46 747. 95
300. 88 448. 78
$200. 58 299. 17
749. 66
499. 75
179. 83
179. 83
359. 66
4, 400. 00
3, 546. 00 12, 497. 76 4, 400. 00
400. 00
20, 443. 76
3, 546. 00
12, 497. 76
16, 043. 76
4&
1&
249. 41
Miscellaneous deposits by officers other than the collector of taxes, District of Columbia:
Fees: Court of Appeals, clerk Municipal court, marshal Supreme Court, D. C., marshal
Wholly District of Columbia Wholly United States do
Total
9, 565. 60
9, 565. 60
Forfeitures: Defaulted contractors
Fines: Militia cases, Supreme Columbia.
do
Court, District of
Sale of products snd services: Maps, District of Columbia Old material Refuse, Freedmen's Hospital
68&
375. 33
9, 565. 60 57, 473. 25
10, 902. 08 77, 940. 93
14. 52
14. 52
8, 301. 00
8, 301. 00
Wholly District of Columbia
Permits: Business concessions
57, 473. 25 10, 902. 08
175. 00
175. 00
19. 97 37. 00 6. 05
6. 05
19. 97 37. 00 12. 10
63. 02
6. 05
69. 07
Wholly United States
Wholly District of Columbia do
50 snd 50
Total Rents: Wholly District of Columbia do
Buildings Land
Total
tract price. Fxpenses of abstracts of titles
Wholly District of Columbia
526. 54
Sales of Government
property buildings
receipts,
exclusive
of special
Total general funds of the District of Columbia
22&
008, 23
102. 03
102. 03
do
811. 26
811. 26
do
11. 48
ll. 48
924. 77
924. 77
Total
funds.
10&
22, 008. 23
Reimbursements: District of Columbia property lost or damaged. By contractors for excess of cost over con-
Total revenue
11, 481. 69 10, 526. 54
11, 481. 69
Wholly
District of Columbia
326. 00
326. 00
28, 162, 820. 37
73, 743. 84
28, 236, 564. 21
28 , 162, 820. 37,
73, 743. 84
28, 236, 564. 21
72
RECEIPTS AND EXPENDITURES, 1933 District of Columbia receipts by sot(ress
—Continued
Basis of division of revenues
REVENUE RECEIPTS
share
United States share
Total
—Continued
Less amount covered into the Treasury from the above funds, with credit "Policemen and firemen's relief fund, trust fund, in pursuance of act of Sept. 1, 1916 (39 Stat. 718, sec. 12).
to-
District of Columbia
"
$658, 635. 42
27, 509, 184. 95
$653&
$73, 743. 84
635. 42
27, 582, 928. 79
Special funds: (For appropriation
accounts see pp. 350.)
Gasoline tax road and street fund (including special a, ssessments) (act Apr. 23, 1924, 43
Wholly District of Columbia
2, 142& 315. 01
2, 142,
3i5. oi
Stat. 106).
Industrial Home School Fund (act June 11, 1896, 29 Stat. 411). Water fund (act June 11, 1878, 20 Stat. 102, and prior acts). Escheated estates relief fund (act Mar. 3, 1901, 31 Stat. 1251, sec. 388)
(io
L 40
do
1, 977, '763. 36
i, 977, 763. 36
do
107. 62
107. 62
Total special funds, District of Columbia NONREVENUE
4, 120, 191. 39
4&
120, 191. 39
RECEIPTS
Trust funds: (For appropriation
accounts see p. 333..)
Deposits of inmates' funds, Workhouse and Reformatory, District of Columbia (decision of Comptroller General, Feb. 10, 1931, A-18286) . Permit fund (act Aug. 7, 1894, 28 Stat. 247) Policemen and firemenls relief fund (includes $653,635.42 credits from general fund of the District of Columbia) (act Sept. 1, 1916, 39 Stat. 718, sec. 12). Deductions from salaries, teachers' retirement fund, District of Columbia (act June 11, 1926, 44 Stat. 727). Interest on investments, teachers' retirementfund deductions, District of Columbia (act June 11, 1926, 44 Stat. 727). teachers' retirement Iriterest on investments, fund, Government reserves, District of Columbia (act June 11, 1926, 44 Stat. 728, sec. 7) . Miscellaneous trust-fund deposits (act Apr. 27, 1904, 33 Stat. 368). Washington redemption fund (act July 1, 1902, 32 Stat. 635, sec. 4). District of Columbia workmen's compensation act (act May 17, 1928, 45 Stat. 600). Interest on investments, District of Columbia workmen's compensation (act May 17, 1928, 45 Stat. 600).
Total trust funds, District of Columbia Total miscellaneous of Columbia.
receipts under District
Wholly District of Columbia
57, 577; 25
57, 577. 25
do do
14, 476. 09 854, 356. 48
14& 476. 09 854, 356. 48
(io
292, 648. 28
292&
do
143, 365. 58
143, 365. 58
(io
55, 723. 46
55, 723. 46
do
1, 076, 238. 28
1, 076, 238. 28
do
283, 382. 75
283, 382. 75
do
3, 175. 00
3, 175. 00
do
467. 50
467. 50
2, 781, 410. 67
2, 781, 410. 67
34, 410, 787, 01
73, 743. 84
34,
484&
648. 28
530. 85
EXPENDITURES [Siuuuiary of expenditures
of the Govern¢ for the fistaf gear ended June 30, 1933, classified by departments and organization [Ou basis of checks issued; see p. 6. Excess credits italics to be deducted]
Details on gages
General fund
units;ic&
Trust funds
Special funds
or&ling
io (undsl
Total
LEGISLATIVE, 81—83
tlnited States Senate House of Reprdsdntatives Legislative, misellaneous Architect of the Capitol Botanic fxarden Library of Congress Government I'rinting Office
83-86 86, 87
87-89 90
90-92
92, 93
Total, Legislative
$3, 108, 273. 05 7, 605, 557. 38 47, 811. 98 6, 535, 405. 38 1191 798. 75 2, 041, 841. 81 1& 041, 727. 55
231, 379. 67 17, 187. 06
$3, 108, 273. 05 7, 605, 557. 38 49, 190. 15 6, 535, 405. 38 119& 798. 75 2, 273, 221. 48 1, 024, 600. 49
20, 500, 415. 90
21o, 630. 78
20, 716, 046. 68
$1&
378. 17
EXECUTIVE OFFICE INDEPENDENT Alien
OFFICES '
Property Custodian
American Battle Monuments Commission American National Red Cross Arlington Memorial Bridge Conimission Board of Medio, tion Board of Tax Appeals Bureau of Efficiency Civil Service Commission Personnel Classification Board Commission of Fine Arts Employees' Compensation Commission
Farm Credit Administration Federal Farm Board Agricultural marketing fund Federal Board for Vocational Education Federal Oil Conservation Board Federal Power Commission Federal Radio Commission Federal Reserve Board Federal Trade Commission General Accounting Office Interstate Commerce Commission National Advisory Committee for Aeronautics National Capital Park and Planning Commission OIIIce of War Claims
Arbiter Puerto Rican Hurricane Relief Commission Public Buildings and Public Parks of the National Ca p ital Railroad administration and transportation act Smithsonian Institution ational Museum U. S. Grain Corporation U. b. Geographic Board U. S. Shipping Board U S Supreme Court Building Commission (Building) U. S. Tariff Commission War Fina, ncc Corporation Miscellaneous commissions, boards, etc. : Chicago W&&rid's Fair Centennial Celebro, tion George Rogers Clark Sesquicentennial Commission George Washington Bicentennial ComQnsslon
369, 800. 98
369, 800. 98
Executive Office, Mansion, and Grounds
94 94 94 94 94, 95 95 95 96 96 96, 97 97
97-99 99 99
100-101 101 101, 102 102 102 103 103 104 104, 105
109, 110
75, 727. 76 89, 811, 61 2, 029, 698. 27
99. 12
507, 783. 03
861, 111. 89
4, 344, 506. 08
$161, 858. 84 346, 437 73
54, 942. '19 352, 355 78 158, 372. 43 520, 330. 66 128, 989 76 1, 261, 406. 13 38, 661. 15 7, 301, S2 4, 345, 034. 56
642, 626. 73
1, 334, 722, 84 3, 789, 480. 75 6, 544, 835. 46
105-107 108, 109 109 109
13, 582. 28
9, 047, 670. 37 15, 830. 58 219, 675. 93 761, 932. 48
569, 512. 72
107-108
43, 303. 73
(z)
10o 105 105
107
8161, 858. 6$
346, 437. 73 11, 638. 76 352, 355. 78 158, 372. 43 520, 330. 66 128, 989. 76 1, 261, 406. 13 38, 661 15 7, 30]. 82 4, 331, 45'. 28 (') 642, 626. 73
1, 453. 37
569, 512. 72 1, 453. 37 352, 350. 82
8, 068. 8&7
4, 336, 437. 79
352, 350. 82
188, 587. 177e 398, 246. 32 678, 024. 57 1, 917. 39 15, 029. 77
88,
(')
9, 047, 670. 37 15, 830. 58 295, 403. 69 732, 620. 87 2, 029, 698. 27 1, 334, 821, 96 3, 789, 480. 75 7, 052, 618. 49 861, 111. 89
87e7e.
188, 587, &&4 376, 001, 97 678, 024. 57 1, 917. 39 15, 029. 77
85
(s)
110
3, 544, 174. 18 899, 528. 77 8, 989. 96
3, 544, 174. 18
110, 111 117
119
506, 422. 42
506, 422. 4"
118
581, 426. 81
581, 426. 81
118
150, 179. 95
Mount Rushmore National Memorial Commission 11S ' Exclusive of related items shown on p. 79, under" Other items. "
899, 528. 77 (T, ,&b?!». 66
150, 179. 95
'
51, 051. 00
51, 051. 00 ' See operations
u ader
"Other items", p. 79.
&
This item stated on p. 74.
73
74
RECEIPTS AND EXPENDITURES) 1933 ExpenChfnres Details on pages
INDEPENDENT
OFFICE
—Cont'd. etc.— Con.
commissions, boards, Nitrate plants, plan for disposition Protection of interests of United States in
Miscellaneous
oil leases and oil lands Public Buildings Commission United States- Yorktown Sesquicentennial Commission National Industrial Recovery Emergency Conservation Work Federal Home Loan Bank Board National Banl'ing Emergency Act
—Continued
General fund
Special funds
Trust funds
Total
118
$995. 98
$995. 98
118 118
6, 751. 82 50, 122. 45
6, 751. 82 50, 122. 45
119
220. 78
120 120 120 121
8, 670. 57
' 14, 248, 461. 23 217, 260. 34 235, 492. 97
220. 78 8, 670. 57 14, 248& 461. 23 217, 260. 34 235, 492. 97
121
57, 037, 663. 07
$2, 598, 341. 91
110
23, 063, 540. 01
5, 256, 083. 17
111 117 111
90, 115, 547. 56 (') 2, 251, 870. 35
Total independent offices, exclusive of U. S. Shipping Board, Veterans' Administration and operations other items, per ntrte 1
U. S. Shipping
unr!er
Board
Veterans' Administration: Salaries and expenses Adjusted-service certificate fund Adjusted service and dependent pay and disability Civil-service retirement fund Canal Zone retirement fund Hospital and domiciliary facilities and services Military and naval rompensation Military and naval insurance Printing and binding Army and Na, vy pensions State and Territorial homes for disabled soldiers and sailors Government life insurance fund ' Miscellaneous items
Total, Independent
DEPARTMENT
Ol
Offices'
59, 488, 433. 44 28, 319, 623. 18
90, 115, 547. 56 2, 251, 870. 35
(')
117
!2)
112 112 112 113 114
14, 306, 801. 72 315, 625, 333. 15 123, 409, 187. 56 124, 755. 48 234, 990, 426. 99
114 117 — 114 117
757, 965. 18
14, 306, 801. 72 315, 625, 333. 15 123, 409, 187. 56
124, 755. 48 234, 990, 426. 99
306, 839. 41
70, 344, 294. 13 112, 719. 79
757, 965. 18 70, 344, 294. 13 419, 559. 20
116
781, 888, 727. 40 58, 019. 57
70, 457, 013. 92 1, 713, 291. 60
852 345. 741. 32 1, 655, 272. 03
111-117
781, 830, 707. 83
72, 170, 305. 52
854, 001, 013. 35
94-121
861, 931, 910. 91
72, 022, 733. 98
941, 809, 069. 97
1211 122
970, 333. 55 1, 126, 934. 25 102, 887. 13 4, 582, 913. 50 1, 533, 843. 55 8, 607, 325. 94 3, 695, 726. 01 8, 043, 500. 24
Special deposit accounts (exTotal, Veterans' Administration certificlusive of adjusted-service cate fund, civil-service retirement and disability fund) and Canal Zone retirement fund
$11).7, )571. $1&
7, 854, 425. 08
AGRICULTURE
Office of the Secretary Office of Information
Library, Department of Agriculture Office of Experiment Stations Extension service Cooperative agricultural extension work Weather Bureau Bureau of Animal Industry Meat Inspection, Bureau of Animal Industry Bureau of Dairy Industry Bureau of Plant Industry Forest Service Cooperative work, Forest Service Payment to States and Territories from national forests fund Roads and trails for States, national forests fund Arquisition of lands for protection of watersheds and streams
122 122 122 123 132 123 123, 124
133 124 124
124, 125 12,5
"
' Exclusive of related items shown on p. 79 under "Other items. & See operations under "Other items, p. 80. ' Expenditures from "Army account of advances" on account of Departn)ent in daily Treasury statements for the fiscal year 1933, the not having reached the Treasury until after the close of the fiscal year classification of the expenditures on a checks-issued basis included in taining to the Wsr Department and independent oflices, respectively. x See p. 117 for complete statement of account.
"
5, 019, 963. 81
626, 587. 17 4, 636, 878. 47
17, 009, 367. 06
Z'2, 118, 502. 56
970, 333. 55 1, 126, 934. 25 102, 887. 13 4, 582, 913. 50 1, 533, 843. 55 8, 607, 325. 94 3, 695, 726. 01 8, 043, 500. 24 5, 019, 963. 81 626, 587. 17 4, 636, 878. 47 17, 009, 367. 06
2, 118, 502. 56
125
589, 477. 81
589, 477. 81
l25
215, 266. 23
215, 266 23
857, 515. 18
857, 515. 18
War the Emergency Conservation fund, amounting to 314,339,399.01, were included in the expenditures of the fund transfer and counter adjustments between Army account of advances snd the Emergency Conservation the 1933. The warrants in such cases, however, were dated June 30, 1933, which accounts for the difierence in perthis report and the cash expenditures as published in daily Treasury statements under the claesificstione
75
RECEIPTS AND EXPENDITURES, 1988 h'xpcftditt)res Detsfis on
DEPARTMENT OF AGRICULTURE
125 126 126, 127 127 128
il&1,
of
Trust funds
602,
6&27.
Total
gl, 602, 627. 52 2, 205, 175. 69 1, 784, 159, o4
52
2 205 175 69
1, 784, 159. 54
]27
127, 128 128 128, 129 129 129, 130 180 180 180
440, 587. 11 496, 085. 73 5, 775, 518. 64 214, 812. 94 . 300, 149, 62 174, 056. 60 1, 582, 721. 50 16, 681. 44
181
145, 288. 91
145, 288. 91
181 181, 182
3, 0?2, 875. 47
1, JI8o. 87
1, JI85. 87 3, 072, 375. 47
252, 144, 121. 95 47, 726. 51
Total, Department
Agriculture,
133
252, 191, 848. 46
184
1, 158, 926. 20
277, 449. 11 177, 244, 701. 84 440, 587. 11 496, 085. 78
$124, 285. 88
o, 899, 749.
02
214, 312. 94 300, 149. 62 174, 056. 60 1, 582, 721. 50 16, 681. 44
i
&
3, — 235, 196. 89
047, 481. 98
255, 191, 603. 98 282, 922. 90
8, 282, 678. 87
255, 474, 526. 88
x
01 COMMERCE
DEPARTMENT Secretary
Radio Division Aircraft in Commerce Bureau of Foreign and Domestic Commerce Bureau of Census Bureau of Navigation and Steamboat Inspection Service Bureau of Standards Bureau of Lighthouses Coast and Geodetic Survey Bureau of Fisheries Patent Office Bureau of Mines Commerce, miscellaneous Special deposit accounts
Total, Department
Office of
Special funds
(') 277, 449. 1] 177, 244, 701, 84
Special deposit accounts
DEPARTMENT
General fund
—Con.
Bureau of Chemistry and Soils Bureau of Entomology Bureau of Biological Survey Bureau of Public Roads (salaries and expenses) Mount Vernon Memorial Highway Road construction of roads and Flood relief for restoration bridges Bureau of Agricultural Engineering Bureau of Agricultural Economics Bureau of Home Economics Bureau of Plant Quarantine Enforcement of the grain futures act Food and Drug Administration Agricultural Adjustment Administration Loans to farmers in storm, flood, and droughtstricken areas emerAgricultural credits and rehabilitation, gency relief Agriculture, miscellaneous
Oflice of the
—Continued
of Commerce
134 135
185-137 187 138, 189
189-143
1, 158, 926. 20
(') 9, 839, 149. 00 8, 745, 410. 01 3, 181, 297. 66
9, 339, 149. 00 3, 745, 410. 01 3, 181, 297. 66 1, 384, 188. 65
1, 384, 188. 65
2, 208, 898. 17 12, 046, 284. 81
149
898. 17 12, 046, 284. 81 3, 856, 149. 86 2, 019, 126. 59 936, 686. 41 1, 816, 838. 08 49, 136. 88 41, 240, 987. 27 211, 821. 93
3, 863, 684. 29
149 149
41, 452, 259. 20
3, 868, 684. 29
988. 00
150 151—158 lo8, 154 154 154, 155 155, 156
1, 265, 769. 58 1, 846, 058. 05 19, 808, 404. 05
1, 424, 708. 96 5, 402, 991. 46
481. 44
143, 144, 145, 146,
144 145 146 147
147-149
2, 208,
3, 367, 667. 68 2, 019, 126. 59 4, 758, 874. 01 1, 851, 766. 95 49, 186. 83
11, 517. 82 3, 816, 737. 60 35, 428. 87
$96o. 00
45, 104, 621. 56
210, 356. 93
45, 814, 978. 49
OF THE INTERIOR
the Secretary
General Land Office Bureau of Reclamation Geological Survey National Park Service Office of
Education Government in the Territories Beneficiarie Interior, civil, miscellaneous Special deposit accounts
Total, Interior, civil, excluding Bureau of Pensions and civil-service retirement and disability fund, see pp. 74, 80 INDIAN
2, 514, 912. 56
'
36, 702. 34
1, 265, 769. 58 3, 271, 243. 45 25, 211, 395. 51 2, 514, 912 56 9, 434, 849. '94
159, 160 160, 161
9, 897, 647. 60 2, 891, 867. 93 1, 911, 021. 44 2, 685, 748. 09 38, 699. 97 42, 360, 119. 27 20, 499. 97
8, 457, 121. 86
176, 378. 90
160
50, 998, 620. 03 II5& 18JI. 89
161
42, 380, 619. 24
8, 391, 487. 30
176, 378. 90
50 '.348, 435. 44
156-158
1, 592, 719. 10
8o, 88$. 86'
175, 897. 46
2, 891, 867. 93 8, 503, 740. 54 2, 861, 640. 55
88, 699. 97
AFFAIRS
o&
Salaries and general expenses
161--163
2&
000, 445. 31
", 000, (45.
11
ucation 1(), 0'. )6, 767. 80 168-166 10, 091, 587. 72 5, 230. 08 General support and administration 1 532 039 68 166—167 1, 582, 089. 68 ' Salar' Salaries and expenses were provided for under the approp riatioo, "Coo perative construction of rural post roads", in the csea) year 1933, the expenditures therefor are included the f))mres for "Road construction. " ac.uded under Federal Radio Commission (iodependen 't off)ces, p. 73) ursuant to sec. 311 of the act of June 30, 1932, and Executive order of Ju)y 20, 1932. " This amount does not incJude the sum of $1,000, 000 heret ofore reimburse pd annually to the general fund under the act of June 12, 1917. See cote I7, p. 41.
76
RECEIPTS AND EXPENDITURES, 1988 Expenditures Details on
General fund
pages
DEPARTMENT OF THE INTFRIOR INDIAN
AFFAIRS
—continued
—Continued Special funds
Trust funds
Total
—Con.
treaty stipulations and treaty supports Miscellaneous expenses of Indian Service Interest on Indian tribal funds Tribal funds I'ulfilling
Special deposit accounts
167—169
$578, 756. 26
169-183 184-190 191-198 198
7, 503, 145. 69
660, 287. 00
$578, 756; 26 7, 859, 050. 58
$355, 904. 84
660, 287. 00
$4, 985, 414. 22
4, 985, 414. 22
22, 861, 211. 61
861, 184. 92
4, 985, 414. 22 276, 847. 81
27, 707, 760. 75 276, 347. 81
361, 184. 92
5, 261, 762. 03
27, 984, 108. 56
572. 22
5, 488, 140. 98
78, 982, 544. 00
Total, Indian Affairs
198
22, 361, 211. 61
Total, Department of the Interior, including Indian Affairs, but excluding Bureau of Pensions and civil-service retirement and disability fund, see pp. 74, 80
199
64, 741, 880. 85
8,
752&
DEPARTMENT OF JUSTICE OFFICE OF THE ATTORNEY GENERAL
Salaries and expenses Detection and prosecution of crimes Bureau of Prisons, salaries and expenses Bureau of Prohibition Miscellaneous objects
Total, Offic of the Attorney General
199
1, 609, 826. 48
1, 609, 826. 48 2, 820, 546. 69 202, 166. 85 9, 086, 738. 07
2, 820, 546. 69
200 201 201 200
'
201
18, 716, 442. 85
202, 166. 35 9, 086, 788. 07
497, 170. 81
497&
170. 31
13, 716, 442. 85
JUDICIAL
Salaries and expenses, Supreme Court Salaries of circuit, district, and retired judges Court of Customs and Patent Appeals United States Customs Court Court of Claims Territorial courts Expenses, etc. , United States courts Penal and correctional institutions Judicial, miscellaneous
Special deposit accounts
Total, Judicial Total, Department ing Judicial
of Justice, includ-
201 201 202 202 202, 208 208 204, 205
814, 299. 92
814, 299. 92
2, 168, 726. 65
2, 168, 726. 65
205-210 210, 211
83, 308. 67 209, 798. 00 200,' 273. 36 73, 444. 74 18, 249, 604. 78 18, 527, 905. 01 25] 824. 98
906, 888. 86
83, 808. 67 209, 798. 00 200, 278. 36 73, 444. 74 18, 249, 604. 73 18, 527, 905. 01 982, 708. 84
211
29, 853, 181. 06 200, 261. 76
906, 888. 86 6, 666. 68
80, 760, 064. 92 194, 596. 08
211
30&
058, 442. 82
901, 218. 18
30, 954, 661. 00
211
43, 769, 885. 67
901, 218. 18
44, 671, 103. 85
211, 212 212 212, 213 213, 214 214 214 214 215 215
655, 718. 40 414, 528. 21 9, 642, 579. 68 896, 214. 27 888, 594. 56 143, 217. 98 765, 151. 27 18, 951. 88 11, 088. 74
701. 00
655, 718. 40 414, 528. 21 9, 745& 177. 49 896, 214. 27 888, 594. 56 143, 217. 98 765, 151. 2? 13, 951. 88 11, 789. 74
215
12, 881, 044. 89 112, 689. 65
102, 597. 86 584, 138. 49
701, 00 85, j&.81. 10
12, 984, 348 75 561, 897. 04
215
12, 993, 734. 54
636, 786. 85
84&
780. 10
18, 545, 740. 79
1, 799, 078. 07
1, 870. 95 36, 853. 85
DEPARTMENT OF LABOR Office of the Secretary
of Labor Statistics Bureau of Immigration Bureau of Naturalization Children's Bureau Women's Bureau Employment Service Housing Corporation Labor, miscellaneous Bure&au
Special deposit accounts
Total, departtnent,
of Labor
102, 597. 86
NAVY DEPARTMENT Office of the Secretary Bureau of Navigation Bureau of Engineering
216, 217
217-219 219
5, 530, 751. 47
20, 244, 581. 17
Additional expenditures for prior year accounts under the national proh ibition act, amounting to $3,374. ?6, were made under the Treasury Department 1933. The expenditures under the Bureau of Industrial Alcoho 1, Treasury De partment, amounted to $3,964, 562.27 during the fiscal year 1933. &
1, 797, 207. 12 5 567 604. 82 20, 244, 581. 1? during the fiscal year
77
RECEIPTS AND EXPENDITURES, 1933 Expenditures Details on pages
NAVY DEPARTMENT
Qeneral fund
Trust funds
Special funds
Total
—Continued
Bureau of Construction and Repair Bureau of Ordnance Bureau of Supplies snd Accounts: Fuel snd transportation Maintenance Naval supply account fund snd transportation, Pay, subsistence, Navy Other items Bureau of Medicine and Surgery Bureau of Yards and Docks Bureau of Aeronautics Naval Academy Marine Corps:
Psy
General expenses Other items Alterations to naval vessels Increase of the Navy: Armor, armament, and ammunition Construction and machinery Other items Salaries, Navy Department Contingent expenses, etc Navy, miscellaneous
219, 220 220
221 221 222 ~
'
$15, 939, 541. 95 11& 642& 128. 49
$15, 939, 541. 95 11, 642, 128. 49
5, 588, 094. 74 8, 961, 617. 82
5, 588, 094. I4 8, 961, 617. 82
18, 695,
7/~8.
49
221 221, 222 222, 223 223-226 228 229, 230
142, 440, 249. 15 298, 199. 74 1, 518, 344. 14 19, 396, 729. 73 31, 381, 284. 87 1, 760& 947. 76
229, 230 229 229 230
14, 455, 541. 12 6, 076, 215. 16 266, 722. 18 12, 417, 665. 10
230 230 230
8, 650, 389. 49 39, 643, 105. 11 26, 253. 85 3, 705, 320. 23 836, 473. 22 3, 645, 329. 98
231-233 233, 234 234, 235
235 235
General account of advances Special deposit accounts
342, 528, 816. 05 5, 310. 21
18, 695, 7/8.
$117, 568. 17 249, 958. 71
$22, 589. 34
2, 465. 02
151, 367. 27
l&9
142, 440, 249. 15 438, 357. 25 1& 768, 302. 85 19& 399, 194. 75 31& 381, 284. 87 1& 760, 947. 76 14&
606, 908. 39
6, 076, 215. 16 266, 722. 18 12&
145. 28 404, 974. 30
9, 342, 534, 126. 26
Total, Navy Department POST OFFICE
—Continued
l&08.
8, 650, 389. 49 39, 643, 105. 11 26, 253. 85 3, 705, 320. 23 836, 473. 22 3, 645, 475. 26
174, 101. 89
343, 107, 892. 24 5, 310. 21 9, 1I08. 86
174, 101. 89
343,
86
395, 570. 94
417, 665. 10
103&
799, 09
632. 54
DEPARTMENT"
Deficiencies in the postal revenues Miscellaneous expenses, Postal Service
237 236, 237
58, 603. 54
29. 00
58&
237
58, 603. 54
29. 00
58, 632. 54
238 239-249
218. 13 " 12,2, 030, 962, 363, 24
7, 078. 36
913 24
2, 030, 218. 13 13, 045, 354. 84
249
14, 992, 581. 37 879, $15. 811.
7, 078. 36 261, 566. 11
75, 913. 24
15, 075, 572. 97 17, 81I9. 78
251
"14, 713, 165. 53
268, 644. 47
75, 913. 24
1'15 057, 723. 24
251 251 252 252
140, 628. 98 683, 720. 52 1, 093, 039. 65 163, 061. 77
252, 253
98, 220. 70 1, 047, 192. 98 3, 182, 727. 04 40, 035. 43 48, 623. 31
Total, Post Office Department exclusive of Postal Service payable from postal revenues
(2)
OF STATE
DF&PARTMENT Salaries and expenses Foreign intercourse
'
Special deposit accounts
Total, Department
of State
" 75
TREASURY DEPARTMENT Office of the Secretary Office of Chief Clerk and
Superintendent
Division of Supply General Supply Committee
of Commissioner of Accounts De P osits Division of Bookkeeping and Warrants Office
snd
Public Debt Service Division of Appointments Office of Disbursing Clerk Bureau of Customs:
Collecting the revenue from customs Miscellaneous expenses Refunds, debentures, drawbacks, etc Bureau of the Budget Federal Farm Loan Bureau Office of Treasurer of United States Office of Comptroller of the Currency Bureau of Internal Revenue: Collecting the revenue Refunds, debentures, drawbacks, etc 2
See operations under
"Other items", p. 79.
u Postal Service expenditures
253 253, 254 254 255 255 255 255 255 256 256, 257 257
19, 471, 573. 60 9, 052. 77
258
29, 911, 947. 80
258, 259
(12)
171, 514. 35 735, 206. 02 1, 532, 318. 30 280, 166. 19
(")
payahle from po stol revenues are stated on p. 79.
140, 628. 98 683, 720. 52 1, 093, 039. 65 163, 061. 77
30, 959. 94
29, 234. 78
98, 220. 70 1, 078, 152. 92 3, 211, 961. 82 40, 035. 43 48, 623. 31
19, 471, 573. 60 9, 052. I I (12)
7. 86 2, 476, 290. 86
171, 514. 35 735, 213. 88 1, 532, 318. 30 2, 756, 457. 05 29, 911, 947. 80
(12) u Exclus&ve of
For eign Service retire¢ fund, p. Sc. » See "Refunds of receipts", p. 2.
RECEIPTS AND EXPENDITURES& 1933 Ezpendifttres Details on pages
TREASURY DEPARTMENT
—Continued Total
—Continued
Bureau of Prohibition: Enforcement of Narcotic and National Prohibition Acts Bureau of Industrial Alcohol: Salaries and expenses Refunds and drawbacks Bureau of Narcotics Coast Guard Bureau of Engraving and Printing Secret Service Division Public Health Service Bureau of the Mint
259
$3, 374. 76
259 259 259 260—262 263 263 264-266 267
3, 892, 806. 24
$3&
374. 76
3, 892, 806. 24
(12)
(12)
1, 210, 857. 30 29, 230, 039. 99 5, 528, 166. 18 660, 537. 57 10, 373, 581. 89 1, 204, 453. 73
$3 696 74
110, 712, 847. 07 Office of Supervising
Trust funds
Special funds
General fund
2, 510, 955.
40,
$265. 00 29, 499. 78
1, 210, 857. 30 29, 230, 039. 99 5, 528, 166. 18 660, 537. 57 10, 377, 543. 63 1, 204, 453. 73
113, 253, 302. 25
Architect:
Operating expenses, public buildings Repairs, equipment, etc. , public buildings Sites, construction, etc. : courtPost offices, customhouses, houses, etc Inspection stations Quarantine stations Marine hospitals
Treasury, miscellaneous: To promote the education of the blind Outstanding liabilities (trust fund) Other items Special deposit accounts
Special a, ccounts: Settlement of War Claims Act of 1928 Subscription to capital stock, Federal intermediate credit banks Subscription to capital stock, Federal land banks
»
Total, Treasury Department
267, 268 268, 269
14, 805, 775. 95 7, 018, 294. 84
14, 805, 775. 95 7, 018, 294. 84
269-289
102, 245, 427. 55, 590, 535. 59 99, 013. 65 2, 664, 164. 24
10, 788. 54
102, 245, 427. 55 590, 535. 59 99, 013. 65 2, 674& 952. 78
127, 423, 211. 82
10, 788. 54
127, 434, 000. 36
290 273, 291 273, 291
75, 000. 00
20. 00
75, 000. 00 015. 80 704, 059. 42
779, 039. 42 1, 888, 069. 51&.
868, 995. 80 884, 988. 88
515, 044. 22 1, 707, 05'8. 86
608, 080. 18
588, 978. o8
1, 198, 008. 6$
293 293 292, 293
704, 039. 42
293
861&.,
015. 80
86$&
294
136, 896. 63
136, 896. 63
294
28, 000, 000. 00
28, 000, 000. 00
28, 136, 896. 63
28, 136, 896. 63
294
294
2, 521, 743. 94
265, 669, 925. 40
559, $78. 71&
267, 632, 190. 60
WAR DEPARTMENT MILITARY ACTIVITIES
Salaries, War Department Office of Secretary of War General Staff Corps Adjutant General's Department Judge Advocate General's Department Finance Department: Pay of the Army Finance service Judgments Other items Quartermaster Corps: Army transportation Barracks and quarters and other buildings and utilities Clothing and equipage Construction of buildings, etc. at military posts Construction and repair of hospitals Incidental expenses of the Army Regular supplies of the Army Subsistence of the Army Other items
294-297 297 297 298 298
4&
446, 858. 58 679, 763. 17 115, 947. 06 104&
4, 446, 858. 58
679, 763. 17 115, 947. 06 104, 111.61 255, 500. 00
111. 61
255, 500. 00
127, 714, 581. 26 * 981, 865. 80 2, 954, 214. 58 416, 846. 45
127, 714, 581. 26 981, 865. 80 2, 954, 214. 58 416, 846. 45
300
12, 598, 899. 45
12, 598, 899. 45
301 301
14, 538, 017. 79 6, 865, 486. 01
14, 538, 017. 79 6, 865, 486. 01
303 303 302 302 303, 305
11, 618, 986. 84
11, 618, 986. 84
298, 299 298 299
298-300
i
',
&
See operations under
" Other
items
", p. 79.
300-304
546, 264. 21 3, 268, 893. 99 4, 488, 894. 93 20, 434, 081. 98 308, 426. 65
» See "Refunds of receipts"
1, 9/1&, 186. 98 p. 79.
546, 264. 21 3, 268, 893. 99 4, 488, 894. 93 18, 489, 955. 00 308, 426. 65
» Exclusive of "Refunds of rece ipts", p. 79.
79
RECEIPTS AND EXPENDITURES& 1983 Espendt'furca Details on pages
—Continued
General fund
Special funda
Trust funds
Total
—Continued continued AOTIvITIEs —
WAR DEPARTMENT MILITARY
Signal Corps Air Corps Medical Department Corps of Engineers Fortifications, etc. , Panama Canal u Ordnance Department Chemical Warfare Service Chief of Infantry
Cavalry Field Artillery Coast Artillery Defenses Defenses, Panama Canal te Military Academy Militia Bureau Organized Reserves Citizens' Military Training National Board for Promotion of Rifle Practice
Chief of Chief of Chief of Seacoast Seacoast
Army account of advances
Accounting funds Special d'eposit accounts
$2, 925, 229. 20 21, 930, 108. 81 1, 582, 656. 47 515, 538. 07
309-311 811 312 312 812 312 818 318, 314 814, 815 315, 816 816 816, 817
9, 976, 553. 08 1, 288, 840. 85 59, 998. 79 18, 169. 44 24, 885. 25 26, 887. 12 1, 806, 277. 07 614, 916. 00 2, 515, 937. 78 33, 169, 986. 73 5, 746, 332. 48 6, 459, o46. 07
317
257, 698. 53
300 800 300
801, 157) 142. 10 880, 1 i)9. 11 98, 65o. 57 189& 049. 92
317
Total, Military activities NONMILITARY
305 806 306, 807 307-809
318 318-321
328-827
Flood control and relief Special deposit accounts War claims and relief acts Miscellaneous, nonmilitary Trust funds
325,' 827 827 828, 329 330 880
321 322 822, 328
activities
Total, War Department, Panama Canal
10, 015, 282. 37 1, 238, 840. 85 59, 993. 79 18, 169. 44 24, 885. 25 26, 887. 12 1, 806, 277. 07
614, 916. 00
2, 515, 937. 78
33, 169, 936. 73 5, 746, 332. 48 6, 459, 546. 07 257, 693. 58
1, 905, 897. 69
299, 251, 744. 41 880, 11&.9. 11 98, 655. 57 189, 049. 92
905 897 69
298, 511, 989. 65
24, 170. 81
929, 562. 18 450, 719. 72 615, 208. 90 194, 277. 68 47, 168. 06
1
929, 562. 18 450, 719. 72 591, 088. 09 194, 277. 68 35, 847. 07
11) 820. 99
76, 839, 888. 14 89, 652, 056. 09 45& 082. 28 52, 296. 84 104&
$1, 405, 040. 13
77, 606, 657. 65 40, 459, 694. 99 45, 032. 28 52, 296. 34 104, 385. 10 1, 40o, 040. 13
767, 269. 51 807, 688. 90
885. 10
830
118, 894, 602. 69
1, 610, 400. 21
1, 405, 040. 18
121, 910, 048. 03
831
" 419, 311, 990. 08
99$, 997. 1&8
1, 405, 040. 13
420, 422, 032. 68
12
2, 840, 239, 497. 27
27, 496, 688. 96
79, 372, 003. 51
2, 447, 108, 189. 74
881 881
689, 243, 011. 82 425, 660, 300. 00
excluding
Total, general expenditures Public debt:
417 887 34
$88, 729. 29
ACTIVITIES
National cemeteries National military parks Miscellaneous, Quartermaster Corps Signal Corps Corps of Engineers, miscellaneous Rivers and Harbors: Improving rivers and harbors
Total, nonmilitary
'4 800&
$2, 925, 229. 20 21, 980, 108. 81 1& 532& 656. 47 515, 538. 07
OTHER ITEMS
Interest Sinkin g fund Purchase and retirements repaymen s
from foreign
Purchase and retirements from franchise tax receipts (Federal Reserve banks) Forfeitures gifts etc Refund of receipts:
402
38, 886, 650. 00
83, 886, 650. 00
402 402
2, 086, 750. 00 91
2, 036, 750 00
255 Bureau of Industrial Alcohol Panama Canal Subscriptions to capital banks
259
stock, Federal land
180, 067. 36
gncultural marketmg fund (net) 5 80$ 181&. 91 Distribution of wheat and cotton for relief 85 10" 531. 67 Ex pe a See note tures for tbis object are stated under "Seacoast defenses, panama Canal" ) beiow. "Seenotel p. 16.
59. 67
12, 609, 694. 92 55, 610, 578. 55 71, 746. 08 117, 880, 192. 33 11, 417, 757. 84
7 614 8l
294
99 97, 99 98, 99
14. » Ex@naive of 614,269, 629.61 referred to in note 4. » yor oiasaigcauon of extraordinary expenditures contributing
689, 248, 011 82 425, 660, 300. 00
to t, be deficiency in poatai
«veau««r t"
1&
118, 91&.1. 88
21, 100. 00
12, 609, 754. 59
;)5, 618, 192. 86
71, 746. 03 117, 380, 192. 33 11, 417, 757. 84 2g9, 51&5. 00 982, 874. gi6
5, vol, 3», 105, ',
18'. 91
5&31.
67
80
RECEIPTS AND EXPENDITURES, 1933 Rxpertditures Details on
General fund
pages
—Continued Adjusted-service certificate fund» Civil-service retirement fund "
—Continued Trust funds
Special funds
Total
OTHER ITEMS
Government life-insurance fund Foreign Service retirement fund» Canal Zone retirement fund District of Columbia
111, 117 111, 117 117
$100, 000, 000. 00 20& 850) 000. 00
241, 250
416, 000. 00
352
" 7, 816, 049. 08
Total, ordinary expenditures Increase in outstanding checks
353, 354
3, 811, 053, 696. 96
"
Reconstruction
117
Finance Corporation
Total, expenditures
chargeable
I
"
so
so
$7, 601, 748. 76 40, 341, 504, 95
"
'
$107, 601, 748. 76 61, 191, 504. 95
(ss)
262 1 76 38 544, 786, 93 34, 2 12, 576. 01
678, 176, 38 544, 786, 93 42, 028, 625. 09
162, 384, 796. 54
4, 035, 724, 414. 62 8, 683, 493. 95
so
$62, 335, 921. 12
354 354
"1, 267, 907, 692. 48
354
5, 294, 948, 613. 15
408
6, 183, 815, 625. 31
355
11, 478, 764, 238. 46
413
587, 631, 364. 48
4&
027, 040, 920. 67
against
ordinary receipts
Public debt Public debt payable from permanent indefinite appropriations (exclusive of $461,604, 800 chargeable against ordinary receipts)
Total, expenditures on basis of daily Treasury, statements (revised), excluding Postal Service payable from postal revenues Postal Sert&ice (Icrom postal revenues)
Expenditures revenues
for Postal Service from postal
Total expenditures, Service, payable nues » See pp.
including Postal from postal reve-
12, 066, 395, 602. 94
424 to 430 for complete statements of accounts. &o Since July 1, 1932, deductions from salaries credited to the Civil Service, foreign Service, and Canal Zone retirement funds and the earnings from investmentsr of such funds and of the adjusted-service certificate fund have been classified as receipts, whereas prior to that date such items mere used to ofiset expenditures for the respective funds. » Exclusive of $150,000 expended under District of Columbia for its liability under Civil Service Retirement Act, fiscal year 1933. &' Included under Veterans' Administration, p. 74. » $7, 775, 000 plus $41,049, 03 additional charges under divided accounts. » Represents net payments, on basis of daily Treasury statements (revised), from credit established on account of the purchase by the Secretary of the Treasury of the obligations of the Reconstruction Finance Corporation under sec. 9 of thc Reconstruction Einance Corporation Act.
RECEIPTS AND EXPENDITURES, 1933 i Debit transfer appropriations
(net) and repayments
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (See p. 6)
Funds available in 1933
sre printed in italic] Unexpended
balances June 30 1933
Fiscal
year for which appropriation wss made
Unexpended balances June 30, 1932
On boolra of the Treasury
Appropriations On books of Treasul'y
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oflicers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
GENERAL FUND LE GIS LA. TIVE UNITED STdTEs sENATE
1933 1932 1931
Salaries of Senators
1933-34 1933 1932 1931
Mileage of Senators.
Salaries, officers, and employees, Senate
Payment for extra Services, Senate debates and proceedings, Reporting, Senate
Automobile and maintenance, Vice President
1933 1932 1931
$900& 225. 00
$334. 51 5, 136. 95
$7, 109. 92
$47, 649. 99
$900& 225. 00
7, 109. 92
$12, 125. 01 7, 444, 43
$5, 136. 95
00 51, 000. 00 38& 250.
893, 115.08
900, 225. 00
38, 000. 00 35, 586. 45
38, 000. 00 35, 586. 45
73, 586. 45
73, 586. 45
1, 441, 259. 73 3. 49
1, 441, 259. 73 3. 49
4, 670. 60 4, 372. 80
250. 00 15, 413. 55 4& 670. 60 4, 372. 80
1, 689, 544. 00 77, 741. 81
81, 090. 81
100, 027. 44
148, 256. 83 77&
738. 32
81, 090. 81 1, 441, 263. 22
1, 441, 263. 22
1932
600. 00
600. 00
600. 00
1933
54, 306. 00
54, 306. 00
N, 661. 00
4, 000. 00
3, 769. 06 1& 267. 68
2, 511.01 1, 050. 26 1, 267. 68
5, 036. 74
4, 828. 95
38, 374. 53
38, 374. 53
38, 374. 53
38, 374. 53
100. 00
100. 00
$645. 00
for the
Sa)aries, Capitol police, Senate
1933 1932 1931
1933 1931
Contingent fund, Capitol police, Senate Uniforms and equipment, Capitol police, Senate Salaries and expenses, Joint Committee on Printing, Senate.
1933
Legislative counsel, Senate
1, 050. 26 1, 267, 68
43, 740. 00
110.88
2&
1, 2N. 05
422. 80
2, 942, 67
278. 37
139. 13
567. 02
404. 96
13, 812. 40 13, 147. 27
1, 678. 88
36, 00
1933
3, 875. 00
3, 875. 00
3, 875. 00
1933
6, 210. 00
5, 792. 50
5, 225. 48
1933 1932 1931
3'I, NO. 00
22, 282. 64 3& 617. 58
20, 703. 76
10, 529. 69 12, 119, 65
2, 617. N
1
12, 119.65
19, 665. 06
20, 703. 76
N
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
to appropriations
—Continued in excess of expenditures
are printed in ifoffc]
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933 Fiscal year
JM8
Unexpended balances June 30, 1932
for which
appropriation was made
Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
GENERAL FUND
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
p.
disbursing officers
Available
7)
—Continued
UNITED sTATEs SENATE
—con'tinued
Contingent expenses, Senate: Cleaning furniture
1933 1932
$2, 000. 00 )
$1, 850. 00 . 60
$1, 791. 50
1, 849. 50
1, 791. 50
172, 381. 05
8, 886. J&8 f6, 861. J&6
171, 111.39 38, 603. 49 30. 30
154, 684. 17
209, 745. 18
13, 050. 00 764. 00
9, 116. 73
$75. 00
$75. 00 . 50
$58. 50
5, 003. 46
27, 615. 49 2, 335. 43
1, 269. 66 15, 049. 43
Expenses of inquiries and investiga-
tions.
1933 1932 1931
Folding documents
1933 1932 1931
205, 000. 00
$2, 905. 69
55, 988. 35 15, 391. 75
I
2, 316. 00
734. 00
13, 050. 00 s 8, 060. 00
1933 1932 1931
2, 000. 00
89. 80 788. 62
'J,
1, 178. 74
000. 00 800. 87
Mail transportation
1933-34 1933 1932
Materials for folding
.
1933 1932 1931
1933 1932 1931
'tl
9&
116. 73
10, 000. 00 58, 000. 00
941. 10 890. 77
fJI
7, 960, 00 2&
103. 25
1, 436. 67
6, 132. 70 865. 10 71. 33
10, 000. 00 53, 470. 32
52&
63, 470. 32
59, 069. 13
7, 513. 07 I& 847. 01
4, 171.69 256. 24
71. 33
2, 068. 09
136. 74
2&
461. 59
3, 867. 30 605. 22
310. 19
3, 341. 38
1, 847. 01
8. 36
8. 36
1, 500. 00
3. 96 9. 11
t3
1, 058. 90 377. 77
783. 62
1, 199.03
Kitchens and restaurants
3, 933. 27
1, 351. 00
1, 351. 00 12, 316. 00
Fuel for heating apparatus
$18, 267. 14
279. 59
5, 666. 06
4, 427. 93
500. 00 Sit). 69
1, 246. 88
1& 220 41
1& 246. 88
1&
253. 12 283. 65 9, 11
Esfscelfaneous items
.
Packing boxes
1933 1932 1931
Postage
Purchase of furniture
iso, ooo. 00
I QSS
1962 1 96 I
1933 1932 1931
.
.
1933 1932 1931
Repairs of furniture
1933 1932 1931
1933 1932 1931
Stationery
Storage of documents Payment to widow ofHon. William J. Harris Hon. R. B. Howell Hon. Wesley L. Jones Hon. Thomas J. Walsh Hon. Charles W. Waterman
No No No No No
4, 951. 61 960. 94
33, 446. 83 296. 16
25, 000. 00
lee, 573. 69 26, 974. 45 sos. 18
1 51, 446. 46
198, 253. 26
212, 792. 19
970. 00 70. 00
969. 92
970. 00
70. 00
8, 321. 12 977. 16
I 6,
1Lk 68
1, 077. 55
1, 256. 12
70. 00
2. 46
2. 46
900. 00
969. 92
350. 00
350. 00 100. 00
350. 00
450. 00
5, 000. 00 1, 007. 74
2, 752. 57 287. 78
100. 00
50. 00
1, 295. 52
3, 000. 00 154. 10 586. 07
479. 88
3, 992. 26
3, 040. 35
3, 000. 00 185. 70
2, 657. 98 344. 18
3, 015. 20
2, 864. 30
3, 002. 16
14, 549. 17 3, 0f5. 20
10, 741. 02
10, 450. 83 8, 224. 78
3, 808. 15
361, 212. 05
58, 968. 69
10, 327. 92
10& 327. 92
11, 533. 97
10, 741. 02
2, 000. 00
2, 000. 00
2, 000. 00
year year year year year
10, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00
10, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00
10, 000. 00 9, 000, 00 9, 000. 00 9, 000. 00 9, 000. 00
3, 472, 905. 00
3, 042, 013. 86
3, 108, 273, 05
4, 405, 000. 00
3&
908, 874. 98 83, 555. 04 46, 788. Ff
3, 441, 074. 84 393, 875. 23
3, 833, 597. 23
3, 834, 950. 07
00
123, 982. 37 124, 818. 47
227, 027. 07
342. 02
289. 80 586. 07
25, 000. 00 5, 209. 58
2, 247. 43
1, 007. 74
11.35
11.35
1933
Total general fund, United States Senate
2, 104. 69
61, 346. 73
125, 227. 88
135, 414. 36
161, 291. 80
HOIISE OF EEPEESENTATIVES
1933 1932 1931
Salaries of Members and Delegates
Mileage of lVlembers and Delegates
.
1933-34 1933 1932 1931
422, 430. 77 46, 722. 21
131& 250
00
175& 000. 00
5, 904. 84
131& 250
131& 250. 00 5&
46, 722. 21
L 267. 63 fs, 750. 00 5, 904. 84 8, 818. 84
8, 818. 84
inc]udes $3,050 transferred from 1932 account, act July 1, 1932 (47 Stat, 525).
467, 800. 14
28, 555. 54
904. 85&
256, 595. 16
I
496, 120. 02
248, 800. 84
' Transferred
to 1933 account,
6, 431. 53
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
sre printed in ilaiic]
in excess of expenditures
Amount carried to surplus fund (see p, 7)
(see p, 6)
Unexpended balances June 30, 1932
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
GENERAL FUND
to appropriations
Ex penditures in 1933
Funds available in 1933
for which
—
1988 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing ofhcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursrng officers
Available
—Continued
HQU8E OF REPREBRNTssrvns
—continued
Salaries, officers snd employees, House of Representatives
1933 1932—33 1932 1931-32 1931 1929-32 Certified claims.
Clerk hire, Members and Delegates
Salaries snd expenses, Joint Committee on Printing, House of Representatives
Payment for certain services, House of Representatives Legislative counsel, House of Representatives
1933 1932 1931
1933 1931
&
1932 1931
$942, 401. 31 1, 604. 12
$98, 995. 88 145. 88
836. 03
$7, 778. 12
$8, 832. 69
10, 550. 44 789. 55 38, 131.28
1, 410. 10
21. 60
r 2, 185, 000. 00 201
134. 30
21. 60
1, 410. 10 21. 60
939, 769. 73
946, 273. 16
1, 964, 998. 90 19, 976. 99
1, 956, 749. 97
220, 001. 10
158. 34
8, 24a 93
19, 975. 96
F
27, 823. 45
27, 823. 45
6, 210. 00
1, 945, 022. 94
1 956 908 31
5, 792. 40
5, 392. 40
tsI
348. 00
69. 60
4oo. oo
235. 00
235. 00 5, 792. 40
5, 392. 40
5, 000. 00
4, 736. 85
4, 482. 96
37, 500. 00
30, 000. 00 7, 633. 08
27, 040. 40
7, 6?8. 00
263. 15
2, 738, 68
54. 92
253. 89
4, 761. 32 7, 623. 08
2, 959. 60
5, 464. 37
5, 464. 37
Expenses, Committee on Interstate snd Foreign Commerce, House of Repre1933-34 sentatives Payment for contesting seats in Congress No year for the Automobile snd maintenance, Speaker of House of Representatives
f951, 234. 00 146. 88 10, 660 44 789. 66
$8, 131.28
1933
1933 1932 1931
$1, 058, 008. 00
$1, 750. 00 11, 386. 47 789. 55
35, 000. 00 12, 962. 71
4, 000. 00 1, 714. 02
22, 376. 92
27, 095. 32
34, 266. 60 12, 962. 71
6, 707. 76 12, 962. 71
733. 40
4, 000. 00
1, 714. 09 6, 714. 09
27, 558. 84
4, 000. 00
1, 714. 02
Portnait of John Nance Oarner, Speaker of the House of Representatives
1933-34
Portrait of Champ Clark, Speaker of the House of Representatives No year Salaries, Capitol Police, House of Representatives
1933 1931
Contingent fund, Capitol Police, House of Representatives Uniforms snd equipment, Capitol Police, House of Representatives
Contingent expenses, House of Representatives: Attending physician
Expenses of special and select committees
Folding documents
..
Furniture and repairs.
Miscellaneous
items
.
2, 000. 00 43, 740. 00
.
Postage Revision of the laws
r &
'
607. 55
13. 50 40, 094. 63
40, 094. 63
3, 875. 00
3, 875. 00
3, 875. 00
2, 500. 00
2, 473. 00
2, 394. 04
1933
1933
1938 1932
1933 1932 1931
17. 68
95, 000. 00 6, 260. 00
309. 51
2, 473. 00
2, 411. 72
90, 024. 12 5, 235. 60
89, 603. 69 5& 545. 11
26. 62
78. 96
4, 975. 88
420. 43
14. 40 26. 52
1933 1931
95, 259, 72
96, 148. 80
17, 000. 00
13, 564. 21
2, 547. 34
3, 435. 79
446. 27 37, 94
11 245. 46
6, 146. 00
42, 500. 00
1933 1932 1931
17, 000. 00
13, 564. 21
40, 000. 00
28, 754. 54 793. 79
37. 94 3. 09
831. 73 3. 09
1933 1932 1931
1933 1931
27. 00
17. 68
&
80, 000. 00
39, 958. 97
29, 548. 33
77, 860. 85
76, 971. 39 2, 868. 30
4'. 43 79. 79
2, 870. 72 19. 72
77, 838. 71
Packing boxes
3, 037. 82
40, 094. 63
13. 50
2&
054. 73
2, 139. 15
889. 46 2. 42
19.72 79, 839. 69
4, 000. 00
5. 00
5. 00
4, 000. 00
4, 000. 00
1933
1, 150. 00
1, 150. 00
1, 150. 00
1933-34 1933
3, 000. 00 6, 000. 00
2, 904. 16 6, ooo. oo
866. 66 5, 589. 90
8, 904. 16
6, 456. 56
Includos indefinite appropriation of $14,924 for payment of pages for the House of Representatives. Exclusive of $15,000 transferred to "Contingent exPenses, House of Reyresentatives, miscellaneous items, 1933",sct May 29, 1933 (48 Sist. 97). Includes f15,000 transferred from "Clerk hire, Members and Delegates, House of Representatives, 1933", act Msy 29, 1933 (48 Stag. 97).
95. 84
2, 037. 60
410. 10
—Continued
1MB
Receipts and expenditures, i[Debit transfer appropriations
(net) and repayments
HQUsE QF
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasury
GENERAL FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Punds available in 1933
Fiscal year for which appropriation was made
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing off)cere
To credit of Reserve for impounded salary savings
disbursing officers
Available
(see p. 7)
—Continued
EEPEEsENTATIVEs~ntnnlerl
Contingent expenses, House of Representatives Continued. Stationery
—
Stenographic bearings
Ifgt3-34 1933 1932
$400. 10
$44, 000. 00 60, 000. 00
$44, 000. 00 44, 000. 00
83. 33
83. 33
$26, 141.09 44, 000. 00 483. 43
88, 083. 33
70, 624. 52
20, 175. 36
10, 781. 01 503. 00
f17, S58:
reports of committee
'1933
25, 000. 00
3932
1931
1, 604. 65
1, 807. 65
18, 870. 71
11,284. 01
9O, OOO.
88, 09L 53 794. 85
OO
834. 46
1932
. 25
1931
89, 999. 75
Payment toGrace K. Angus, daughter of Hon. Samuel A. Kendall Elizabeth A. Butler, daughter of Hon. Robert R. Butler Payment to widow ofHon. Edward M. Beers Hon. Clay Stone Briggs-Hon. Edward E. Esliek Hon. Daniel E. Garrett Hon. Godfrey G. Goodwin Hon. Charles A. . Karch Hon. J. Charles Linthicum Hon. Percy E. guin Hon. Samuel Rutherford Hon. Henry St. George Tucker Hon. Albert H. Vestal
Total general fund, House of Representatives
$4 770 57 1, 304. 65
9, 394. 35'
13, 460. 79
$13, 460. 79
1933,
Telegraph and telephone service
I
I $16, 000. 00
1, 908. 47 39. 61
.25
88, 886. 88 cn
No year
9, 000. 00
No year
9, 000. 00
No No No No No No No No No No No
year year year year year
year, year
year, year year year
72, 124. 75
531, 015. 17
9, 000. 00
10, 000. 00 8, 500. 00 10, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 10, 000. 00 10, 000. 00 9, OOO. OO 10, 000. 00
10, 000. 00 8, 500. 00 10, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 10, 000. 00 10, 000. 00
9, 000. 00 10, 000. 00
10, 000. 00 8, 500. 00 10, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 9, 000. 00 10, 000. 00 10, 000. 00 9, 000. 00 10, 000. 00
8, 701, 150. 64
7, 652, 014. iio
7r 605 557 38
35, 000. 00
34, 835. 08
22, 088. 69
13.4, 584'.. 04
832;. 188. 26
154, 488. 69
577, 472. 29
124. 29
12, 746. 39
LEGISLhTIVE, MISCELLhNEOUS
Expenses of inaugural ceremonies Bust of Chief Justice William Howard
Taft
3, 000. 00
Memorial to Abraham Lincoln Ekemcrfal to John Ericsson ~
Mo year.
No year.
2, 205. 59
IL 84
-- 195~4
Statement of appropriations
5, 330. 00 4, 000. 00
1933
Relief of James
E. Frsser
Total general
fund,
2, 205. 59 11.54
2, 395. SO 105. 59
No year.
4, eol. 49 1 la 45
4, 000. 00 4, 000. 00
4, 000. 00
17, 003. 3'1
17, 003. 37
17, 003. 37
59, 333. 37
55, 055. 98
47, 811.98
1, 358. 67
1, 378. 17
Legislative,
Miscellaneous
2, 217. 63
5, 602. 39
1, 358. 67
19. 50
6, 454. 29
40. 63
18, 746. 39
SPECIAL FUNDS LEGISLATIVE, IIISCELLSNEOHS
Funds contributed for memorial to John Ericsson I No year. Funds contributed for commission on memorial to women of the Civil Wsr No year.
Total special funds,
412. 91
412. 91
Legislative,
Miscellaneous
Total Legislative, Miscellaneous
1, 771. 58
19. 50
3, 989. 11
6, 521. 89
3, 055. 44 3, 770. 33
308. 37
I, 358. 67
1, 378. 17
412. 91
59, 383. 37
56, 414. 65
49, 190. 15
6, 867. 20
12, 746. 39
48, 680. 00
42, 500. 00
42, 092. 77
1, 823. 65 3, 363. 81
407. 23
GENERAL FUND ARCHITECT OF THE CAPITOL
Bslsries, o8ice of Architect of the Capitol
1933 1932 1931
Capitol buildings snd grounds: Bronze doors, west entrance to the No year, Capitol 1933 Capitol Building snd repairs
3, 770. 33
240, 000. 00 2, 972. 49
.32
1931-32 1930-31 Certified olaims.
Enlarging the Capitol Grounds
1
No year. 1932-33
1931-32 1931
Trsflic lights, Capitol Grounds Capitol power plant
=
42, 092. 77
221, 607. 66 808. 66
214, 207. 17 2, 762. 94
.68
2, 894. 45 2, 514. 36 209. 65 32
21. 00
2, 163, 727. 48 46, 000. 00
81, 952. 23 5, 000. 00
100, 000. 00
6, 455. 87 2, 778. 12
21. 00
21. 00
221, 418. 78
216, 991. 11
975, 460, 08 6, 000. 00
965, 094. 47
970, 450. 08
965, 094. 47
92, 230. 55 4, 648. 1c 1, 886. 86
80, 604. 76
26. 24
1933 1932 1931
9, 160. 41 26, 155. 59
7, 400. 48
.
86, 702. 14
83, 310. 34
340, 925. 60 18, 184. 00
301, 422. 09 17, 516. 65
1, 577. 98
6, 818. 63
1, 913. 72 791. 86
1, 186, 699, 42 60, 000. 00
92, 307. 84
960. 92
11, 626. 79
4, 642. 15 1, 986. 26
3, 278. 65
3, 278. 65
1930-31
16, 878. 00
601. 37 7. 94
601, 37 ~ 7. 94
1933 1932
Improving the Capitol Grounds
42, 191.63
2, 894. 45
1932
1931
4, 266. 45
$08. 67
355, 000, 00 29, 640. 65
2& 170. 67 21, 284. 41
26, 155. 59 328, 801. 60
I Act June 30, 1932 (47 Stat. 403, sec. 304).
11,903. 73
318, 938. 74
I Bee special fund account below
s
Bee note 7.
39, 503. 61
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
Unexpended
or
balances
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
AROHITEOT
Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
June 30, 1932
On books of
QENERkL FUND
are printed in ffalfc[
in excess of expenditures
Expenditures
Funds available in 1933
for which
to appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of disbursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing offfcers
Available
—Continued
THE cAPIToL
—continued
—
Capitol buildings snd grounds Contmued. Equipment, Capitol power plant
1933 1930-31
Maintenance, Capitol garages Repairs and improvements, House
$125, 000. 00
$124, 565. 88
$434. 12
$11, 888. 92
7, 540. 00
1933
434. 12
434. 12
6, 885. 46
6, 717. 83
$572. 74
81. 80
$167. 63
789. 84
769. 84
$789. 84
1932
garage
$434. 12
$11, S88. 92
Engine house, and Senate snd House garages
1931
146. 63
1931—33 1931-32
45, 000. 00
146. 63
Fire protection, Senate wing of Capdtol and, Senate Office Building
' 79, 352. 80 34, 368. 60
» 79, 858. 80
78, 861. 05 84, 858. 80
77, 856. 38 15. 80
44, 508. 25
77, 872. 18
Pedestaf for bust of Joseph G. Cannon Relocation of statutes, Capitol building Refrigerating apparatus, Capitol snd snd Senate and House Oflice build-
House Office Building, ventilating system Subway transportation, Capitol and Senate Office Building
1933 1932 1931
Site and construction, House Office No year Building Reconsti'uction, House Offfce BuildFurnishings and equipment, Offlce Building
2, 000. 00
1933-34
1931-32
00
2, 000. 00
, 12
2, 235. 10
2, 235. 22
64. 03 2, 000. 00
659. 40
2, 000. 00
856. 88
1, 393. 42 203. 08
366. 32 576. 09
576. 09
1, 643. 68
I, 596. 50
1, 211, 294. 93
63, 823. 97
1, 563, 840. 53
1, 423, 120. 89
2, 487. 23
50, . 967. 1t
204, . 543. 61'
1932-33
65, 000. 00
5, 000. 00
51, 867. 77
56, 697. 25
2, 796. 88
335. 35
170. 52
1932-33
376, 000. 00
19, 228. 44
174, 120. 57
31. 75.
170, 968 25
49, . 102. 87
1931-32 1931
213, 942. 76 14, 911.07
19, 941. 48
House
Approach to Senate Office Building
1, 004. 67
285. 00
1931
No year
ings
343. 20
18, 808. 78
226, 146. 48
7, 737. 76
14, 911.07
18, 808. 78
7, 737. 76
Compfatioa of senate OBoe Bo»dNo veer Senate wing reconstruction 1928-21 Structural changes, Senate Ofnce Building 1933-34 Purnfshfngs snd equipment, Senate Ofgce Building 1933-34
Maintenance,
1, 682, 362. 76
13, 500. 00
12, 500. 00
3, 417. 74
75, 000. 00
55, 000. 00
929. 12
6, 000. 00 175, 000. 00 6, 000. 00
5, 600. 00 160, 500. 00 6, 000. 00
5, 480. 17 153, 866. 10 5, 789. 17 3, 375. 88 318. 00
42t,
tt?1 86
459, 502. 79
61.07
948. 93
9,.082 28 54,.070. 8$
Senate Of6ce Build-
mg
1933-34 1933
1932-33 1932 1931-32 1931
Maintenance, ing
1, 870, 688. te
1, 616.628. 19 469, 602. 79
House
J. 36 !j4.$8
3, 380. 24 362. 48
8. 18
382. 44
17. 56 11 8(5 41
2 624. 59
119.83 6, 633.90 210. 88
15, 094. 21
19.905. 79
20; 88S. 10
8 18 172, 051. 16
168, 829. 32
215, 000. 00 8, 400. 00 62$. 96
194, 111.90 8, 315. 40 392. 64
Office Build-
1933 1932-33 1932 1931-32 1931
Library building and grounds: No year Annex, Library of Congress. 1929-31 Bookstacks, Library building Care of additional buildings, Library 1932
of Congress
1930-31
Demolition of buildings and structures, Library of Congress »
.
Library building and grounds
250, 000. 00
8, 400. 00 1, 017. 60
.
?5
75 60. 74
60. 74
23, 916. 51
800, 000. 00 413. 30
475, 000. 00
1931
222, 775. 04
202, 819. 94
775, 000. 00
760, 821. 36
1, 010. 76
498, 489. 24
38, 095. 15
413. 30 10, 000. 00
10, 000. 00 10, 000. 00
10, 000. 00
1932-33
1933-34 1933 1932
84. 60 624. 96
2, 500. 00 71, 460. 00
21, 552. 81
7, 128. 61 1, 684. 70
19, 000. 00
10. 40
2, 000. 00 66, 456. 24 5, 621, 22
63, 847. 60 15, 931. 59
4, 256. 26
I, 000. 00
18, 989. 60
500. 00 747. 50 12, 749. S3
2, 60S. 64
2, 000. 00
1, 684. 70 62, 835. 02
79, 779. 19
11, 500. 00
11, 500. 00
162. 87
4, 789. 45
Site for additional buildings, Library No year
of Congress
14, 900. 00
Botanic Garden: Enlarging Garden
New
and
relocating
Botanic 1931-32 1930-31
conservatories,
4, 952. 42
162. 97 7, 561. 23
7, 561. 23
162. 97
4, ?89. 45
278, 121. 51
292 tx(i 47
6, 990, 058. 31
6, 535, 405. 38
Botanic GarNo year
den
Total general fund, Architect of the ('apitol f Transferred
291, 398. 00
58, 620. 83
7, 723, 483. 82
412, 050. 33
from 1931-32 account„act July 1, 1932 (47
Stat. 526L
2, 369, 501. 00
8 Transferred to 1931-33 account.
540, 878. 77
1, 23S. 31
12, 038. 18
44, 555. 87
82, 747. 62
2, 479, 300. 12
866, 703. 26
» Heretofore stated under Library oi Congress.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
iM8
to appropriations
—Continued Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ftotfcj
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year for which sppf oprlation was made
Unexpended
On books of the Treasury
Appropriations On books of
Treasury
GENERAL FUND
balances
June 30, 1932
To credit of disbursing officers
Warrants-issued basis
Checks-issued basis
Act June 20,
Impounded salary savings
1874
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
BOTANIC OAROKN
(For additional transactions under Botanic Garden see Architect of the Capitol, above) 1933 1932 1931
Salaries
$100, 000. 00
$9. 81 9o. 41
$82, 000. 00
$81, 451. 20
$7, 880. 13
166. 18
$135. 18
$10, 119.87 144. 99
$548. 80 C5
$95. 41
81, 864. 82
81, 451. 20
39, 500. 00
38, 086. 21
79. 46
261. 34
T~
Maintenance, Improving
Botanic Garden
40, 000. 00
1933
Botanic Garden
1932 1931
1930-31
258. 30 105. 99 3, 604. 18
340. 80
337. 76 105. 99 3, 604. 18
Total general fund, Botanic Garden
1, 413. 79
4, 073. 69
475. 98
933. 75
675. 06
79. 46
261. 34
140, 000. 00
121, 285. 36
119, 798. 75
1, 349, 925. 00
1, 210, 263. 69 663. 64
1, 199, 099. 36
69. 46
6(). 49
I, 209, 210. 96
1, 198, 721. 09
84, 005. 82
51, 160. 63
75, 484. 16 54, 994. 63
135, 166. 45
130, 478. 79
165, 000. 00 800. 81
153, 365. 76 331. 10
3, 805. 58
7, 880. 13
11, 102. 62
1, 962. 59
123, 032. 22
16, 629. 09 I, 92IL 99
11, 164. 33
300. 94
5, 693. 24
8, 521. 66 667. 77
12, 409. 94
8, 312.06 2, 905. 70 33. 33
lr
LIBRARY OF CONORRSS
transactions under Library of Congress see Architect of the Capitol, above)
(For additional
1933 1932 1931
Salaries
1.706. 05
1924 snd prior.
Books for adult blind, Library of Congl'exs
Care snd maintenance
1933 1932
1933 1932
1931-32 1931
90, 000. 00
51, M0, 63
4, 501. 77
175, 722. 00 2, 104. 89
1, 131.91
318. 18
33. 33 1, 330. 49
1, 706. 05 59. 49
1, 330. 49 154, 199. 19
153, 696. 86
'
IX34,
24
Contingent expenses
xsss Xsxx
Expenses, Library of Congress trust fund board
1932 1931
1933-34 1933 1932—33 1932 1931-32 1931
Increase of Library of Congress
----- No year.
Index to Federal statutes
I, 104. 56
400. 00 499. 75
1933 1932-33 1932 1931
11, 848. 60
12, 272. 20
x„sas. 04 s„sss 46
l, exl 43
499. 75
72, 101.75 27, 300. 00 7, 020. 40 1, 168. 60
100, 000. 00 27, 500. 00
7, 054. 16 1& 234. 20 106. 06 1. 74
22, 538. 56 8, 812. 68 1, 792. 77
106. 06
27, 89S. 25 200. 00 33. 76 65. 60
57, 686. 22 25, 750. 50 29, 481. 26
9, 887. 51 1, 898. 83
14, 415. 53 1, 549. 50 77. 70 93. 77
1. 74
39, 557. 43
3, 026. 68
1933 1932
Printing and binding
I b ees. 20 609. 00
100. 00
1933
Index to State legislation
sss. 56
IS, 4S4. 16
14, 000. 00
847. 00 I, 021. 43
107, 696. 81
124, 704. 32
«59, 664. f 5
389. GB
II 39, G64. 15
13, 000. 00
2, 637. 06 10, 326. 72
12, 610. 38
12, 963. 78
«2o, 171. 72
22, 475. 00
22, 426. 27
«177. 78
168. 55
10. 81
22, 306. 47
22, 437. 08
332, 255. 87 15, 000. 00 20, 930. 16
323, 557. 10 7, 027. 45 3G, 253. 48
179. 34
360, 000. 00 35, 000. 00 » Bo, 000. 00 I&
55, 947. 31 B. 84
16, 357. 49
282. 90
999. 88
25, 664. 27
2, 673. 28 fxI dB
2, 525. 51
48. 73
171. 21
fx)
17. 15
8, 698. 77 7, 972. 55 1, 034. 17
308. 61
24 53
27, 744. 13 20, 000. 00
3. 84 368, 1SG. 03
366, 838. 03
17, R78 00
17, 850. 47
CI
.
Ifnion catalogues Demolition of buildings and structures, Library of Congress. Permanent and indefinite: Bequest of Gertrude M. Hubbard, Library of Congress, interest ac-
1933
20, 000. 00
1, 816. 39
"
dJ dB
No year.
COlln't.
3, 515. 41
Total general
fund,
800. 00
3, 000. 00
1, 878. 59
2, 162, 947. 00
2, 041, 999. 89
2, 041, 841. 81
110, 266. 81
110, 015. 88
110, 015. 88
471. 40
338. 59 12, 625. 95 66, 118. 69
35, 674. 74 50, 235. 63
53, 500. 00 73, 757. 93
48, 623. 59 73, 033. 02
34, 452. 14 18, 649. 48
79, 083. 23
196, 177. 18
240. 00
1, 315. 41
1. 361. 41
(«)
Special deposit accounts
Library
of 167, 461. 56
Congress
60, 550. 82
4, 622. 79
141, 367. 78
142, 418. 10
GO.
708. 90
SPECIAL FUNDS LIBRARY Ox CONGRESS
Library of Congross trust fund, investNo year ment account Library of Congress trust (und, income No year fronl investmcnl, account. No year Library of Congress gift fund Special deposit accounts
.
Total special Congress
funds,
Library
220. 47 52 277. 40 42, 171. 78 lo
398. 88
i
5, 215. 00 13, 350. SG 66, 411. 51
of 94, 669. 65
237, 273. 81
231, 379. 67
~
» Transferred to 1933 account, act June 30, 1932 (47 Stat. 394). » Transferred froln "No year" account. « Includes $171.72 transferred from 1932 account, act June 30, 1932 (47 Stat. 394). «Transferred to 1933 account. «Transferred from 1932 account, act June 30, 1932 (47 Stat. 395).
«Transferred to 1932-33 account, «Account transferred and stated under Architect of the Capitol, p, 89, » Stated as a special fund account following in 1933. «Heretofore stated as a General fund account, see note 19,
53, 373. 02
84, 977 37
Receipts [Debit transfer appropriations
uvhd
—
1988 Continued
expertCktures,
(net) and repayments
to appropriations
in excess of expenditures
Amount carried to sur plus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds avaffable in 1933
,
Fiscal year
for which
appropriation was made
are printed in itcA'c]
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury Appropriations
On books of Treasury
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers Available
TRUST FUNDS LIBRARY OF CONGRESS
Bequest of Gertrude KI. Hubbard, Library of Congress, trust fund (princiNo year pal)
Total, Library of Congress
$20, 000. 00
$20, 000. 00 282, 131.21
$139, 634. 05
$2, 359, 124. 18
$2, 279, 273. 70
$2, 273, 221. 48
$4, 622. 79
$141, 367. 78
215, 991. 12
$145, 686. 27
t4
GENERAL FUND GOVERNMENT
PRINTING OFFICE
Office of Public Printer: Public printing and binding,
Gov1933-34 1933
ernment Printing Offlce»
1932 1931 1930 1924
450, 000. 00 2, 250, 000. 00
132, 838. 44
41, 998. 90
358, 301. 05 1, 437. 07
Office of Superintendent Salaries
I76, Sf 8. 89 477, 802. 90
1. 10 69. 82
L 10 143. 66 69. 82
45, 702. 65
302, 893. 72
its. 66 69. 82
Certiffed claims
Printing Government Equipment, Office Building, Washington, D. C. No year
88, 691. Ff 129, 426. 22 42. 47
134. 44
1, 244. 78
1, 070. 69
174. 19
34, 000. 00 25, 004. 25
163. 10
485, 000. 00 22, 280. 40
473, 090. 52 22, 443. 50
of Documents:
General expenses
1933 1932 1931
1933 1932 1931
1, 479. 54
813, 316. 62
450, 000. 00 1, 520, 374. 59 3, 412. 22
92, 622. 68
9, 924. 37
41, 956. 43 1. 10 143. 55
1, 205. 03
45, 933. 50
19, 066. 50 11, 719. 60
I
11,909. 48
25, 004. 25
210, 800. 00 57, 932. 59 21, 753. 78
507, 280. 40
495, 534, 02
172, 863. 67 57, 370. 91 12, 891. 04
172, 863. 67 57, 370. 91 12, 891. 04
243, 125. 62
243, 125. 62
795, 038. 08
1, 041, 727. 55
37, 936. 33 561. 68 8, 862. 74
Special deposit accounts
Total general funds, Government Printing Office
313, 662. 40
361, 146. 00
3, 460, 869. 82
75, 968. 07
869, 250. 12
2i 644 275
95
114, 456. 63
B~VZJLI'r
v. gJItfgyB
oovss»»sar taurvl»8 ovslcs » 92, 178. 43
Special deposit accounts
Total Government
Printing Oflice
Summary of Legislative: General fund Special funds Special funds, special deposit accounts Trust funds
Total
109, 30k 49'
17, 167. 06
313, 662. 40
453, 324. 43
3, 460, 869. 82
795, 038. 08
1, 024, 600. 49
75, 968. 07
859, 250. 12
2, 044, 275. 95
8, 510, 050. 82 96, 441. 23
1, 495, 968. 57 12, 984. 04 158, 297. 12
20, 366, 706. 83 196, 177. 18
20, 697, 465. 98 238, 632. 48
20, Slo, 415. 90
895, 273. 61
2, 084, 766. 34
5, 199, 251. 72
1, 693, 018.66
53. 985. 93
18, 565. 86 176, 717. 00
8, 626, 492. 05
I, 667, 249. 73
20, 562, 884. 01
20, 936, 098. 46
20, 716, 046. 68
5, 273, 237. 66
1, 887, 801. 51
75, 000. 00 15, 000. 00
75, 000. 00 12, 750, 00
75, 000. 00 12, 750. 00
120, 000. 00
105, 917. 86
105, 917. 86
233, 050. 66 17, 4fk88
895, 273. 61
2, 084, 766. 34
GENERAL FUND EXECUTIVE OFFICE Salary of the President ». Salary of the Vice President
1933 1933
Salaries, Executive Oflice
1933 1932 1931
Contingent
expenses, Executive Offlce
Printing and binding, Executive Office
Traveling expenses of the President
1933 1932 1931
1933 1932
105, 917. 86
105, 917. 86
32, 269. 46 2, 330. 35
29, 988. 15 5, 121.47
34, 599. 81
35, 109. 62
2, 000. 00
1, 798. 85 130. 25
2, 000. 00
1, 929. 10
19, 286. 30 1, 070. 57
18, 403. 17 3, 838. 29
20, 356. 87
22, 241. 46
99, 981. 59 L 078. 58 S9, S6
100, 703. 20 13, 590. 18 59. 56
98, 967. 57
114, 352, 94
2, 500. 00
2, 500. 00
2, 500. 00
514, 500. 00
352, 092. 11
369, 800. 98
2, 791. 12
$2, 351. 10
4, 158. 90
952. 08
1, 778. 46 . 66
2, 281. 31
6. 51
2, 000. 00
130. 25
20, 000. 00
1, 070. 57
7, 572. 14 5, 213. 49
35, 000. 00
1933 1932
562. 50
1, 687. 50
866. 60
866. 60 5, 213. 49
2, 331. 01 6. 51
(»)
2, 767. 72
0 201. 15
883. 13
424. 64
289. 06
Executive Mansion and grounds: Executive Mansion Maintenance, and grounds
.
.
Portrait of President
Calvin
Office
120, 000. 00 125, 000. 00
35, 000. 00 126. 55
15, 389. 13
1932
general
fund,
120, 000. 00
5, 136. 81
6, 002. 50
13, 879. 10 36, 073. 58
15, 637. 59
8, 353. 60
177, 744. 44
r
721. 61 725. 37
66. 69
Cool-
idge
Total
1933-34 1933 1932 1931
Executive 44, 614, 73
21, 078. 22
7 Debit balance. » Stated as s special fund account following in 1933. See note 20, Heretofore stated as a General fund account. see note 19. n For statement of printing and binding by departments and independent oflices, see p, 423, » Under the Economy Act of June 30, 1932, sec. 109, snd act of Mar. 20, 1933, sec. 7, title II, $12,843.75 wss returned
5, 286. 99
3, 369. 35
"
compensation
of the President, during the flscsl year 1933.
by the President to the general fund of the Treasury as miscellaneous
receipts (see p. 25) as part of
O
Receipts aitd expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was
—Continued
1MB
are printed in fistic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Oa books of Treasury
balances June 30, 1933
On books of the Treasury
Appropriations
In ada
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursiag officers
Available
TRUST FUNDS OFFICES
INDEPENDENT
ALIEN PROPERTP CUSTODIAN
Alien
property accounts)»
funds
(special deposit
» $321, 834. 70
"$483, 087. 64
3161, 358. 84
GENERAL FUND AMERICAN BATTLE MONUMENTS COMMISSION
American sion
Battle Monuments
Commis-
No year
$219, 581.
57» 231,
942. 16
$404, 000. 00
$320, 020. 88
346, 437. 73
32, 032. 63
11, 638. 76
$5, 359. 20
$94. 80
$298, 106. 69
II
205&
525. 31
AMERICAN NATIONAL RED CROSS
Government contributions to American National Red Cross Building
1931
35, 011.
61»
6 20, 393. 87
$2, 978. 98
H
SPECIAL FUNDS AMERICAN
NATIONAL
RED CROSS
American National Red Cross Building, Ko year contributions
Total
American
National
46, 272. 48
46, 282. 71
43, 303. 73
20, 393. 87
46, 272. 48
78, 315. 34
54, 942. 49
45, 891. 95
102, 036. 63
340, 000. 00
297, 469. 40
352, 355. 78
5, 720. 31
4, 762. 21
157, 000. 00
117, 437. 81 3, 838. 65
5, 000. 00
6, 309. 46
119, 508. 26 3, 470. 81
14, 307. 93
19, 883. 13 30, 071. 97
77
10. 23
Red
Cross
3f&,
021, 84
»
2, 978. 98
2, 978. 98
2, 978. 98
GENERAL FUND AIILINGTON MEMORIAL BRIDGE COMMISSION
Arlington
1VIemorisl Bridge
No year
77, 940. 08
47&
150. 25
BOARD OF MEDIATION
Salaries and expenses
Salaries sad expeases, arbitration boards
1933 1932 1931
1933 1932
»
103, 633. 95
18, 183. 81
2, 070. 45
22, 353. 94
30, 071. 97
4, 322. 41
» 97, 378. 98 » 108& 348. 98
117, 037. 45
121, 276. 46
39, 507. 98 389. 97
31, 394. 48 4, 712. 38
39, 897. 95
36, 106. 86
5, 720. 86
52, 150. 14
8, 113.50
Emergency boards, Bsuwsy Lsbcr Acz, Egsy 20, 1926
1933 1932 1931
4fs ma 16 42, 887. 62
» 45, 278. 16 42, ONL 00 45, 278. 16
337. 62
s 46&F78. 18 357.66
Printing snd binding
1933 1932 1931
Total general fund, Board of Mediation
146. 49
232. 31
97. 71'
902. 29 &6. 82
I, 000. 00
I, 000. 00 100. 00 875. 83
246. 49
875. 83
11, 201. 80
152, 135.00
854. 51
989. 11
157, 452. 29
158, 372. 43
481& 408.
56 8, 822. 70 8& 144. 67 3, 466. 18 8, OOO. $1 3& 04R 97 OOO. 48
480, 920. 31 26, 433. 98
478, 720. 10
496, 434. 15
30, 947. 80
20, 028. 79
5, 000. 00
180, 549. 16
46, 030. 74
. 02
6, 160. 68 14, 460. 11
10, 281. 66
BOARD OF TAX APPEALS
Sslsriqs snd expenses
1933 1932 1931 1930 1929 1928 1927
Printing snd binding
1933 1932 1931 1930-31
II 533, 600. 00 23, 282. 81 927. 53
17, 611.28
591.02
II 26, 400. 00 15, 000. 00 1, 471. 72
13, 748. 52 5, 529. 21
20, 000. 00 1, 868. 99
12&
3, 071. 90 3, 456. 18 2, 900. 21 2, 049. 97 960. 43
6, 400. 00 16, 868. 99
212. 28
MR 31
11, 879. 53 5, 529. 21 6, MRgf
12, 601. 80
24, 091. 81
6&
7, 787. 72
g:
508. 50
t3
I, 471. 72 5, 529. 21
196.30
313. 20
Special de posit accounts
1, 663. 36 5, 468. 18 R OOO. 31 R OJR 87 OOO. 43
O
Total general fund, Board of Tsx 40, 682. 06
Appeals
37, 793. 23
560, 000. 00
491, 321. 90
520, 330. 66
159, 000. 00
128, 150. 72 497. fO
R 19
128, 150. 72 610. 34 5. 19
127, 658. 81
128, 766. 25
157. 32 5. 20
157. 32 66. 19
19, 439. 62
46, 030. 74
.02
43, 889. 78
13, 382. 99
1, 395. 15
16, 071. 14
8, 784. 47
BUREAU OF EFFICIENCY u
Igl
1933 1932 1931
Salaries and expenses
1933 1932 1931
Printing and binding
Total general Efficiency.
fund,
Bureau
39, 770. 00 27, 295. 06
1, 107. 44
500. 00
200. 00 107. 76
60. 99
162. 52
223. 51
n 300. 00
42. 68
u 194. 80
127, 821. 33
128, 989. 76
of 67, 372. 82
I, 168. 43
159, 500. 00
—
partment. » of funds in depositaries other than the Treasury of the United States. s Exclusive Debit balance. » Exclusive of $44. 600 face amount of fourth Liberty loan 4V~ percent bonds held for this account. I' Includes $5, 865 transferred from "Salaries snd expenses, Arbitratiou Boards, 1933", sct June 30, 1932
Stat. 4i 1).
II 40, 267. 10 II 27, 289. 87
107. 76
» All expenses of the office of the Alien Property Custodian authorized by the act entitled "An sct to deffne, regulate, and punish trading with the enemy, snd for other purposes ",approved Oct. 6, 1917, ss amended, including compensation of the Alien Property Custodian at not to exceed $10,000 per annum, shall be paid from interest and collections on trust funds snd other properties under the control of such custodian. Act of May 16, 1928 (45 Stat. 574). II See p. 296 for "Expenses of administration of settlement of Wsr Claims Act of 1928", under Wsr De-
(47
8
68, 159. 53
13, 382. 99
1, 395. 15
16, 113.82
» Includes $103,243.98 transferred from 1932 account and excludes $5, 865 transferred to "Salaries and expenses, Board of Mediation, 1933",act June 30, 1932 (47 Stat. 411, 455). I' Transferred to 1933 account. II Transferred from 1931 account, sct June 30, 1932 (47 Stat. 455). » Includes $3, 600 transferred from "Printing and binding, Board of Tax Appeals, 1933", sct June 30, 1932 &
(47
Stat. 411). » EXCluSiVe Of $3, 600 tranSferred tO "SalarieS and eXpenSeS, BOard Of TaX AppealS, 1933is See nOte 32. s The Bureau of Efficiency was abolished under Sec. 17 of the sct of Mar. 3, 1933 (47 Stat. 1519) eilective
June 1, 1933, and its records and property transferred to the Bureau of the Budget. II Act Mar. 3, 1933 (47 Stat. 1519).
—
1888 Continued
Receipts ftrtd expenditures, (Debit transfer appropriations
(net) and repayments
to appropriations
Fiscal year for which appropri-
Unexpended balances June 30, 1932
ation wss made
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasury
QENERAL FUND
Amount carried to surplus fund (see p. 7)
Expenditures In 1933 (see p. 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing offlcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing offlcers
Available
—Continued
CIVIL SERVICE COMMISSION
Salaries
1933 1932 1931
Salaries and expenses.
1933 1932 1931
1933 1932 1931
Contingent expenses
1933 1932 1931
Printing and binding
1933 1932 1931
Traveling expenses
Total general fund, Civil Service
.
Commission PERSONNEL CI ASSIFICATION BOARD
Total general fund. Classificatio Board COMIEISSION
Expenses
$115, 123. 33
$9, 548. 44
$17, 040. 03 77, 621. 54
$2, 327. 35
3, 024. 76
6. 67
1, 341. 56
2, 433. 77
53. 24
138. 33
1, 000. 00 1, 552. 29
3, 333. 83 I, 656. 58
14, 200. 00 11, 850. 52
3, 857. 52 720. 26
S. 93
34, 997. 01 I, 074. 10 17. 87
32, 563. 24 1, 572. 44 17. 87
36, 088. 98
34, 153. 55
21, 000. 00 2, 000. 00
17, 666. 17
23, 000. 00
20, 427. 29
21, 000. 00 4, 000. 00 11.48
17, 142. 48
25, 011.48
24, 353. 50
35, 904. 52 7, 728. 78 4. 25
32, 521. 67 7, 272. 88 4. 25
43, 637. 55
39, 798. 80
1, 419, 366. 07
I, 270, 313. 20
I, 261, 406. 13
o 38, 119.93
38, 119. 93 9$$. 70
38, 119. 93 541. 22
636. 67
2, 417. 70
2,
3, 919.80
Ii 36, 080. 00
3, 856. 01
150, 592. 99
13, 255. 33
38, 849. 51 14, 792. 72 5, 726. 71
1, 463. 92
722. 08
761. 12
59, 368. 94
I, 463. 92
3. 30 9M. 53
85. 62
7&
199. 54 11.48
8, 430. 10 tx)
175. 48 10, 995. 30
8, 382. 85 4, 811.91
135, 829. 96
22, 162. 40
14, 317. 78
36&
112. 70
118, 148. 09
9&
555. 11
ii 39, 772. 21 14, 792. 72 5, 726. 71
Personnel
38, 119.93
37, 197. 23
38, 661. 15
7, 500. 00
7, 084. 34
7, 015. 78
1. 23
86. 85
60, 291. 64
OF FINK ART!i
1933 1932 1931
CJ
I, 840. 09
» 35, 200. 00
18, 724. 08 14, 322. 03
142, 676. 92
1, 142, 672. 99
"22, 000. 00
15, 850. 52 8, 441. 58
$1&
1, 142, 575. 19
739. 95
3, 552. 29 ], 840. 09
145, 004. 27
$10, 802. 65
39, 370. 00 1, 127. 34
$1&
8, 429. 08
$2, 425. 15
&9
1933 1932 1931 1930-31
Salaries snd expenses
» $1, 286, 716. 07 $75, 192. 46 10, 802. 65
415, 66
2. 07 22. 53
7, 085. 57
7, 102. 63
Prfntfng and binding
R,
J.
~
1933 1932
(
Total general fund, Commission of Fine Arts
50. 00 10. 39
195.66
250. 00 IO. 39
13.92
239. 61
199. 19
7, 325. 18
7, 301. 82
«367, 775. 00
«356, 064. 44
13, 695. 19 6. 00
14, 448. 40
381, 367. 19
370, 509. 84
67. 60 4, 350, 807. 26 668. 76 6. 68
67. 6'0 3, 957. 004. 11 666. 48 6. 68
4, 349, 583. 22
3, 956, 286. 35
99. 54
54. 34 ~
415. 66
EMPLOTEEs' coMPENsATICN coMMissioN
Salaries and expenses
1933 1932 1931
Employees' compensation
Printing and binding
1933 1932 1931
Relief of Catherine Pnnturis.
Compensation
1, 491. 99
No year
fund
1933 snd prior 1932 and prior 1931 snd prier
Total general
62, 908. 50 30, 688. 64
'I 4, 460, 300. 00
6. 28 23. 74
5, 000. 00 4, 000. 00
2, 268. 10
I'
38, 860. 96
11,329. 96
7, 034. 08 49, 313. 31
11, 710. 56 638. 78
99, 992. 74 662. 76
893, 303. 15
2, 000. 00 2, 268. 10
1, 724. 46 619. 45
161, 270. 99
40L 996. 40
7, 930. 86
55o. oo
30, 691. 64
1, 731. 90
ii 1, 275. 54 3, 380. 55
4, 731. 90
4, 656. oo
3, 000. 00
5, 904. 92
57. 60
27. 42
5, 904. 92
No year
fund, Employees' Commission
103, 525. 80
3, 766. 37
4, 880, 300. 00
4, 735, 682. 31
4, 331, 452. 28
12, 580. 69
495. 30
8, 988. 14
13, 637. 97
13, 582. 28
116, 106. 49
4, 261. 67
4, 889, 288. 14
« 4, 749, 320. 28
36, 681. 58
38, 860. 96
11, 329. 96
TRUST FUNDS EMPLOYEES' COMPENSATION
Co!i!MISSION
Relief and rehabilitation, Longshoremen's snd Harbor Workers'Compensation Acl. No year
Total, Employees'
0 H
Compensntiop
Commission
bzj
fxI ~
ii 4, 345, 034. 56
36, 623. 98
38, 860. 96
11, 329. 96
169, 259. 45
408, 547. 39
GENERAL FUND PAEM CREDIT ADMINISTRATION
(Act June 16, 1933, 48
Stat,
257)
Salaries and expenses, Farm Credit Ad'I 376, 206. 92 199, 977. 29 179, 531. 15 ministration 1933 36, 008. 11 29, 459. 14 110, 762. 38 20, 446. 14 Administrative production expenses, 2, 000, 000. 00 No year credit corporations and associations 2, 000, 000. 00, Agricultural marketing revolving fund, «23, 090, 854. 30 No year 4, 008, 876. 88 Farm Credit Administration e 6, 698, 769. 68 27, 099, 727. 52 1, 584 896. 36 ii Includes $1!9,716.07 transferred, act June 30. 1&J32 (47 Stat. 411, 416), from the following 1933 accounts: representing unexpemled balances of funds allocated by the Reconstruction Finance Corporn! ion! o tary of Agriculturo and subsequent)y transferred by the Secretary of Agriculture to the Fiiriii ('re&i&! the Secre$4, 920, 00 Traveling exponses, Civil Service (.'&&&am)is!on .Ydn&inistration umler Executive Ordor No. 6084 dared Mar. 27, !933. Since such transactions 4, 800. 00 Printing and binding, Civil Service ("on«ninsion transfer of funds between 2 governmental organizations, they are not included in either! herei&resen! niereiyi!lic 3, 000. 00 Coni ingent expenses, Civil Service Cominission tures of this report. Collections on account of the revolving fund of the Farin Credit A&i re& ei!its or exi&en&Ii106, 996. 07 Salarien nail expenses, Personnel ('las. ificn!ion Board minis! r I!ion, eren! i &1 by sec. 5 of the Farm Credit Act of 1933 approved June 16, 1933, while covered into the Trcnbui& Exclusive of $3, 000 transferred to "Salaries, Civil Service Commission, 1933. See note 36. ni ie&oiii!si ior accounting purposes, are refiected in this report as credits against expenditures of the ii Exclusive of $I, I!00 transferred to "Salaries, ('ivil Service Commission, 1933. See note 36. revolvin For additional transsclions under sundry approprinrions following, and prior to the crea! ion fuiui » Exclusive of $4, 020 transferred to "Salaries, Civil Service Commission, 1933. See note 36. of !.!ie 1'nrm Credit Administration, see Federal Farm Board, p. 99, Federal Farm Loan Board ii The Personnol (.')assificntion Board was abolished under seo. 608 of the act of June 30, 1932 (47 Stat. 416) p. 256, ni i ! !. of Agriculture, p. 131. effective Oct. I, 1932, and its duties, powers, and functions transferred to tire Civil Service!'oinmission. ii Transferred, act Mar. 3, 1933 (47 Stat. 1517), and Executive See note 36. ii Exclusive of $106,996.07 transferred to "Salaries, Civil Service Cominission, 1933. Order No. 6084 of Msr. 27 19!?!I, f. I'OIii «, 'ice&1&iii! n as follows: ii 1&. xclusive of $62, 000 chargeable against the District of Coiumbis, act June 29, 1932 (47 Stat. 346). 'I Iricludes approprint i&in uf i'300 for "Relief of Catherine Pnnturis", act Feb. 26, 193! (46 Stat. 2123). Administrativo expenses, Federal Farm Board, 1933 pin, onI 1932 (47 Stat. 346). Salaries and expenses, Federal Farm Loan Board, 1933 (Treasury) «Exclusive of 71,000 imrgeniile against the District of Columbia, act June 29, . Is!i i&(„'& i, i Seenote43. Collection of 1931 and prior seed grain loans, 1933 (Agriculture) «Appropriation of f!00 included under "Finployees' compensationfund. . . N I &i 9, «Transferred from "Agricultural marketinp. , revolving fund, I ederni «Exi:iusive of $03, 000 charge. ibis against lhe District of Columbia. See notes 42 and 44. Farm Boar&i", nei, kl. n !, I&JIPI (47 Stat. 1517), and Executive Order No. 6084 of Mar. 27, 1933. ii The foregoing stn!eincnt does not include moneys covered into the Treasury on account of the Farm the United States, ('re&!it Administration pursuant to the procedure prescribed by the Comptroller General of
" " "
j
"
&
"
sr,
.
D,
Receipts and espendif74res, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
balances June 30, 1933
On books of the Treasury
To credit of dis-
ye arrants-issued
basis
Act June 20,
Checks-issued basis
1874
Impounded salary savings
bursing offlcers
To credit of Reserve for impounded salary savings
disbursing ofiicers
Available
(see p. 7)
revolving
—continued fuml,
Farm Credit Administration (cotton contracts, Agricultural Adjustment Act) No year Farm Credit Administration, revolving fund (Emergencyaccount, Farm Credit Act) No year Loans to agricultural credit corporations, revolving fund, Farm Credit Administration No year Repayment of loans on account of distribution of Government-owned wlreat and cotton, Farm Credit Adminisiration No year Salaries and expenses, I.oan Board
Unexpended
—Continued
FAR» cREDIT AD»IÃISTRA Tiolr
marketing,
are printed in i/clicj
1Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
Appropriations
Treasury
Agricultural
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations Expenditures
Funds available in 1933
for which
—Continued
J 988
Federal
» $40, 000, 000. 00
$40, 000& 000. 00
40, 000, 000. 00
40, 000, 000. 00
" 9, 939, 818. 30
$5, 000. 00
» 9, 859, 371. 79
864, 903. 46
9, M4, 818. 30
$864, 903.
46» $2, 000, 000. 00
$5, 000. 00
6, 994, 468. 33
l'arm
'I 32, 470. 07
1932 1931
I' 13, 533. 40
32, 470. 07
32. 30
32. 30
13, 501. 10
32. 30
Administrative Board
expenses,
Federal Farm
Collection of seed-grair7 loans
Farmers' seed snd feed loans, New Mexico Agricultural credits and rehabilitation, emergency relief Loans to farmers in drought- snd stormstricken areas, emergency relief Loans to farmers in storm- and droughtstricken areas, Southeastern States Loans to farmers in storm- and floodstricken areas, Southeastern States Loans to farmers in storm; flood-, and drought-stricken areas
Total general fund, Farm Credit Administration
» 552, 675. 15
1M2 1931
7' 524,
249. 87
10. 00 10. 48
10. 00 10. 48
20. 48
20. 48
279. 43
279. 431
279. 43
279. 43
552, 665. 15 524, 000. 00
239. 39
» 13, 755. 02
1932 1931
» 5, 493. 08
13, 755. 02 5, 213. 65
» 24. 77
24. 77
1, 638, 477. 61
1, 638, 477. 61
77
924, 378. 46
924, 378, 46
»
702, 562. 98
702, 562. 98
1929-30
» 1, 403. 10
I, 403 10
1930—31
» 3, 876, 005. 94
204. 00
204. 00
133, 551, 230. 76
8, 888, 466. 86
4, 548, 788. 76
1924—25
1931-32 1931-32 1931-32
»
3, 875, 801. 94
2, 013, 740. 49
$36, 008. 11
$29, 459, 14
134, 410, 529. 28
1, 610, 342. 50
8PJgCI~ TUNDS FARM CREDIT ADM[N&STRAT[OR
Salaries and expenses, division of examinations, Federal Farm Loan Board Special deposit accounts
1931
&I
» $169, 789. 35
254. 05
254. 05
I, [I9, 94 I . 89
I, 282, 731. 1?
Total special funds, Farm Credit Administration
Total, Farm Credit Administration
1, 119,94L ee
169, 789. 35
254. 05
169, 789. 35
133, 551, 534. 81
9, 968, /&68. 58
5, 861, 740. 58
27, 936. 42
» 701 918 » 569, 496. 56 «499, 769. 78
599, 636. 79 13, 391. 63 84L 10
599, 636. 79 41, 328. 05 841. 10
613, 869. 52
641, 805. 94
198. 10 168. 69
819. 73
2, 013, 740. 49
254. 05
[, 282, 731 [7 2, 893, 073. 67
36, 008. 11
29, 459. 14
134, 410, 783. 33
60, 973. 21
38, 715. 01
2, 593. 65
QENERhL FUND FEDERAL FARM BOARD Ii
Administrative
expenses
1933 1932 1931 1930
Administrative expenses (transfers Department of Agriculture): Feb. Act 23, 1931 Act Apr. 19, 1930
Agricultural
marketing, revolving Repayment of loans on account tribution of Government-owned under act Feb. 8, 1933 Repayment of loans on account tribution of Government-owned and cotton
.
$566, 066. 78 493, 600. 82 800, 000. 00
11 800,
000. 00
to 1932 1931
450. 00 31, 331.83
«55[. 90
621. 63 159. 38
» 51 490 15
39. 78
820. 79
1 506 680 08
» 86 090 854 60
1, 8[7, 095. 41
289, 584. 67.
No year
» 8, 601, 575. 00
8, 601, 575. 00
No year
i 25, 639, 053. 21
fund No year of dis-
21 s76 245 71
.
23, 767, 695. [4
I, 535, 397. 51
9, 974, 767. 55
~
33, 637, 442. 10
35, 172, 839. 61
Proceeds of farm-loan securities credited as repay warrants direct to appropriations. Includes $[,5:[6,[75&.29 transferred from Agriculture, p. 131, under same account title by Executive Order No. I gsi of Slar. 27, 1933, and $102, 302. 32 proceeds of farm-loan securities credited as repay warrants direct to &"
&"
&
Ii s . p. 13[, under same account title by Executive Order of Miir. 27, ]9'3:[, and $388, 659.85 proceeds of farm-loan securities credited as repay warrants direct to I
&
&
» Includes $535, 708.6[ transferred from Agriculture,
a[&]&I'o[&I'&i&I,OIns.
No.
i" Inc]u&les $700, 048.86 transferred from Agriculture, p. 131, under same account ti[le by Executive Order of Afar. 27, 1933, and $2, 5[4.12 proceeds of farm-loan securities credited as repay warrants direct to 0n s . [
C&084 11p f I' 0 I' I &11.I &
&
'
601& 575. 00
25, 639, 053. 21
1933.
]&r o [ I' I I I
8,
25, 639, 053. 21
"
&
2, 486. 8'&
of diswheat
» Transferred from "National Industrial Recovery, 1933-35", p. 120, act June 16, 1933 (48 Stat. 210, sec. 220) . ii Transferred from "Loans to agricultural credit corporations, revolving fund" (Agriculture), act Mar. 3, 1933 (48 Stat. 15[7), and Executive Order No, 6034 of Mar. 27, 1933. » Transferred from "Repayment of loans on account of distribution of Governm nt-owned whes[, and cotton, Federal Farm Board, act Alar. 3, 1933 (47 Stat, . 1517), and Executive Order No. 6084 of Mar. 27, 1933. » Under Executive Order No. 6034 of M sr. 27, 1933. » Transferred from Treasury p. 25Ci, under same account title by Executive Order No. 6084 of Mar. 27, 1933. » Transferred from Federal Ferro Board, p. 99, under same account title by Executive Order No. 60S4 of Mar. 27, 1933. » Transferred from Agriculture, p. 131, under same account title by Executive Order No. 60S4 of Mar. 27,
iND. c[0&&I
1. 06
cotton
Total genera] fund, Federal Farm Board
aI
251. 90
60, 973. 21
38, 7[5. 01
5, 332. 37
M Includes $3,874, 773.18 transferred from Agriculture, p. 131, under same account title by Execuiive OD]er No 6034 of Mar. 27, 1933, and $1,232.76 proceeds of farm-loan securities credited as repay ivsrrants &lirecrt to appropriations » IIeretofore included in special deposit accounts urider Treasury Departmerlt, miscellaneous chapter general fund, p. 293. » The Federal Farm Board was transferred io thc "Farm Credit Administration", or[ective May 27, Ig33, under act Mar. 3, 1933 (47 Stat. 1517), aud Executive Order No. 6084 of Mar. 27, 1933. For additional transactions unde'r sundry appropriations re]lowing see Farm Credit Adrtiinis[ra[ion, I&. &3-, . « Includes $800, 000 transferred from 1930 account, act June 30, 1932 (47 Stat. 458) aud excludes $98, [Is[3]I transferred to "Salaries and expenses, Farm Credit Administration, 1933. Ii This amount which includes $251.90 returried from same object under Department of Agriciil[iirc iviis transferred to the Farm Credit Administration under same account title » This amount which includes $31,490. 15 returned from same object under Department of Agriculture was transferred to the Farm Credit Administration under same account title. '" Transferred to 1933 account. See note f&I. Ii Returned to same object under Feder&1] Farm Boar I. See notes 66 and 67. » Transferred to Farm Credit, Administrarion under seine account title. "Includes $4 501 575 transferred from "Repiymsrir of loans on ic&s&un[ of distrihu[i&in or Golernni&iir owned wheat and cotton", Public Resolution Fell. [ [, I!&[3 (47 Stat. , gg). "' Exclusive of $9, 859, 371.79 transferred to Farm Credir: A&lminiatration »micr same;Icrcun[, [[l]e, &&&1&[ $4, 501,575 to "Repayment of loans on account of disrribur ion of Governmerit-oivued cotton under& a I ]' [ 1933.
"
"
—
1988 Continued
Receipts and espertditltres, (Debit transfer appropriations
(net) and repayments
Fiscal year
in excess of expenditures
are printed in italic!
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
to appropriations
Unexpended balances June 30, 1932
Treasury
June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpendedibalances
To credit of dis-
Warrants-issued basis
Checks-issued basis
~
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings
disbursing officers
Available
(see p. 7)
GENERAL FUND TKDRRAL BQARD 1&DR vocATIQNAL RDD ATION
Salaries and expenses, vocational rehabilitation of persons disabled in industry
1933 1932 1931
1933 1932 1931
Cooperative vocational rehabilitation, residents of the District of Columbia
"
education
$2, 025 63
$58, 494. 47 528. 05
$4, 835. 59
$58, 088. 83 2, 553. 68
$244. 50
$1, 425. 44 6, 333. 76
$405. 64
$3, 2OO. 25 59, 022. 52
60, 642. 51
993, 219. 90
993, 219. 90
'Tf
of
Cooperative vocational rehabilitation persons disabled in industry
vocational Cooperative home economics
$65, 000. 00 $6, 861. 81 3, 200. 25
in
1933 1932 1931
'
1933 1932
1, 097, 000. 00
119, 091. 32 84, 334. 68
Salaries snd expenses Federal Board for Vocational Education (transfers to Department of Commerce, Bureau of Census, sct May 21, 1920)
1932
2, 450. 50
771, 428. 50
993, 219. 90
993& 219. 90
7, 500. 00
588. 10 4, 109. 23
7, 002. 73 1, 888. 40 4, 109. 23
11, 047. 13
13, 000. 36
736, 582. 06
736, 582. 06
736, 582. 06
736, 582. 06
982. 39 to. 83
244, 065. 04 12, 007. 96
. 50
. 50
252, 942. 27
256, 073. 50
230, 00
230. 00
3, 565. 18 6, 305. 86
934. 82
n 285, 000. 00 19, 146. 25 13, 904. 90
250. 00
12, 048. 58
. 50
252&
497. 27
4, 109. 22
34, 846. 44 12, 772. 23
12, 772. 23
Permanent: Salaries and expenses, Federal Board for Vocational Education
1933 1932 1931 Certified claims
84, 334. 68
12, 000. 00 5, 743. 76 8, 218. 45
103, 780. 10 119, 091. 32
21, 355. 10 13, 904. 90
1, 957. 58
8, 704. 93 19, 186. 87
8, 917. 35
Cooperative vocational education in
agriculture-------
' ~ 3, Soo, 729. 00
lees 1932 1931
Cooperative vocational teachers, etc
1933 1932 1931
1933 1932 1931
Total general fund, Federal Board for Vocational Education FEDERAL OIL CONSERVATION
Total general Conservation
» 1, 000. 00
110, 149. 95 64, 533. 03
92, 158. 67 3, 394, 579. 05
3, 394, 579. 05
Federal
lt 1, 001, 714. 00
32, 457. 86 57, 872. 36
940, 681. 64 32. 13
940, 681. 64 32. 13
60, 032. 36 32, 425. 73
57, 872. 36
—
2, 776, 428. 50
940, 713. 77
940, 713. 77
2, 652, 629. 22
2, 652, 629. 22
82, 552. 17 111, 109. 07
714, 206. 81
I 1, 000. 00
n 1, 000. 00
122, 799. 28 82, 552. 17
111, 109. 07
16, 524. 71
2, 652, 629. 22
2, 652, 629. 22
9, 514, 300. 50
9, 040, 965. 92
9, 047, 670. 37
10, 000. 00
7, 500. 00 9, 425. 68
7, 030. 01 8, 800. 57
369, 689. 15
27, 125. 51
2, 202. 08
388. 08
I, 483. 33
788, 524. 65
9, 820. 26
628. 59
I, 999. 18
469. 99 747. 98
2, 627. 77
I, 217. 97
BOARD
Board
fund,
3, 394, 579. 05
education,
Cooperative vocational education in trades snd industries.
Federal Gil Conservation
3, 394, 579. 05
64, 533. 03 92, 158. 67
1933 1932 1931
11, 424. 86 7, 367. 13
122. 87
18, 791. 99
122. 87
7, 367. 13
Oil
Board
10, 000. 00
16, 925. 68
15, 830. 58
7, 367. 13
I, 483. 33
388. 08
tp
FEDERAL POWER COMIIISSION
Federal Power Commission
No year 1933 1932
1931-32 1931
Federal Power Comlnission (transfers to Department of the Interior, Geologicsl Survey): Act Apr. 22, 1932 Act Feb. 14, 1931
Printing snd binding.
'Total general fund, Federal Power Commission
8, 578. 11 lt 249, 200. 00 2, 214. 15 25, 000. 00 G5,
765. 88
"800. 00
1933 1932
99. 47
1933 1932
I, 570. 24
103, 227. 85
'
See also appropriation for this oilject under District of Columbia, It Includes annual appropriation of $85, 000.
Includes anuual appropriation of $781,429. I Act June 30, I93'2, title III (47 Stat. 412, sec. 318(c)). I Includes annual appropriation of $20, 714.
ll
5, 155. 88
488. 99
254, 000. 00
5, 644. 87
213, 214. 08 150. 11
209, 334. 95 5, 305. 99
55. 56
55. 56
213, 419. 75
214, 696. 50
800. 00 460. 80
561. 48 485. 78
339. 20
75. 7G
3, 200. 00 I, 570. 24
2, 844. 44
4, 770. 24
4, 903. 67
218, 529. 19
219, 675. 93
2,
13, 788. 24
12, 306. GG
8, 578. 11 9, 891. 62 2, 064. 04 25, 000. 00
3, 879. 13
65, 710. 32
560. 27
238. 52 24. 92
3OJ, oG
059. 23
65, 710. 32
13, 788. 24
l
12, 306. 06
46, 894. 04
4, 498 13
~
p. 348.
» Includes annual appropriation of $31,428. 50, It Exclusive of $800 transferred to same object under Departlnent 1932 (47 Stat. 120). » See note 78.
A pr. 22,
of Ihe Interior, er or, Geologi eo og ca I S Survey, art
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
IM8
—Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ffalfc]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year for which s p pro pr I. ation was made
Unexpended balances June 30, 1932
On books of the Treasury -4 P
On books of
Treasury
byarrants-issued basis
[ I 11 t 10n s
( 11'1 I 1
I
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing ofIIcers
To credit of Reserve for impounded salary savings
disbursing ofIIcers
Available
(see p. 7)
SPECIAL FUNDS FEDERAL POWER COAIAIISSION
Payments to States under Federal water power act No year
Total, Federal Power Commission
$77, 300. 89 180, 528. 74
$5, 644. 87
$7'3, 838. 23
$75, 727. 76
$75, 727. 76
327, 838. 23
294, 256. 95
295, 403. 69
$75, 411. 36 $65, 710. 32
$13, 788. 24
$12, 306. 06
122, 305. 40
$4, 498. 13
GENERAL FUND
C5
'd
FEDERAL RADIO COMMISSION
Salaries and expenses
Enforcement laws
"
1933 1932 1931
315, 003. 03 2, 116. 62 42. 03
308, 346. 37 6, 578. 00 56. 00
317, 161. 68
314, 980. 37
402, 778. 06 8, 174. 56
41. 04
399, 684. 57 11, 954. 53 41. 04
31, 924. 27
31, 924. 27
442, 917. 93
443, 604. 41
16, 000. 00
4, 000. 00
3, 347. 70
903, 924. 27
764, 079. 61
761, 932. 48
366, 000. 00
10, 054. 30 6, 182. 91
7, 392. 18
13. 97
29, 423. 36
15,
4 "8. 68
6, 144. 93 7, 937. 68
6, 656. 66 2, 930. 80
43, 145. 09
18, 478. 93
25, 597. 92 92, 454. 08
3, 093. 49
12, 000. 00
652. 30
144, 134. 61
15, 579. 74
6, 140. 88
of wireless communication 1933 1932 1931 1930-31 Certified claims
Printing and binding
490, 000. 00
100, 628. 64 1, 792. 47 1, 747. 38
6, 026. 46
31, 924. 27
1933
I
Total general fund, Federal Radio 120, 405. 70
Commission
13, 432. 61
2, 246. 49
1, 751. 43 1, 747. 38
9, 639. 69
72, 568. 45
33, 907. 61
SPECIAL FUNDS FEDERAL RADIO COMMISSION
29, 331.61
Ss, Sff. 81
Special deposit accounts
Total, Federal Radio Commission
120, 405. 70
13, 432. 61
903, 924. 27
764, 079. 61
732, 620. 87
72, 767. 94
35, 469. 16
2, 017, 465. 39
2, 012, 938. 70
2, 029, 698. 27
9, 639. 69
72, 568. 45
33, 907. 61
144, 134. 61
44, 891. 35
77, 294. 63
18, 709. 59
FEDERAL RESERVE BOARD
Salaries and expenses
No year
rEDERAL TRADE COMMIssION
Federal Tracie ('ommission
1933-34 1933 1932-33 1932 1931-32 1931 1930-31 CeriiGed claims
Printing and binding
1933 1932
I, 376, 500. 00 60, 000. 00 3, 440. 81 7, 685. 75 803. 33 913. 14 48. 27
65, 592. 3S 7, 181.BB
30, 000. 00
16, 195. 57
2,
331. 10
I, 232, 681. 65
I, 298, 769. 33
57, 000. 00 17, 685. 81 6, 818. 84 885. bc7
56, G63. 10
47, 121.07 269. 54 885. 57
24. 60
24. 60
1, 264, 584. 13
1, 312, 612. 17
15, 000. 00 1S, 923. 67
7, 307. 40 14, 803. 27
30, 923. 67
22, 110. 67
1, 295, 507. 80
1, 334, 722. 84
99. 12
99. 12
1, 295, 606. 92
1, 334, 821. 96
107, 721. 33
25, 000. 00 19, 592. 54
16, M4. 48
3, 000. 00 21, 365. 12 14, 598. 09
23, 862. 32 336. 90 547. 00
1, 038. 80 913. 14
48. 27
15, 000. 00 271. 90
7, 692. 60 3, 451. 50
98, 875. 92
35, 890. 32
Total general fund, Federal Trade Commission
89, 086. 87
1, 431, 524. 60
75, 105. 36
1, 951. 94
107, 721. 33
1G, 554. 48
TRU8T FUND8 IcEDERAL TRADE COMMISSION
Refund to depositors, excess licenses under see. 10 (c), trading with the enemy
act.
ls76
year
Total, Federal Trade Commission
7M. 44 89, 840. 31
1, 431, 524. 60
75, 105. 36
654. 32 1, 951. 94
107, 721. 33
16, M4. 48
99, 530. 24
Laf
35, 890. 32
GENERAL FUND OENERAL ACCOUNTINO
0
OFVICE
1933 1932 1931
Salaries
Contingent
2l
1933 1932 1931
expenses
1933 1932 1931
Printing and binding
4, 062, 620. 00
1, 322. 97 3, 086. 69
3, 845. 97
]0, 957. 23
3, 632, 226. 01
3, 616, 292. 51
116, 666. 13 1, 887. 68
109, 979. 67 9, 598. 61
3, 920. 67
115, 428. 15
119, 578. 28
58, 000. 00 4, 266. 54
46, 282. 11 8, 187. 21
inclex to published (ccnerai Acconnting Offtce Speccai clepnsit accounts
8, 482. 18 5, 134. 36
19, 779. 47
8, 333. 87 10, 276. 05
6, 686. 46 120. 64
17, 000. 00 23, 733. 46
11, 717, 811
1930-31
54, 469. 32
3, 14. 86
3, 714. 86 6, 067. 81
84, 455. 84
24, 791. 68
'
6, 927. 17
4, 262, 620. 00
3, 809, 920, '10
3, 789, 480, 75
46, 094. 80
386, 262, 78
1932 (47 Stat. 417, secs. 511-514) and Fxecutive order of July 20, 1932, the Radio DcvcsIIID of the Depa t i.'nder the provcstons of the Act of June 30, fortheentireGscalye ac 'on u er the appropriation, "Enforcement ofwirelesscommunicationlaws", so . - R o e e era aid»crprcatcons
1933,
31, 837. 64
u
72, 959, 92
h
M
h
decisions,
Total, general fund, General Accounting 0ffcc
"
31, 837. 64
22, 977. 54
62, 26G. 54
Printin„
386, 262. 78
16, 315. 71
75, 000. 00 2S, 000. 00 22, 977. 54
3, 616, 257. 93 34. 58
3, 086. 69
125, 000. 00
9, 038. 07 16, 315. 71
3, 636, 037. 40 8, 811. 85t
45, 23i. 63
e n o an . o( ap er or uc Vcl puricoscs.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation ivas made
to appropriations
are printed in 4««ci
in excess of expenditures
Amount carried to surplus fund (see p 7)
Expend)tures
m 1933 (see p. 6)
Funds available in 1933
for which
—
1988 Continued
Unexpended balances June 30, 1932
Treasury
To credit
of disbursing officers
Warrants-!Ssued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see
GENERAL FUND
balauces June 30, 1933
()n books of the Treasury Appropriations
On books of
Unexpended
p.
disbursing officers
A. vailable
7)
—Continued
INTERSTATE COMMERCE COMMISSION
Interstate Commerce Commission
1933 1932 1931 Certified claims
Printing and binding
1933 1932
1930-31
Ii $6 994 560 00
$730, 840. 90 367, 745. 89
$6, 231, 358. 15 169, 940. 34
$6, 138, 188. 44 254, 664. 52
596. 98 187. 35
596. 98 187. 35
6, 402, 082. 82
6, 393, 637. 29
52, 899. 50 88, 069. 18 9, 036. 14
41, 589. 52 100, 572. 51 9& 036. 14
150, 004. 82
151& 198. 17
7, 148, 747. 35
6, 552, 087. 64
6, 544, 835. 46
447, 510. 7G
507, 783. 03
507, 783. 03
7, 636, 258. 11
7, 059, 870. G7
7, 052, 618. 49
780, 113. 70 f)1, 404. 72 8, 788. 77
605. 12
742, 896. 13 57, 518. 76 1, 009. 39 8. 80 605. 12
835, 382. 47
802, 027. 10
38, 000. 00 1, 487. 44
37, 127. 98 3, 206. 74
39, 487. 44
40, 333. '72
$84, 724. 18
187. 35
I' 154, 000. 00 90, 796. 82 9, 036. 14
12, 503. 33
$549, 860. 33
$29, 798. 77
$183, 542. 75 560, 900. 56
$93, 169, 71
101, 100. 50
11, 309. 98
$367, 148. 91
2, 727. 64
Total general fund, Interstate Commerce Commission
1, 198, 419. 75
97, 227. 51
367, 148. 91
549, 860. 33
29, 798. 77
818, 271. 45
104, 479. 69
SPECIAL FUNDS INTERSTATE COMMERCE COMMISSION
General railroad contingent fund, sec. No year 15a, Interstate Commerce Act
79, 875. 39
59, 603. 12
Total, Interstate Commerce Com1, 278, 295. 14
mission
97, 227, 51
367&
148. 91
549, 860. 33
29, 798. 77
907, 874. 57
104, 479. 69
43, 311.48
3, 904. 10
30, 270. 72 70, 996. 21
37, 217. 57
1, 429. 97 1, 012. 66
872. 02
GENERAL FUND NATIONAL
ADVISORY COMMITTEE FOR
AERDNAVrics
Advisory Committee for Aeronaut'cs.
Advisory Committee for Aeronautics (transfers to Department of Commerce, Bureau of Standards): Act July 1, 1932 Act Feb. 23, 1931 Act Apr. 18, 1930
1933 1932 1931 1930 1929—30
1933 1932 1931
4'
132, 400. 93 119, 527. 83
44
857, 600. 00
3, 885, 96 7, 748. 16
» 687. 82
A 80
605. 12
44
2, 500. 00
687. 82
42, 400, 00
1, 718. 30 4)
687. 88
126, 954. 42 2. 30
2, 970. 03
Advisory Committee for Aeronautics (transfer to Wsr Department, sct Msy 21, 1920)
1932
Printing snd binding
1933 1932
8, OIL 97
330. 00
330. 00
15, 000. 00 48. 19
10, 457. 29 7, 963. 78
14, 951. 81
18, 421. 07
890, 151. 72
861, 111.89
508, 696. 78
569, 512. 72
1, 453. 37
I, 453. 37
rrr rrr
5, 000. 00 48. 19
4, 542. 71
108, 787. 65
42, 632. 30
793, 846. 88
40, 392. 74
Total general fund, National Advisory Committee
for Aeronau-
tics
255, 476. 58
13, 592. 47
year
1, 304, 090. 08
101, 208. 68
Expenses of administration of settlement of war claims act of 1928, office of wsr claims arbiter» No year
I, 453. 37
NATIONAL
920, 605. 12
126, 956. 72
46, 281. 51
3, 904. 10
CAPITAL PARK AND PLANNING COMMISSION
«No
National Capital Commission
Park snd Planning
1, 546. 42
SPECIAL FUNDS
OFFICE OF WAR CLAIMS ARBITER
GENERAL FUND PUERTO RICAN HURRICANE RELIEF COMMISSION
'tj Puerto Riess Hurricane Relief Commission: Administrative expenses Insular roads. Insular and municipal roads Loans Schoolhouses and roads Seeds
No No No No No No
year year year year year year
10, 000. 00 100, 000. 00 350, 000. 00
4, 857. 75 26, 618. 58 60, 225. 54
17, 000. 00
41, 230. 56 28, 835. 27 6, 909. 85
477, 000. 00
168, 677. 55
47, 285. 33 154, 903. 29
24, 741. 29
223. 33 11, 620. 29
360. 06
9, 639. 94
98. 07 1, 379. 44
197, 620. 56
12, 000. 00
4r 634. 42 14, 998. 29 147, 401. 73 180, 763. 10 10& 878. 68 15, 225. 84
86. 86
4, 913. 14
12, 725. 74 11,46'1. 46 39, 507. 88 3, 684. 01
262, 901. 93
352, 350. 82
1, 924. 43
212, 173. 64
79, 228. 66
2, 251, 945. 01 M, 086. 87 8. 81
2, 243, 039. 51
154, 384. 20
89, 811. 18 83, 310. 20
8, 905. 50
180. 86
leo. e6 8. 88
2, 215, 752. 75
2, 231, 588. 54
8. 87 e. oo
8. 87 e. 00
10. 87
10. 87
99, 901. 93 151, 000. 00
Total general fund, Puerto Ricsn Hurricane Relief Commission PUBLIC BUILDINGS AND PUBLIC PARKS OF THE NATIONAL CAPITAL
2, 521, 900. 00
1933
Salaries
1931 1930 1929
State, Salaries, office of superintendent, War, and Navy Department Buildings,
1924 1921
» Includes $21,000 transferred from "Printing snd binding, Interstate Commerce Commission, 1933", sct June 30, 1932 (47 Stat. 411). » Exclusive of $21,000 transferred to "Interstate Commerce Commission, 1933", see note 81. «Exclusive of $42, 400 transferred to same object under Department of Coromerce, Bureau of Standards, act July I, 1932 (47 Stat. 507). «Debit balance.
11, 888. 68 8. 81
25, 759. 61
154, 906. 50 160. 85 3. 33
2. 67
8. 00
» Returned from same object under Department of Cominerce, Bureau of Standards. «Transferred from same object under Advisory Committee for Aeronautics. See note 83. » Returned to Advisory Committee for Aeronautics. See note 85. » See also appropriation for this object under District of Columbia, p. 349. » See also appropriation for this object under Wer Department, p. 296.
JM8
Receipts and expenCktures, [Debit transfer appropriations
(net) and repayments
—Continued
Expenditures
Funds available in 1933
are printed in italic]
in excess of expenditures
to appropriations
Amount carried to surplus fund (see p. 7)
in 1933
(see p. 6)
Fiscal appropriation was' Iuade
'
Unexpended balances June 30, 1932
year for which ~
Appropriations On books of
Treasury
To credit of dis-
Checks-issued basis
Warrants-issued basis
Act June 20, 1874
Impounded salary savings
bursing ofiicers ~
GENERAL FUND
Unexpended
balances June 30, 1933
On books of the Treasury
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
PUBLK BI:ILDINOS AND PUBLIC PARKS OP THE NATIUNAI.
UAPITAL
—continued
General expenses
1933 1932 1931 1930-31 1930
u $1, 532, 348. 00 $304, 521. 83 2, 449. 78 1, 054. 75
$12, 454. 91 10, 696. 76
$1, 381, 398. 05 100, 321. 43 12, 217. 21
$1, 422, 420. 60 135, 151. 16 I, 895. 64
170. 67
f70. 67
$94, 806. 12 169, 370. 67
$15, 121. 28 $554. 14 1, 054. 75 170. 67
$41, 022. 55 47, 284. 64 375. 19 PJ
i
I, 559, 296. 73
1, 493, 766. 02
25, 000. 00 SS, 008. 78
62, 516. 35 217. 79
10, 500. 00 880. 08
9, 512. 68 776. 79
10, 179. 92
10, 289. 47
2, 500. 00
I, 484. 01 I, 785. 31
Iyl
Construction of roads in the Mall Heating plant, West Potomac Park
Mount Vernon Highway police
Printing
1932 1931—32
25, 000. 00 698, 084. 73
37, 538. 05 33, 226. 55
1933 1932
2, 000. 00
3, 096. 87
1933 1932 1931
and binding
No year Public warehouse site and building No year Refiecting pool, West Potomac Park Removal of statue of Maj. Gen. John A. 1931 Rawlins No year Relief of H. E. Hurley Claims for damages, act Dec. 28, 1922, Public Buildings and Public Parks of No year the National Capital Judglhents, Court of Claims, Oflice of Public Buildings and Public Parks of No year the National Capital. Indefinite: Increase of compensation, ofiice of State, War, and superintendent, 1921 Navy Department Buildings
12, 000. 00
3, 000. 00
I, 000. 00
994. 30
791. 01
731, 093. 49
612. 78
887. 22
987. 32
2, 320. 08
2, 000. 00
500. 00 5. 70
1, 015. 99
177, 854. 18
14. 28
136. 11
136. 11
713, 403. 93 2, 928. 08
21. 70
3, 494. 30
3, 269. 32
526, 012. 74 20. 58
536, 072. 14 20. 58
553 50
553. 50
167. 81
294. 39
294. 39
5, 931. 32
5, 931. 32
5, 931. 32
8. 67
8. 67
2. 67
4, 313, 514. 13
4, 344, 506. 08
160, 235. 56
10, 073. 68
2, 025. 88
$8, 011. 13
2, 907. 50
328. 37
328. 37 553. 50
310. 64
184. 06
Total general fund, Public Buildand Public Parks National Capital.
ings
of the
I, 953, 960. 34
132, 619. 12
4, 075, 347. 13
172, 144. 14
33, 770. 74
1, 349, 642, 90
101, 627. 17
P 'T)
SPECI~
IPI?NDS
PUBLIC BUILDINGS AND PUBLIC PARKS OP THE NATIONAL CAFITAL
Special deposit account
Total, Public Buildings and Public Partrs of the National Capital
I, 953, 960. 34
86, 479. 35
8, 06& 88
78, 411. 06
211, 030. 18
160, 235. 56
172, 144. 14
33, 770. 74
1, 349, 642. 90
4, 075, 347. 13
4, 313, 514. 13
4, 336, 437. 79
Ii 22, 574. 64
691, 110. 16
6Ã, 110.16
5, 075, 546. 27
Ii 951, 991. 15
256, 178. 91
121, 796. 51
29, 445, 120. 62
2, 000. 00
130. 87 4, 400. 00
2, 000. 00 130. 87 4, 400. 00
2, 000. 00 130. 87 4, 400. 00
223, 066. 62
223, 066. 62
223, 066. 62 51, 128. 71
188, 106. 52
GENERAL FUND RAILROAD ADXIINISTRATION TRANSPORTATION ACT
AND
Federal control of transporation systems Loans to railroads after termination of Federal control, etc Relief of: George Beier Caughman-Kaminer Co Edward J. O' Neil Indefinite: Guaranty to carriers after termination of Federal control Special deposit accounts»
No year
4, 461, 861. 48
No year
28, 749, 308. 38
No year No year No year
No year 5, 978, 300. 06
Total general fund, Railroad Administration and Transportation Act SMITHSONIAN
Cooperative ethnological researches
1933 1932 1981
. No year 1933 1932 1931
American ethnology
.
Observatory
&
1933 1932 1931
1933 1932 1931
Golictly Art Collection
International erature.
33, 211„169.86
6, 080, 053. 99
570. 27 31.62
330. 17
1, 204, 163. 28
106, 888. 76
188, 687. $$
38, 644. 00
34, 000. 00 482. 64 7. 20
34, 122. 17 812. 81 7. 20
34, 489. 84
34, 942. 18
629. 01
529. 01
58, 025. 50 607. 66
57, 699. 60 2, 13&44
236, 136. 33
5, 927, 171. 35
34, 520, 666. 89
6, 163, 307. 68
1, 785. 93 87. 63
» 122. 17
INSTITUTION
Salaries and expenses
Astrophysical
101, 753. 93
2, 418. 07
440. 00
24. 42
O Izl
949. 55
420. 54 Cl
66, 640. 00
730. 10 599. 89
1, 52?. 78
8, 181. 96
17, 500. 00
919. 06
1, 872. 05
2, 469. 83 122. 44
325. 90
599. 89
32, 094. 00
11447. 30 240. 93
4, 272. 62
795. 06
58, 633. 16
59, 835. 04
29, 000. 00 18. 17 88. 45
28, 730. 72 3, 200. 13 88. 45
29, 106. 62
32, 019. 30
17, 000. 00 217. 50
16, 357. 86 1, 012. 56
1, 912. 65
1, 181.35 1, 429. 13
269. 28
500. 00 701. 56
642. 64
273. 79 5?5. 20
. 87
152. 48
3, 249. 90
3, 249. 90 17, 217. 50
17, 369. 92
5, 027. 27 5. 64
5, 026. 40 6. 74
'at alogue of Scientific Lit1933 1932 1931
5, 650. 00
2, 580. 84 2, 51& 12
1. 10
5, 032. 91
» Debit balance. » Includes 812,000 transferred (47 Stat. 464L
from "General
expenses of public buildings,
348. 94 2&
2, 515. 12
" aet
1933,
June 30, 1932
5, 033. 14
» Proceeds of railroad securities credited as repay warrants direct to this appropriation. » Exclusive of funds in depositaries other than the Treasury of the United States.
Qn
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
IM8
to appropriations
—Continued
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year
for which
ap propriation was made
Unexpended balances June 30, 1932 Ap pro priations On books of
Treasury
GENERAL FUND sMITIISUNIAN
International
1933 1932 1931
.
1933 1932 1931
.. . . . .
Permanent and indefinite: Expenses of Smithsonian interest account
Act June 20, 1874
Impounded salary savings
bursing olflcers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
—continued
exchanges
Printing and binding
To credit of dis
Checks-issued basis
—Continued
INsTITUTIoN
National Gallery of Art
On books of the Treasury
Warrants-issued basis
1933 1932 1931
$47, 529. 00 $2 063 57 331. 22
$1, 675. 27
2, 581. 28
$2, 030. 08
$11 532. 95 I, 249. 74
$499. 94
44, 779. 80
45, 955. 13
32, 990. 44 949. 03
32, 618. 94 3, 530. 31
1, 920. 42
$1, 260. 00
2, 049. 14 326. 70
371. 50
519. 49 33, 939. 47
36, 149. 25
27, 002. 64 59, 010. 78 19, 492. 96
24, 020. 42
105, 506. 38
106, 413. 35
60, 000. 00
60, 000. 00
60, 000. 00
368, 699. 00
389, 234. 69
398, 246. 32
62, 422. 00
60, 547. 82 19, 492. 96
$43, 466. 03 2, 489. 10
$331. 22
SS, 220. 00
1, 275k 73 519. 49
$43, 965. 97 813. 83
3, 889. 19
M
K 35, 419. 36 1, 537. 04
62, 899. 97 19, 492. 96
2, 982. 22
Institution,
No year
Gn
Total general fund, Smithsonian Institution
98, 065. 37
13, 981. 81
7, 392. 52
12, 902. 7S
3, 572. 05
53, 662. 33
4, 970. 18
SPECIAL FUNDS 100, 041. 79
Special deposit accounts
122, 286. 14
TRUST FUNDS SMITHSONIAN
Smithsonian (principal)
Institution,
INSTITUTION
trust
fund
No year
Total, Smithsonian Institution
1, 000, 000. 00
I, 000, 000. 00 1, 098, 065. 37
114I 023. 60
4, 789. 65
4, 824. 68
368, 699. 00
389, 234. 69
376, 001. 97
148, 370. 00
132, 996, 04 4, 460. 45
125, 416. 10 9, 285. 13
137, 456, 49
134, 701. 23
7p
392. 52
12, 902. 78
3, 572. 05
1 053 662 33
127 256 32
5, 336. 89
4, 706. 00
6, 272. 07 329. 20
7, 579. 04
GENERAL FUND NATIONAL
Maintenance
and operation
Buildings, repairs
MUSEUM
1933 1932
1930-31
3, 706. 35 7. 17
3, 706. 35 7. 17
leal
Pnrniture and natures %resting and lighting Preservation of couections=
1931 ISSS 1932 1931
Books
1931
Total
general
so. S2
sss. 48
552, 964. SS 4, 784. 96
617, 760. 00 5, 827. 63
2, 119.78
69. 13
536, 250. OO
8. 36
6, 904. 74 8. 36
557, 758. 15
543, 163. 10
221. 45
15, 040. 18
6, 944. 46
695, 374. 88
766, 130. 00
16, 396. 56
12, 343. 20 1, 042. 67
16, T14. 83
41, 392. 30
21. 161.56
18, 987. 14
24, 297. 7T
60. 77
160. 24
61. 21
678, 024. 57
4, 254. 30
National
fund,
Museum
36, 055. 41
TRUST FUNDS
Unclaimed tion
V.S. ROOD
ADMINISTRATION
moneys,
Food Administra-
No year
1, 686. 91
1, 686. 91
QENERkL PUND V.S. GEOGRAPHIC BOARD 1933 1932 1931
Salaries and expenses
8, 178. 00
7, 374. 27 185. 61
153. 93
W
7, 388. 47
by
2, 176. 77
1, 023. 23 1, 114. 88 4, 403. 19
3, 200. 00
1933 1932 1931 1930-31
4. 12
91. 14
91. 14 7, 238. 66
Printing and binding
92. 72 135. 61
711.01
7, 370. 15 18. 32
1, 114. 88 4, 403. 19 1, 100. 00
g L?6
1, 100. 00
t3 Total general fund, graphic Board
3, 200. 00
7, 641. 30
10, 438. 66
15, 029. 77
U. S. (Ieo. 91. 14
6, 772. 00
11, 378. 00
O 91. 14
228. 33
711.01
2, 180, 89 ja2
V. S. GRAIN CORPORATION
.
Relief of estate of Thomas Bird
No year
1, 917. 39
1, 917. 39
1, 917. 39
350, 000. 00
301, 810. 13 81, 588. 63 6. 98 5. 12
291, 944. 70 4, 474. 84 6. 98 5. 12
280, 293. 70
296, 431.64
17, 568, 430. 14 460. 00
21, 468, 798. 98 460. 00
10, 796, 184. 82 40. 00
1, 148. 87 203, 413. 98
1, 148. 97
800, 000. 00 1, 016, 601. 13
1, 148. 87 203, 413 98 800, 000. 00 1, 215, 766. 18
I, 018, 866. 14
1, 218, 031. 19
V.S. SHIPPING BOARD Salaries and expenses.
Construction loan appropriated Emergency shipping:fund
U. S. Shipping Board
1933 1932 1931 Certified claims
fund.
7, 844. 22 9, 573. 43
26, 003. 37
5. 62
96» 3, 900, 368. 84
No year II 28, 364, 614. 500. 00 No year 1933 1932 1930 1923
203, 413. 98
1, 016, 601. 13
585, 911.05
» E xclusive of $3, 900, 368.84 representing unexpended balance in special fund on June 30, 1932, of general fund year's report as an unexpended moneys advanced to the special fund during the fiscal year 1932 and stated in last checks-issued basis might be balance in the general fund account, In order that the actual expenditures on a
24, 267. 16
1, 423. 98
22, 498. 73 29, 372. 75
9, 865. 43
9, 566. 45 50
.
» 200, 000. 00 386, 746. 00
accurately reflected in this year's report an adjustment on account of this item is reflected in the balances to the credit of disbursing ofilcers as at the beginning of the fiscal year 1933„ » Act June 30, 1932, title III (47 Stat. 409, sec. 306 (1)), «See note 93.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
JM8
to appropriations
—Continued in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year
Unexpended
appropriation was made
Treasury
U. s. sHIpplNG BoARD
On books of the Treasury
Appropriations On books of
GENERAL FUND
balances
June 30, 1932
for vrhich
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing
Available
officers
—Continued —continued
Operation of ships taken back from purchasers
1933 1932 1933 1932
Printing and binding
$5, 000, 000. 00
«$5, 000, 000. 00 II 6, 000, 000. 00
$5, 000, 000. 00
10, 000. 00 $4, 412. 52
$7, 203. 31 478. 87
$4, 203. 31 3, 934. 25
725. 04
8, 137. 56
6y
2, 796. 69
$3, 000. 00
538. 84
Zl
Judgments, Court of Claims, U. S. ShipNo year ping Board No year Relief of Tsmpico Marine Iron Works
Total general fund, U. S. Shipping Board
34, 602, 608. 29
4, 516& 695. 78
71, 680. 64 1, 500. 00
71, 680. 64
433, 186. 26
18, 946, 455. 66
71, 680. 64
1, 500. 00
23, 063, 540. 01
$209, 566. 95
$24, 267. 16
$1, 423. 98
15, 854, 080. 80
399, 611.43
'tl
8PECDLL FUND8 U. S. SHIPPING BOARD
Construction Board
loan fund, U. S. Shipping
No year
V. S. Shipping Board Merchant Corporation (checking account) Special deposit accounts
.
4'
3, 900, 368. 84
«8, 800, 888. 84 ( 512, 204. 40
2, 405, 200. 31
3, 067, 556. 95
Fleet
Total special funds, U. S. Shipping Board
3, 238, 012. 20
1, 880, 607. 48
26, 351, 637. 86
«6, 564, 710. 33
11, 980. 33
11, 980. 33
19, 786, 927. 53
3, 900, 368. 84 «22, 975, 453. 75
2, 405, 200. 31
3, 067, 556. 95
5, 256, 083. 17
38, 502, 977. 13
27, 492, 149. 53
2, 838, 386. 57
22, 014, 012. 61
28, 319, 623. 18
4, 371, 790. 33
93, 298. 85
1, 000, 000. 00
3, '?37, 358. 00
3, 544, 174. 18
2, 107. 38
1933 1932 1931
1, 000, 000. 00 16, 029. 22 329. 12
886, 279. 36 886. 78 886. 88
862, 216. 89 13, 614. 28 2. 30
90, 739. 21
28, 677. 77
1930-31
283. 15 885, 255. 82
875, 833. 47
Total, U. S. Shipping Board
1, 000, 000, 00
209, 566. 95
24, 267. 16
1, 423. 98
3, 238, 012. 20
II 20, 786, 927. 53
19, 092, 093. 00
21, 186, 538. 96
1, 632, 324. 96
286, 482. 67
14, 866. 17 29, 374. 49
24, 062. 4? 1, 718. 22
GENERAL FUND U. S. SUPREME COURT BUII.DING COMMISSION
United States Supreme Court Building
No year
U. S. TARIrp COMMIS8IQN
U. S. Tariff Commission
.
4i 935 34
5, 262. 16 283. 15
8, 115. 26
17.8. Tariff Commission (transfer to Department of Commerce, Bureau of the Census, act Msy 21, 1920) Printing and binding
Total general
1932
1933 1932 1931 1930-31
fund,
979. 98
5, 999. 19 16, 442. 11 1& 069. 00
22, 047. 27
23, 510. 30
1, 020, 000. 00
907, 488. 09
899, 528. 77
111,118, 816, 95 u 69, 198. 70
94, ]87, 556. 30 306, 888. 37 1, 299. 94
78, 007, 243. 13 8, 220, 640. 78 1, 306. 41
84, 495, 744. 61
86, 229, 190. 32
10, 000. 00 901. 00
8, 141. 00 797. 00
9, 799. 00
8, 938. 00
778. 32
778. 32
10, 000. 00 13, 027. 25
20, 000. 00
900. 00 1, 114.71 12, 916. 89 29&
8, 853. 76 2, 048. 98
78, 012. 86
22, 261. 08
8, 331, 963. 12 1, 475. 38
7, 922, 72'2. 17
438. 90
2, 094. 69 12, 916. 89
U. S. Tariff
Commission.
4, 000. 81
10, 000. 00 16, 872. 75
20, 5M. 89
90, 739. 21
8, 115.26
5, 200, 852. 08
3, 903, 567. 50
71, 113.41
VETERANS' AnxfINISTRATION
Salaries and expenses, Veterans' Administration
Salaries and expenses, Veterans' Administration (transfers, to departments and under acts, as follows): To Department of the Interior, Freedmen's Hospital: Act June 30, 1932 Act Feb. 23, 1931
To Navy Department: Act Feb. 23, 1931
To Treasury
Department, Health Service: Act June 30, 1932
1933 1932 1931—32
»f
t 10, 000. 00
1933 1932
1932
6. 47
r
998. 00
901.00
6, 180, 313. 17 8, 969. 76
17, 826, 841. 07 7, 962, 878. 05 175. 44
1, 859. 00
'tl
1, 074. 12
295. 80
O
Public 1933 1932
Act Feb. 23, 1931
' 1, 080, 656. 85 30, 436. 00
1, 070, 000. 00 94, 636. 60
964, 431. 20 165, 960. 85
1, 164, 636. 60
1, 130, 392. 05
2, 312, 651. 90 156, 308. 29
2, 312, 65]. 90
2, 468, 960. 19
2, 468, 960. 19
100, 000, 000. 00
100, 000, 000. 00
100, 000, 000. 00
2, 835, 000. 00
1, 499, 291. 10
2 251, 870. 35
20, 850, 000. 00
20, 850, 000. 00
20, 850, 000. 00
r
71, 324. 25
64, 200. 60
To War Department Act June 30, 1932 Act Feb. 23, 1931
'
.
Adjusted-service certiQcate appropriated fund, Veterans' Administration and dependent Adjusted-service pay, Veterans' Administration Civil-service retirement and disability appropriated fund ' Claims for damages, act Dec. 28, 1922, Veterans' Administration
'.
. .
1933 1932
f
159, 047. 01
No year
No year
752, 579. 25
1, 497, 344. 01
No year
2, 790, 526. 20 r 1, 80.8. 90
37. 50 No year u Revenues from sales of ships, land, buildings, etc. , sre deposited in the checking account of the U. S. The proceeds of Shipping Board Merchant Fleet Corporation and operate ss credits against expenditures. warrants issued on account of the:appropriation "United States Shipping Board" are also deposited in and expended from this account. » Exclusive of funds in depositaries other than the Treasury of the United States. B See note 93. w Transferred from 1932 account, sct June 30, 1932 (47 Stat. 468) . f See note 96. to same object, under acts of June 30, 1932 (47 Stat. 470), and Feb. w Exclusive of $3 881, 183.05 transferred 23, 1931 (46 Stat. 1374), to departments as follows: (see note 1). Veterans' Administration Salaries and expenses, $10, 000. 00 Transfer to Department of the Interior, Freedmen's Hospital, 1933 1, 080, 656. 85 Service, 1933 Health Public Department, Transfer to Treasury 526, 20 2, 790, Transfer to War Department, 1933.
—
.
156, 308. 29
105 568 80
10, 656. 85
57, 715. 50
54, 018. 22
366 140 58 935. 82
2, 833, 052. 91
37. 50 37. 50 u This account was charged with $64, 200.60 transferred to same object under Treasury Department, Public Health Service, and credited with $2, 003.90 returned from same object, under act of Feb. 23, 1931 (46 Stat. 1374), from Departments as foBows: Department of the Interior, Freedmen's Hospital, 1932 $201, 00 Wsr Department, 1932 1, 802. 90 f Transferred from same object under Veterans' Administration. See note 98. f Returned to same object under Veterans' Administration. See note 99. s Transferred from same object under Veterans' Administration. See note 99. ' See also trust fund account, p. 117.
.
le le
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
to appropriations
in excess of expenditures
are printed in italic[
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
f f)88 Continued
Unexpended balances June 30, 1932
Treasury
To credit of disbursing officers
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see
GENERAL FUND vETERAN8
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
p.
Available
disbursing officers
7)
—Continued
ADN1NisTBATioN
—continued
Hospital and domiciliary facilities and services, Veterans' Adininistration No year Hospital and domiciliary facilities and Veterans' Administration services, (transfer to War Deparrment, act June No year 18, 1930) Hospital facilities and services, Veterans' Administration -- - No year Hospital facilities and services, Veterans' Certified claims Bureau Judgments, Court of Claims, Veterans' Administration No year Judgments, United States courts, Veterans' Administration No year 1933 Loans to veterans for transportation
Military and naval compensation, erans' Administration
Military and naval compensation, ans' Bureau
$5, 984, 537. 78
$12, 877, 000. 00
$1, 286, 398. 23
$12, 212, 739. 34
$13, 367. 304. 76
853, 169. 04
853, 169. 04
128, 909. 85
82, 272. 63
4, 055. 29
4, 055. 29
4, 056. 29
233, 674. 74
233, 574. 74
233, 574. 74
1, 367. 00 100, 000. 00
1, 367. 00 71, 854. 01
1, 367. 00 71) 854 01
18, 61A16 817, 671, 528. 17 24, 638. 62 5, 191.75
18, 6fs. 18 314, 989, 381. 69 672, 881. 06 5, 191.75
317, 687, 846. 38
315, 653, 942. 34
13, 018. 89 6, 199. 00 8, 71 7. 81 9, 66k 90 8, 308. 78
11, 595. 13
890, 694. 67 125, 648. 61
211, 182. 48
$43, 022. 25
$8, 626. 26
$6, 597, 149. 93
$131, 832. 81
C}
37, 497. 35
[
254, 558. 46 5n
&
28, 145. 99
VetNo year 1933 and prior 1932 and prior Certified claims
4
149, 851. 54
335, 776, 000. 00
648, 284. 56 5, 191.76
$13, 512. 16
M 887, 336. 14
17, 216, 135.69 125, 212. 92
Veter1931 and prior 1930 and prior 1929 and prior 1928 and prior 1927 and prior 1926 and prior 1925 and prior
Annuities to participants snd benefici1931 aries in yellow-fever experiments Military and naval family allowance, No year Veterans' Administration
Military snd naval insurance, Veterans' No year Administration 1933 and prior 1932 and prior
.
25, 587. 67
1, 486. 69 320. 00
1, 178. 77
6, 879. 00 8, 717. 81 8, 559. 90 8, 308. 78 1, 444. 59 1, f73. 77
30, Jill. 88
28, 60k 19
1, JJj4. 59
38, 600. 49 6, 199.00 2, 717. 81 2, 559. 20
3, 308. 76 1, 444. 62 1, 173. 77
1, 500. 00
1, 500. 00 618, 001, 75
533. 62
38, 037. 38
1, 802. 97
40. 54
15, 377. 87
i 598, 640. 73 i 127, 850, 000. 00 4, 233& 000. 00
4, 853. 10
5, 386. 72
613, 148. 65
3, 849. 97 119, 219, 798. 98 4, 188, 325. 60
5, 652. 94 119, 219, 798. 98 4, 203, 703. 47
632, 878 14 8, 630, 201. 02 44, 714. 94
123, 411, 974. 55
123 429i 156 39
2, 682, 146. 48
42. 12
t3
35ilttary and naval h&eurenee, Veterans' Bureau 1931 and prior
.
1930 and 1929 snd 1928 and 1927 and
prior prior prior prior
I, 694. 39
I, QQL 79 2, 065. 12
1926 1925 1924 1923
8, S65. 05 5, Sl o. SF 601. 65 65l. 49 965. SO
l, OFO. 87
l, OFO. 57 l, 054. 88
l, 064. 68 5, 514. Ol 10
.
. 10
Certified claims
lo, 5$l. 55 6, 576. 59 60l. 65 ON. 49 966. SO l, 874. 56
12, Ota 21 5, 37L 99
50L 88 621. 49 956. 90 1, 874. 25 I& 070. 27 I, 064. 68 2, 214. 91
l, 874. 5$ 5, 514. Ol
. 10 i
Printing snd binding, Veterans' Administration
1933 1932
Adm-
Printing snd binding, Veterans' Bureau Printing snd binding, Bureau of Pensions
Vocational rehabilitation,
lO, 957. 85
94, 139. 27 30, 059. 86
94, 139. 27 30, 608. 71
124, 199. 13
124, 747. 98
7. 50
7. 50
150, 000. 00
30, 994. 70
1931
11.50
1931
922. 08
548. 85
No year
1, 517. 13
Veterans' Bu1926-July 2, 1928
Certified claims
Vocational rehabilitation, revolving fund, Veterans' Administration Relief of: Joseph R. Ball Baltimore Branch of Federal Reserve Bank of Richmond Kenneth Blaine Kenneth Carpenter
.
No year
Semler Power & Light Co. Wheatley to Grover Cleveland
. Ballard
1, 207. 81
88. 67
586. 84 l4. 55
596. 84 14. 85
l 1 7. OO
117.OO
540. 49 710. 80 1, 854. 68 I, 866. 85 I, 748. 19 5fs. $8 690. 31
540. 49 710. 80 l, 854. 68 l, 966. 85 l, 745. 18 Sf8. 68 690. 31
6, 659. 46
6, 6'59. 46
457. 85
457. 85
42. 00
42. 00
42. 00
No year No year No year
643. 00 20. 00 30. 00
643. 00
643, 00 20. 00 30, 00
240. 00
220. 00 20. 00
220. 00
240. 00
240. 00
65. 00 70. 00 298. 65 30. 00 246. 75
65. 00 70. 00 298. 65 30. 00 246. 75
1933 1932
B. F. Hart
690. 31
88. 57
No year
Mary L. Dickson
No No No No No
year year year year year
20. 00
65. 00 70. 00
298. 65 30. 00 246. 75
Includes $227, 239.53 transferred from "Judgments, Court of Claims, War Department", act Mar. 4, 1933 (47 Stat. 1616). t Exclusive of $20, 475, 000 transferred, sct June 30, 1932 (47 Stat. 411), to accounts as follows: $10, 850, 000 Military snd naval insurance, Veterans' Administration, 1933 snd prior years 8, 800, 000 Army pensions, 1933 825, 000 Navy pensions, 1933 &
4. 00 922. 08
1927 1926 1925 1924 1923 1922 1921 1920
Lewis Texas Orem Payment
55, 860. 73 934. 84
Veterans'
inistrationn Vocational rehabilitation, reau
54, ON. 74
30. 00
1, 605. 80
395. 84 14. 33 117. 00 240. 49 710. 80 1, 824. 58 1, 965. 86 1, 742. 19 218. 68
1, 645. 64
r Pre mium on term insu rance credited ae repay warrants direct to this appropriation. I Incl udes $10,850, 000 tra nsferred from "Military and naval compensation, Veterans' and pri or ", act June 30, 1932 (47 Stat. 411).
20. 00
Administration,
1033
Receipts and expenditures, f Debit
transfer appropriations
(net) and repayments
sre printed in Ifafic]
Amount carried to surplus fund (see p. 7)
balances June 30, 1932
appropriation was made
Treasury
Unexpended
balances June 30 1933
On books of the Treasury
Warranty-issued basIs
Appropriations On books of
To credit of dis-
Checks-issued basis
Act June 20, 1374
bursing ofilcers
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Avsfiable
—Continued
VETERANS' XDMINISTRLTION
—continued
Army snd Navy peasions Army pensions
1933-34 1933
$319, 230, 000. 00 I 220, 690, 000. 00
1932 1931 1930 1929 1928 1927 1926 1925
$11, 547. 73 33, 704. 35
$6, 034. 36 1, 803. 91
1924 and prior Certified claims
Navy pensions
in excess of expenditures
Unexpended
for which
GENERAL PUND
to appropriations
Expenditures ia 1933 (see p. 6)
Funds available in 1933
Fiscal year
—
f988 Continued
327. 93
1933 1932 1931 1930 1929 Certified claims
State and Territorial homes for disabled soldiers and sailors.
accounts are provided for under "Salaries aad ex pensee, Veterans' Administration, 1933."1 Salaries and expenses, Veterans' Bureau
15, 049, 180. 44
531. G8 3, 636. 66 1&
925. 00
$220, 349, 336. 32 8I, 006, 96
18, 48I, 65' 8, 674. N I, 867. 00 764. 00 NI. 00 106. 00 186. 00 30. 00 327. 93
1933 1932 1931
96, 599. 26 10. 86
722, 000. 00 93, 280. 00 26, 480. 00
$220, 349, 386 32 74, 888. 6& 10, 888. 64 8, 674. N
I, N7. 00 764. 00 881. 00 105.00 186. 00 80. 00 827, 93
220, 250, 318. 42
220, 258, 211.69
14, 740, 023. 84 7, 868. 6I 587. 88 866. 00
14, 740, 023, 34
15. 00
6, 848. 6'I 687. N Ne. 00 of. 00 15. 00
14, 731, 290. 30
14, 732, 215. 30
565, 305. 36 74, 031. 66 22, 013. 04
565, 305. 36 170, 630. 92 22, 023. 90
66 1, 355. 06
757, 9G5. 18
8&, 710. 84
I, 88I. 10
I86. 88
IN. 88
180.80 8. N 84. N
Iso. So 0. N 84. N
86. 48 341. 06
341. 06
ee, 888. 44
I, 487. 80
5I. 00 15.00
$319, 230, 000. 00 340, 613. 63 92, 554. 63
i
$61, 195. 90 3, 674. 33 1& 367. 00 764. 00 331.00 106.00 126, 00 30. 00
11 264&
180. 44
44, 971. 16 9, 450. 29
4, 174. 59 296. 00 51. 00
156, 694. 64 24, 248. 34
3, 461. 96
(The following general-fund
30, 418. 43
1931 1930
11. 64
1929 1927 1925 1924
II 5. 00
1923 and prior Certified claims
Salaries and expenses, Veterans' Bureau (transfer to Treasury Department, Publio I%saith Service. act Fab. 13, 1923)
1924
68, 609. 70
341.06
I
«6. oo
N. 48
100, 128. 67 127. 46 190. 80 9. 33 94. 33 5. 00 36. 43
$220. 56
~ppncances rer disabled soldiers
445, 141. 10
prior
138, 841. 69 80. 00 8, 696. 88 1, 486. 40 878. 68 668. 08 88. 00
80, 573. 38 80. 00 48, 018. 89 1, 488. 40 878. 68 668. 08 88. 00 117.38
742. 90
454. 34
1, 451. 01
93. 00 117.33 166. 46 1, 751. 02
132, 390. 48 165, 463. 65
264, 059. 93
'l 811.90
786. 30
17. 60
«99. 48
375. 69 1, 132. 75
375. 69 1, 132. 75
21, 904. 64
808. 86 2. 00
1.00
656. 70
2. 00
800. 86
3. 00
420. 20
«867. 86
257. 35
Salaries snd expenses, employees' retirement act, Bureau of Pensions 1931 Certified claims
365, 736. 43 20. 00 43, 018. 29 1, 486. 40 279. 66 563. 03
117.83 166. 66 1, 761. 08 132, 390. 43
132, 310. B8
976. 15 23, 037. 39
Investigation Pensions
«1, 168 71
168. 46 1, 76'1. 08
prior 1931
Contingent expenses, Bureau of Pensions Fees of examining surgeons, pensions
69, 719. 22 40, 323. 07
prior
996. 49 2, 175. 00 270. 99
2, 176. 00 270. 99
1930 1930 snd prior 1929 snd prior 1928 and prior 1927 1926 1925 1924 1923 snd prior Certified claims
Medical and hospital services, Veterans' Bureau (transfer to departments snd under sct, ss follows): To Navy Department, act Apr. 19, 1931 and 1930 To Treasury Department, Public Health Service, sct Apr. 19, 1930, 1931 and To War Department, act Apr. 19, 1930 1931 and Salaries, Bureau of Pensions
11.so
11.ao
leal
Artiscial limbs 1931 Trusses for dfsabled soldiers 1931 Medical snd hospital services, Veterans' Bureau 1931and prior
203. 36 2. 00
1931 1930-31
5, 640. 49 1, 204. 14
3, 398. 87
1931
23, 097. 50
813.27
5, 640. 49 5, 103. 01
8, 888. 87
of pension cases, Bureau of
CertiScd claims
12. 60
888. 17 12. 60
~
1931
Bath, N. Y Central Branch
1931 1930
12, 091. 00
632. 32
22, 111.90
8, 623. 63
2, 399. 97
9, 093. BB
107. 80
12, 773. 32
'l 11.66
1933 l Includes $3, 800, 000 transferred from "Military and naval compensation, Veterans' Administration, and prior ", and excludes $500 000 transferred to "Navy pensions, 1933",act June 30, 1932 (47 Stat. 411, 471). « Includes $1,539, 130.44 transferredl act June 30, 1932 (47 Stat. 411, 471), from accounts as follows; $325, 000. 00 Military and naval compensation, Veterans' Administration, 1933 and prior 500, 000. 00 Army llcnsions, 1933 264, 180. 44 Navy pension fund, interest (Navy) ll Of the appropriation of $225, 350,000 provided for Army and Navy pensions for the fiscal year 1933, $13,460,000 was appropriated for "Navy pensions, 1933. The law provides that the appropriation for Navy pensions shall he paid from the income of tbe Navy pension fund, so far as the same shall be sufficient for that purpose. Inasmuch as the appropriation was credited with $264, 130.44 transferred froln "Navy pension fund, Interest" (Navy) in excess of the $13,460, 000 provided for Navy pensions, the general fund of the Treasury is reimbursed by the amount carried to the surplus fund.
"
24, 035. 67
12. 60
886. 67
National Sanitarium for Disabled Volunteer Soldiers, Hot Springs, S.Dak National Home for Disabled Volunteer Soldiers:
119.90
I
8, 468. 06
166. 63
25, 562. 50
8, 869. 19 60. 00
229. 67 60. 00
11, 769. 16 60. 00
8, 989. 19
169. 67
u Reestablished from the surplus fund, sct Msr. 3, 1375 (13 Stat. 418, sec. 5). «Returned from same object under Treasury Department. «Returned to same object under Veterans' Administration. See note 13. «Returned, under act of Apr. 19, 1930 (46 Stat. 247), from departments as follows: Navy Department, 1931 and prior. 6'pl 7 QP Treasury Department, Public Health Service, 1931 and prior War Department, 1931 and prior «Returned to same object under Veterans' Administration. Sce note 15, » Transferred to "National Home for Disabled Volunteer Soldiers, Wesicrn Branch, 1931", act ghly 1930 (46 Stat. 465). 23,
—
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
1988 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (See p. 6)
Funds available in 1933
are printed in ifsfic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year for which appropriation wss made
Unexpended balances June 30, 1932 Appropriations On books of
Treasury
GENERAL PUND vKTnssNs'
On books of the Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oflicers
Available
—Continued
snxINIsrsaTION
—continued
National Home for Disabled Volunteer Soldiers Continued. National Hospital construction, Home for Disabled Volunteer SolNo year diers, Central Branch Danville Branch 1931 1931 Eastern Branch 1931 Marion Branch
—
$873. 05 260. 43 185. 42 847. 58
$9, 64b95 860. /jS I 83. SS 847. 68
$10, 515. 00
2. 50
$23, 916. 95 343. 68 25, 037. 66
19, 170. 86
6, 734. 74
6, 678. SO 8. 00
156. 54 8. 00
25, 749. 06 8. 00
6, 586. 80
148. 54
1931
13, 896. 27
2, 534. 25
8, 440. 58
93. 73
16, 336. 79
1931 1924 1921
6, 007. 72
4, 629. 24
4, 474. 66 S. 80
10, 482. 38 3. 80
f. ss
154. 58 S. 80 I. 53
4, «70. 79
149. 45
48. 15
48. 15
1, f75. 79 30. 00
220. 79 80. 00
f, 305. 79
190. 79
$11.45
58. 93
62. 72
1, 190. 83
877. 45 1, 11}0.83
1, 190. 83
913.38
1, 190. 83
National Hospital construction, Home for Disabled Volunteer SolNo year diers, Marion Branch 1931 Mountain Branch
$35, 495. 39 23, 656. 52 160. 76 24, 190. 08
24, 375. 09
24, 375. 09
1928
Northwestern
Branch
Pacific Branch
Barrack buildings, National Home for Disabled Volunteer Soldiers, No year Pacific Branch Southern Branch
1031 1930
1, 087. 67 640. 49
1, 396. 58
Western Branch
1931
47. 48
3. 79
Clothing
1931 1930
8, 018. 95
277. 78
Is
ministrationn
Salaries snd incidental expenses Special deposit accounts
Total, general fund, Veterans' Ad-
1931
$25, 858, 44
1, 039. 52
1, 816.28 30. 00
$0. 33
8, 294. 40
8, 076. 51
8, 076. 51 58, Of 0. er
1, 433, 977. 20 18, 682, 187. 54
1.33
12, 662, 603. 02
I, 278, 485, 314.00
900, 622, 605. 62
902, 680, 707. 83
1, 491, 996. 77
I, 179, 242. 23
$6, 188, 954. 25
$3, 986, 211.98
383, 190, 487. 46
10, 604, 400. 81
SP29CIM PUEEDS VETERANS
ADIONISTRATION
Losses on war-risk insurance of American vessels, their cargoes, etc No year Injury claims assigned No year Vocational rehabilitation No year
.
70, 306. 74 12, 423. 15 83. 52
70, 306. 74 12, 423. 15 83. 52
82, 813. 41
82, 813. 41
Total special funds, Veterans' AP. ministration
TRUST FUNDS VETERANS
ADIIIINISTRATION
Adjusted-service certificate fund» No year Canal Zone retirement and disability No year fund Civil Service retirement and disability fund» No year General Post Fund, National Homes, Veterans' Administration No year Horatio Ward Fund, National Homes, Veterans' Administration No year Funds due incompetent beneSciaries, Veterans' Administration No year Unclaimed moneys of former patients, Veterans' Administration hospitals No year Unclaimed moneys of individuals whose whereabouts are unknown (Veterans' Administration) No year U. S. Government life insurance fund No year Special deposit accounts
Total trust funds, Veterans'
27, 662. 65
14, 325. 31
2, 834. 39
5, 793, 971. 61
I' 5, 691, 394. 09
7, 601, 748. 76
130, 240. 17
560, 930. 88
» 541, 952. 54
544, 786. 93
33, 303. 65
341& 504. 95
797, 070. 70
1, 230& 240. 25
263, 399. 16
625, 272. 85
40, 249, 903. 64
» 39, 716, 232. 10
136, 511. 72
57, 185. 93
234, 834. 28
19, 195. 40
64, 463. 47
352, 150. 60
11,917. 86
3, 221. 12
l. 25
702. 75
2, 585. 85
568. 47
1, 338, 02
1, 661, 631. 42
45, 652. 52
45, 652. 52
1, 615, 978. 90
2, 424. 09
17. 95
17. 95
8, 946. 96
221. 95 71, 095& 648. 26
69, 640, 909. 81
70, 344, 294. 13 1, 713, 291. 60
1, 269. 97
6, 540. 82
2, 549. 54 887, 236. 66
2, 842& 852. 04 2, 230, 110. 12
40,
fsj
2, 771. 49 2, 341, 975. 11
2, 139, 467. 72 516, 818. 52
Ad-
ministration Summary, Veterans' Administration: General fund Special funds Trust funds
Total GENERAttAL
3, 140, 594. 92
1, 339, 495. 83
8, 902, 071. 37
119, 599, 567. 38
115, 656, 057. 16
120, 658, 346. 16
682, 187. 54 82, 813. 41 1, 339, 495, 83
12, 662, 503. 02
1, 276, 465, 314. 00
900, 622, 605. 62
902, 680, 707. 83
8, 902, 071. 37
119, 599, 567. 38
115, 656, 057. 16
120, 658, 346. 16
20, 104, 496. 78
21, 564, 574. 39
1, 396, 064, 881. 38
1, 016, 278, 662. 78
1, 023, 339, 053. 99
18&
1, 179, 242. 23
1, 179& 242. 23
6, 188, 954. 25
6, 188, 954. 25
3, 966, 211. 98
3, 966, 211. 98
5, 283, 006. 05
3, 899, 782. 37
383 190 487 46 82, 813. 41 5, 283, 006. 05
10 604 400 81
388, 556, 306. 92
14, 504, 183, 18
3, 899, 782. 37
FUND
WAR FINANCE CORPORATION
Subscriptions to capital stock, War FiNo year nance Corporation Special deposit accounts
10, 000. 00 126, 387. 44
8, 999. 96
10, 000. 00 135, 317. 40
136, 387. 44
8, 999. 96
145, 317. 40
Total general fund, War Finance Corporation tl See note 17. &I See also accouttt, state&i on p. 111 for espenditnres Treasury.
under
appropri&ttiott
front the geueral
fund of the
Since Iufy 1 1932 &leductlons fronl salartes credited to the Clvll Service Foreign Service Zone retirement funds and the earnings from investments of such funds and of the adjusted-service corti fjggtc fund have been classified as receipts, whereas prior to that date such items were used to offset ezpendIture, or the respective funds.
0
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropri ation was~ Inade
]SISCELLANEOUS
in excess of expenditures
are printed in iyafici
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations On books of Treasury
GENERAL PVND
to appropriations
Expenditures in 1933 (See p. 6)
Funds available in 1933
for which
—
I c]88 Continued
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
d]sbursrng of]lcers
Available
—Continued
COIIAIISSIONS&
BOARDS& ETC.
Investigation of enforcement of prohibibition and other laws Mount Rushmore National Memorial Commission
1931 1933 1932
$20, 460. 31
$20, 460. 31
a $90, 677. 58 » 88, 877. 88
65, 677. 58
.
$51, 051. 00
$51, 051. 00
51, 051. 00
51, 051. 00
$39, 626. 58 C5
M I
National security and defense Nitrate plants, plan for disposition
No year No year
»
.05
5, 000. 00
$2, 970. 57
447. 48
995. 98
447. 53
264. 37
888. 81
35. 76
22, 201. 32
888. 8]
35. 76
$1, 527. 11
Protection of interests of United States in leases on oil lands in former naval re1930-32 1928-32
serves
], 076. 89 2], 972. 71
1, 078. 89
Protection of interests of the United States in matters affecting oil lands on former naval reserves
.
5, 000. 00 6, 000. 00
1933 1932-33 1932 1931-32
4, 957. 88 5, 961. 66
56. 74 S. 29
689. 39 5, 961. 64 56. 74 8. 29
10, 919. 54
6, 716. 06
62, 826. 17
50, 122. 45
5. 45
$36. 67 38. 34
4, 268. 49
. 02
I
Public Buildings Commission Relief, protection, and transportation of American citizens in Europe George Washington Bicentennial Commission I. George Washington Bicentennial Commission (transfer to Department of the Interior, Geological Survey, act May 21, 1920) George Rogers Commission
8, 441. 04
No year
No year
176, 529. 14
No year
74, 188. 91
No year
414. 90
200, 000. 00
» 242. 59 250, 000. 00 400, 000. 00
237, 371. 21 1. 68
4, 264. 44
$2, 343. 08
115, 785. 70
21&
144. 76
176, 529. 14
Clark Sesquicentennial 1933-34 1933 1931-32 192S-31
180, 000. 00
86, 159. 30
200, 458. 06
150, 007. 64
414. 90
172. 31
303, 010. 86 236, 960. 35 1.68
269, 737. 19 311, 687. 94 1. 68
639, 972. 89
581, 426. 81
8, 600. 37
65, 130. 48
50, 450. 42
1, 522. 19 112.55
250, 000. 00 95 466. 95 298. 31
83, 273. 67 11,431. 71
m
Chfcago W'orld's Fair Centennial Celebration Chicago WorldS Fair Centennial Celebration (transfers, act Feb. 8, 1932 (47 Stat. , 41))I To Library of Congress To Government Printing Ofhce To National Advisory Committee for Aeronautics To National Capital Park and Planning Commission To Smithsonian Institution To U. S. Shipping Board To Veterans' Administration To Department of Agriculture To Department of Commerce To Department of the Interior To Departlnent of Justice To Department of Labor To Navy Department = To Post Office Department To Department of State To Treasury Department To War Department (Panama To War Department Canal)
» 510, 459. Bo
less-ss
1933-34 1933-34
2, 671.87
370, 000. 00
600, 00 5, 000. 00
2, 500. 00
168. IS 850. 13
1933-34
» 10, 800. 00
10, 800. 00
5, 670. 11
1933-34 1933-34 1933—34 1933-34 1933-34 1933-34 1933-34 1933-34 1933-34 1933-34 1933-34 1933-34 1933-34 1933-34
7, 000. 00 12, 500. 00 7, 000. 00 » 4, 500. 00 ss 101, 750. 00 ss 86, 790. 20 ss 54, 100. 00 ss 7, 500. 00 ss 24, OOO. OO ss 47, 500. 00 ls 15, 000. 00 » 10, 000. 00 I' 30, 000. 00 ss 64, 000. 00
6, 542. 07
5, 757. 20 6, 078. 89 659. 19 1, 067. 45 60, 291. 68 37, 948. 13
ss ss
»
»
1933-34
Bay Colony TerNo year centenary Commission U. S. Yorktown Sesquicentennial Com1931-32 mission
8, 500. 00 3, 159. 19 I, 067. 45 66, 146. 50 52, 200. 00 30, 000. 00 7, 500. 00 20, 000. 00 21, 020. 17 5, 000. 00 0, 476. 96 13, 000. 00 4, 013. 33
»
ss
I 500 00
731. 22
G30, 025. 67
506, 422. 42
N, BI*6'2
2, 500. 00
431.82 1, 649. 82 5, 129. 89
457. 93 4, 000. 00 3, 840. 81 3, 432. 65 35, 242. 44 33, 865. 38 24, 100. 00
361. 06
72* 82
19, 376. 14 379. 30 17, 318. 40 21, 020. 17 2, 501. 01 4, 635. 67 11, 489. 21 3, 794. 91
1 Ar0. 00
137, 587. 93
4, 000. 00 26, 087. 77
392. 06
10, 000. 00 3, 523. 04 16, 886. 52 59, 986. 67
113.48
784. 8'7 2, 421. 11 2, 500. 00 5, 854, 87 14, 25L 87 10, 623. 86 7, 120. 70 2, 681. 60
2, 498. 99 1, 841. 29
1, 610. 79 218. 42 768. 78
U. S. Massachusetts
1931
U. S. Yorktown Sesquicentennial Commission (transfers, act May 21, 1920): To Department of the Interior, Na, 1931-32 tional Park Service. 1931-32 To Navy Department 1931-Dec. 31, 1931 War Policies Commission Total general fund, miscellaneous commissions, boards, etc
10, 000, 00
10, 000, 00 sl 2, 539. 15
2, 700. 52 5. 07
2, 389. 15
» 9, 889. 16
150. 00 29, 258. 31
's 160. 00
647, 415. 82
222. 04
222. 04
222. 04
222. 04
5, 017. 63
1. 26 29, 258. 31
97, 657. 72
2, 071, 000. 00
1, 495, 212. 92
1, 347, 171.21
54, 723. 69
19, 037. 85
2, 343. 08
I, 147, 098. 28
246, 699. 43
TRUST FUNDS MISCELLANEOUS
COMMISSIONS, BOARDS, ETC.
Unclaimed moneys of individuals whose whereabouts are unknown (Relief of No year American citizens in Europe)
Total, miscellaneous hoards, etc
3, 71G. 28
3, 716. 28
commissions, 651, 132. 10
97, 657. 72
2, 071, 000. 00
1, 495, 212. 92
Commission", under the Dis-
7 See also appropriation for "Expenses, George Washington Bicentennial trict of Columbia, p 332. from 1932 account, act June 30, 1932 (47 Stat. 463) . ss Includes $65, 677.58 transferred » See note 21. Transferred from "National security and defense, Department of State", act July I 1918 (40 Sl t 635)
1, 347, 171.21
"Debit balance. Exclusive of $489
54, 723. 69
1'9, 037. 86
2, 343. 08
1, 150, 814. 56
540 20 transferred act Feb 8 1932 (47 Stat 41) to the sund Transferred from "Chicago World's Fair Centenmal 1933-34.» See note 25 » Returned from same objects under the Departments ofCelebration, the Interior and Navy. Sce note 28 » Returned to same object above. See note 27. ss
246, 699. 43
Receipts and expenCitures, I Debit
transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (See p, 6)
Funds available in 1933
are printed in italic]
Amount carried to surplus fund (see p. '7)
Unexpended
balances June 30, 1933
Fiscal year forwhich appropriation was made
Unexpended balances June 30, 1932
On books of the Treasury
Appropriations On books of
Treasury
To credrt of dts-
Warrants-Issued basis
Checks-issued basis
Act June 30, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursin officers
Available
GENERAL FUND NATIONAL
INDVSTRIAL RECOVERY
(Act June 16, 1933, 48 Stat. 195) National Industrial Recovery National Industrial Recovery, National Recovery Administration National Industrial Recovery, Federal emergency administration of public works National Industrial Recovery, Navy allotment National Industrial Recovery, highway funds (Agriculture allotment)
Total general fund, National
1933-35
»$2 621 870 000 00
1933-35
I" 30, 000. 00
» 1933-35 1933-35
»
100, 000. 00
$2, 621, 870, 000. 00
$30, 000. 00
$5, 721. 42
$24, 278. 58
100, 000. 00
2, 949. 15
97, 050. 85
238, 000, 000, 00
238, 000, 000. 00
400, 000, 000. 00
400, 000, 000. 00
In-
» 3, 260, 000,000. 00
dustrial Recovery
130, 000. 00
8, 670. 57
3, 259, 870, 000. 00
121, 329. 43
EMERGENCY CONSERVATION WORK
[Unemployment
Relief Act (reforestation)]
t3
(Act Mar, 31, 1933, 4II Stat. 22, 23) No year Emergency conservation fund Emergency conservation fund (transfer to War Department, act Mar. 31, 1933) No year fund conservation (War Emergency transfer to Department of the Interior, No year Indian Service, act Mar. 31, 1933)
(u) u 100, 875, 200. 00
14, 239, 529. 61
14, 239, 529. 61
I, 000, 000. 00
855, 864. 40
8, 931. 62
101, 875, 200. 00
15, 095, 394. 01
14, 248, 461. 23
18, 983. 86
250, 000. 00 150, 000. 00
222, 602. 87
217, 260. 34
6, 193. 59
400, 000. 00
222, 602. 87
217, 260. 34
6, 193. 59
II
$18, 983. 86
86, 616, 686. 53
144, 135. 60
846, 932. 78
86, 760, 822. 13
846, 982. 78
$13, 398. 16
7, 805. 38 150, 000. 00
5, 342. 53
13, 398. 16
157, 805. 38
5, 342. 53
Total general fund, emergency conservation furnl FEDERAL HOME LOAN BANK BOARD
(Act June 13, 1933, 48 Stat. 128) Administrative expenses Savings and loan promotion
1933 No year
Tots) general fund, Federal Home Loan Bank Board
SPECIAL FUNDS YEDERAL HOME LOAN BANK BOARD
Salaries snd expenses
Total, Federal Home Loan Bank Board
No year
2, 891. 83
402, 891. 83
2, 891.83
222, 602. 87
217, 260. 34
6, 193. 59
13, 398. 16
160, 697. 21
GET(TER~ PULI) NATIONxi. BANKING BNBBGBNCP ACT
(Act Mar. 9, 1933, 48 Stat. 7) Expenses, national banking emergency, act Mar. 9, 1933 No year Expenses, national banking emergency, act Mar. 9, 1933 (transfer to Oflice of Comptroller of the Currency) No year
» 1, 000, 000. 00 II 1, 000, 000. 00
Total general fund, expenses, national banking emergency, act Mar. 9, 1933 Total, Independent
Offices
Summary of independent General fund Special funds Trust funds
offices:
.
$129, 329, 918. 17
Total
25, MG. 00
4, 481. 40
20, 618. 60
9. 59
974, 990. 41
9. 69
1, 674, 990. 41
89, 507. 03
231, 011.57
2, 000, 000. 00
3Z5, 000. 00
235, 49Z. 97
$58, 786, 801. 11 » 4, 952, 26T, 314. 78
1, 129, 704, 189. 10
1, 140, 015, 582. 91
$4, 898, 996. 81
S, 129, 838. 26
4, 282, 302. 28
3, 934, 581, 906. 50
48, 475, 407. 30
122, 757, 094. 95 4, 214, 690. 07 2, 358) 233. 15
26, 203, 234. 63 23, 359, 165. 11 9, 224, 401. 37
4 827) 625) 326 21 5) 033) 433 05 119, 608, 555. 52
1) 008 322 652 33 5 711) 742 52 115, 669, 794. 25
1) 012) 763) 325 03 6) 741 483 26 120, 510, 774. 62
4, 898, 996. 81
8, 129, 838. 26
4, 282, 302. 28
3, 924, 74S, 631. 48 3, 536, 280. 60 6, 296, 994. 42
21, 762, 561. 93 22, 329, 424. 37 4, 383, 421. 00
129, 329, 918. 17
58, 786, 801. 11
4, 952, 267, 314. 78
1, 129, 704, 189. 10
1, 140, 015, 582. 91
4, 898, 996. 81
8, 129, 838. 26
4, 282, 302. 28
3, 984, 581, 906. 50
48, 475, 407. 30
GENERAL FUND IBJ
DEPARTMENT OF AGRICULTURE
d
OFFICE OF THE SECRETARP
Salaries, ofI(ce of Secretary of Agriculture
Miscellaneous Agriculture.
.
mechanical Department
.
11, 249. 46 1, 482. 57
157 90
708, 611.57 596. 61
51, 218. 70
698, 375. 64 564. 99
36, 543. 81
25, 172. 92 11, 842. 37
10, 235. 93
11.33
8, 000. 66
0
1, 482. 57 708, 018. 66
698, 940. 63
14. 00
14. 00
99, 173. 52 8, 50L 76 6. 88
91, 172. 86 51) FSE 46 6. 68
90, 664. 88
39, 883. 52
141, 939. 05 7, 258. G4
135, 707. 29 15, 344. 90
713. 27 16. 16
713. 27 16. 16
]49, 895. 83
151) 750. 33
1923
14. 00
shops and of Agricul1933 1932 1931
expenses,
8211 547. 00
Department
Increase of compensation, of Agriculture ' Compensation, power plant, ture
g 1933 1932 1931
Department
125, 000. 00
674. 50 164. 23
'
42, 780. 70
15, 459. 81
10, 355. 34
9, 176. 26
171. 11
of
1933 1932
1931-32 1931
190, 000. 00 72, 614. 34 6. 56 19) 839. 83
8, 086. 26
1930
» Fxclusive of $678130000 transferred, act June 1G, 1933 (48 Stat, 200, 201, 20k nml 510), and Executive Order No. 6174 of June 16, 1933, to accounts as follows: $30, 000 National industrial Recovery, National Recovery Administration 100, 000 Nntional Industrial Recovery, Federal Emergency Administration of Public Works 238, 000, 000 National Industrial Recovery, Navy allotmeut 400, 000, 000 (Agriculture allotment) Nat. ional lmlustrial Recovery, highwayfunds 40, 000, 000 Agricultural marketing revolving fund, Farm Credit Administration (p. 9S) » Transferred from National Industrial Recovery, 1933-35. See note 29. » Exclusive of $40, 000, 000 stated under' Farm Credit Administration, p. 98. » This account was credited with $101,875, 200 transferred, act Mar. 31, 1933 (48 Stat. 23, sec. 4), from accounts as follows: $92, 875, 200 Fmergency construction of public buildings, act July 21, 1932 (Treasury) 9, 000, 000 Maintenance and improvement of existing river and harbor works
.
..
48, 060. 95 65, 355. 70 (i. 56
6, 231. 76
19, 126. 56 15. 13
» Transfers to the amount of $101,875, 200 were made to "Emergency conservation fund (transfer to Wnr, act Mar. 31, 1933)", of which $1,000, 000 was allotted to the Indian Service by the War Department umlcr "Emergency conservation fund (transfer from War to Interior, Indians, act Mar. 31, 1933). » See note 33. » Exclusivo of $1,000, 000 transferred to same object under the Comptroller of the Currency, act Mnr. (4, 1933 (48 Stat. 7, sec. 501). II See note 35. » Includes $2, 069,353.44 repay warrants covered direct to appropriations. I For indefinite account see p. 133, I Debit balance, reimbursable from sundry Agricultural appropriations during fiscal year tv'.
"
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year made
Unexpended
to appropriations
are printed in itaBc]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (See p. 6)
Funds available in 1933
for which op propriation was
—
1988 Continued
balances Appropriations
Treasury
To credit of dis-
WVarrants-issued
basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
GENERAL FUND
dIsbursrng oQicers
Available
p. 7)
—Continued
GFPICE GP THE SECBETARY
—continued
General expenses, Office of Farm Management
Rent of buildings,
balances June 30, 1933
On books of the Treasury
June 30, 1932
On bool-s of
Unexpended
Department
1921
85. 00
33. 00
65, 115.32 8, 074. 92
63, 771. 29 16, 004. 78
of Agri-
culture
1933 1932 1931
1930-31
$7, 929. 86
$70, 000. 00 9, 100. 00
$4, 884. 68 1, 025. 08
$1, 344. 03
756. 44 4, 667. 24
$756. 44 4, 667. 24
"d
In 73, 190. 24
79, 776. 07
358, 083. 41 9& 112. 18
351, 815. 84 10& 982. 34
OPFICE OF INFORMATION
Salaries and expenses
Printing and binding, Agriculture
1933 1932 1931
Department
410, 800. 00
11,964. 38
1, 870. 16
$24, 370. 87
$8, 457. 83
19, 887. 89 2, 852. 20
6, 267, 57
438, 000. 07 13, 000. 00
14, 512. 03
1, 884. 67 536. 03
3, 02? 61
'ti
926. 63
926. 63 367, 195. 59
362, 798. 18
486, 999. 93 210, 400. 00
472, 487. 90
697, 399. 93
764, 136. 07
98, 866. 77 5, 160. 97 110. 08
95, 844. 16 6, 932. 89 110.08
104, 137, 82
102, 887. 13
225, 431. 10 2, 413. 67
216&
of 1933 1932
925 000. 00 223, 400. 00
81, 248. 17
291, 648. 17
IISRARY, DEPARTMENT OF AGRICULTURE
Salaries and expenses
1933 1932 1931
106, 100. 00
5, 697. 00 355. 46
1, 771. 92
4, 944. 72
403. 84
12, 573. 10
20, 110.10
245. 38
OFFICE OF EXPEBIMENT STATIONS
Salaries and expenses
Payment
1933 1932 1931
294, 294. 00
32, 124. 71 16, 874. 05
to States snd Territories for
agricultural
experiment Stations
Payment to States, HswsB, snd Alaska for agricultural experiment stations
4, 374, 000. 00
1933
1932
5, 442. 48
408. 35
136. 77 7, 8M. 15
5. 41
5. 41
227, 850. 18
223, 998. 33
4, 358, 915. 17
4, 358, 915. 17
I, 1?9.70 29, 711.04
16, 868. 64
16, 084. 83
408. 36
9, 294. 33
Gn
EXTENSION SERVICE
Salaries and expenses
Cooperative agriculturalextension Cooperative farm forestry
1933 1932 1931 Certffied claims
work
.
1933 1933 1932 1931
1, 616, 320. 00
199, 788. 21 32, S26. 55
1, 359, 322. 29 121, 424. 29 9. 81
1, 351, 517. 56
17. 59
17. 59
1, 480, 754. 36
1, 473, 218. 57
60, 444. 47 4, 837. 21
55, 619. 69 5, 005. 29
17. 59
40, T62. 46
10, 046. 01
1.TS
K8, 169.'26
7, 804. Tl
78, 86S. 92
121, 685. 12 32, 336. 36
(') 69, S50. 00
168. OS
12, 000. 00 4, 917. 17
3, 922. 08 4&
65, 2S1. 68
60, 624. 98
3, 314, 429. 88 364, 925. 91 24, 581. 53 66. 88
3, 290, 489. 60 375, 878. 66 29, 486. 69 66. 88
fm. 99 11.61
161.99
108. 64
108. 64
6, 488. 45 7, 162. 79
4, 824. 78
917. 17
WEATHER BUREAU
Salaries and expenses
1933 1932 1931-32 1931 1930 1929 Certified claims
4, 164, 038. 00
731, 376. 73 25, 000. 00 XO, 555. 05
10, 952. 65 4, 955. 16
108. 64
3, 695, 726. 01,
4, 600. 00
6, 735, 35. 26 1, 210, 609. 98 439, 89 17, 654. 46
G79. 72
6. $8 679. 72
6, 687, 530. 32 1, 276, 816. 58 945. 77 17, 683. 30 6 23
108, 638. 58
573, 723. 65 366, 450. 82 468. 47
23, 940. 28
242, 373. 38
27, 873. 46
2, 677, 758. 90 1, 359, 348. 63
47, 826. 94
200, 618. 93
161.99 11.61
11. 61
3, 703, 758. 48
167, 245. 89
.
BUREAU OF ANr~fAL rNDUSTRT
Salaries and expenses
1933 1932 1931-32 1931 1930 Certified claims
Salaries snd expenses, Bureau of Animal Industry, emergency construction Eradication of foot-and-mouth and other contagious diseases of animals
r
2, 569, 958. 61
506. 80 532, 091. 77
1931
5. 49
1924-33 1924-32
1, 409, 074. 23
9, 683, 362. 00
66, 206. 60 505. 88 28. 84
14, 343. 61
4
5. 23
6?9. 72
7, 964, 735. 08
7, 983, 650. 46
Go, 512. 35 14, 843. 61
54 013 53
46, 168. 74
54, 013. 53
6, 064. 98 1, 940. 19
5, 836, 25
I 1, 403, 598. 43 r 1, 668, /jf 7. 84
G6. 91
509, 837. 31
H
791. 62
2i 500. 00
I, 339, 794. 46
6, 498. 82
Eradication
of European fowl pest and similar diseases in poultry
1933 1932 1931 1924-30 1929
r
10, 000. 00
1, 940. 19
4, 000. 00
s
3, 297. 69 s 3, 009. 41 s
421. 87
3, 613. 15 5, 940. 19
3, 297. 69 3, 009. 41 3, 512. 31
3, 512. 31 4, 124. 79
5I
836. 25
Meat inspection, Bureau of Animal Indury
(»)
1933
Annual appropriation of $4, 072, 000 included with permanent annual account, p. 132. r Includes $4, 600 transferred from 1931 account, act July 7, 1932 (47 Stat. 619, 631) . Transferred to 1933 account. See note 4. o Includes $1,413,417.84 transferred from 1924-32 account, act July 7, 1932 (47 Stat. 620), and excludes $9, 819.41 transferred under decision of Comptroller General dated Aug. 15, 1932 A-44081 to accounts as follows: $3, 297. 69 Hradicarion of European fowl pest and similar diseases in poultry, 1931 3, 009. 41 Eradication of European fowl pest and similar diseases in poultry, 1924-30 in 1929 poultry, 3, 512, 31 Eradication of European fowl pest and similar diseases s rr
—
.
' Of this amount $1,413,417.84 was transferred to 1924-33 account and $10,000 to "Eradication of Eurnpnnrr fowl pest and similar diseases in poultry, 1933, act July 7, 1932 (47 Stat. 620). rr Transferred from "Eradication of foot-snd-mouth and other contagious diseases of animals, 1921-3. ", act July 7, 1932 (47 Stat. G20) . Transferred from "Eradication of foot-snd-mouth snd other contagious diseases of animals, 1924 3:r, act July 7, 1932 (47 Stat. 620) . » Annual appropriation of $2, 604, 860 included with permanent annual account, p. 133.
"
rr
" "
g
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year appropriation was made
GENERAL FUND
to appropriations
—Continued are printed in ffclic]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
IM8
Unexpended balances June 30, 1932
To credit of dis-
Treasury
bursing officers
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reser ve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
BUREAU OF DAIRY INDUSTRY
Salaries and expenses.
1933 1932 1931
Salaries snd expenses, Bureau of Dairy Industry, emergency construction Dairy and livestock experiment station, Tennessee Fieldststion, Woodward, Okla
$717, 448. 00 $86, 982. 40 6, 413. 22
$5, 686. 17
$589, 216. 37 34, 090. 61 369. 85
$586, 440. 54 39, 776. 78 369. 85
623, 676. 83
626, 587. 17
$32, 734. 87
$9, 594. 45
$85, 902. 31 52, 891. 79
$2, 775. 83
247, 399. 71 102, 18
19, 468. 34
500, 139, 35 1, 899. 76 407, 164. 66 14, 647 61
24, 862. 48 2, 710. 86
531, 426. 23
56, 471. 41
90, 846. 87
1, 750. 00
$6, 043. 37
1931
60. 36
60. 36
1931 1931
127. 63 19. 88
127. 63 19. 88
BUREAU OF PLANT INDUSTRY
Salaries and expenses
1933 1932-33
4, 930, 874. 00
1932
» 16 000 00
1931-32 1931 1930-31
" 15, 000. 00
874, 257. 13 15, 209. 55 165, 987. 98 4, 176. 94
31, 387. 56 I) 169. 17 . 33
» 15. 13
1930
10. 58
Cer tified claims.
Salaries and expenses, Bureau of Plant Industry, emergency construction Maintenance, national srboretnm
1931 1931
4, 163, 866. 59 12, 998. 06 452, 092. 47 56L 94 2, 349. 98
4, 139, 004. 11 10, 287. 20 483, 480. 03
15. 13 10. 58
15. 13 10. 58
4, 631, 894. 75
4, 636, 878. 47
I, 73L 11 2 350. 31
163, 638. 00 4, 176. 94
1, 802. 15 29, 504. 55
I, 802. 15 29, 504. 55
FOREST SERVICE
100, 000. 00 II 11, 541, 764, 00
1933-34 1933
Salaries and expenses
1932
1931-32 1931 1930
610, 044, 03 39, 473. 43 21, 527. 03
848, 167. 06
51, 223. 16 8, 980. 23
1928
Certified claims
Salaries snd expenses, Forest Service, emergency construction (act July 21, 1932)
1933
17. 57
"4, 950, 000. 00
10, 418, 235. 53 178, 771. 23 35, 543. 92 9, 466. 41 6, figf. f4 654. 66 17. 57
9, 862, 362. 93 1, 014, 168. 04
10, 616, 526. 07
10, 956, 253. 67
4, 259, 469. 82
4, 063, 487. 19
86, 767. 08 486. Je 6, 9ef. 14 664. 66 17. 57
100, 000, 00 535, 630. 83 431, 272. 80 3, 929. 51
556, 872. 60 12, 770. 25
597, 933.81
195, 982. 63
30, 993. 44 5, 921. 14 654. 63
Salaries and expenses, Forest Service, emergency construction. 1931 General expenses CertiBed claims Aogufsitfon of lands for protectioa wstersheds of navigable streams
17. 50
11.58 17. 50
11.58
39, 563. 18 166, 191.99 612, 403. 44 34 57. 94
78, 388. 57 160, 275. 19 618, 914. 36
818, 100. 43
857, 515. 18
69, 939. 73 15, 033. 25
68, 010. 96 28, 741. 98
No year
426, 241. 81
55, 212, 73
I, 109, 781.45
6, 510. 92
1.49
.
. 24
57. 84
11, 040. 62
I, 500. 00
1933 1932 1931
79, 960. 00 15, 731. 53 2, 201. 84
13, 708. 73
Forest Service insect iafeststions. emergency construction Insect infestations, Forest Service Improvement of Oregon Caves, Forest Service Forest-Qre cooperation
Laboratory,
285. 55
IB, 392. 34 5, 916.80
9, 734. 72
I, 928. 77
698. 28 2, 201. 84
96, 752. 94
1931 1930-31
I, 210. 05
I, 210. 05
366. 71
366. 71
1930-31 1933 1932 1931
43). 00
I, 611, 580. 00 173, 090. 70 I, 165. 22
386, B78. 63 21, 267. 39 497, 378. 01
1.73 57. 94
of forest plant-
84, 972. 98
Forest Products Wis
I, 451. 40
17. 50
of 1933 1932 1931 1930
Cooperative distribution ing stock
I, 4S2. 98
I, 543, 638. 95
I, 539, 213. 07
112, 938. 91 I. 88
120, 067. 14
I, 656, 575. 87
I, 659, 278. 22
194, 722, 96
233, 565. 96
7, 128. 23
I. 99
7, 838. 91
80, 102. 14 60, 151.79
2, 241. 15
35. 89
4, 425. 88
I, 167. 21
Madison, No year
197, 000. 00
39, 791. 09
l
948. 09
SPECIAL FUNDS
pD
FOREST SERVICE
Cooperative work, Forest Service Payments to States and Territories from the national forests fund Payments to school funds, Arizona and New Mexico, national forests fuad Roads and trails for States, national forests fuad
No year
528, 866. 76
2, 344, 402. 42
113, 632. 82
)4
No year
No year
304, 625. 14
86, 055. 90
257, 213. 25 43, 482. 59
4, 509. 34
2, 118, 502. 56
568, 256. 51
568, 256. 51
568, 256. 51
20, 435. 01
707, 535. 43
140 429 00
334, 744. 66
Gl, 746. 01
208, 382. 96
5, OGG. 34
21, 221. 30
21, 221. 30
21, 221. 30
)I 227, 302. 60
190, 956. 34
215, 266. 23
6, 226. 74
I, 825, 080. 00
I, 520, 015. 76 83. 275. 25
I, 514, 949. 42
89, 782. 31
I~
No year
2, 145, 298. 74
eENERAL FUND RUREAU OF CHEMISTRY AND SOILS
Salaries and expenses, Bureau of Chemistry aud Soils.
u Transferred
1933 1932 1931
108. 44)
87, 784. 59 f08. 49
I, 603, 184. 52
I, 602, 627. 52
from 1932 account, sct July 7, 1932 (47 Stat. 635, 645).
See note 11. u Reestablished from the surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec, 5), )) Includes $50, 000 transferred from "Salaries and expenses, Forest Service, eraergency construction July 21, 1932)" act June 30, 1932 (47 Stat. 411). II Exclusive of $50, 000 transferred to "Salaries and expenses, Forest Service, 1933. See note 14.
» Transferred to 1932-33 account.
"
(act
6, 898. 97
173, 938. 00 43, 589. 08
)4 The necessity for basing the amounts credited to this fund on collections reported by the l&eparlumnl of Agriculture for the preceding year, instead of upon covering warrants for the current year, is duc to Ilia fact that an accurate division of receipts cannot be made until the amounts belongiug to the school funds of Arizona and New Mexico have been determined by the Department of Agriculture.
—
f 088 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury Appropriations
On books of Treasury
GENERAL PUND
in excess of expenditures
Expenditures in 1933 (see p, 6)
Funds available in 1933
for which
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
'
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
p.
Available
disbursing officers
7)
—Continued
BUREAU Or ENTOEOLOOY
Salaries and expenses
1933 1932 1931 1930-31 Certided claims
1927-31 1927-28
European corn-borer control
Prevention borer
u $2 526 700 00 $640, 693. 85 172, 144. 96 248. 29
$1, 988, 320. 02 219, 498. 22 316. 71
$1, 982, 961.87 224, 877. 70 319. 83
11. 34
11.34
2, 208, 146. 29
2, 208, 170. 74
8, 000. 00
6, 000. 00
8, 000. 00
8, 000. 00
4. 95
4. 95
4. 95
1, 326, 599. 00
1, 131, 863. 58
1, 120, 469. 71 118, 918. 94 357. 70
1.00
109, 294. 92 357. 70 . 68 1, 00
$5, 379. 48 3. 12
11.34
$117, 887. 79
$20, 861. 53
$399, 630. 66 421, 195. 63
$5, 358. 15
58, 984. 31
4, 184. 00
131, 567. 11 77, 168. 23
11, 393. 87 59. 44
329. 07
1, 564. 83
$171, 828. 25 248. 29
6, 265. 47
6, 265, 47
of spread of European corn Certified claims
3, 000. 00
BUREAU OV EIOLOQICAL SURVEY
Salaries snd expenses
.
1933 1932 1931 1930 Certified claims
186, 463. 15 11, 803. 32
9, 683. 46
Salaries snd expenses, Bureau of Biological Survey, emergency construction
1931
7, 454. 99
Bear River Migratory Bird Refuge
1933 1932
2, 400. 00
610. 05
3, 462. 13
779. 71
1931-33 1931-32 1931
Cheyenne Refuge
Bottoms
Migratory
Migratory bird conservation refuges
32, 100, 00
, 2, 058. 73
1933
1932-33 1932
88, 053. 09
. 63
1, 241, 516. 57
1, 239, 746. 72
30, 00
80. 00
30, 926. 85 2, 388. 66 4, 123. 63 684. 88
29, 362. 02 2, 998. ?1 3, 334. 27
7, 484. 99
844. 08
11.34 22 96
789. 26
205, 424. 33
3, 811.62
3, 609. 04 39, 678. 29 1, 100. 00
I, 406. 15
9L 35 1, 679. 54
II 217, 613. 95
216, 037. 09
11, 445. 62
1. 00
1, 679. 64
Bird 1932-33 1932
Is 4, 146, 49 II 4, 148. 48
. 68
I, 002. 13
"817,618. 96
318, 000. 00 u 39, 678. 29 E eu, ere. $8
36, 754. 68
85, 790. 35
11, 637. 85 1, 576. 86
7, 826. 23 481. 87
10, 060. 99
8, 808. 10
307, 975. 57
306, 569. 42
47, 274. 80
48, 276. 93
355, 250. 37
354, 846. 35
551. 77
4, 115.39
2, 300. 00
g
74ffgratory
Bird Conservation
sion-
Gommis-
» 3, 725. 60 a 5, 756. 80
1932-33 1932
1931
3, 000. 00 4, 253. 40
725. 60
1, 000. CC 756. 80
274. 40
Mslheur Lsf4e Bird Refuge, Oregon
1931-33
Enforcement of the Alssfrs game law
No year
Upper Mississippi Ref uge-
No year
River
05
1982
1931
Cooperative construction of rural post roads No year Federal-sid highway system, advances to States, emergency construction No year Federal-aid highway svstem, advances to States, emergency construction (act July 21, 1932) No year Highways within national forests, einergency construction (act July 21, 1932) 1933 Highways within national forests, emergency construction 1931 highways,
110, 391.25
7, 517. 73
6, 780. 10 1, 435. 32
544. 62
2, 643. 68
3, 513.97
87. 80
271, 39
25L 67
91, 409. 31 41, 910.97 4, 337. 18
1, 655. 66 1, 851.69
51, 359. 28 1, 682. 34 2, 442. 92
2, 03L 69 2, S77. 60
. 68
96, 896. 35 39, 533. 3? 4, 881. 80 65
137, 656. 94
141, 311.00
$4. 77 7. 14
188. 18 7. 14
17. 85
195. 32
106, 713, 148. 84
103, 60'!, 866. 94
4, 878. 68
4, 878. 68
164, 480. 80
120, 000, 000. 00
62, 817, 061. 89
62, 131, 961. 24
57, 182, 938. 11
685, 100. 65
5, 000, 000. 00
3, 309, 590. 13
3, 093, 494. 20
1, 676, 268. 65
216, 095. 93
12, 422. 22
18, 044. 95
913, 726. 72 o4, 454. 8$
871, 815. 06 t I, 565. ?5
859, 292. 10
860, 459. 33
955, 148. 08
901, 432. 26
34, 033. 00 45, 445. 00
1, 435. 84
163, 440. 00 13, 621. 19
19, 507, 502. 24
212. 95
143, 994. 19
135, 000, 000. 00
159, 501. 2S
163, 464. 77
13, 614, 05
127, 509. 79
5, 748. 52
3, 249, 27B. 09
47, 661, 095. 09
g
t4
4xf
15, 177. 04
5, 622. 73
978, B78. 60
43, 078. 89
12, 307. 89
1, 833. 33
dl
2, 754. 82
emergency con-
1931-33 1931-32
Public-land highways, emergency struction (act July 21, 1932)
44
1, 021, 757. 49
» 1, 08t, 767. 48
1, 593. 63
106, 437. 14 11, 355. 73
24. 56
1 044 827 36
41, 911.66
con1933
2, 000, 000. 00
Flood relief, Alabama, for restoration of roads and bridges 44 1930-33 1930-32
Flood relief, Georgia and South Carolina, for restoration of roads and bridges 44
1931-33 1931-32
)
53, 715. 82 ~
44
1, 163, 632. 87
14, 156. 14
1, 177, 789. 01
17. 42
t, t?7, 788. 0t
14, t68. I4
44
139, 755, 99
15, 197. 76
154, 953. 75
» f64, 865. 76
i
17.42
14, t58. 78
17. 42
52, 368. 81 t6, t87. 78
52, 368. 81
171.05
52, 368. 81
3'7,
» Includes $55, 000 transferred from "Salaries and expenses, Plant Quarantine and Control A dministration, 1930-31, act July?, 1932 (47 Stat. 619, 631), » Transferred from 1931-32 account, act July 7, 1932 (47 Stat. 633). ir Transferred to 1931-33 account. See note 18. » Transferred from 1932 account, sct July 7, 1932 (47 Stat. 634). » Transferred to 1932-33 account. » Transferred from 1933 account.
"
.
PVRLIC Rohna
Salaries snd expenses»
Public-lands struction
1, 121.96
Wild-Life 1933 1932 1931
BVRRhu
3, 002. 87
. 93
1, 177, 770. GG
16. 85
102, 568. 09
» Provided for in fiscal year 1933 under "Cooperative construction of rural post roads. "Transferred from 1931-32 account, act July 7, 1932 (47 Stat. 635, 645).
» Transferred to 1931-33 account. See note 24. 44 For additional flood reliefs see "Agriculture", p. 128, snd "War ", D. 325. » Transferied from 1930-32 account, act July 7, 1932 (47 Stat. 635, 645). 44 Transferred to 1930-33 account. See note 27.
"
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
To credit of dis-
Warrants-issued basis
,
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
oF PUBLIc RoADs
—continued
Flood relief, Vermont, New Hampshire, and Kentucky, for restoration of roads snd bridges Is Flood relief, Missouri, Mississippi, Louisiana, and Arkansas, for restoration of roads and bridges s Flood relief, Florida, for restoration of roads and bridges N Forest roads and trails
.
Mount Vernon Memorial Highway
BUREAU OF AGRICULTURAL
No year
$1, 222, 242. 51
No year
1, 043, 297. 09
$1r 471 65
No year No year
4, 254. 17 799, 036. 52
320, 524. 28
No year 1931-32
385, 521. 48 21. 72
34, 265. 39 5. 46
1933 1932
BUREAU OF AGRICULTURAL
$267, 528. 92
$954, 713. 59
117, 956. 66
119, 428. 31
925, 340. 43
1, 243. 65 6, 693, 869. 95
1, 243. 65 6, 636, 227. 12
243, 532. 82 21. 72
277, 421. 93 27. 18
243, 554. 54
27'1, 449. 11
442, 137. 33 53, 684. 22
440, 638. 52 55, 447. 21
495, 821. 55
496, 085. 73
4, 232, 681. 93 207, 561. 47
4, 200, 303. 88
$153, 560. 98
$11, 602. 90
432. 10
txt
3, 010. 52 4, 845, 002. 69
$378, 167. 11
141, 556. 56
376. 28
0
518, 690. 00
98, 843. 00
1, 762. 99
23, 173. 18
2, 400. 00
50, 979. 49 45, 158. 78
1, 498. 81
246i 789. 70
49, 839. 61
598, 979. 76 563, 946. 17 70, 794. 19
32, 378. 05
ECONONICS
1933 1932
Salaries and expenses
1931-32 1931 Certified claims
Salaries and expenses (transfer to Department of Commerce, Bureau of Census, act Msy 21, 1920)
Salaries snd expenses, Wool Division, Bureau of Agricultural Economics
United
$10, 905, 000. 00
$267, 528. 92
ENGINEERING
Salaries and expenses
Administration of the Warehouse Act
are printed in italic]
On books of the Treasury
Appropriations
Treasury
BUREAU
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriations was made
—
1988 Continued
5, 128, 291. 00
771, 507. 64 60, 271. 11 127, 053. 97
5. 08
3, 000. 00 2, 500. 00 6, 081. 38
261, 329. 46
10, 683. 08 172. 16 5. 08
177. 01 5. 08
4, 429, 897. 56
4, 461, 815. 43
$126, 881. 81
. 10
. 10
1932
1933 1932 1931
53, 767. 99 10, 523. 08 4. 85
222. 67
2, 296. 20 256. 51
. 10 1, 788. 05 479. 18
140. 11
563. 69 2, 243. 49
6, 081. 38
2, 552. 71
2, 267. 23
243, 949. 99 24, 001. 25
242, 804. 56 25, 091. 71
1SS. 99
I SS. 87
267, 752. 25
26'1, 704. 00
States 1933 1932 1931
313, 020. 00 54, 211.91 24, 787. 86
1, 090. 46 6. 72
13, 333. 82 24, 986. 84
2, 246, 05
58, 490. 14 30, 210. 66
1, 145, 43
cD
Ignforcement of standard oontatner, hamper, and produce agency acts
Enforcement of Perishable Commodities Act sn
1933 1932 1931
15, 000. 00 3, 248. 92
28, 116.71 I, 115. 70
859. 47
I, 595. Se
27, 111.64 I, 975. 17
14, 087. 4$ 13, 884. 30
1, 005. 07
3, 248. 92 29, 232. 41
29, 086. 81
13. 30
13. 30
694, 207. 09 59, 329. 78 20. 86
676, 035. 36 67, 659. 34 20. 86
753, 557. 73
743, 715. 56
255, 907. 90 9, 728. 88 41 542. 95
252, 732. 56 12, 368. 34 5, 810. 41
Agricultural
Enforcement of the United States Grain Stsndnrds Act
'
Enforcement of the United States Cotton Futures Act an'd United States Cotton Standards Act
1931
2, 276. 09
1933 1932 1931
100, 078. 80 10, 390. 35
1933 1932
1931-32 1931
&ix
833, 370. 00 8, 329. 56
289, 060. 00
19, 561. 17 18, 000. 00 3, 948. 42
2, 639. 46 1, 267. 46
1931
8, 696. 01
1933 1932 1931
14, 060. 20 5, 231. 34
44, 548. 80
I, 509. 43
93, 104. 68 40, 749. 02
18, 171.7$
14, 658. 57
952. 00
17, 541. 53 9, 832. 29 13, 457. 05
3, 175. 34
1, 888, 30
3, 750. 00
3, 871. 13 9, 128. 66
I, 148. 09
10, 369. 49
3, 948. 42 270, 179. 73
Operation of Center Market, Wtxshing~ ton, D. C
2, 262. 79
270, 911.31
8, 696. 01
!
SPECIE.L FUNDS BUREAU OP AGRICULTURAL
Establishing
wool standards
ECONOISICS
.
stt
1, 195. 53
39 300 00 6; 788. 66
29, 790. 57 868. 81 61
28, 642. 4S 358. 72
28, 953. 45
29, 000. 89
28, 736. 50 54, 172. 23
29, 130. 28 66, 104. 21
188& 918. 16
1. 13
186, 909. 43 27, 402. 38 1. 13
215, 062. 87
214, 312. 94
2, 112, 257. 63
2, 090, 998. 89
ss
n 6, 861. 86
. 5f
t3
0 sxj
Expenses, Cotton Standards Act Classification of cotton, revolving fund
No year No year
148, 661. 89 315, 391. 77
6, 091. 31 13, 089. 90
35, 728. 73 2, 459. 16
1, 258. 80
36, 957. 74
197. 92
156, 685. 21 254, 012. 58
5, 697. 53 1, 157. 92
2, 841. 90
29, 206, 40 9, 585. 15
2, 008. 73
10, 980. 80
242, 781. 02
21, 258, 74
7, 206. 96
GENERAL FUND BUREAU OP EOXIE ECONOtsIICS
Salaries and expenses
1933 1932 1931
233, 365. 00
26, 143. 58
12, 398. 54
g
2, 458. 03
BUREAU OP PLANT QUARANTINE
Salaries and expenses, Quarantine.
.
Bureau of Plant 1933
2, 490, 125. 00
124, 105. 55 ~
Salaries snd expenses, Plant Quararitine and Control Administration
1932
1931-32 1931
1930-32 1930-31 1929-30 Certified claims ,
I
647, 482, 30 10, 000. 00 306, 184. 66 42, 132. 73 510, 968. 28
29, 323. 70
267, 345. 38
5, 749. 92
6, 749. 98 287. 83 1, 888. 46 379. 93 196. 68 36. 69
1, 968. 02
I' 66, OOO.
OO
36. 69
260, 838. 10 ss
I~
639) .
For additional fiood reliefs see "Agriculture", p, 127, and "War", pp. 325, lucluden $5, 768.35 transferred from 1932 account and $5, 231.65 from 1931 account, act July 7, 1932 (47
Stat.
296, 669. 08
287. 83
305, 896. 83
701. 57 379. 93 tw. 58 36. 69
455, 588. 35 195. 36
380, 136. 92 15, 749. 92
43, 399. 18
297, 879. 74
n Trans erred to 1933 account. See note 29. st Transferred to "salaries and expenses, Bureau of Entomology, 1933", act July 7, 1932 (47 stttt, 6t tt, 631).
M
cD
—
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
or
sre printed in fistic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
BUREAU
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
1888 Continued
To credit of. dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
PLhNT QUARsNTINR~ontinued
Compensation for losses, nonproduction of cotton, 1930 crop year ENFoRGEMENT
oI&
1931
THE GRslN FUTURRs
Enforcement of the Grain Futures Act
$41, 287. 78
$2, 269. 88
$2, 269. 88
162, 883. 37 10, 624. 65
161, 060. 63 12, 995. 97
Acr 1933 1932 1931
$218, 838. 00
38, 490. 44 5, 938. 09
f2, 371. 32
Salaries snd expenses, Administration
$10, 206. 77
$9, 000. 00
$36, 747. 86 27, 865. 79
$1, 822. 74
90, 465. 79
16, 923. 20
135, 277. 97 111,66L 37
3, 472. 92
98, 000, 000. 00
483, 318 56
5, 938. 09
173, 508. 02
FooD sND DRUG
$39, 017. 90
174, 056. 60
ADMINIsTRATICN
Food snd Drug 1933 1932 1931
1, 716, 167. 00 209, 836. 96 15, 444. 06
14, 395. 55
1, 473, 500. 04 98, 168. 59 121.40 1, 571, 790. 03
Salaries and expenses, Food, Drug, snd Insecticide Administration 1929 Certiffed claims
AGRIOUI TURsL ADIUSTMRNT
I&
470, 027. 12 112, 564. 14 121.40
1, 582, 712. 66
.57
.57 8. 84
15, 322. 66
57
8. 84
8. 84
8. 27
8. 84
16, 6SI. 44
ADMINISTBATIGN
(Act Msy 12, 1933, 48 Stat. 38) Salaries and expenses, Agricultural Adjustment Administration Salaries snd expenses, Agricultural Adjustment Administration (transfer to Internal Revenue, administrative expenses) Advances to Agricultural Adjustment Administration (indefinite) Advances to Agricultural Adjustment (transfer to Internal Administration Revenue, refunding processing taxes)
No year
» 98, 500, 000. 00
500, 000. 00
No year
» 1, 500, 000. 00
10, 000. 00
1, 490, 000. 00
No year
No year
» 500, 000. 00
500, 000. 00
ffg
»rsc&xxLs»so&re
Claims for damages, sct Dec. 28, 1922 Department of Agriculture No year
Dsfrying and soil improvement, ment station, South Carolina
Experiments and demonstrations stock production
3, 17(L 55
2, 868. 48
2, pffft 48
8. OO
8. OO
6. 25
6. 25
3. 35
3. 35
39, 678. 62 1, 968. 58
36, 696. 44 2, 097. 44
expeH-
1931 1930 Certified claims
2, 072. 28
2, 072. 28
in live1933 1932 1931
41, 325. 00 2, 100. 96 1, 203. 88
128. 86
Investigations of cotton ginning Collections of 1931 snd prior seed grain loans loans
1931
13, 011. 00 5, 077. 57
83. 30
83. 30
400, 239. 94
400, 239. 94
1, 272. 73 150. 00
» 18, 766. 08 » 6, 496. 08
744. 08
528. 71 866. 61 4. OO
416. 6l
4. OO
.
5, 410, 463. 10
Loans to farmers in storm-, flood-, and drought-stricken areas
..
1930-31
140, ] 61. 68
141, 666. 66
o 60, 181. 70
60, 181.70
60, 181. 70
61, 250. 55
77, 423. 86
658, 988. 32
5, 592. 22
» 666, 66f. 89
156. 43
6, 048. 65
485. 08
" 1, 965. 29 2. 00
1, 150. 60
u 6 888 177 50
» Exclusive of $1,500, 000 transferred to same object under the Treasury Department, sct Msy 12, 1933 (47 Stat. 38, sec. 12 (c)). » See note 32.
Internal Revenue,
1' Appropriation of $500, 000 transferred to same object under the Treasury Department, Internal Revenue, act Msy 12, 1933 (48 Stat. 38, sec. 12 (c)). » See note 34. x& Transferred from "Loans to farmers in drought- and storm-stricken areas, emergency relief, 1931-32", sct July 7, 1932 (47 Stat. 643), exclusive of $78,459.97 transferred to "Salaries and expenses, Farm Credit Admin1933", instration, p. 97, under Executive Order 6084 of Mar. 27, 1933. f Transferred to Farm Credit Administration, p. 98, under same appropriation account title, Executive of Msr. 27, 1933 6084 Order » The appropriation of $20, 000, 000 for this object was nrade in the Department of the Interior act of Feb. 14, 1931 (46 Stat. 1160). » This account was credited with $1,533,337.09 proceeds of farm-loan securities as repay warrants direcf; to appropriation and charged with $1,636, 175.29 transferred to Farm Credit Administration, p. 98, under same aju&roj&rial ion account title, by Fxecufive Order 6084 of Mar. 27, 1933, «Un&ier acf of July 7, 1932 (47 Stat. 643). o This accounr, was credited with $10,000, 000 transferred from "Loans to farmers in drought- and stormarricken areas, emergency relief, 1931-32", act July 7, 1932 (47 Stat. &&83) and charged with $9,939,818.30 trans-
171. 00
4. 00 20. 20 33
l, 486. 67 «5
» I&, 636. JO
"JO, 470, 364. 16
3, 862, 119.32
2, 120. 00
2, 982. 18
259. 20
16, \73. 31
.
19, 180. 09
19, 88 132, 38
.
17, 8]2& 751. 99
Loans to farmers in storm- and flood1929-30 stricken areas, Southeastern States Certiped claims
2,
80 60
20. 20 33
l, 184. 05' Agricultural credits snd rehabilitation, 1931-32 emergency relief » Loans to Agricultural Credit CorporaNo year tions, revolving fund Loans to farmers in drought- and storm1931-32 stricken areas, emergency relief Loans to farmers in storm- and drought1931-32 stricken areas, Sout'heastern States
510. 00
38, 793. 88
» 421, 540. 03
2, 254. 30
1933 1932 1931 1930 1928 1925
1, 116.50 1, 203. 88
41, 647. 20
Collection of seed-grain
2. 90
549 211 55
«7, 281, 147. 28
1, 965. 29
2. 00 2. 00
487. 08
67. 98
1, 092. 62
ferred to "Loans to agricultural credit corporations, revolving fund, Farm Credit Admi&&isfrr&fjon" p 98 by Executive Order 6084 of Msr. 27, 1933. '1 This account was credited with $565, 354.45 proceeds of farm-loan securities ss repay wsrra t appropriation and charged with $11,035,708.61 transferred act July 7, 1932 (47 Stat. 643), snd Executjve O~der 6084 of Mar. 27, 1933, to accounts as follows: Loans to Agricultural credit corporations, revolving fund (Agriculture) $10 ppp gg rx) Collections of 1931 and prior seed grain loans, 1933 (Agriculture) '5pp'Ppp +& Loans to farmers in drought- snd storm-stricken areas emergency relief, 1&& ji-32 (Fajjri Credit Administration, p. 98) 535, &08. cf &f This account was credited with $41,216.97 proceeds of farm-loan securifics as rej»ry warranfs &ijrecf fo appropriation and charged with', l700, 048.86 transferred to Farm f'redir A&lrninisrrafion, l&. Qf&, rrl&&lcr appropriation account by Executive Order 6084 of Mar. 27, 1933, Proceeds of farm-loan securities credited ss repay warrants &jircct to appro[&rjo f jon f& This account was credited with $12,595.88 proceeds of fern&-loan securities ss rej&ay w«rr, »&r . ,1;. cj fo appropriation and charged with f3,874, 773. 18 transfer» i to I"arm ('radii Adn&jr&jsfrafj&&r& 1& &J&I rr'1&&/gr le by ExecufJve Order 6084 of Mar 27 1
.
"
.
—
J988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation wss made
Unexpended
balances June 30, 1933
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued
Fourth World's Poultry Congress, England «1929-31 Nitrate plants, Department of Agriculture No year Buildings, Government Island, Calif 1931-33
.
1931-$2
Memorial to Theodore Roosevelt Soil-erosion investigations
Judgments, United States courts, Department of Agriculture Judgments, Court of Claims, Department of Agriculture. Working fund, Department of Agriculture Payment to: Charles Lsmkin Joseph K. Munhsll Relief of: W. A. Blankenship. George Cook Great Falls Meat Co Ben M. Joslin A.. W.. Lee Wilbur Linn Jack Msrrs Charles Palmer Rio Grande Southern R.R. Co --Delbert H. Shsfier Walter L. Shriner P. A. Worden Clarence G. Young
.
.
Permanent snd fndeflnite: Cooperative agricultural
work.
Amount carried to surplus fund (see p. 7)
On books of the Treasury
Appropriations
Treasury
suscELLANEous
are printed in Relic]
Unexpended balances June 30, 1932
On books of
GENERA. L FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
$1, 815. 60
$1, 815. 60
661, 250, 00
1930-31 1933
688. 72
1932
69, 060. 10
$13, 928. 96
«$675, 178. 96 «675, 178. 98
$616, 641. 84 1&, 666. 16
$595, 6SD. 80 637. 19
602, 075. 69
595, 052. 61
261, 501.79 25, 824. 58
256, 539. 56 30, 775. 33
287, 326. 37
287, 314, 89
4, 950. 75
8, 649. 05
8, 649. 05
8, 649. 05
No year
33, 440. 79
7, 733. 64
7, 733. 64
889, 387. 61
460, 675. 98
66. Do
116.26
66. 00 116.25
35D. 00 15D. 00
350. 00 150. 00
45. 00 100. 00 35. 00 50. 00 100. 00
21. 00 50. 00
45. 00 100. 00 35. 00 50. 00 100. DD 34. 40 90. 00 115.00 21. 00 50. 00
8, 608, 683. 98 1, 368. 0$
8, 608, 683, 98 1, see. o4
No year No year No year
66. 00 116.25
No No No No No No No No No No No No No
350. 00 150. 00 50. 00 45. 00 100. 00 35. 00 50. 00 100. 00 34. 40
90. 00 115.00 21. 00 50. 00
extension 1933 1932 1931
«8, 728, O96. DO 26, 445. 98 39, 046. 84
$1, 961. 85
$20, 952. 04
637. 19
c5
72
289, 160. 00
No year
year year year year year year year year year year year year year
$20, 632. 48 56, 575. 27
20' 632. 48
34 40 90. 00 115.00
10, 011.63
8, 607, 325. 94
15, 889. 31 43, 235. 52
4, 962. 23
d
25, 707. 15 12, 664. 76
4, 405. 77
372, 316. 98
119, 412. 02 27, 804. 02 39, 046. 84
8, 607, 325. 94
$1, 757. 27
41, 288. 47
«1922 1921 1920
24. 67
1919
7. 00
of compensation. ment of Agriculture
Jrepart-
Meat inspection, Bureau of Animal Industry Certised
ational Forest Reservation ioission-
1933 1932 1931 claims
" 5, 604, 860. 00 54, 832. 92
8, 020. 37
4, 677, 365. 03 442, 427. 25
4, 569, 580. 64 450, 447. 62
68. 45
4. 00
83. &)5 4. 00
5, 019& 727. 83
5, 019, 968. 81
451. 36 Tk 65
451. 36
71, 878. 52
4. 00
370, 574. 54
393, 683. 11 102, 405. 67
263, 237. 32
7, 7s4. a9
71, 946. 97
Com1933 1932 1931
475. 00
79. 54 24, 309. 32
23. 64 79. 54 m, ao9. 32
Refund to depositors, excess of deposits, national forests fund No year Refunding moneys erroneously re. ceived and covered (Agriculture) No year Special deposit accounts
.
21, 650. 77
56, 36T. 48
55&
20. 00
371. 82
451. 36
367, 48
69, 339. 88
7, 678. 8'f
20. 00
20. 00 47, 726. 51
12 661 85
SPECIAL FUNDS hIISCELLhNEGCS
Special deposit accounts.
Total, Department
574, 070. 31
of Agriculture
71, 010, 431. 19
3, 049, 607. 59
69, 693, 594. 09 1, 31B,887, 10
2, 255, 471. 82 220, 065. 46
235, 196. 39
338, 873. 92
441, 697, 59B.94
259, 285, 753. 33
255, 474, 526. 83
15, 305, 988. 43
3, 092, 089. 10
739, 615. 77
234&
284, 581. 50
6, 860, 834. 09
438, 471, 156. 37 3, 226, 440. 57
256, 248, 158. 26 3, 037, 595. 07
252, 191, 848. 46
15, 305, 988. 48
3, M6, 134. 17 35, 954. 93
735, 865. 77 3, T50. 00
232, 8 18, 603. 83 I, 465, 977. 67
6, 311, 781. 62 210, 178. 55 338, 873. 92
n 441, 697, 596. 94
259, 285, 753. 33
255, 474, 526. 83
15, 305, 988. 43
3, 092, 089. 10
739, 615. 77
234, 284, 581. 50
6, 860, 834. 09
' 338, 600. 00
300, 00(t 00 1, Jfe. 83
299, 777. 14 735. 22
22, 108. 84
4, ?04. 42
11, 786. 74 4, 853. 63
222. 86
9, 62T. 74
12, 816.61
&I
O
Summarv of Department of Agriculture: General fund Special funds Special funds (special deposit accounts)
574, 070. 31
Total
71, 010, 431. 19
3, 049, 607. 59
3, 440. 00 3, 918.94
2, 148. 85
3, 047, 481. 98 235, 196. 39
QENERkL FUND DEPARTMENT OF COMMERCE OFFICE OF THE SECEETAEY
1933 1932
Salaries
1931
expenses, Contingent Commerce
Department
3, 918. 94
&i
300, 512. 36
772. 26 8, 094. 33 14, 036, 86 142. 20 7. 80 f. 80
187, 955. 65 21, 577. 99 16, 402 98 142. 20 7. $0 1. 80
9. 04
9. 04
223, 045. 69
226, 078, 86
of
1933 1932 1931-32 1931 1930 1929 CertiQed claims
i 210, 400. 00
75, 262. 55 38, 862. 08 14, 314. 83
~
13, 483. 66 2, 366. 12
for this object for 193%81 rinder "Department of State", p. 244. Transferred from 1931-32 account, act July 7, 1932 (47 Stat. 635, 645). 1931-33 account. See note 47. «Transferred to « Includes annual appropriation of $4, 072, 000. '& See aiso annual account, p. 121. &r Includes annual appropriation of $2, 604, 860.
«See also appropriation
298, 586. 37
10. 00
200&
67, 168. 22 24, 825, 22
14, 172. 63 7. 20 1. 80 96
.
&i Includes $2, 154,469, 68, proceeds of farm-loan securities credited as repaywarrants direct to i Includes $3, 600 transferred from "Contingent expenses, Departmeut a(& propriation. of Comrrrcr~ce, I!&XI', iir«i q Ixxi from "Air-navigation facilities, 1933", act June 30 1932 (47 Stat. 411), ' Exclusiveof$3 600transferredto "Salaries 06lceofSecretary of('ommerce 1933" and q &I '&(i(i I» industries, DePartmen iof Commerce, 1933", act June 30, 1932 (47 Stat 41r) &&&,
—Continued
Receipts and expenChtttres, [Debit transfer appropriations
(net) and repayments
If)88
to appropriations
in excess of expenditures
Expenditures
in 1933 (see p. 6)
Funds available in 1933
sre printed in italfc]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year forwhich appropri stion was made
Unexpended balances June 30, 1932
On hooks of the Treasury
Appropriations On books of
Treasury
To credit of dis-
Wsrrantsdssued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savrngs
disbursing officers
Available
(see p. 7)
GENERAL FUND
—Continued
oPPIcg or THE sEcRETARY
Printing and binding, Commerce
—continued
Department
of
I $528, 000. 00
1933 1932
1931
Salaries and expenses, Federal Employment Stabilization Board
.
1933 1931-32
$255, 706. 53 33, 369. 74
$31, 785. 83
75, 000. 00
20, 000. 33
4, 839. 97
$300, 297. 03 251, 51k 69 S. 55
$278, 556. 81 283, 297. 52 8. 55
551, 817. 27
561, 862. SS
65, 000. 00 3, 817. 22
61, 814. 91
68, 817. 22
70, 472. 10
1, 142, 266. 55
1, 158, 926. 20
$227, 702. 97 4, 194. 84
$21, 740. 22
$594. 00
5, 341. 59 16, 183. 11
3, 185. 09
5, 298. 42
371, 684. 06
37, 964. 78
$33, 361. 19
$4, 064. 41
8, 657. 19
Total general fund, Office of Secretary
444, 875. 00
54, 624. 43
1, 152, 010. 00
51, 462. 72
26, 173. 25
SPECIAL FUND OPPICE OP THE SECRETARY
Expenses of sales of Swedish iron ore Philippine Special Fund, tonnage tax
No year No year
324. 46 10, 807. 40
29, 314. 08
324. 46 40, 121.48
11, 131.86
29, 314. 08
40, 445. 94
Total special funds, Oflice of the Secretary
456, 006. 86
Total, Office of Secretary
54, 624. 43
1, 158, 926. 20
1, 181, 324. 08
1, 142, 266. 55
I I, 144, 000. 00
999, 969. 14 12, 549. 37 63. 49
975, 679. 00 89, 457. 02 63. 49
3. 75
3. 75
I, 012, 585. 75
1, 065, 203. 26
116, 197. 50
76, M5. 99
51, 462. 72
26, 173. 25
5, 298. 42
412, 130.00
37, 964. 78
48, 848. 91
417. 53
94, 764. 42 107, 165. 80
24, 290. 14
GENERAL FUND RADIO DIVISION
Enforcement laws. I
of wireless communication AIRCRAFT IN COMMERCE I
1933 1932 1931 1930-31
Aircraft in commerce
Certified claims.
Air-navigation fscifities, Emergency Construction (act July 21, 1932).
1933
119, 715. 17 9, 621, 25 158. 42
76, 907. 65
3. 75
600, 000. 00
9, 557. 76 158. 42
201. 07
383, 601. 43
40, 63I, 51
Air-asvigarion
faciiitfes
1933 1932 1931
1930-31 1930
~
2, 604, 998. 62 292, 810. 27 92, 826. 72
397, 856. 66 1, 536. 75
7, 145, 50(X 00 r 4, 965. 34
5, 823, 772. 96 2, 045, 941. 36 136, 019. 72 44, 455. 19 NO. SS
1.SS
N 18.N 1.ES
51, 399. 60
51, 399. 60
8, 101,048. 45
Sr18Zr322 52
7, 651. 41
11, 057. 23
7, 651. 41
11, 057. 23
8, 840, 903. 35
9, 237, 483. 11
9, 339, 149. 00
( 252, 500. 00
229, 996. 62 1, 045. SS
222, 931. 19
1929 1928
Certified claims.
Air-navigation facilities (transfers, act Msy 21, 1920)i To Department, of Agriculture, Weather Bureau
Total general Commerce. BUREAU
or
fund,
Aircraft
10, 007. 95 4, 985. 34
3, 405. 82 z
18.N
1.23
2, 356. N
4, 985. S4
in
3, 135, 123. 74
479, 70(i( 28
1, 000. 00 1, 160. 34
1, 111.91
220, 403. 98
225, 888. 20
49, 117.33
2, 243, 134. 47
378, 040. 39
4, 997. 95 2, 045. 26
7, 065. 48
EGBEIGN AND Do)ggsx(c co)gx(ERGE
Salaries
1933 1932 1931
Allowaace for quarters, merce Service
Compiliag partment
1932 1931
51, 399. 60
I
161, 775. 89 48, 371. 53 520. 63
NO.
18. N
1, 096, 189.O2 559, 057. 26
176, 83K 22
5, 559, 52L 92 2, 395, 316.49 137, 162. 70 44, 455. 19
Foreign
foreign i, rade statistics, of Commerce
16, 997. 93
66. 65
1, 160. 34 228, 951. 36
222, 997. 84
118, 639. 43 8, SSS. 38 877. 50
114, 679. 02 2, 546. 67 394. 3Z
116, 627. 60
117, 620. 06
270, 000. 00 8, SSO. 47
257, 346. 92 4, 843. 58
jzS
Com1933 1932 1931
s) 154, 000. 00
25, 637. 49 20, 866. 69
4, 936. 00
770. 56
34, 590. 01 28, 026. 82
20, 489. 19
3, 960. 41
«16. 87
88
12, 653. 08
h
De1933 1932 19M
» 292, 000. 00 2, 070. 20 7& 573. 21
7, 694. 05
the following 1933 accounts: Salariezl Bureau of Foreign snd Domestic Commerce Promoting commerce in Latin America Compiling foreign trade statistics () Fxclusive of $408, 000 transferred under act of June 30, 1932 (47 stat. 411), to the following 1933 Department of Commerce accounts: 150, 000 Aircraft in commerce Salaries, office of Secretary of Commerce Promoting commercei n Latin America 7, 500 Promotmg commerce in the Far East 3, 500 Promoting coinmerce in Africa. 23, 000 Promoting commerce in Europe nad other areas 1, 650 Export industries 2, 400 District nnd cooperative oifice service 38, 700 Salaries, Steamboat Inspection Service Transportation of fnmihes and effects of officers and employees, Bureau of Foreign and Do12, 150 mestic Commerce 21, 300 C(erk hire, Steamboat Inspection Service Bureau of Standards— 40, 000 Salaries 900 Improvement sad care of grounds: 1, 050 machines Testing 3, 030 Investigation of fire-resisting properties 6, 300 Investigation of public-utility standards 2, 620 Testing miscellaneous materials 520 2, research Itadio 1, 630 Color standardization 240 2, products of clay Investigation
56. 00
3, 970. 91 4, 920. 67
7, 5?3. 21 267, 149. 53
to "District and cooperative oflice service, Department of Commerce, z Exclusive of $72, 000 transferred 1933", act June 30, 1932 (47 Stat. 411). under IndePendent Offi~ P. 102 act J~y 20 1932 (47 Stat 417) and and stated (Account transferred Executive order of July 20, 1932, f om Aircraft in Commcrce, 1933, sad excludes $6.000 transferred to 5 Includes $150,000 transferred
17, 973. 09
26'-',
190. 50
Bureau of Standards
—
Continued, Standardizing mechanical appliances $3, 830 Investigation of optical glass 980 Investigation of textiles, etc 3, 100 Sugar staadardization 820 1, Gage standardization '3, 000 Testing railroad and mine scales, etc 980 2, High-temperature investigations 900 Metallurgical research 1, 750 Sound investigation 1, 200 Industrial research 15, 000 Standardization of equipment 10, 000 Standard materials 1, 200 Investigation of radioactive substances nnd X-rays 3, 600 Utilization of waste products from the land 080 3, Investigation of automotive engines 2, 850 Iavestigation of dental materials 750 Hydraulic laboratory research 4, 270 ' Returned from same object under Department of Agriculture. ( Returned to same object under Department of Commerce. (See note 7. (( Includes $2, 500 transferred from "Aircraft in commerce, 1933", act June )30, Ig32 (47 Stat, 411), «Exclusive of $21,000 transferred act June 30, 1932 (47 Stat. 411), to the ' following ow g 1933 D epartment t t off Coi» merce accounts: Domestic commerce $13, GO(I Compiling foreign trade statistics » Debit balance. 8, O(ln » Includes $22, 000 transferred act June 30, 1932 (47 Stat. 411), from the ~ 0 following ow I', Pnrtlllcil(, 1933 ilg D; I. t of Colll1 merce accounts: Aircrsft in commerce $n()0 Transportation of families and effects of officers snd eiaployees ri ((XI Allowance for quarters, foreign commerce service ((, 0(l(l Pay, etc. , of offlcers aad men, vessels, coast survey I, n(NI Miscellaneous expenses, Bureau of Fisheries l), 00(l
.
0
g
Receipts and expenChtures, [Debit transfer appropriations
(net) and repayments
—
1088 Continued
to appropriations
Expenditures in'1933 (see p. 6)
Funds available in 1933
are printed in itattc]
in excess of expenditures
Ainount carried to surplus fund (see p. 7)
I:nexpended balances June 30, 1933
Fiscal year forxvhich
appropriation wss made
Unexpended balances June 30, 1932
Appropriations On books of
Treasury
GENERAL PUND
On books of the Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
BVBEAV OF FOREIGN AND DOMESTIC Col!IMERCE—
continued
District and cooperative oflice service, Department of Commerce.
Domestic commerce, Commerce
Depsrtinent
1933 1932 1931
» $584, 400. 00 $16, 309. 76 11, 456. 68
$24, 505, 75
$539, 969. 36 IO, 858. 98 18
$515, 874. 56 13, 651. 82 18
529, 115 28
529, 526. 23
320, 000. 00 19, 737. 41 60
308, 308. 53
339, 738. 01
329, 251. 04
14, 548. 38 77. 70
13, 138. 32
.
.
$37, 127. 30
$7, 303. 34 27, 163. 68
$24, 094. 80
23, 965. 52
I, 034. 48 38, 434. 42
11, 691. 47
1, 212 26
I, 239. 36
1, 410. 06
$11, 450. 83
of 1933 1932 1931
li 345, 000. 00
58, 171.83 5, 358. 85
1, 204. 50
.
20, 941. 91
. 60
5, 358. 25
'ti
Enforcement of the Chins trade. Act
Export, industries, merce.
.
Department
1933 1932 1931
17, 000. 00
12, 490. 00 12, 205. 35
600. 08
" 808, 850. 00 27, 790. 75 15, 505. 69
16, 018. 57
i, ists
of foreign trade restrictions
oi foreign buyers
1933 1932 1931
.
1933 1932 1931
14, 626. 08
13, 816. 10
738, 438. 35 9, 890. 4I
717, 150. 23 6, 427. 51 96. 49 8. 89 8. 87 10. 80
98. 49 8. 59
9. 87 7. 20
Certified claims.
tnvestigation
50, 000. 00
99. 00 580. 61
1, 150. 98
H
10.80 7. 20
56, 536. 63
12, 935. 02 37, 381. 16
21, 288. 12 65
3, 667. 87
332. 13 1, 209. 11
1, 570, 93
fa 086. 20
690. 78 1, 316.41
I, 013. 32
.
15, 602, 18 6. 59 2. 87 10. 50
7. 20
728, 738. 69
723, 46S. 49
46, 000. 00 I, 110.11
44, 429. 07 40. 87
580. 61
60, 000. 00
277. 60 991. 65
677. 78
12, 205. 35
of iCom1933 1932 1931 1930 1929 1926
12, 412. 30
613. 73
44, SS9. 89
44, 46a, 94
54, 223. 02
53, 209, 70 498. 08
I, 088. Sf
991.65 53, 184. 21
52, 784. 62
g
Promotfog commerce ln'Africa
i ass 1932 1981
Promoting commerce in the Far East
Prmuoting commerce other areas
in Europe
and
1933 1932 1931 1930
.h
Promoting commerce in Latin America
1983 1932 1931 1930
1933 1932 1931 1930 1929
Transportation of famiTies and effects of officers and employees, Bureau of Foreign and Domestic Commerce
1933 1932 1931 1930
'Total general fund, Bureau of Foreign and Domestic Commerce BUREr(U
Orr
Salaries and expenses Collecting statistics
rr
it 367, 500. 00 17, 602. 73 11, 613. 28
15, 731. 42
«693, 000. 00 54, 220. 22 11,874. 02
11,991. 50 12. 00
t((
8, 899. 24 5, 479. 79
441, M0. 00
350, 945. 48
6. OF
74, 002. 33
73, 559. 64
327, 636. 06 6, of(4. 48
315, 155. 57 10, 812. 83 66. OF
6 44
6. 44
322, 540. 23
325, 696. 99
626, 829. 79 5, 022. 38 81. 77
.84
613, 173. 58 17, 010. OS 93. 7 I . 84
631, 933. 60
630, 277. 09
404, 776. 76
392, 460. 98 3, 000. 86
878. N
IN. 66'
18, 920. 62 7, 051. 02
1N. 87
16, 565. 00 9, 775. 92 34. 10 188. 37
25, 814. 17
26, 183. 45
4, 206, 007. 20
3, 762, 507. 53
3, 745, 410. 01
862, 125: 00 4. 00
800, 045. 28 4. 00
i! 106, 000. 00 » 85', 000. 00
84. 10
111, 157. 42
1, 48E95
393, 568. 02
2, 790. 15
4, 7S4. 92
3, 137.79 6. 86L Si
2, 4Hk 75
21, 609. 18
17, 50(L 26 22, 627. 15
1'2,
49, 912. 50
16, 257. 71 49, 197. 84
13, 656. 21 3. 80
5, 94LSO 26, 5S5. 63
12, 315. 78 141.47
32, 829. 38 7, 332. 30
2, 355. 62 65. 25
1, 177. 49
385, 196. 55
» 51, 750. 00 14; 383. 32 1, 780. 14
74, 743. 20
6. OF
f7, 686. N 1, 4N. 85 878. M 1N. 66
20, 828. 72
1, 890. 16
48L 49 94. 17
11, 679. 25 5. 44
11, 792. 25
.34 30, 448. 94
382. 50
6, 962. 74 278. 22 132. 65
0
1, 804. 24 133.37
8 110, 118.23
270, 062. 90
6, 043. 84
408, 222. 18
128, 254. 94
72(!, 060. 58 4. 00
19, 557. 58
5, 788. 27
36. (33. 87
73, 984. 70
60, 000. 00
56, 529. 49
2, 292, 311.65
2, 394, 317. 93 4, 375. 04 10. 82
1, 456. 12 120, 427. 26
155. 00
44, 543. SS 5, 834. 03 1, 559. 53 1, 616. 85
31 470. 51 34, 207. 83 765. 06
CENSUS
1933
Certi8ed claims
Expenses of the Fifteenth
77, 168. 96 6, 14m 66
88, 500. OO
3, 662. 96 1, 884. 09
Census
Jan. 1, 1933-June 30, 1933 1932-Dec. 31, 1932 1931-Dec. 31, 1932 1930-32 1929-32
Total general fund, Bureau of Ccn. us.
2, 504, 727. 94 18, 313. 59 5, 849. 55 743. 97
2, 529, 635. 05
136, 214. 11 3, 386. 04 777. 92
'
!
»16
1, 754. 06
000. 00 "-' 6, 000. 00
767. 60
i43. 97
i
140, 378. 07
862, 129. 00
» Includes $74, 400 transferred act June 30, 1932 (47 Stat. 411), from 1933 accounts as follows:
Printing and binding, Department of Commerce Air-navigation facilities ir Includes $45, 000 transferred, act June 30, 1932 (47 Stat. 411), from 1933 accounts as follows: Allowance for quarters, foreign commerce service Pay, etc. , of oQicers and inca, vessels, coast survey » Includes $43, 850 transferred, act June 30, 1932 (47 Stat. 411), from 1933 accounts as follows: Air-navigation facilities Contingent expenses, Department of Commerce Party expenses, Coast and Geodetic Survey ii Includes $3, 500 transferred from "Air-naviga(ion facilities, 1933", act June 30, 1932 (47 Stat. 411).
2, 353, 298. 41,
2, 455, 233. 08
3, 153, 347. 69
3, 181, 297. 66
$72, 000 2, 400
$13, 000 32, 000
$1, 650 24, 200
18, 000
141, 440. 96
5, 943. 27
91, 032. 13
112, 428. 10
» Includes $7, 500 transferred from "Air-navigation facilitios, 1933",ac(, June 30, 1032 (47 Stat. (11). » Includes $23000 transferred from "Airnavigation facilities, 1933, act June 30, 1932 (47 Sttit, . 4( t) . » Includes $10,500 transferred act June 30, 1932 (47 Stat. 411) from 1933 accounts ns follows;
"
Air-navigation facilities I", 800 Aircraft in commerce » Includes $12, 150 transferred from "Air-navigation facilities, 1933", and excludes $ nt(ti) trnusfcrrcd'-', iotl to "Compiling foreign trade statistics, 1933", act June 30, 1932 (47 Stat. 411). » Includes $86, 000 transferred from 1932-Dec. 31, 1932 account; $15,000 from 1931-1&ci 3(, 1!!!)2,n(count; nnrl 1930-32 account, act 000 from July 1932 Stat. $5, (47 1, 502) . » Transferred to Jan. I, 1933-June 30, 1933, account. See note 21.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
in excess of expenditures
I
are printed in ftafie]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasury
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1988 Continued
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
BUREAU Or NAVIGATION AND STER»BOAT INSPECTION»
Salaries, Offfce of Supervising General
Inspector lg33 1932 1931
» $32, 300. 00 $7, 755. 19 71
.
$140. 00
$29, 000. 00 140. 00
$29, 036. 70
$1, 934. 68
$1, 365. 32 7, 895. 19
"$36.70
$0. 71 28, 860. 00
29, 036. 70
774, 942. 01
768, 794. 83
116.88
175. 83
Vl
Salaries, Steamboat Inspection Service
Clerk hire, Steamboat Inspection Service
Contingent expenses, Steamboat Inspection Service
Salaries, Bureau of Navigation
Salaries, shipping service
Admeasurement
of vessels
lg33 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
» 874, 583. OD 26, 216. 93 62, 385. 00
291. 66
44
171, 742. 00
29, 554. 05 26, 332. 76
6, 147. 18
774, 826. 18
768, 970. 66
156, 485. 38 41. 33
152, 718. 85 41. 33
10, 048. 21
I, 059. 00
4, 149. 41 2, 331. 16
3, 766. 53
6, 756. 91 55, 623. 18
9, 181 98
I, 233. 09
I, 399. 06
561. 15
110, 000. 00
11, 535. 87
I' 66, 740. 00
156, 526. 71
152, 760. 18
103, 243. 09 5, 407. 08 1. 10
94, 061. 11 18, 942. 95 1. 10
108, 651. 27
111, 005. 16
61, 000. 00
59, 600. 94
37, 273. 64
4, 038. 91
1st. 25
123. 25
123. 25 888. 58
686. 56
ir 40, 050. 00
60, 876. 75
59, 600. 94
36, 000. 00
35, 805. 76
2, 970. 28
1, 079. 72
1. 13
1. 13 413. 19
413. 19
44
1, 200. 00 307. 37
$17, 142. 76
62, 385. 00
2, 372. 49 561. 15
61, 030. 26 37, 274. 74
52, 944. 18
107. 39
4, 600. 00
38, 000. OD
35, 805. 76
4, 200. 00
4, 139. 70 321. 02
213. 63
271, 66
307. 37 4, 413. 63
41460. 72
128. 34 986. 37
194. 24
'tl
CAl»tf»SSS» expe»st», Shlppl»6 ssrvfce---
ISSS
1932 1931
iClerk hire. shipping service
1933 1932 1931
6, 996. co 174. 93
11, ooa oo
2, SSI . OO I, 307. 32
576. 52
4''%.
I S' ~ l. SA
s, ses. 16 75« 45
HA
2, 376. 07
I, 307. 32
» 99, 310. 00 7, 193.63 3, 703. 06
9, 169. 93
9, 319.60
89, 000. 00 13. 50
13. 50
7, 395. 32
2, 914. 68 7, 180. 13
935. 97
465. 47 2, '251. 12
2, 057. 86
89, 013. 50
Enforcement of navigation laws
1933 1932
1931-32 1981
Load lines on American vessels
Preventing
overcrowding
1933 1932 1931
i' 91, 400. 00 7, 843. 56 500. 00 102. 71
86, 968. 09 5, 592. 44 257. 67
2, 621. 87 '
247. 67
476. 50
3, 489. 94
747. 67 102. 71
19, 440. 00 7, 150. 00 4, 866. 10
84, 910.23 8, 214. 31
1, 785. 78
92, 312. 86
93, 124. 54
17, 500. 00 576. 76
16, 133. 10 1, 209. 06
1, 187. 30
752. 70 7 726 72
1, 366. 90
8. 54
1, 437. 15
4, 866. 10
16, 923. 28
17, 342. 16
14, 000. 00
979. 1 Ji
12, 562. 85 2, 071. 85
13, 020. 86
14, 634. 70
1, 536, 165. 00
1, 390, 594. 97
1, 384, 138. 65
» 685, 000. 00
610, 033. 08 5&0. 28
607, 7(il. 64
of passenger
vessels
1933 1932 1931
15, 000. 00 840. 00 1, 584. 95
3, 050. 99
991. 46
1, 819. 14 1, 584. 95
Total general fund, Bureau of Navigation and Steamboat Inspection
237, 847. 05
20, 481. 00
113, 191.76
85, 355. 30
19& 146). 26
165, 723. 76
261 937. 32
51, 985. 24
1, 230. 00
21, 751. 68 5, 715. 28
2, 281. 44
tsi
BUREAU OF STANDARDS
Salaries
1933 1932 1931
Building for power plant Color standardization
Equipment
5, 225. 00 14, 893. 49
No year
.
14, 893. 49
197. 70
13, 630. 00
1933 1932 1931
1933 1932 1931
490. 28
746. 83
609, 542. 80
607, 751. 64
162. 88
162. 88
12, 570. 27 737. )2
12, 125. 60 9. 71
80, 000. 00
965. 04 1, 214. 83
342. 34
717. 39 737. 12
444. 67
4, 962. 13 5, 072. 42
1, 904. 45
190. 67
190. 67
42&
34. 82
17, 999. 95
11, 833. 15
12, 135. 31
75, 037. 87 37, 892. 62
73, 133. 42 55, 892. 57
112, 930. 49
129, 025. 99
1, 214. 83
« IJebit balance. » The Bureau of Navigation and Steamboat Inspection Service were consolidated in 1 bureau, under act of June 30, 1032 (47 Stat. 415). » Exclusive of $2, 700 transferred act June 30, 1932 (47 Stat. 411) to 1933 accounts as foHows: Salaries, Steamboat Inspection Service Clerk hire, Steamboat Inspection Service sl Includes $40, 958 transferred act June 30, 1932 (47 Stat. 411) from 1933 accounts as follows: $38, 700 Air-navigation facilities 2, 258 Salaries, oflice of Supervising Inspector General, Steamboat Inspection Service » Includes $21, 742 transferred act June 30, 1932 (47 Stat. 411) from 1933 accounts as follows: $21, 300 Air-navigation facilities 442 Salaries, office of Supervising Inspector General, Steamboat Inspection Service
...
» Includes $1,740 transferred from "Enforcement of navigation laws, 1933",act June 30, 193'i (47 St nl . ) I I. -" Includes $1,950 transferred from "Enforcement navigation laws, 1933",aet June 30, 1032 (47 Stat. II I i » Includes $600 transferred from "Enforcement ofofnavigation 1933", laws, aot June 30, 1032 ( l7 Sl nl . 4 I I i. l'I Includes $4310 transferred from "Enforcement of laws, 1933",act June 30, 193'& Ir 8l iit . I I I I » Exclusive of $8, 600 transferred, act June 30, 1932 (47navigation stat. 411) to 1933 accounts ss follows: ( I
Admeasurement of vessels Salaries, Bureau of Navigation. Salaries, shipping service Clerk hire, Steal«boat Inspection Service » Includes $4, 000 trnnsferretl from "Air-navigation » Includes $1 630 irnnsferred from "Air navigation
.
.. .
.
.
si
I,
.
fncililics, IXIII", ;tet Junc 30, 1932 (47 Stol. 413). fncililn s, lt) 33", ;ict June 30, 1932 (47 Stat. , 43 1) .
-,
On IO
I, Osio 4, :IIO
Reeezpts and expenditures, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 l(see p, 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year for which appropriation was made
GENERAL FUND BUREAU
or
srANDARDB
1931-32
&
To credit of dis-
Treasury
bursing ofiicers
investigations
Hydraulic laboratory research
Hydraulic laboratory and care of grounds
$57, 500. 00
1933 1932 1931
1933 1932
n
7, 142. 16
4, 555. 06 393. 64
Warrants-issued basis
6, 928. 32
1, 116.43
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of disbursing officers
Reserve for impounded salary savings (see p. 7)
303. 95
8, 852. 80
1933 1932 1931
400. 00 188. 89
1, 671. 18
n 12, 900. 00 .57. 91
7, 030. 73
59, 522. 35 83. 85 26. 49
53, 154. 08 6, 844. 47 26. 49
59, 464. 99
60, 025. 04
39, 000. 00 1, 060. 64
38, 120. 38 55. 79
477. 65
$6, 368. 27
4, 638. 91
$367. 15
$3, 441. 75
558. 25
879. 62
1, 760. 64
37I 939. 36
38, 176. 17
6, 000. 00 68. 85
5, 912. 46 235. 10
594. 57
305. 43 148. 85
87. 54
5, 931. 15
6, 147. 56
40, 000. 00 12, 491. 99
39, 742. 84 14, 163. 17
1, 973. 42
2, 296. 58 1, 388. 01
257. 16
52, 491. 99
53, 906. 01
8, 749. 90
8, 749. 90
11, 550. 00 389. 53
11, 547. 03
786. 82
563. 18 10. 47
2. 97
11, 939. 53
11, 994. 47
99, 919. 55 613. 60
99, 785. 94 5I 645. 91
10, 846. 17
4, 234. 28 28, 044. 00
133.61
102. 90
447. 44
138. 89
» 28, 557, 60 14, 938, 10
$4, 708. 54
17. 80
u 44, 270. 00 13, 880. 00
$53, 029. 76
1, 567. 11
n 6, 900. 00 80. 00 17. 80
$52, 902. 89
l 1 I. 43
& 43, 000. 00
700. 00 1, 567. 11
1930-31
1933 1932 1931
n $111.43
$126. 87
t1933 1932 1931
=
On books of
1931-32 1933 1932 1931
Gauge standardization
Industrial research
Appropriations
—continued
General expenses
Improvement
On books of the Treasury
—Continued
Facilities for radio research investigation Facilities for radio research investigation 6 (transfer to Department ofAgriculture, Bureau of Animal Industry, act May 21, 1920)
High-temperature
Unexpended balances June 30, 1932
5, 132. 31
115, 000. OO
14, 933. 10
100, 433. 15
105& 431. 85
g
X»vesugeHeo oteutemouvee»gines
1088 1082
1931
«42, 850. 00 4, 700. 00 2, 917. 58
4, 554. 80
38, 937 57
=
of clay products
Investigation
19331932 1931
r' 42, 240. 00
3, 760. 00 I, 024. 83
648. 11
87, 799. 80 5, 492. 50
38, 000. 00 937. B7
702. 1B
4, 147. 84
sfsx 11
3, 822. 33
2, 917. 53
43 292 45 j
36, 815.85 2, 243. 25
37, 000. 00 1, 595. 14
2, 798. 11
2, 441. 89 2, 164. 86
184. 16
771. 02
228. 98 360. 83
16.89
1, 957. 12
1, 072. 98 1, 997. 10
1, 024. 83
39'059'10
38, 595. 14 l
Investigation
of dental materials
«5, 760. 00
1933
1932---------------1931
of Sre-resisting properties
Investigation
Investigation
.
of optical glass
Investigation of public utility standards
Investigation of radioactive and X rays
Investigation
of textiles, etc
Metallurgical research
Radio research
.
1933 1932 1931
1933 1982 1931
1933 1932 1931
450. 83
4, 750. 00 360. 86
216. 90
215. 90
«28, 030. 00
I, 820. 00
4, 389. 17
4, 823. 11
24, 999. 90
24, 964. 58 I, 280. 07
i77. 10
I, 457. 17
I, 370. 77
1, 370. 77
«22, 980. 00 2, 180. 00 1, 004. 94
1, 568. 72
26, 244. 65
21, 000. 00 79. 40
20, 640. 50 1, 648. 12
550. 63
1, 429. 37
459. 60
2, 100. 60
1, 004. 94
«96, 800. 00 4, 573. 30 4, 043. 13
24, 822. 80
956. 52
21, 079. 40
22, 188. 62
86, 986. 31 867. 69
85, 815. 51 fo. 77
7, 123. 39
2, 190. 30 5, 540. 59
1, 170. 80
1, 617. 29
882. 71 1, 326. 08
344. 23
4, 706. 67
921. 67 3, 602. 78
473. 54
], 268. 24 1, 967. 86
136. 80
4, 043. 13
86, 019. 02
85, 804. 74
20, 500. 00 669. 67
20, 155. 77 262. 27
substance
=
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
«23, 000. 00 1t 056. 41
531. 94
I, 210. 21
1, 210. 21
"53, 100. 00 5, 600. 00 2, 105. 24
791. 00
799. 15
46, 998. 12 2, 788. 22
49, 468. 8S
49, 786. 34
46, 000. 00 672. 14
45, 863. 20 1, 471. 29
4, 481. 76
1, 911.64
76, 800. 00
5, 280. 00 4, 495. 37
20, 418. 04
47, 471. 66 1& 997. 22
2, 105. 24
«51, 750. 00 2, 640. 00 1, 911.64
20, 230. 33
1, 233. 98
46, 672. 14
47, 334. 49
69, 860. 00
69, 060. 13 2, 079. 15
845. 17
» Returned from same object under the Department of Agriculture. » Returned to serac object under the Department of Commerce. See note 34. $3, 000 transferred from "Air-navigation facilities, 1933", act June 30, 1932 (47 Stat. 411). » Includes $900 transferred from "Air-navigation facilities, 1933", aot June 30, 1932 (47 Stat. 411). » Includes $4, 270 transferred from "Air-navigation facilities, 1933", act June 30, 1932 (47 Stat. 411). » Includes $15,000 transferred from «Air-navigation facilities, 1933", act June 30, 1932 (47 Stat. 411). « Includes $2, 850 transferred from "Air-navigatiou facilities, 1933", act June 30, 1932 (47 Stat. 411). rr Includes $2, 240 transferred from "Air-navigation facilities, 1933", act June 30, 1932 (47 Stat. 411).
'
Sin).
4, 530. 91
2, 409. 09 4, 434. 83
4, 495. 37
70, 705. 17
» Includes
4, 733. 11 90. 00
« Includes
71, 139. 28
$750 transferred from "Air-navigation facilities, 1933", act June 1932 nt. 411) « Includes 63, 030 transferred from "Arr-navrgation facilities, 1933", act June30,30, 1932(47(47SiSlut. 411). « Includes $980 transferred from "Air-navigation facilities, 1933", act June 30, 1932 (47 « Includes $6, 300 transferred from "Air-navigation facilities, 1933", act June 30, 1932 ( 17 stnt.411). f 1 1). « Includes $3,000 transferred from "Air-navigation facilities, 1933", act June 30, 1932 (4", Stui. i)i). 0 Includes $3,100 transferred from "Air-navigation facilities, 1933", act June 30, 19)2 (47 Stat. 4) i). « Includes $1,750 transferred from "Air-navigation facilities, 1933", act June 30, 1932 (47 Stot. 4i 1). « Includes 62, 520 transferred from "Air-navigation facilities, 1933", act Juno 30, 1932 (47 stnt. 4) i) .
799. 87
—
1088 Continued
Receipts and expenditures, [Debit, transfer appropriations
(net) and repayments
Fiscal year
ation ass made
GENERAL/FUND
.. .
1933 1932 1931
1933 1932 1931
1933 1932 1931
of equipment
Standardization of equipment (transfer to War Department, sct Msy 21, 1920) Standardizing
Unexpended balances June 30, 1932
Appropriations On books of Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
4I
..
$9, 200. 00
balances June 30, 1933
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing ofii cere
1933 1932 1931
8, 141.54
144, 964. 37 527. 35 18. 43
141, 230. 18 4, 790. 41 18. 43
145, 510. 15
146, 039. 02
u 609, 04
97. 18
97. 18
6. 19
4a, aao. oo
40, 000. 00
391 263. 51
2, 980. 73
1, 44f. 16
3, 373. 04
160& 000. 00
II 509. 04
4, 814. 20
u 76, 820. 00 7, 939. 23
1. 34
1. 34
38, 560. 18
42, 637. 89
69, 484. 40 I, 668. 10
67, 213. 10 6, 276, 13
12, 785. 05
2, 250. 58 43, 143. 69
3, 734. 19 pq
23, 387. 27
'0
849. 27 2, 461. 16
73L 49
to
co
5, 944. 35
1, 391.25 3, 688. 90
2, 957. 68
2, 335. 38 2, 999. 81
3, 245. 36
1, 374. 64 996. 02
2, 271. 30
7, 658. 20
1, 736. 74
67, 82k 30
73, 489. 23
40, 756. 94 6, 688. 53
40, 469. 47 8, 425. 27
1, 030. 09
n 42, 620. 00 183. 11
47, 445. 47
48&
38, 000. 00 163. 98
37, 787. 00 847. 09
894. 74
1, 075. 01
1, 075. 01
38, 163. 98
38, 184. 09
PI Ql
1, 128. 24
1.34
1, 160. 00
99. 74
8, 206. 33
4, 263. 06
oI
9, 688. 84 1, 030. 09
246. 40 18. 67
8, 125. 26 16. 28 107. 69
II
2, 025. 80 7, 5M. 20
728. 60
7, 983. 94
107. 69
1, 020. 00 1, 128. 24
$416. 06
8, 225. 00 18. 87
34. 95
1933 1932 1931 Certiaed claims
$160. 89 61. 48
8, 338. 52
0 9, 200. 00
43, 671.04 22, 896. 66
$639. 11
$130. 37
II 46, OBO. OO
materials
$7, 983. 94
$130. 37
612. 41
1932 1931
$8, 400. 00
sf. $I8
$61. 48
1931
1933 1932 1931
Sugar standardization
Testing miscellaneous
Unexpended
On books of the Treasury
mechanical appliances
Testing machines
Amount carried to surplus fund (see p. 7)
—continued
Standard materials
Standardization
ere printed in usuc]
—Continued
BUBBAU OF STANOARDS
Sound investigation.
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for vvhich appropri-
to appropriations
213. Oo
Teeti»g rauroed e»d mine eeaiee, ete
1999 1992 1931
99r. 99 9. ?4
49, 650. 79 ass. 18 9. 74
8?
48, 893. 23
246, 577. 59
245, 079. 54 7, 126. 13
49, ecs. 90 2, 994. 75 2. 440. 83
I, 843. 47
47& QO
Testing raBraad scales, etc
1930
Testing structural materials
1933 1932 1931
270, 000. 00
33, 121.82 12, 248. 64
5, 240. 07
1&
886. 06 10.49
10. 49
247, 474. 14
252, 216. 16
38, 000. 00
$88 57
37, 905. 85 345. 77
37, 617. 33
38, 251. 62
2, 257, 281. 34
2, 151, 824. 42
2, 208, 393. 17
» 114, 500. 00
103, 000. 00 85L 99
101, 930. 98
102, 148. 71
101, 930. 98
2, 050, 380. 00
1, 796, 889. 66 J, f53. 50
1, 759, 724. 60 68, 165. 20
63. 33
63. 33
63. 33
1, 791, 799. 49
1, 827, 953. 13
577, 423. 09
570, 447. 29 5, 079. 22
I, 4SS. 8? S, OSk 04
3, 010. 73 2, 450. 67
19, 858. 05
$1, 048. 00
4, 016. 86 31, 235. 76
12, 238. 15
VtBhatfon of waste products fiom the land
1933 1932 1931
Total general
Bmeau
funds,
» 43, 080. 00 4, 400. 00 4, 783. 83
728. 44
94. 15
1, 589. 14 4, 782. 67
3, 490. 86 4, 783. 83
of
Standards
399, 395. 72
81, 553. 25
6, 790. 00 17. 85
851. 29
107, 658. 52
158, 680. 50
2, 278. 00
236, 235. 62
8, 449. 12
401. 33
2, 649. 55
BUREAU OT LIGHTHOUSES
Salaries, Bureau of Lighthouses
Salaries, keepers of lighthouses
Salaries, Lighthouse
Service
1933 1932 1931
1933 1932 1931 Certified claims
.
1933 1932 1931
Salaries, lighthouse vessels
1933 1932 1931
Certified
Retired pay, Lighthouse Sorvice
17. 85
» 42, 962. 16 33, 535. 20
73, 318. 70
5, 208. 71
74, 911.91
121.00
No year Aids to navigation, Lighthouse Service Aids to navigation, Lighthouse Service, emergency construction (sct July 21, No year 1932)
» 419, 400. 00 6, 138. 55 1, 670. 13 3, 374. 57
7&
261. 93
47, 919. 12
15, 995. 56 1, 682. 14
6, 975. 80
72, 570. 61 12, 157. 50
30, 365. 07
15, 938. 53
17, 1%.00 5, 745. 87
6, 432. 91
3, 662. 23
O
79, 705. 57
See note 52.
1933", act June 1933", act June 1933", act June 1933",set June 1933", act June
577, 293. 60
575, 526. 51
2, 145, 233. 24 8& 978. 98 1, 418. 08 121.00
2, 114, 868. 17 66, 638. 95
2, 138, 499. 36
2, 183, 046. 20
386, 334. 87 392. 68
379, 901. 96 7, 654. 61
1, 418. 08 121. 00
101, 929. 68
50, 266. 47
7, 116. 53
1, 670. 13 3, 374. 57 538. 53 388, 095. 10
50, 000. 00
289, 235. 28
340, 213. 50
3, 915. 62
108, 005. 62
28, 727. 35
2, 860, 000. 00
1, 070, 869. 21
970, 021. 24
2, 458. 34
1, 786, 672. 45
100, 847. 97
1932 (47 Stat. 411). facilities, 1933", act June 30, 1932 (47 Stat. 411) .
$10,000 transferred froxn "Air-navigation from same object under War Department. to same object under Department of Commerce. $3,830 transferred from "Air-navigation facilities, $1,820 transferred from "Air-navigation facilities, $1,050 transferred from "Air-navigation facilities, $2, 620 transferred from "Air-navigation facilities, $2, 980 transferred from "Air-navigation facilities,
0
"538, 53
» Includes $1,200 transferred from "Air-navigation facilities, 1933", act June 30, » Includes » Returned » Returned « Includes » Includes « Includes » Includes » Includes
37, 165. 06
57, 685. 61 48, 115.66
387, 266. 08
538. 53
351, 156. 52
45, 872. 03
5, 455. 75
claims~~
1933 1932 1931 1930 Certified claims
f 89. 49
2, 370, 000. 00
3, 884. 54 8, 534. 61
149, 932. 70
33, 535. 20
» 645, 000. 00 1, 552. 65 5, 455. 75
I, 069. 02
7, 641. 29
30, 1932 (47 Stat. 30, 1932 (47 Stat. 30, 1932 (47 Stat. 30, 1932 (4? Stat. 30, 1932 (47 Stat.
411). 411). 411). 411). 411).
» Includes $3,080 transferred from "Air navigation facilities, 1933", act June » Includes $4, 500 transferred from "Salaries, keepers of lighthouses, 1933", 30, 1932 (47 Stat. 411). act June 30, 1932 (47 Stat. 411). » Exclusive of $54, 900 transferred, act June 30, 1932 (47 Stat. 411) to 1933 accounts as follows: Salaries, Bureau of Lighthouses f t, lion Salaries, Lighthouse Ser vice Retired pay, Lighthouse Service
"Includes $45 000 transferred from "Salaries, keepers of lighthouses, 1933", act June 30, 193 (4? Stat. 5,4 1400 I). » Includes $5400 transferred from "Salaries, keepers of lighthouses, 1933", act June 30, ltt32& (47 Slat, . 4 t t). &
gp
—Continued
Recei J)ts and exIIenditures, iDebit transfer appropriations
(net) snd repayments
Fiscal year
approprl. ation was made
To credit of dis-
Service
1933 1932 1931 1930 1928
General expenses, Lighthouse Service, transfer to n ar Department (sct May 21, 1920) Repairs due to hurricane damages, Lighthouse Service Repairs due to storm and ice damages, Lighthouse Service Vessels for Lighthouse Service Vessels for Lighthouse Service, emergency construction (act July 21, 1932)
fund,
Unexpended
balances June 30, 1933
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—continued $4, 200, 000. 00 $585, 997. 94 29, 852. 70
$262, 963. 85 3, 464. 52
Bureau
No year No year
f. 30 44. 37 18. 58
$3, 858, 460. 90 743, 839. 00 2, 589. 41 5H 40 f. 55 f. 30 44. 37 18. 58
4, 514, 478. 37
4, 604, 808. 27
693. 80
693. 80
5H 40
f. 56 18. 58
1932
No year
$4, 027, 323. 50 488, 111.02
875. 11
Certified claims
general Lighthouses
Warrantsdssued basis
bursing officers
1924 1923
Total
Amount carried to sur plus fund (see p. 7)
—Continued
or LIGHTHQUsE8
General expenses, Lighthouse
are printed in italic]
On books of the Treasury
Appropriations
Treasury
RUREAU
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
1 e)88
$60, 314. 88
$6, 129. 91
$106, 231. 71 97, 886. 92
$168, 862. 60 7, 235. 87
$30, 727. 81 52. 40 l. 55 l. 30 44. 37
6. 20
653. 59
2, 571. 57
964. 10
1, 617. 47
11.99
I, 595. 70
2, 295. 52 1, 610, 035. 42
4, 703. 6'7
655. 25
34, 034. 73
1, 052, 931. 38
5& 358. 92 1, 004, 608. 95
127. 14 1, 768. 33
1, 513. 13 555, 335. 21
82, 357. 66
950, 000. 00
117, 300. 00
42, 360. 74
832, 700. 00
74, 939. 26
13, 660, 021. 44
12, 042) 216. 93
12, 046& 234. 81
543, 650. 00
494, 299. 84
486, 050. 91
10, 1sf. 90
98. 13
No year
tS
of 2, 694, 607. 70
548& 996. 45
870. 63 3& 781. 80
10, 099. 77
81, 997. 46
392, 765. 45
106, 331.97
3, 731, 317. 33
544, 978. 57
35, 065. 95
1) 074, 26
13, 209. 95 10, 992. 53
8, 248. 93
14, 822. 03
2, 700. 00
6, 899. 97 41, 091. 66
COAST AND GEODETIC SURVEY
1933 1932 1931
Salaries, Coast and Geodetic Survey [) )
Pay, etc. , of officers snd men, vessels, Coast Survey
Psy and allowances, commissioned cers, Coast snd Geodetic Survey.
g
1933 1932 1931
ee
3, 781. 80
w
11, 935. 98
488, 922. 00
64, 557. 52
21, 485. 40
484, 177. 94
486, 028. 78
465, 000. 00 99, f)fb. 67 I, 383. 48
464, 819. 51 36& 401. 85 I, $83, 48
434, 560. 85
498, 937. 88
offi-
1933 1932 1931 1926
ee
2, 313.00
5, 672. 84
667, 313.00
629, 798. 40 1, 844. 53
I
22, 768. 88
606, 370. 22 7, 517, 37
17, 943. 30
769. 16
788. 16
630, 880. 77
613, 125. 43
29, 373. 56
17, 948. 30 762. 16
8, 141.04 468. 47
23, 428. 18
g
General expenses, Survey
Coast and Geodet)c
Party
expenses Survey
Coast snd
1, 275. 47 469. 12
2, 682. 5'2 1, 203. 78
47, 367. 48 71. 69 187. 64
46, 759. 12 19, 757. 80 27. 33
47, 251. 53
66, 543. 75
511, 096. 54 8, 074. 77 4, 669. 67 15. 26
475, 337. 07 77, 755. 04 17E 88 15. 26
504, 777. 36
552, 934. 99
564. 52
564. 52
I, 250, 000. 00
I, 211& 791. 96
I, 068, 889. 04
12, 297. 16
25, 910. 88
142, 902. 92
60, 000. 00
57, 500. 00 8, 474. 73
55, 377. 85 12, 736. 98 I, 010. 64
1. 34
2, 498. 66 4, 473. 55
2, 122. 15
IUSS
1932 1931
19, 685. 61 214. 97
656. 76
Geodetic
No year 1933 1932 1931 Certified claims
3, 479. 97 e&
35, 554. 48 13, 405. 55
538, 128. 00
136& 867. 39
4, 087. 29
15. 26
19, 070. 81
480. 00
3, 479. 97 7, 480. 65 37, 629. 25
35, 759. 47 57, 037. 58
17, 665. 22
Party
expenses, Coast end Geodetic Survey (transfer to Bureau of Standards, aet Msy 21, 1920) Party expenses, Coast snd Geodetic Survey, emergency construction (act July 21, 1932)
Repairs of vessels, Coast Survey
1932
750. 00
1933 1933 1932 1931-32 1931
Total general fund, Coast and Geodetic Survey
998. 82 360. 77
114, 624. 29
16, 211.71 3, 314. 57 451. 71
2, 303. 93
812. 48
461. 71
261, 163. 38
185. 48
53, 573. 56
69, 125. 47
3, 598, 028. 26
3, 367, 578. 49
3, 356& 149. 86
11, 517. 82
64, 390. 60
110& 130. 85
4&
254, 26
166, 298. 35
272, 592, 01
SPECIAL FUNDS
g
COAST AND GEODETIC SURVEY
Topographic survey contributions
of United
C)
States, . 83
17, 500. 00
16, 499. 17
114, 624. 29
261, 164. 21
3, 615, 528. 26
8, 384, 077. 66
3, 367, 667. 68
I, 682. 30
I, 383. 41
167, 919.47 I, $64. 63
$66. 84
167, 274. 12 129. 08 $66. 81
166, 409. 33
167, 147. 39
I, 181, 580. 04
I, 178, 226. 58
106, 657. 73 466. $4
149, 611.89 90. 46
No year
Total, Coast snd Geodetic Survey
613. 03 64, 390. 60
387. 80
4, 982. 18
110, 743. 88
4, 254:26
166, 686. 15
277, 574. 19
11, 509. 25
923. 48
7, 147. 80 2, 936. 63
645. 35
43, 855. 47
6, 392. 64
GENERAL FUND BUREAH Or EISHERIEs
1933 1932 1931
Salaries
Miscellaneous
expenses
1933-34 1933 1932 1931 1930-31 1928—31
es
187, 500. 00
23, 946. 92
es
204, 150. 04 9, 667. 24 32. 44 29. 28
I
10, 000. 00 390 420 00
42, 954. 16
546. 70
Certified claims
5. 15
5. 15
I, 287, 786. 68
I, 327, 934. 08
5. 15
« Includes $43, 650 transferred, act June 30, 1932 (47 Stat. 411), from 1933 accounts, as follows: $11, 372 party expenses, Coast snd Geodetic Survey 32, 278 Pay, etc. , of off)cere snd men, vessels, Coast Survey. Q Fxclusive of $66, 07s transferred, act June 30, 1932 (47 Stat. 411), to 1933 Department of Commerce accoantra ss folloivs: . $32, 000 Domestic commerce I ompiling foreign trade statistics I, 800 32, 278 Salaries, Coast snd Geodetic Survey &e Includes $5, 000 transferred from "Party expenses, Coast and Geodetic Survey, 1933", act June 30, 1932 (47 Stat. 411).
.
24, 202. 73
10, 000. 00 158, 591. 85 97, 492. 31
3, 353. 46
10, 123. 48 32. 44 29. 28
Exclusive of $34, 372 transferred, act June 30, 1932 (47 Stat. 411), to 1933 accounts, as fol lairs: Psy and allowances, commissioned of))cere, Coast snd Geodetic Survey $f&, ono Salaries, Coast and Geodetic Survey )1, 37'& Export industries, Department of Commerce IX, &)On es Includes $12, 500 trausferred, act June 30, 1932 (47 Stat. 411), from 1933 accounts as follows; Miscellaneous expenses, Bureau of Fisheries $6&. .soo Protecting seel and salmon fisheries in Alaska. a. Is)o es Includes $13,900 transferred from "Protecting seal and salmon fisheries in Alask;I, Is)3'' &iinl cxclu&lcs $12,500 transferred, act June 30, 1932 (47 Stat. 411), to 1933 ac«ounts as follows; Salaries, Bureau of Fisheries $6, 5UO Compiling foreign trade statistics 6, UUU I&
.
0
g
—
1988 Continued
Receipts and espenfhtures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
oF FIHHERIEs
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
No year
bursing oflicers
$8, 204. 76 $7, 000. 00 2, 000. 00
$2, 130. 99
$7, 888. 88 6, 500. 00 1, 452. 31
1932 1931
fisheries
Construction of stations, Bureau of Fisheries
Fish hateherles: Rhode Island
1931-33 1931-32 1930-33 1930-32
17, 101. 30
29. 47
29. 47 15, 000. 00
3, 000. 00 1, 517. 52
$16. 39 864. 49
547. 69
782. 07
1, 227. 69 2, 217. 93 3, 812. 32
10, 974. 44
100, 000. 00 24, 118. 68 22, 046. 41
42, 211.75
I, 029. 08
1, 429. 92
3, 387. 72
328. 07
9, 914. 79
6, 228. 53
1, 227. 69 12, 000. 00
816. 36
1, 622. 07
11, 949. 15 809. 75
50. 85
1, 517. 52
Io
41, 562. 99 4, 046. 67 2. 31
100, 000. 00 370, 100. 00
22, 545. 56
6. 18 7. 47
68, 069. 83
40, 455. 93
78, 455, 62
907. 78
» 122, 389. 89 'I 166, 68k Se » 40, 205. 11 i&0, 606. 11
"
20, 882. 54 373. 20
430, 882. 46
eries
11, 187. 68
12, 758. 90
327, 808. 15 19, 516. 58 593. 68
286, 596. 40 42, 062. 14 599. 86
7. 47
7. 47
347, 925. 88
328,' 265. 87
119, 930. 89 54, NO. 08 29, 962. 25 250. 82
116, 543. 17 24, 135. 56 23, 733 72 I, 158. 60
95, 823. 90
165, 571. 05
348. 00
348. 00
160, 652. 47
2, 080, 032. 62
1, 926, 322. 66
2, 019, 126. 59
1931 1931 1931 1930-31 Certfned claims.
20, 882, 54 25. 20
a9, 391.ee
600. 00
snd defending 1931
62, 178. 0'7 18, 222. 59 816. 14 32. 73
62, 178. 07 18, 222. 59 816. 14 32. 73
140. 82
$7, 198. 73
3, 452. 99 2. 31
PXTENT OFFICE
sillts»
$91. 52 364. 71
$224. 36 135. 29
$1. 33
Total general fund, Bureau of Fish-
Public use of inventions
disbursing officers
Available
Lst
No year No year
Wyoming
Furniture snd filing cases» Photolithographing»
To credit of Reserve for impounded salary savings (see p. 7)
of
1933-34 1933 1932 1981 1930-31 Certified claims
Alaska
$7, 872. 49 5, 645. 51 3, 583. 30
1. 33 15, 841. 19
Improvements, biologicsl station, Fsir1931 port, Iowa No year Investigating damages to Qsheries 1933 Enforcement of black bass law
Salaries»
Impounded salary sav'ings
—continued 1933 1932 1931
seal and salmon
balances June 30, 1933
—Continued
Upper Mississippi River fish refuge
Protecting
Unexpended
On books of the Treasury
Appropriations
Treasury
BUREAU
Amount cerned to surplus fund (see p. 7)
Unexpended balances June 30, 1932 ~
On books of
GENERAL~~FUND
are printed in italic]
in excess of expenditures
Expenditures in 1933 (see p, 6)
Funds available in 1933
for which appropriations was made
to appropriations
500. 00
140. 82
68, 838. 03
14, 614. 85
462, 847. 99
66, 748. 5f
Scientific library
1931
77
447. le
Cert)fed claims.
34. 83
360. 35 33. 87
38)X 25
294. 12
294. 12
33. 87
188. 94
.45
Indefinite&
Deficiency in Patent Office revenues
935, 842. 29
936, 842. 29
935, 842. 29
936, 376. 61
936, 636. 41
936, 636. 41
4, 054, 886. 67 7, 240. 75
3, 764, 010. 81 231, 227. 41
3, 639, 952. 75 357& 100. 31
3, 995, 238. 22
3, 997, 053. 06
1933
Total general fund, Patent Office
81, 836. 54
81, 576. 74
SPECIE.L FUNDS PATENT OFFICE
Salaries snd expenses
1933 1932
254, 137. 05
125, 872. 90
70, 332. 29
124, 058, 06
30, 150. 39
180, 315. 46
188, 361. 05
Special deposit account
220, 543. 57
Total, special funds, Patent Off)ce
254, 137. 05
314, 283. 95
4, 062, 127. 42
3, 995, 238. 22
3, 816, 737. 60
Total, Patent Off)ce
335, 973. 59
314, 233. 95
4, 998, 504. 03
4, 931, 874. 63
4, 753, 374. 01
70, 000. 00
64, 500. 00
2, 300. 00
8, 212. 55
1, 06E 5'8
63, 620. 34 2, 149. 97
63, 437. 42
65, 770. 31
245, 000. 00 2, 971. 08 1. 00
241, 717. 90 4, 729. 36
247, 972. 08
246, 448. 26
180, 003. 82 1, 263. 87
180, 388. 80 8, 431. 87
181, 267. 69
188, 820. 67
67, 668. 27 6, 433. 97 3. 75
67, 100. 84 2, 448. 31
64, 230. 55
69, 545. 40
41, 000. 00 79. 77
40, 081. 80 5, 042. 45
368, 676. 61
81 576. 74
220, 543. 57
70, 332. 29
30, 150. 89
492, 734. 57
220 543 57
70, 332. 29
30, 150. 39
492, 734. 57
2, 177. 85 3, 362. 58
879. 66
GENERAL FUND BUREAU OF MINES
Care, etc. , of building and grounds, Bureau of Mines, Pittsburgh, Pa
Economics of mineral industries
Expense, mining experiment stations
Genera) expenses
Helium investigations
Helium plants
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
84. 97
84. 97
7)
7, 673. 51
270, 230. 00
1, 758. 28
1, 526. 99
6, 561. 69 985. 71
7, 168. 00
75, 060. 00
5, 882. 28
)i 44, 500. 00 3, 310, 93 575. 13
5, 121. 62
.
17, 840. 25
7, 389. 75 4, 702. 43
3, 282. 10
1, 525. 99
3. 76
7, 621. 76
«$41 r 718. 83 «. 73
Debit balance. » Exclusive of $19,900 transferred, act June 30, 1932 (47 Stat. 411), to 1933 accounts as follows:
45, 124. 25
14, 000. 00 7, 8N. 78
7, 023. 12
6, 378. 24
7, 023. 12
C&
11, 792. 96
8, 203. 22 5, 297. 82
'I 384. 98
4, 566. 31
2, 825. 42 4, 185. 10
567. 43
252. 78
918. 20
2, 408. 88
3, 247. 22
3, 390. 10
$6, 000 13, 900
7
Patent Office"
227, 713. 96
6, 976. 88
Includes $20, 230 transferred, acl, June 30, 1932 (47 Stat. 411) to 1933 accounts, as follmvs: Investigating mine accidents. $8, 725& Operating mine rescue cars and stations I l)25 Mineral mining investigations I, 380 Helium investigations .i, l)00 » Includes $5, 060 transferred from "Investigating mine accidents, 1933", acl Junc .'ll), )&)))'& (47 St&)t ill) 77 Includes $5 500 transferred from "Economics of mineral industries, 1933",act Junc 30, )&it) ' (I& Stol. 4l 1) 77 Includes $24171323 transferred from 1932 account snd f073 from 1931 account, acts 1'eb. 23 )1)31 (4)) Nial. 1350) snd July 1, 1932 (47 Stat. 517). «Transferred to 1933 account. See note 79. rs
ll
Salaries, Bureau of Fisheries Miscellaneous expenses, Bureau of Fisheries Transferred from 1931-32 account, act July 1, 1932 (47 Stat. 513). » Transferred to 1931-33 account. See note 71. 77 Transferred from 1930-32 account, act July 1, 1932 (47 Stat. 513). 7& Transferred to 1930-33 account. See note 73. )i Beginning with the fiscal year 1932, provided for under "Salaries snd expenses, fund). (special
40, 920. 83
0 C3
575. 13
)i 241, V13. 96 234, 091. 47 73
1. 00
g
985. 71
77
751. 13 2, 405. 13
3, 322. 15
7M8
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
BUREAU
or
IIINEs
Amount carried to surplus fund (see p. 7)
On books of
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing ofncers
Available
—Continued continued
Helium production (act July 1, 1932).» Investigating mine accidents
1933 1932 1931 Certified claims
1931 Investigating potash deposits Maintenance and operation, fuel yards, District 1933 and prior of Columbia 1932 and prior
Mineral mining investigations
Mining investigations
are printed in ftsfic)
Unexpended balances June 30, 1932
Treasury
GENERAL FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
to appropriations
—Continued
in Alaska
1933 1932 1931 1927
1933 1932 1931
Oil snd gas investigations
1933
Oil, gss, snd oil shale investigations
1932 1931
Operating mine rescue cars snd stations
Testing fuel
1933 1932 1931
$13, 450. 75
1. 00
$384, 999. 90 4, 244. 14 22. 89 1. 00
$378, 886. 11 9, 206. 61 22. 89 1. 00
380, 779. 65
388, 116. 61
26. 26
589, 248. 34
910. 11
n 673, 662. 97 n 879, 68$. 97
n 130, 420. 00 5, 465. 72 1, 517. 06
156, 220. 51 84, 414. 6'3
155, 807. 44 83, 504. 53
71, 805. 88
72, 302. 92
120, 015. 16
118, 500. 87 7, 126. 04
9, 328. 43
u 9, 350. 00 436. 51
4, 449. 43
w
18, 906, 93 578. 40
6, 464. 02
301, 375. 00 I.
155, 000. 00
810. 90 1, 368. 58
891, 034. 35
$6, 113. 79
8, 457. 79
444, 216. 66
413. 07
$1, 558. 34
» 64, 768. 01
O 7, 093. 11
3, 311. 73 7, 668. 11
1, 514. 29
79. 50
1171 733. 27
125, 547. 41
8, 799. 74 1N. 08
8, 419. 98 315. 4 3
379. 76
550. 28
131.08 110. 24
u 183, 200. 00 7, 463. 88 250. 35
$10, 614. 99 7, 874. 21
I, 517, 06 79. 60
10. 00 110, 24
$25, 575. 11
26. 26
1933 1932 1931
Total general fund, Bureau of Mines.
n $421 190 00 $3, 630. 07 I, 581. 23
4, 151.67
8, 678. 66
8, 735. 41
184, 969. 58
164, 121. 15
I, 618, 22
3. 55
6, 067. 65 '3. 55
1, 621. 77
6, 071. 20
274, 987. 44 9, 186. 21 14. 40
271, 727. 81 15, 660. 23 14. 40
284, 188. 05
287, 392. 44
140, 000. 00
9, 439. 48
139, 606. 74 1, 712. 19
137, 560. 52
141, 318. 93
I 771, 644. Ig
I, S16, 33S. 08
11, 227. 52
7, 002. 90
848. 43
5, 845. 66 246. 80
18, 700. 01
12, 687. 55 9, 719. 72
3, 259. 63
9, 581. 50
5, 418. 50 3, 050, 38
3g3. 26
116, 954. Ig
787, 042. 50
25, 161.62
564. 00
1, 368. 58
89, 956. 41
1, 860, 326. 00
75, 819. 47
SPJ5CISL FUNDS BUREAU OB MINBB
Gas production,
helium plants
No year
35, 428. 87
10, 150. 38
35, 223. 05
80, 105. 79
I, 895, 549. 05
1, 797, 536. 25
1, 851, 766. 95
year
1, 408. 09
1, 387. 85
1, 387. 85
year
1, 623. 42
1, 623. 42
I, 623. 42
year
64, 289. 87
63, 619. 87
63, 619. 87
33, 950. 76
94, 355. 65
77. 40
135. 00 5, 000. 00 77. 40
5, 000. 00 77. 40
1, 628. 84
1, 628. 84
Total, Bureau of Mines
891, 034. 35
75, 819. 47
1, 273. 19
7, 95?. 80
713.57
118, 22?. 38
795, 000. 30
25, 875. 09
OENER4IL FUND COMMERCE MISCELLANEOUS
Claims for damages, sct of Dec. 28, 1922, Department of Commerce No Judgments, Court of Claims, Department of Commerce No United Judgments, States Courts, Department of Commerce No Working fund, Department of Commerce No
Relief of: Harvey Canal Ship Yard and Machine Shop Rossmond B. McManus Lindley Nurseries, Inc Permanent snd indefinite: Refunding penalties or charges erroneously exacted (Commerce) Special deposit accounts
Total
general miscellaneous
fund,
year
No year No year No year
135. 00 5, 000. 00
No year 317, 218. 82
20. 24
670. 00 20, 631. 62
2, 299. 14
1, 404. 79
135. 00
I, 628. 84 211, 321. 93
105, 896. 89
g
Commerce, 5, 000. 00
317, 218. 82
50, 541. 62
69, 162. 62
21, 321. 86
2, 299. 14
260, 458. 76
107, 301. 68
t3
TRUST FUNDS
O
COMMERCE M(9CELLANEOUS
O Effects of deceased employees,
DepartNo year
ment of Commerce Special deposit accounts
Total
trust,
funds,
10. 91
965. 00
965. 00
Commerce,
miscellaneous
Total, Commerce, miscellaneous Summary of Department of Commerce: General fund Special funds Special funds (special deposit accounts) Trust funds Trust funds (special deposit accounts)
Total
10. 91
965. 00
10. 91
5, 010. 91
317, 218. 82
69, 162. 62
50, 541. 62
2591493. 76
11, 315, 807. 38 265, 268. 91
2, 235, 786, 98
41, 058, 443. 44 4, 144, 164. 55
40, 931, 864. 57 4, 037, 729. 45
41, 4521 259. 20 4) 043~ 999 75
136, 024. 11
2, 299. 14
946, 009. 03
1, 598, 688. 77 222, 429. 79
$212, 928. 20 70, 332. 29
10. 91
965. 00
21, 332. 77
108, 266. 68
8, 684, 860. 25 78, 941. 93
1, 715, 392. 35 129, 753. 81
180, 916. 46
188, 361. 05
368, 676. 51
10. 91
10. 91
965. 00
11, 581, 087. 20
2, 560, 172. 14
45, 202, 607. 99
44, 969, 594. 02
» Expenditures from this account are for tbe department for which the appropriations were made snd not chargeable against the depart(Bent to which such appropriations have been transferred; therefore, beginning with the fisca year 1931, this account is s(ated under the Navy Department, p. 228, snd War Department, p. See note 1, p. 421, for further explanation, 306, respectively, on the basis of proportionate amounts transferred. u Exclusive of $14, 135 transferred, sct June 30, 1932 (47 Stat. 411) to 1933 accounls, (Lx follows: $8, 725 Economics of mineral industries. 5, 060 General expenses, Bureau of Mines 350 Mining inves(igstions in Alaska. Stat. 1932 516). (47 u Transferred from 1932 and prior year account act July I,
45, 314, 978. 49
965. 00 946, 009. 03
1, 821, 018. 66
283, 260, 49
8, 763, 813. 09
2, 214, 787. 67
Act July 1, 1932 (47 Stat. 616). » Transferred to 1933 snd prior year. See note 83. M Exclusive of $4, 580 transferred, act June 30, 1932 (47 Stat. 411) to 1933 accounts as follows:
M
Oil gas snd oil shale investigations Economics of mineral industries
$3, 200
I, 38(l » Exclusive of $350 transferred to "Investigating mine accidents, 1933", aot June 30, (9((2 (47 Stat. 4(I). 0 Includes $3, 200 transferred from "Mineral mining investigations, (933", act June 30, 1932 (47 EI;0 II I.) » Exclusive of $4, 625 transferred to "Economics of mineral iudustries, 1933",act June '40, 1932 (47 Slot, . I I I).
gl
—
l888 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal forwhich
tionn was made
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
appropriayear
to appropriations
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrantsrissued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing of(fears
To credit of Reserve for impounded salary savmgs (see p. 7)
disbursing ofiicers
Available
GENERAL FUND DEPARTMENT OF THE INTERIOR ot&rien ot&
rnz sncnsr&tnv
Salaries
1933 1932 1931
Adiustment and payment claims, act Mar. 2, 1919
$422, 050. 41
$419, 099. 72
$42, 485. 24
687. 4Jf
$687. 45
$1, 859. 99 9, 907. 07
$2, 950. 69
1, 423. 21
1, 276. 93
459. 19
39, 368. 20
461. 65 1, 553. 60 1, 010. 00
7, 327. 41
$11& 884. 36
$1, 894. 35 421, 362, 96
419, 099. 72
607, 261. 80
568, 576. 96
t 102, 338. 35 10, 655. 89
95, 010. 94 18, 018. 66
of mineral
Contingent expenses, Department Interior
No year
611, 197. 64
683. 36
2, 199. 72
of the
Commission on conservation and administration of the public domain
Expenses of Indian Commissioners
I ibrary,
t $4'78, 280. 00
$10, 642. 83 1, 894. 35
Department of the Interior
Printing and binding, Department of the Interior
Total general fund, Ofhce of the Secretary
1933 1932 1931-32 1931
No year 1933 1932 1931
1933 1932 1931
1933 1932 1931
I
12, 209. 49 1, 010. 00 3, 775., 30
7&
111, 800. 00
362. 67
3, 775. 30
3, 487. 66
100. 21
500. 00 152. 00
1, 003. 10
14, 100. 00
41. 75
710, 962. 35
113& 029. 50
Sf. 67
78. 54
12, 050. 00 493. 53
12, 050. 00 1, 496. 63
3, 509. 33 686. 64
1, 363. 36 6. 47
12, 543. 53
13, 546. 63
500. 00 277. 80
429. 72 319. 55
70. 28 114. 20
110. 51
125, 000. 00 65, 547. 28 43. 29
112, 994. 24
152. 00
500. 00 392. 00 110.51
9&
2, 965. 77
777. 80
749. 27
94, 883. 43 65, 509. 06
82, 214. 13 68, 474. 83
30, 116. 57 38. 22
12, 669. 30
59, 399. 65
62, 385. 88
43. 29
12, 844. 31
729, 680. 00
160& 392. 49
160, 688. 96
1, 315, 311. 15
1, 265, 769. 58
5, 975. 46
45, 371. 60
14, 584. 60
l2J
oxxrxaxz Laxrn optics Salaries, General Lend Ofnce
1933 1932 1931
General expenses, General Land OfSce
Maps of the United States
1933 1932 1931
1932 1931
Maps of the United States (transfer to Geological Survey, act May 21, 1920) Salaries and commissions of registers.
11, 254. 73
618, 082. 76 889. 77
858. 74
z
97. 75 50. 00
1932
12, 166. 00
1933 1932 1931
3, 604. 73 4, 976. 99
617, 442. 99
616, 992. 97
17, 200. 00 9, 673. 79 814. 84
13, 467. 31 10, 854. 80 814. 84
27, 688. 63
25, 136. 95
62. 61
361. 63
22, 500. 00
1, 181.01
299. 02
No year
1933 1932 1931 Certified claims
80, 000. 00
Opening Indian reservations able
3, 732. 69
2, 791. 46
35. 14
166. 86
62. 61
36L 63
12, 166. 00
12, 166. 00
71, 144. 91 127. 98
70, 291. 79 294. 84
6, 130. 78 25. 00
2, 022. 19
14, 231. 87 105. 48
6, 491. 00
702. 12 3, 451. 75
853. 12
4, 976. 99
70, 586. 63
4
185, 000. 00
474. 03
32. 07
156, 641. 62 690. 54 la. 88 32. 07
154p
157, 351. 55
155, 386. 00
202. 04 1, 164. 57 fg. 88 32. 07
9, 214. 00 7, 635. 51 620. 92
2, 439. 58
1933 1932 1931 1917
1933 1932 1931 1930
1933 1932 1931
Surveying the public lands
300. 00 300. 00
300. 00 300. 00 300. 00
300. 00
t 460,
12, 318. 42 7, 376. 29 3, 453. 79
z
4, 693. 11 1, 258. 86
000. 00
25, 988. 36
I4, 781. 79
74, 78L 71)
14, 78k 78
74, 781. 79
390, 466. 19 5, 875. 09 1. 00
370, 051. 15 31, 863. 45 1. 00
396, 342. 28
401) 915. 60
526, 325. 51
493, 042. 63 70, 176. 34
575, 000. 00
1, 163. 38
69, 012. 96 &
1. 38
]929
8. 10
1928
8, 895. 85
8. 10 P„895.94
524, 790. 85
560, 520. 93
"
Includes $)3,500 transferred from Roads and trailrv National Parks, 1933",act June 30, 1932(47 Stat. 411). Includes $21,800 transferred, under act of April 22, 1932 (47 Stat. 91), from accounts as follows: $5, 500 General expenses, General Land Ofhce, 1938 5, 975 Geological Survey, 1933 25 Geological Survey, 1932-33 2, 800 St. Elizabeths Hospital, 1933 900 6, National Park Service, 1932-33 600 Roads and trails, National Parks (no year) z Exclusive of $13,000 chargeable against the following accounts: $12, 000 Reclamation fund (special fund), p. 153 500 Freedmen's Hospital, District of Columbia, 1933 (trust fund), p. 346 500 Freedmen's Hospital, 1933 (Interior)
&
.
4
14, 761, 79
24, 787. 32
10, 662. 67
34, 083. 82 6, 443. 33
2D,
27, 474. 70
816. 17
20, 383. 62 3 329 73
33, 282. 88
415. 04
7, 375. 29 3 453 79
20D. 00
1, 260. 24 2. 10 2, 695. 94
Includes $5 000 transferred from Roads snd trade Nations) Parkz 1933 act June 20 1932 (47 alai i i)) Exclusive of $5, 500 transferred to "Contingent expenses, Department Of the Interior, 1933", act, ) unc 6), ',
1932 (47 stat.
91).
"Roads snd trails, National Parks, 1933", act June 30, 1932 (47 stat. 411). r Includes $60, 000 transferred from "Roads and trails, National Parks, 1933", act June 30, 1932 (47 slat. 11). 4 Includes $75, 000 transferred from "Roads and trails, National Parks, 1933", act June 30, 1932 (47 slat. I I) 4
Includes $10,000 transferred
&
Returned from same object under War Department.
g t4
1, 627. 62
(reimburs-
Protecling public lands, timber, etc
&
5, 298. 43 4, 356. 38
1.57
9, 214. 00
1, 416. 94 1, 614. 94
1, 303. 76
50. 00
71, 272. 89
Claims of certain settlers in Sherman County, Oreg Contingent expenses of land off)ces
a, 876. 45 10, 63L 18
4, 286. 72
4, 286. 72
14, 030. 17 3, 606. 30
15, 1st. 91 1, 263. 32
616, 779. 00 213. 97
from
I
Receipts antt expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal
Amount carried to surplus fund (see p. 7)
On books ef
Te credit of
Unexpended
balances June 30, 1933.
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
dis'-
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary ssvtngs (see p. 7)
disbursing officers
Available
—Continued
GENERAL LAND oFFIGE
Surveying
are printed in italic]
On books of the Treasury
Appropriations
Treasury
GENERAL FUND
in excess of expenditures
IJ'nexpended balances June 30, 1932
tionn was
Insde
to appropriations
—Continued
Expenditures in 1933 (see p. 6)
Funds avsffable in 1933 year appropriafor which
tM8
eoninlued
the public lands (transfers to
Wsr, act Msy 21, 1920)
1982 1931
$6, 242. 25 218. 49
«31. 33
$6, 240. 93
$6, 240. 93
217. 11
217. 11
6, 458. 04
6, 458. 04
11, 290. 09
11, 290. 09
$1. 32
Permanent and indefinite: Repayment for lands erroneously 11, 290. 09
No year sold Surveying within land grants (reimNo year bursable)
97, 858. 56
Total general fund, General Land Oflice.
200, 339. 04
$97, 975. 98
2, 039, 122. 16
1, 810, 104. 14
I, 846, 053. 05
No year No year No year
20, 130. 78 344, 349. 70 17, 682. 82
969. 28 3, 739. 17
962. 00 4, 692. 80 1, 648. 34
1, 556. 00 11, 476. 04
17, 677. 75
887. 10 10, 537. 97 17, 677. 75
No year
307, 8'77. 80
107, 490. 20
167, 764. 46
167, 764. 46
247, 603. 64
No year
1, 214, 106. 09
1, 220, 820. 78
1 208, 488. 28
1, 208, 488. 28
I, 226, 438. 59
No year No year
11, 665. 63
7, 534. 20
10, 342. 86
10, 342. 86
37. 65
8, 846. 97 37. 65
No year
769. 15
769. 15
97, 858. 56 $43, 581. 94
$135, 306, 60
$36, 947. 26
213, 521. 26
$62, 027. 07
19, 457. 92 336, 869. 10 1, 653. 41
I, 638. 18 4, 677. 24
SPECIAL FUNDS GENERAI
LAND OFFICE
Expenses, Public Survey Work, Alaska Expenses, Public Survey Work, general Coos Bay Wagon Road grant fund The Oregon and California land-grant fund Payments to States from receipts under mineral leasing act Payment to Oklahoma from royalties, oil and gas, south half of Red River Proceeds sale of town lots, Lawton, Okla Proceeds of ceri, ain public lands in township 8 north, Nebraska 6 percent fund of net proceeds of sales of public lands in: Arizona Arkansas Alabama California.
Florida
Idaho. Louisiana Michigan Montana Nevada New Mexico North Dakota Oklahoma. Oregon
South Dakota
No No No No No No No No No No No No No No No
year year year year year year year year year year year year year year year
688. 09 205. 81 115.35 1, 413. 80 75. 86 636. 03 94. 65 , 55. 90 949. 40 370. 92 695. 69 92. 85 40. 50 627. 85 64. 14
688. 09 205. 81 115. 35 1, 413. 80 75. 86 636. 03 94. 65 55. 90 949. 40 370. 92 695. 69 92. 35 40. 50 627. 85 64. 14
688. 09 205. 81 115.35 1, 413. 80 75. 86 636. 03 94. 65 55. 90 949. 40 370. 92 695. 69 92. 35 40. 50 827. 85 84. 14
78. 86 697. 36
Utah
No No No No
Vrashin e ton 5V&sccnsin.
ess. 04
ess. 04
154. 97 137. 52' 1, 192. 62
685. C4 154. 97 137. 52 1, 192. 62
154. 97 137. 52 1, 192. 62
714. 05
714. 05
714. 05
158. 86
1, 426, 315. 93
1, 424, 708. 96
16, 162. 16 174, 474. 77
6, 166. 95
493. 44 18. 00
493. 44 16. 00
190, 636. 93
6, 166. 95
481. 44
481. 44
year year year year
tyyoming 5 percent fund of net proceeds of sales of agricultural lands in Colorado No year
Total special funds, General Land Office
1, 916, 609. 62
4, 708. 45
11 352,
6, 315. 42
1, 841, 676. 33
776. 22
TRUST FUNDS GENERAL LAND OFFICE
Completing surveys within railroad land grants No year Outstanding liabilities, lands No year Unearned moneys, lands No year
Total trust funds,
General
16, 162. 16 180, 148. 28 12. 00
Land
Oflice
Total, General Land Ojjjce
2, 307, 585. 59
102, 684. 43
196, 322. 44 43, 581. 94
136, 082. 82
36, 947. 26.
68, 342. 49
2, 251, 520. 03
3, 397, 447. 97
3, 236, 901. 51
3, 271, 243. 45
15, 000, 000. 00
10, 732, 383. 90
10, 732, 383. 90
17, 163, 141. 30
10, 000, 000. 00
8, 976, 913. 58
8, 976, 913. 58
1, 023, 086. 42
78, 500. 00
14, 533. 86
51, 254. 91 4, 427. 08
64, 166. 68
55, 681. 99
50, 000. 00
49, 300. 00
GENERAL FUND BUREAU OF RECLAMATION
Advances to Colorado River Dam fund, Boulder Canyon project No year Advances to Colorado River Dam fund, Boulder Canyon project, emergency construction (act July 21, 1932)------- No year
Colorado system
12, 895, 528 20
0
River front work and levee 1933-34 1931-33 1931-32 1930-33 1930-31
Flood protection, Calif
Palo Verde
787. 10
48, 000. 00 26, 771. 63
27, 245. 09
43, 424. 58
499. 39
200. 61
5, 875. 42
19, 822, 764. 16
19, 808, 404. 05
1, 286. 49
18, 261, 199.90
33, 120. 51
5, 273, 590. 78
5, 403, 986. 94
120, 440. 85
537. 18
2, 593, 57 7. 14
391, 104. 00
18, 789. 18
19, 046. 06
69, 295. 09
3, 444. 24
13, 459. 24
59, 723. 39
48, 000. 00 106, 058. 73 &I 44, 505. 78 «a)
&'
29, 872. 46
18, 760. 40
«6L85A 95
61, 852. 95
Valley, 1933
Total general fund, Bureau of Reclamation
12, 987, 250. 61
18, 760. 40
25, 098, 000. 00
3, 499, 755. 97
521, 500. 16
4, 488, 389. 98
54, 466. 51
is 6O, 59O. O7
SPECIAL FUNDS BUREAU OF RECLAMATION
Reels&nation fund Colorado I&iver Dam fund, Boulder Canyon project Colorado River 1&an& fund, Boulder Canyon project (transfer to Department of Commerce, Bureau of Standards, act Apr. 18, 1930) Colorado River D, «n fund, Boulder Canyon project, emergency construction (sct July 21, 1932)
No year No year
No year
11, 819. 32
4. 37
'&
u 4. 67
No year » Rcinrncd io same object under Department of the Interior. See note 9. n inclu&les 3&4, 205. 78 transferred from 1931—32 account and $61,852.95 from 1930-33 account, act Apr. 22, '.
1932 (&7 Sin&. 118&.
«Transferred &o 1931—33 account. See note 11. &I Thc $61,852. 9&5 transferred from 1930-31 account was transferred to 1931-33 account. «Tr«nsicrrc&i io 1930-33 account. See note 13.
See notes 11 and 12.
606. 99
(06&.
&&I&
Includes $12,000 chargeable against this special fund account per note 3 p. 151 by transfer Io "('on& ingcnt expenses, Department of the Interior, 1933", sct Apr. 22, 1932 (47 Stat. 91), and exclu&ice $5&3.33 h«rgc«&&le against "Ammunition storage facilities, Navy" (general fund) per note 29 p. 223, » Includes $4.37 returned from same object under the Depart&neat of Commerce. » Returned to same object under Bureau of Reclamation. See note 16, &'
&
jzj
Receipts and expendhttires, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ifaiic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscai year
for which
appropriation was made
Unexpended balances June 30, 1932 Appropriations
On books of Treasury
SPECIAL FUNDS
Total special
funds,
To credit of dis-
Warrants-issued, basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
BUREAU GP REGLAMATIQN
Yuma auxiliary irrigation sona Special deposit accounts
On books of the Treasury
—continued
pro)eat, Ari-
No year
Bureau
$154, 983. 24
$616. 41 21, 894. 68
$3, 981. 42
2, 762, 019. 62
473, 945. 47
191, 295. 39
3, 981. 42
21, 025, 219. 58
507, 065. 98
189, 721. 76 4, 609. 72
5, 956. 95 364. 50 958. 83
279, 500. 00 136, 981. 27 5, 092. 02 6, 007. 66
142, 093. 65 5, 623. 25 7, 091. 65 1, 562. 63
$157, 143. 65
$2, 273. 98 15, 413. 56
$15, 112. 55
$17, 000. 00
$18, 657. 57 8, 481. 18
$272. 96
3, 668, 723. 31
593, 654. 21
4, 564, 088. 23
5, 276, 801. 60
5, 396, 510. 34
190, 008. 90
16, 655, 973. 92
612, 414. 61
29, 662, 088. 23
2o, 099, 565. 76
25, 204, 914. 39
430, 000. 00
150, 500. 00 2, 066, 765. 02 24, 448. 76
2, 061, 141. 77
of
Reclamation
Total, Bureau of Reclamation
GENERAL FUND GEOLOGICAL' SURVEY
1933-34 1933 1932-33
Geological Survey
1932
1931-32 1931
1930-31 Cer tified claims
Geologicsl Survey (transfers to Department of Commerce, Bureau of Mines, sct Apr. 18, 1930)
Geologicsl Survey, cooperative work
.
1931-32 1930-31
. 1932-33 1932
22
34, 540. 00 498. 87 1, 924. 60 ).45, 262. 92 8, 433. 68
23, 460. 00 6, 303. 59 10, 415. 61 9, 847. 40
NATIONAL
90. 49 92. 23
305. 50
8, 406. 35 40, 817. 11
467. 68 1, 258. 69 7, 081. 68 8, 295. 52 92. 23
1, 786. 66 11, 674. 30
2, 237, 870. 97
2, 131, 526. 39
85. 84
209. 66
85'. 84
209. 66
150, 000. 00 233, 176. 51
150, 000. 00 233, 176. 51
383, 176. 51
383, 176. 51
2, 620, 951. 64
2, 514, 912. 56
888. 98
3, 894. 41
6',
22
2, 825. 77 8, 295. 52 92. 23
665. 91 $152, 284. 55 228. 65
95. 84
» 90. 48
90. 49
22
426, 174. 40
22
Total general fund, Geologicsl Survey
2, 399, 425. 00 '2 85. 00
616, 924. 96
50, 332. 10
1, 522. 40 3, 500. 24
4, 833. 34
150, 000. 00 150, 000. 00
2, 829, 492. 23
42, 997. 89
152, 513. 20
194, 331.48
7, 280. 28
471, 340. 59
PARK SERVICE
Salaries, National park commissionors»
1933 1932 1931
(25)
'2, 461. 33
3, 500. 24
888. 98
3, 894. 41
156, 371. 18
IS
193~4
National Park Bervioe
1932-33 1931-32 1930-31 1929—30 Certiffed claims
Extension of winter-feed facilities of game animals of Yellowstone National Park No year Purchase of lands, national parks No year Roads and trails, national parks, emerconstruction gency (act July 21, 1932) 1933 Roads snd trails, national parks, emergency construction 1931 Roads and trails, national parks, emergency construction (transfer to Department of Agriculture, act May 21, 1920)
1931
Roads and trails, national parks No year Roads snd trails, national parks (transfers, sct May 21, 1920): To Department of Agriculture No year To Wsr Department No year
Total general fund, National Park Service
2, 775, see. 50
158, 051. 34 57. 097. 50
eos, coo. 00 n 9, 687. 19 n I 5, 587. 19
341, 392. 81 196, 693. 51 I, 869. 59
110, 427. CO 2, 368. 392. 74 102, 252. 38
40, 224, '17
I, 243. 88 506 153 06
5, 012, 184. 59
I((
33, 780. 08
65, 724. 13 170, 676. 93 2, 339.88
995. 54
2, 883, 018. 79
477. 50 221. 040, 00
477. 50 239, 073. 68
443. 26
113, 447. 50 157, 308, 31
131.82
I, 327, 599 22
I, 021, 159. 41
11, 721. 55
1, 660, 679. 23
306, 439. 81
263, 999. 07
289, 449. 25
37, 351. 23 4, 798, 620. 53
38, 595. 11
1, 919. 12
733. 28
2 025 304 30
4, 809, 130. 66
44, 528. 74
I, 742. 77
221. 14 2, 192, 596. 85
495, 642. 93
79, 133.74 18, IOI. 80
130, 953. 09 18, 10$(. 80
7, 217. 70
9. 48
x 2. 05
I' 88, 10$. 80
3, 000, 000. 00 25, 450. 18
5, 431. Co
"I, 134. 68
2, 581, 803. 82
16, 165. 50
263, 999, 07
4()e, 140. 8)
32. 6)3. )S
296. 606. 01 I, 618. 90 18.75 995. 54
850. 59 18.75
995. 54
113, 925. 00 380, 791. 57
sn 59 160, 416. 09
44. 703. 4r 2, 539, IOS. ("2
86, 360. 92 50, 000. 00
51, 821. 40
8, 943, 526. 90
I, 145, 623. 27
5, 557, 895. 54
9, 292, 981. 88
9, 397, 647. 60
946. 82
2, 834. 88
299, 902. 13
80, 543. 03
36, 702. 34
57, 348. 19 13. 75
y
60, 862. 18
226, 278. 05
40, 520. 92
4, 880, 779. 41
1, 040, 957. 55
220, 24L 79
46, 675. 57
t7
SPECIAL FUNDS NATIONAL
PARK SERVICE
.
National Park Service, donations No year National Park Service, donations (transfer to Department of Agriculture, sct May 21, 1920) No year Purchase of lands, national parks, donations. . No year
64. 13
596. 59
596. 59
1, 000. 00
1, 000. 00
0
Total special funds, National Park Service
2, 834. 88
2, 543. 41
Total, National Park Service
8, 946, 070. 31
I, 148, 458. 15
64. 52 855. 57
210. 25
299, 902. 13
5, 857, 797. 67
80, 543. 03
361 702. 34
9, 373, 524. 91
9, 434, 349. 94
54. 13 60, 862. 18
226, 342. 18
40, 520. 92
221, 838. 38
46 675- 57
5, 102, 617. 79
1, 087, 633. 12
4, 133. 59
2, 307. 50
O
GENERAL FUND OFFICE OF EDUCATION
Salaries
1933 1932 1931
I() 282,
400. 00
255, 021. 33
"
Includes $284, 400 transferred from "Roads srnl trails, National Parks, 1933", act June 30, 1932 (47 Stat. 411) and excludes $5,975 transferred to "Contingent expenses, Department of the Interior, 1933", act Apr. 22,
Stat. 91).
Transferred to "Contingent expenses, Department of the Interior", act Apr. 22, 1932 (47 Stat. 91). I') Ret, urncd from same object under Department of Commerce. ll Returned to same object undor Department of the Interior. See note 20. » Transferrerl fro(n 1932 account, act Apr. 22, 1932 (47 Stat. 118). u Transferred to 1932-33 account. ll Heretofore stated under the Deportment of Justice. » Provi(led for snd included under "National Park Service, 1933-34. )I Transferred from 1931-32 account exclusive of $6 900 transferred to "Contingent expenses, Department of the interior, 193", ect Apr. 22, 1932 (47 Stat. 91). )I Trans(erred to 1932-33 account. See note 26. )()
~
713. 83
23, 245. 08
191. 66
83. 11
8DR 57
254, 811. 08
1932 (47
252&
810. 95
"
252, 713. 83
)I Includes $68, 104.30 returned from same object under the War Department, per note snd excludos $478, 500 transferred, acts Apr. 22, 1932 (47 Stat. 91) and June 30, 1932 (47 Stat. 411) to 1933 accounts as follows: Contingent expenses, Department of the Interior $600 Salaries, offfce of Secretary of the Interior I,'), ')(ill Surveying the public lands 7 i, (l(l(l Protecting the public lands, timber, etc 60, (l()o Contingent expenses of land offices I ( ). ( I( it) Salaries, General Land Gfflce si, O(III Salaries, Office of Educst, ion 3 t ), ( )t )( Geological Survey 28 (, l)oo » Returned to same object under the Department of the Interior. See note 28. » Includes $32, 400 transferred, sct June 30, 1932 (47 Stat, . 411), from 1933 accounts as folio)vs: Roads and trails, national parks. $30, t)00 General expenses, Oflice of Education '-', 40() ,
I
QI
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre printed in (folic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year forwhich appropriations Nas made
Unexpended
balances
On books of the Treasury
June 30, 1932
Appropriations
On books of
Treasury
To credit of dis-
AVarrants-issued
basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings
disbursing officers
Available
(see p. 7)
GENERAL FUND oFFIcE os EDUcATICN
—Continued —Continued
General expenses
1933 1932 1931 Certified claims
of secondary education
Investigation
of school finances
Investigation
of teacher training
Investigation
1932 1930-'32
1932
» $17, 600. 00 $14, 712. 14 6, 053. 76
and indefinite: Colleges for agriculture
$13, 257. 78 5, 244. 86 66. 13 2. 75
19, 622. 44
18, 571. 52
12, 553. 74 15, 602. 76
8, 190. 05 9, 651. 64
28, 156. 50
17, 841. 69
5, 633. 26
6, 572. 13
30, 000. 00 15, 000. 00 941. 52
27, 644. 89 14, 469. 89 4, 053. 98
45, 941. 52
46, 168. 76
2, 550, 000. 00
2, 550, 000. 00
2, 550, 000. 00
2, 900, 002. 75
2, 904, 164. 80
2, 891, 867, 93
15, 600. 00
14, 039. 52
14, 039. 52
6, 360. 00
6, 360. 00
6, 360. 00
2. 75
14, 294. 21 22, 488. 66
6„033.72
1, 485. 35 2, 459. 34
938. 87
1933
1931-33 1932 1931
$14, 999. 00 4, 549. 56 71. 13 2. 75
$695. 30 » 5. 00
13, 998. 14 2, 897. 90
3, 112. 46
50, 000. 00 » 15, 954. 52 ii 18, 088. 88 2, 887. 80
$2, 601. 00 10, 162. 58
$1, 741. 22
$5, 982. 63
C5
1, 740. 47 6, 885. 90
5, 849. 04
8, 410. 46
400. 46 $2, 242. 41 785. 38
$937. 50
16, 820. 09 169. 14
26, 272. 87
1, 129. 16
421 996. 34
2, 355. 11 530. 11
Permanent
and the me-
chanic arts
No year
Total. general fund, Oifice of Edu81, 398. 62
cation
8, 896. 57
6, 838. 20
SPECIAL PUND8 OFFICE OF EDUCATION
Public schools, Alaska fund»
GENERAL FUND OOVEBNMENT IN THE TEBRITORIES
Territory of Alaska: Salaries, Governor snd secretary
1933 1932
1931-32 1931
1, 170. 24
. 01 . 57
. 57 20, 399, 52
20, 399. 52
390. 24 . 01
21, 193.44
i ass
Contingent expenwn
17, 600. OO
1932 1931
?88. 75
16, 99?. 15 404. 60
1933 1931
1, ?84. 60
1, 193.36
3. 2?2 29 16, 40L 75
Legislative expenses
616. Ss
Ss4. 02
14, sla 66
15, 405. 90
7, 147. 61
2, 968. 71
35, 352. 39 5, 088. 51
5, 088. 51 42, 500. 00
35, 352. 39
66. 04 544, 652. 91
66. 04 544, 652. 91
6, 948. 53
15, 901.05
165, 036. 40 15, 846. 70
151, 031. 37 16, 842. 75
Alaska Railroad fund (transfer to Geological Survey, sct May 14, 1930) No year Alaska Railroad appropriated fund No veer Alaska Railroad appropriated fund (transfer to Qeologiesl Survey, act Feb. 14, 1931) No year
Care and custody of insane, Alaska
1933 1932 1931
Gft 04 854, 775. 18
350, 000. 00
8, 261. 03
8, 952. 52
6, 129. 05 642. 86
996. 05
.
168, 000. 00 9, 730. 00
469, 800. 00
n 494, 310. 00
1931-32 1930-31 1929-30
180, 883. 10
167, 874. 12
5?, 980. 00
2, 681. 01
468, 150. 97
446, 096. 89
69. 69 e. 00 8. 00 180. 60
59. 69 e. 00 9. 00 180. 50
520, 920. 78
448, 567. 71
4, 532. 46
192. 93
416, 300. 00
50, 298. 99
28, 756. 14 z, ?ee. 11
28, 530. 52 1, 744. 34
69. 96
69. 96
26, 037. 99
30, 344. 82
10, 700. 00
10, 110. 25 412. 58
1, 198. 33
1, 147. 67 3. 00
22, 054. 08
59. 69 8. 00 9. 00 130. 50
I, 519, 27
32, 400. 00 4, 024. 59 3, 780. 61
225. 62
122. 97
O
in intoxicating
.
1933 1932 1931
12, 000. 00
3, 146. 68 4, 834. 60
100. 67
Working fund, Department of the InVo year terior (Alaska Road Commission)
Exclusive of $2, 400 transferred to "Salaries, Ofhce of Education, 1933", sct June 30, 1932 (47 Stat. 411). » Debit balance. » Includes $13,056.62 transferred from 1932 account and $2, 897.90 from 1931 account, act Apr. 22, 1932 (47 Stat. 127). i' Transferred to 1931-33 sccoun! . See note 33. » Account transferred anil stated under "Government in the Terri!cries" ch. p. 158. '.
23, 813. 03
32, 400. 00 34, 300. 00 992. 50
312. 01
573. 20
726. 80
689. 75
2, 834. f&7
4, 834. 60
11, 01 2. 01
ii
14, 006. 03
12. 35
8. 00
1928-29 1926-27
traffic Suppressing liquors, Alaska
2, 963, 60
(")
1933 1932-33
1933-34 1932-33 1931-32 1930-31
133.76
1, 178. 74
642. 86
Construction and maintenance of roads, bridges, and trails, Alaska tt 1933-34
Reindeer for Alaska
660, 122. 27
10, 522. 83
7, 000. 00 7, 000. 00 t' Heretofore stated under War Department. Transferred to Department of the ln!crior, act June 30, I!!32 (47 Stat. 446). Transactions for the fiscal year 1933 under both the War Department nnii l)cpar! men!. oi lhc Interior are combined and stated in this account for budget purposes. » Appropriation of $494, 310 transferred to 1932-33 account, act July 14, 1932 (47 Stat 692), » Transferred from 1933 account.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
are printed in italic)
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
appropriation wss made
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations On books of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p, 6)
Funds available in 1933
for which
—
1988 Continued
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
GovERNMENT IN THE TERRITGRIEs~ontinued
Territory oi Hawaii: Salaries, governor and secretary
1933
$15, 800. 00
$14, 483. 12
$14, 219. 74
$1, 272. 92
$43. 96
$263. 38
Contingent expenses
1933 1932 1931
6, 100. 00
5, 839. 33 328. 77
5, 077. 44 988. 77
238. 87
21. 80 222. 77
761. 89
$20. 91
$20. 91
M
5, 616. 56
1933 1931
Legislative expenses
47, 000. 00
47, 000. 00
4, 854. 67
t3 2, 841. 00
44, 158. 97
420. 66
420. 66 4'I, 000. 00
44, 158. 97 'Tl
Virgin Islands;
Temporary Government for Virgin 1933 Islands for West Temporary Government 1931-32 Indian Islands for West Temporary Government Indian Islands (transfers to De. portment of Agriculture): 1931-32 Act Mar. 4 1931 1931 Act May 21, 1920
Total general fund, Government in the Territories .
ll 632, 971. 10
596, 032. 51
531, 849. 42
«199, 780. 07
74, 958. 84
33, 376. 15
14, 377. 80
$4, 200. 42
18. 360. 37
12. 67
100. 76
64, 183. 09
$108, 334. 99
6, 174. 71 6. 42
1, 102, 25
1, 054, 209. 55
124, 807. 58
2, 117, 100. 00
1, 957, 368. 93
1, 911, 021. 44
228, 586. 54 755 46
175, 890. 31
1, 381, 122. 49
1, 348, 315. 69
1, 390, 912. 56
46, 748. 34
33, 668. 46
74, 312, 96
121, 545. 69
755. 55
6, 621. 07
s 6, 9tr/j. ll
557. 15
475. 20
61
6. 48 48, 016. 80
5, 411. 42
1, 145, 901. 84
171, 155. 07
113, 467. 54
28, 296, 14
133, 293. 44
33, 668. 46
119, 629. 66 755. 46 83, 971. 97
108, 6f)6. 97
161, 767. 40
82, 004, 78
21, 202. 53
6, 094. 50
6, 370. 68 7, 080. 34
302. 39
113, 769. 93
28, 296. 14
286, 586. 05
163, 676, 53
161, 786, 73
33, 707. 56
I, 432, 487 89
334, 831. 60
14, 610. 56
SPECIAL FUNDS GOVERNMENT
IN THE TERRITORIES
Alaska Railroad special fund Alaskan reindeer fund Public schools, Alaska fund «---------Wagon roads, bridges, snd trsgs, Alaska fund II Funds contributed for improvement of 'I roads, bridges, snd trails, Alaska Special deposit accounts
Total special funds, Government in the Territories
Total, Government tories
in the Terri-
iVo year
No year No year No year
M
t3 124, 874. 66
70, 892. 09 69, 116. 06
No year
1, 620. 95
369, 350. 15
252, 579, 7'1
1, 556, 037. 59
I, 496, 735. 62
1, 585, 638. 86
I, 423, 559. 70
877, 387. 35
3, 673, 137. 59
3 454 104 55
3r 496, 660. 30
224. 18
479. 37 8, 701. 19
14, 610. 56
GJONEEJkL FUND B evarrcrxslzs
Columbia Institution for the Deaf
Freedmen's
1933 1932 1931
126, 000. OO
Hospital«1933
146, 740. 00
1932-33 1932
Howard University
675, 000. 00
1933 1932 1931
Howard University, emergency construction Howard University, buildings. Classroombuilding, Howard University Dortnitory buildings Nos. 2 and 3, Howard University Dormitory building, Howard University Construction and equipment, chemistry building Howard University. Hest, light, and power, plant, Howard University Library building, Howard University Reconstructing heat, light, and power system, Howard University
.
St. Eli zabeths Hospital
120, 389. 29
120, 389. 29
120, 389. 29
120, 389. 29
135, 841. 76 148. 89 I 06. 60
135, 841. 76 f68. 89 fOJ&. 60
135, 588. 87
135& 588. 87
649, 998. 93 39, 463. 99 381. 27
619, 063. 12 53, 913. 23 381. 27
689, 844. 19
673, 357. 62
140, 511. 14
143, 061. 76
45, 655. 41 904. 01
1931-32 No year No year
140, 630. 28 1, 059. 48 447, 323. 98
14, 516. 61
4, 925. 29
25, 000. 00
I, 566. 43
1, 671. 50 3. 970. 67
No year
363, 953. 04
No year No year
381, 763. 44
3, 749, 89
221, 977. 88
723. 78
- -
- - - -
---
«130, 001. 53
« I& 242, 853. 00 167, 370. 01 80, 672. 92
Total general fund, benedciaries » Includes $205, 971.10 transferred Apr. 12, 1932 (47 stat. 129).
20, 406.
00--
16. 68
102. 46
2, 374, 6'I
11& 337. 22
1, 053. 01
421, 270. 97
15, 229. 21
9, 941. 74
342. 94
351, 476. 74
2, 191.62
10, 000. 00 5, 000. 00
1, 676, 24 6, 758. 17
248. 76 657. 79
449, 751. 24 376, 105. 65
8, 323. 76 1, 991. 72
200, 000. 00
190 805. 79
16. 68
21, 961. 20
2 917 99
5, 000. 00 795& 414. 70 71, 868. 86
1, 248. 00 703, 712. 83 61, 866. 70 6, 908. 68
144, 683. 03
125, 001. 53 233, 427. 95 236, 648. 55
3, 752. 00 91, 701. 87
6, 908. 88 8. 17
85&
69, 327. 32 2, 374. 11
575 55
3. 17
8. 17 648, 809. 33
14, 246. 45
No year
587& 000.
00
3, 346, 29
No year
1, 013, 000. 00
4, 291. 82
o 860, 000. 00
410, 809. 05
410, 589. 57
720. 78
175 470 17
3, 565. 77
291, 633. 25
266, 387. 41
66. 72
471 300 03
29, 537. 66
250, 000. 00
«250, 000. 00
No year 27, 267. 20
16, 789. 78
1, 677. 41
16&
701. 98
8, 125. 57
1931
37, 000. 00
14, 632. 61
3, 544, 294. 38
69, 837. 08
No year
from "Temporary
Governmeat
10, 477. 42 8&
2, 782, 594. 53
30, 848. 91
43, 338. 10
2, 812, 404. 09
2, 685, 743. 09
for West Indian Islands, 1931-32", act
«This account, was credited with $6, 244. 61 returned from 1931-32 account snd $6.42 from 1931 account under the Department of Agriculture and charged with f 205, 971.10 transferred to "Temporary Government for Virgin Islands, 1933", act Apr. 22, 1932 (47 Stat. 129). Returned to same object under Department of the Interior. See note 40. «Heretofore stated under "0)IIce of Education", Chapter. Transferred to Departmeat of the Interior, act of June 30, ii i)ere!&&fore stated under War Department. 1932 (47 Stat. 416.) Transactions for the Qscal year 1933 under both the War Department and Department of account for Budget purposes. in combined and stated this the Interior are &&
522. 74
14, 246. 45
No year
30, 935. 81 67. 37
12, 133, 36
723, 856. 25
No year
3, 938. 14 6, 191.42
21, 062. 93
3, 970. 67
460, 000. 00
1932 1931 1928
382. 52
I, 671. 50
No year No year
1931-32
10, 515. 72 148. 39
I, 059. 48
1933-34 1933
Buildings and grounds, St. Elizaberhs Hospital and dining haR Continuous-treatment and kitchen buildings, St. Elizabeths Hospital Male receiving building, St. Elizabeths Hospital Female receiving building, St. E lizabeths Hospital. Medical sad surgical building, St. Elizabeths Hospital Repairs to buildings, St. Elizabeths Hospital, emergency construction Tuberculosis building, St. Elizabetbs Hospital, emergency construction
2, 558. 49 202. 25
5, 052. 22
202. 25 500. 29
«Additional
I, 765. 21
125. 57
221. 22 95, 786. 80
184, 806. 87
929. 87
2, 143. 42
3, 161, 702. 70
196 498 08
5&
72, 188. 45
disbursements were made for this object under the District oi' Columbia, p. 346, :imountin to ji Includes $130,001.(i3 transferred from "Pension money, st. Elizabeths Hospital", (trust fund), oct Feb. 17 1933 (47 Stat. 85!!), «Exclusive of!52800 transferred to "Contingent expenses, Department of the Interior, 1933", act Alir. 22, 1932 (47 Stat. 91) . a Transferred to 'Female receiving building, St. Elizabetbs Ilospital", act Feb. 17, 1933 (47 Siiii. sar). «Transferred from "Male receiving building, St. Elizabeths llospital". See note 17. $234, 862.77.
t3 C&
isj
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
made
Unexpended
to appropriations
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p, 6)
Funds available in 1983
for which appropriation wss
—
1088 Continued
balances Appropriations
Treasury
balances June 30, 1933
On books of the Treasury
June 30, 1932
On books of
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings
Available
disbursing cff)cere
(see p. 7)
TRUST FUNDS BENEFICIARIES
Personal funds of patients, St. Elizabeths No year Hospital Pension Inoney, St. Elizabeths Hospital No year Unclaimed funds of discharged patients, No year patients, St. Elizabeths Hospital
$219, 970. 00 718, 480. 07
$2, 496. 69
$153, 578. 43
4, 932. 88
«so, set. 99
$158, 164. 20 32, 000. 00
$146, 032. 70 29, 864. 76
$215, 384. 23 655, 655. 15
152. 56
4, 255. 96
4, 408. 52
c5
942, 706. 03
7, 429. 57
122, 906. 07
1901164.20
175, 897. 46
4, 487, 000. 41
77, 266. 65
2, 905, 500. 60
3, 002, 568. 29
2, 861, 640. 55
No year
229. 35
114. 30
114. 30
365. 29
No y'esr
15, 109. 23
14, 524. 23
14, 524. 23
585. 00
No year 1933
1, 170. 56 1, 000. 00
1, 170. 56
1, 170. 56
Total trust funds, beneficiaries
Total, benedciaries
$14, 628. 19 7, 068. 12
875, 447. 90 $95, 786. 80
$184, 806. 87
$72, 188. 45
4, 037, 150. 60
21, 696. 31 218&
194. 39
GENERAL FUND INTERIOR) CIVILi MI9CELLANEOU9
Claims for damages, act Dec. 28, 1922, Department of the Interior, civil Judgments, Court of Claims, Department of the Interior, civil Judgments, United States Courts, Department of the Interior, civil Payment to Marion F. Blackwell Relief ofEstate of Moses M. Bane Copper Ridge Mining Co Mrs. Amy Dysert= Knud O. Flakne Great Western Coal Mines Co Berts C. Hughes N. F. Inman H. H. Lee William A. Lester Zetta Laster Harold W. Merrin Lymsn L. Miller Jack Schneider Alfred SoBom Special deposit accounts
No No No No No No No No No No No
No No No
year year year year year year year year year year year year year year
miscellaneous
102. 64 151.60 16, 600. 00 500. 00
102. 64 233. 75
100. 00. 400. 00 124. 35 400. 00 3, 459. 25 726. 00 60 459 248
2, 578. 99
1, 000. 00 1, 080. 00
1, 080. 00 515. 00
Total general fund, Interior, civil,
M
515. 00 102. 64 151. 60 16, 600. 00 500. 00 102. 64 233. 75 100. 00
400. 00 124. 35 400. 00
400. 00
3, 459. 25 726. 00
3, 459. 25
16
459, 248. 16
39, 675. 62
515. 00 102. 64 151.60 16, 600. 00 500. 00 102. 64 233. 75 100. 00
38, 699. 97
726. 00 20, 499. 97
59, 199. 94
438, 748. 19
3, 554. 64
438, 748. 19
SPECIAL FUNDS Special deposit accounts
» 72, 487. 96
6'9,
Ies. 90
124, 611. 15
TEUfgT FUNDS INVEBIOB, CIVIL, NISCZLLANSOCS
I
Effects of deceased employees, Department of the Interior, civil No year Ifncjafmed moneys of individuals whose whereabouts sre unknown (Interior, civil) No year
86. 11
86. 11
400. 95
400. 95
487. 06
487. 06
Total trust funds, Interior, civS, miscellaneous
Total, Interior, civil, miscellaneous Interior, Summary, civil, excluding pensions: General fund Special funds Special funds (special deposit accounts) Trust funds
Total.
3, 066. 05
531, 736. 12
39, 675. 62
38, 699. 97
7, 076. 74
28, 141, 485. 40 5, 957, 226. 49
1, 988, 325. 45 836, 742. 80
44, 093, 562. 83 7, 772, 186. 81
42, 574, 750. 76 8, 280, 396. 18
42, 380, 619. 24 8, 457, 121. 86
1, 133, 830. 02
89, 522, 47 7, 429. 57
129, 073. 02
190, 645. 64
86, 684. 56 176, 378. 90
35, 232, 541. 91
2, 922, OK. 29
si, 994, 822. 66
51, 045, 792. 58
50, 948, 435. 44
410, 000. 00
407, 983. 29
i
380, 168. 33
380, 168. 33
861, 670. 76 304, 619. 18
178, 061. 99 32, 277. 56
4, 041. 70
563, 359. 35
28, 240, 396. 39
2, 182, 456. 97
5, 112, 120. 38
660, 017. 12
1, 072, 257. 40
155, 207. 03 21, 696. 31
1, 166, 289. 94
210, 339. 55
34, 424, 774. 17
3, 019, 377. 48
41, 829. 10
3, 889. 61
4, 281, 29
2, 016. 71
1, 000. 82
10 5, 090. 46
GENERAL FUND INDIAN AFFAIRS SALARIES AND GENERAL EXPENSES
Salaries, Bureau of Indian Affairs
Pay of judges, Indian couris
1933 1932
. 10
1931-32
5, 786. 23
1933 1932 1931
1933 1932 1931 1929
Pay of Indian police
I 460,
,
indian Service
.
1933 1932
1931-32
80$, 05
354. 55
I 17, 000. 00
255. 00 692. 50
I 160, 000. 00 851. 15 1, 846. 30
5, 399. 78
43. 78
783. 82 3, 134. 01
15. 04 398. 99
Includes 860,000 transferred, act June 30, 1932 (47 Stat. 411) from accounts as follows: 87, MO Indian school buildings, 1933 7, 500 Indian school buildings, 1932-33. 15, 000 Improvements, Fort Hall irrigation project, Idaho, (reimbursable) 1932-33 15, 000 Conservation of health among Indians, 1931-33 - 15, 000 Roads, Indian reservations, 1932-33 I includes 82, 000 transferred fron& "Roads, Indian reservations, 1932-33", sct June 30, 1932 (47 Stat. 411). 1932-33", "Indian school buildings, sct June 1932 Stat. 30, (47 411). from transferred I [nciu&ies 810,000 &
409, 694. 95
408, 032. 79
15, 640. 06 &f06. 03
14, 815. 02
O lsj
347. 72
1, 012. 22 760. 03
825. 04
3, 553. 99
5, 039. 23
5, 862. 55
351. 97 692. 50
Certtfied cia&ms.
Field representatives,
000. 00
15, 135. 03
15, 166. 99
151, 406. ?8 5, 688 g6 S. 83 f. 98 43. 78
145, 544. 23
149, 116. 89
148, 654. 12
19, 956. 43 579. 74 I, 102. 09
19, 802. 14 594. 78 1, 501. 08
21, 638. 26
21, 898. 00
w w
3, 071. 32 8. 83 f. 98 43. 78
8 3, 179. 61
I, 849. 53 1. 98
1, 323. 43
720. 14 159. 08 2, 031. 92
Exclusive of 8130,001.53 transferred to "St. Elirabeths If ospitsl, 1933-34". See note 45. Exclusive of 872, 487.96 stated as a special fund account in 1933,
» See note 50.
154. 29
Receipts and ezpenChtures, [Debit transfer appropriations
(net) and repayments to appropriations
Fiscal year
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
—Continued
sALARIEs AND QENERAL EZPENsE8
—continued
Qeneral expenses, Indian Service
1933 1932-33 1932 1931-33 1931-32 1931
Indian agency buildings
Purchase and supplies
are printed in ttalfc]
Op books of the Treasury
Appropriations
Treasury
Investigating Indians
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERA. L PUND
—Continued
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
IM8
1933-34 1933 1932-33 1932 1931-33 1931-32 1931 Certified claims
claims of individual
transportation
2, 085. 82 5. 27
50, 800. 00 165, 000. 00 26, 000. 00 61 857.
16
29, 646. 06 9, 026. 42
4, 000. 00 13, 828. 10
10, 432. 41 85. 00
&
26, 630. 90
f
so, eso. eo 14. 80
$14, 677. 30 2, 742. 52 2, 863. 13
$715. 57 140. 58
19.49 1, 517. 71
648. 62
6. 2T
6. 27
22, 489. 04
21, 825. 42
42, 000. 00 154, 305. 47 22, 593, 73 1, 69S. 01 18, 937, 39
34, 764. 14 143, 229. 16 23, 483. 86 12, 056. 34 15, 324. 78 2, 916. 05 226. 82
7, 618.36 141. 82 14. 80
8, 420. 95 7, 491. 56 2, 910. 47 8, 550. 17 4, 676. 01 10, 531. 52
$379. 05
3; 202. 97 495. 80
' $2, 700. 00
317. 50
$607. 13 352. 35
7, 235. 86 11, 076. 31 3, 109.8T 78. 75 3, 612. 61
8, 884. 60
14. 80
228 783 84
232, 015. 95
268. 14
35. 61
16. 31
19. 80
283. 9S
of Indian 1933-34 1933 1932-33 1932 1931-32 1931 1930 1929 Certined claims
Suppressing liquor tranic among Indians
Telephone line from Flagstaff vents, Aria
$295. 86
$15, 284. 43 3, 094. 87 2, 567. 27 19.49 I, 517. 71
Sioux 1930-32
. .
$5, 802. 72
$16, 000. 00 &3, 23A45 &s, ssb. 45 & 56L 11 & 568. 11
1933 1932 1931 1930
50, 000. 00 640, 000. 00 o 40, ooo. 00 &I 234, 000. 00 u 58, OOO. OO 210, 000. 00 &
47, 600. 00 99, 650. 34 61, 065. 90 594. 53 24, 892. 95
I, 567. 23 5, 641. 64
2. 71
100, 000. 00
4, 970. 37 7, 182. 52
9, 495. 66 7. 91
7, 300. 00 670, 132. 16 4, 728. 12 814, 926, 32 I, 057, 37 195, 866, 97 $8. 64 103, 70 2. 71
333. 16
11;63 5, 308. 20
546, 683. 09 2, 319. 87 320, 467. 96
$533. 32
I, 057. 37 195, 866. 97 se. 64 108. 70 2. 71
I, 093, 883. 80
I, 066, 600. 79
83, 128, 81 8, 860. $6 o. 66
79, 157. 18 7, 145. 40 1.75
1.OO
1.OO
80, 76'T. 39
80, 2'99. 83
2, 871.88 18, 190. 70 I, 008. 53 14, V'ZI. 66
6, 966. 48 23, 449. 84 60 3,
9'
24, 919.59 103. 70
4, 18(L 07
7, 699. 99
I, 073. 33 7, 192. 18 1.00
to Ka1929-30
42, 688. 37 64, SS9.6S
2. 69
4, 99L 63 6, 247. 30
8, 971.13
Telephone Hu&z& between Gallup aud Znnf Agency and within Jicarala Res1931-32 ervation, N. Mex Vaaey Telephone Hoes 1'rom Hoops 1931 Agency to Korbel, CaHf Telephone Hne from Nespelem to Wilbur, Wash. , snd from Wellpinit to Rear1931 dsn, Wash Telephone lines, Southern Navsio Res1931 ervation, Ariz Telephone lines, Southern Navajo Res1931 ervation, Ariz&, emergency construction Telephone line from Tulaross, N. Mex. , 1931 to Mescslero Agency
Total
salaries
general fund, general expenses
.
12. es
2, 97
17.35
1'I. 35
2. 48
1, 432. 93
1. 67
1. 67
1.57
70. 66
70. 66
1, 503. 58 4. 68
4. 68
and 340, 422. 40
52, 317. 75
29, 706. 07 57, 129. 29
15, 905. 66
2, 025, 861. 29
2, 021, 421. 54
2, 000& 445. 31
47, 877. 43
I, 810. 46 71. 54
14, 695. 21 71. 54
57, 057. 75
1, 138. 91
14, 766. 75
eo, 949. 4e
14, 197. 07
221, 838. 19
EDUCATION
1930-32 1930-31
Indifln schools
Indian schools: Additional equipment
furniture
30, 916. 52
and 1931
6, 768. 75
1933-34 1933
Indiaa school support
931.70
921. 70
7, 690. 45
tzl
(ia)
'f 3 437 200. 00
3, 217, 251. 85
3, 05'I, 818. 04
154, 832. 16
35, 958. 43
62, 900. 00
26, 944. 40 300. 19
206. 54
9, 118.33
254. 27
171, 860. 21 961. 18 66. OO 1.61 254. 27
27, 432. 25
173, 009. 05
89, 563. 98
65, 958. 03
13, 197. 4$ 117.70
18, 127. 22 117. 70
13, 079. 7$
18, 244. 92
074. 97 7, 963. 06 995. 25
52, 868. 69 19, 324. 57 995. 25
12. OO
1$. OO
1.34
1. 34
75, 019. 94
73, 175. 17
157. 56
159, 433. 81
63, 843. 73 34, 018. 63
244. 83
29&
Igl
1932
Indian schools, support
1931
37, 213. 00 34, 318. 82
145, 160, 64
660. 99
1929 1928
66'. OO
1.61
Certified claims
Indian school subsistence, summer months.
Indian schoolsi months
Subsistence
Indian school transportation
254. 27
1933
98, 000. 00
1932 1931
1933 1932 1931 1928
7, 473. 84 14, 163. 66
31, 324. 64
"96, 040. 00 29, 235. 08 8, 979. 78
11, 361, 51
Transferred from 1932 account, acf, Apr. 22, 1932 (47 Stat. 94). i Transferred to 1932-33 account. l Transferred from 1931-32 account, act Apr. 22, 1932 (47 Stat. 94). f Transferred to 1931-33 account. Act June 30, 1932 (47 Stat. 412) provides for a reduction of 10 percent oi' the limit of cost of construction] includes $40, 000 transferred from 1932-33 account, act Apr. 22, 1932 (47 Stat. 94). i' Transferred to 1933 account. if Includes $5g, ooo transferred from 193!-32account, act Feb. 14, 1931 (46 Stat. 1119). &
&
0
8, 436. 02
23, 605. 95
&8&
summer
66&
1927
f
65. 00 1. 61
H
20, 671. 26
0
14, 045. 96
121& 11
29, 843. 92 21, 272. 02
13, 206. 28
7, 984. 53
12. 00 1. 34
» Transferred to 1932 accouat, . » Appropriation of $250,000 transferred to Indiaa service supply fuad, 1933-34, a('t Jsn 12 1927 (44 Stat. .i' Includes $200, 000 transferred from "Indian Service supply fund, 1932-33", sct Jan. 12, 1927 (44 Stat 93!f) sad excludes $34, 300 transferred to "Support of Indians snd administration of Indian prnpcrty, lg33", fl(t June 30, 1932 (47 Stat. 411). » Exclusive of $3 960 transferred to "Support of Indians and adiniaistrst ion of Indian property, act June 30, 1932 (47 Stilt. 411). 939)
Receipts and expenditures, iDebit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued
Indian boarding schools
1933-34 1933 1932-34 1932-33 1932
1931-33 1931-32 1931 1930-32 1930-31
ae
Indian school buildings
1933-34 1933 1932-33 1932 1931-33 1931-32 1931 1930-31 1929
Indian
$13, 500. 00
» 4, 365, 500:00
$4, 059, 215. 32
$3, 900, 073. 77
2, 154. 09 aa4 50
6, 000. 00 168, 841. 54 85, 05?. 16 135, 868. 95 10, 468. 08 17. 00 10, 86 34. 37 2, 133. 73 839. &4
152, 180. 66 198, 442. 40 94, 062. 21 155, 915. 70 796. 64 4. 36 34. 37 2, 134. 73 Geo. 94
157. 97
e. 8? 15?.97
157. 97
4, 335, 431. S2
4, 503, 462. 61
» 27, 000. 00
$357, 500. 00 33, 898. 61
aae?, BOO. OO
$37, 000. 00 224, 455. 52
aa
243, 072. 43 42, 766. 35 256. 20 5, 149. 33
166,'350. 79 779. 64 14. 62
aa
224, 118.47 NS, 678. 47
1. 00
1930 1929 1928-31 1928 CertiOed claims
Pub)fc school buildings, vations, Arfsons
are printed in itauc]
On books of the Treasury
Appropriations
Treasury
znucarroN
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERA. L FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1088 Continued
$17. 62 215, 148. 28 a
$39, 000. 00
2, 418. 50
11, 400. 00
1, 283. 80 45. 23
129. 39 a
138, 700. 00 4, 059. 81 30, 660, 96 8, 614. 89 1, 640. 77
28, 300. 00 13, 836. 83 44, 854. 40
192, 000. 00 n 266, 860. 00 aa 80, 040. OO aa
29, 002. 80
aa
8O, OO8. SO
22S. 60
28, 000. 00 251, 627. 49 73, 317. 72 8, 666. 50 10, 216. 89 10, 998. 85 1, 758. 55 220. 22 228. 60
266. 46
a
13, 200. 00
11, 160. 39 10, 160. 12 33, 857. 11
1, 768. 65 220. 22 228. 50
361, 710. 52
867, 885. 07
Sf. 10
17. 34
$159, 141. 55 5, 000. 00 53, 660. SS 955. 96 41, 806. 74 12. 06
5, 114.96 20. 36 344. 44 31. 80 6. 67
929. 31 236, 073. 72 63, 507. 15
9, 441. 11
$13, 482. 38 26, 145. 35 22, 000. 00 115, 939. 96 49, 385. 27 75, 560. 72 24 776 76
42, 749. 35
31. 80 6, 41
$64, 991. 05
7, 057. 57 1, 9)2. 02
169. 20 29. 52
164& 000. 00
27, 070. 69
8, 174. 94 30, 230. 26 6, 725. 31 18, 626. 71 12, 621. 99
15, 563. 77 38, 110.67 20. 94 56. 77 3. 94
6, 756. 14 1, 420. 55
reser-
1931-32 1931
36. 26 83. 07
98. 44
81. 84
.14
117.36 83. 21
17. 20
Construction of dsy glnd equipment school, Turtle Mountsfn Reservation, 1929-31 N. Dak. Industrial boarding school, Shoemaker No year Esy, Alsslrs Indian boarding schools: 1933-34 Chilocco, Olds. , girl's dormitory Truxton Canyon, Aria. , power plant 1933-34 snd equipment
.
1&
1, 389. 83
389. 83
4, 603, 61
'4, 206. 00
10, 977. 05
15, 183. 05
40, 000. 00
40, 000. 00 32, 000. 00
297. 61
20, 000. 00
602, 09
12, 000. 00
19, 397. 91
oa
Xn&f}aa school bun&Bags,
eto. r
Charles H. Burke School, Fort Wingate, N. Mex. , heating system
1931-33
234. 95
92. 34
38. 18
70. 18
6, 294. 03
25, 000. 00 2, 498. 27
6, 189.23
27, 498. 27
26, 736. 22
65, 000. 00
54, 350. 11
507
» 18, 456. 28
17, 388. 25 18, 147. 16
15, 244. 02 5, 431. 42
5, 241. 10
20, 675. 44
61, 167. 06
41, 869: 76
Leupp Indian School snd agency, snd Arizona, Sood protection 1933-34 1932-33
drainage
Indian school, Oglsla, S.Dsk. , build1932-83
ings
Indian school, Pawnee, Okla. , build1931-3S 1931-32
ings
school, Pipestone, Minn. , 1932-33 buildings Indian school, Sacaton, Ariz. , build1933-34 ing Sherman Institute, California, build1931-32 ings and sidewalks
6, 309. 13
17, 578. 57
cc
18, 668. 88
Indian
..
Education of natives in Ala:ka
Medical relief in Alaska
1933-34 1932-33 1931-32 1930-31 CertiQed claims.
1933-34 1932-33 1931-32 1930-32 1930-31 Certified claims. ,
Recording Indian sign language Recording Indian sign language (transfer to Department of Agriculture, act May 21, 1920)
Indian schools, Five Civilized Tribes
75, 000. 00
c
7
6
SQQ QQ
7, 500. 00
260. 01 30. 78
4, 239. 99
470. 95
4, 45S. 01 2, 60S. 07
1, 805. 56
2, 344. 33
4, 337. 71
759. 20
2, 144. 23
5, 684. 72
19, 297. 30
648. 22
65, 000. 00
65, 000. 00 442. 08
540, 015. 63 36, 077. 78
13, 412. 93
32. 21
5, 054. 76
160, 000. 00 483, 806. 90 64, 890. 25 9, 959. 20 480. 44
56, 940. 12 502, 349. 06
719, 136. 79
654, 203. 07
65, 000. 00 187, 476. 61 20, 249. 61 8, 268. 51 488. 11 48. 28
14, 499. 06 196, 595. 30 39, 614. 61 8, 268. 51 327. 59 48. 28
280, 576. 90
259, 353. 35
5, 022. 55 600, 000. 00 55, 000. 00 33, 518. 59
65, 714. 18
77
30, 194. 79 3, 330. 27
480. 44
281, 600. 00
231, 800. 00 38, 270. 45
33, 638. 25 22, 010. 82
3, 030. 29
793. '70
481. 73 8, 268. 51 48. 28
1931
42. 72
1931 1933 1932 1931
186. 52
77
7'
6, 425. 55 8, 355. 09
15, 928. 53
w
—
—
81, 143. 98 13, 289. 47 480. 44
w 188. 68 395, 000. 00
409. 87 570. 08 2'1, 004. 24
35, 076. 41 160. 00
439, 429. 92 49, 128, 08 4, 546. 12
d
103, 059. 88 47, 172. 02 13, 941. 06
3, 453. 73
0Ixj 9, 904. 70
14, 977. 21
830. 61
216, 600. 00 19, 441. 48 17, 671.96
50, 500. 94 24, 519. 56 2, 645. 82
0, 417. 53 15, 000. 09
9, 425. 72
3, 496. 40
229. 24
186. 52
386, 355. 46 8, 674. 61 3, 380. 75
376, 929. 74 7, 353. 99 3, 380. 75
381, 161. 67
387, 664. 48
of 10 percent of the limit of cost of construction. Act June 30, 1932, provides for a reduction Fcxclusive of $250 OOO transferred to" Indian Service supply fund, 1933-34",act Jan. 12, 1927 (44 Stat. 939). "Indian service supply fund, 1932-33", act Jan. 12, 1927 (44 stat. 939), from transferred 77 lac}a&less $2oo, ooo Sioux Nation", act June 30, 1932 (47 Stat. 411). and exclude&sc$s2&}, QOO Cransferrc&l to "Education, Feb. act, 17, 1933 ( Stat. ). 1932-33 account, from ls Transferred $27ooo ives trsnsferrod to 1932-33 account sad $4300 to "Support of Indians and sdminis. 7& (}ft}lie llnlourlr 1932 1933", June (47 stat. 411), act 30, proilcrty, tration of in&lian transferred to fr;rnafcrre&} from 1931-32 account, act Apr. 22, 1932 (47 Stat. 102, 104) exclusive of $4, 560 1933", act June 30, 1932 (47 Stat. 411). Indian property, adraiuistration of and 'up}tort of la&liana -' Transferred to 1931-33 account. from the surplus fund, act Msr 37 1875 (18 Stsi 418 ee& 5) 7& Recstablished 7& Exclusive of $8, 140 transferred, act, June 30, 1932 (47 Stat. 411) to 1933 accounts sa follows: $77 500 Scslaries, Bureau of Indian Afiairs 640 Support of Indians and administration of Indian property 7
7&r
012. 40
257. 11
"T'
2, 227. 01
4, 974. 34
f.
aferred act June 30 1932 (47 Stat 411) to 1933 accounts, ss llo s: Salaries, Bureau of Indian Aifsirs ------. $7. 50O Pay of Indian police 10, 000 Support of Indians and administratioa of Indian property 2, 540 » Transferred from 1931-32 account, act July 1, 1932 (47 Stat. 534). rc Transferred to 1931-33 account. » Transferred from 1931-32 account, act Apr. 22, 1932 (47 Stat. 104), cs Includes $40, 000 transferred from "Conservation of health among Indians, n ious, 1933,, acti, 1Junc 30, 1932 (47 Stat. 411). Returned from same obJect under the Department of Agriculture. 80 Returned to same ob)ect under the Department of the interior. See note 29, » Exclusive of $5, 000 transferred to "Support of Iadians and administratio is ra on o 1 In d'ian property, }9&3, act June 30 1932 (47 Stat 411)
"
7&r
"
7-&
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
EDUcATIGN
in excess of e*'penditures are printed in (tat(el
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropI'Iations was Inade
—
I888 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20,
Impounded salary savings
1874
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued
Support of Chippewas of the Mississippi, Minnesota [Trestyl
.
1932 1931
$100. 00 383.80
$379. 00
$110. 91
8100. 81 $383. 80
27L 09 C5
Education, [Treatyl
Sioux Nation, South Dakota 1933 1932 1931 Certified claims
» $370, 000. 00 1, 832. 78 3, 337. 81
2. 75
1, 990, 509. 62
Total general fund, Education
37, 387. 47
970, 374. 34
10, 556, 799. 63
339, 712. 53 709. 18 225. 36 2. 75
328, 601. 80 36, 668 58 225. 36 2. 75
339, 231. 46
365, 497. 99
9, 973, 667. 29
10, 091, 537. 72
$19& 489. 39
6, 229. 43 1, 854. 14
$11, 111.23
687. 82
175, 899. 62
1, 714, 106. 57
852, 503. 91
4, 568. 65
9. 71
t3
3, 112.45
238, 025. 91
.
445, 609. 76
SPECIAL FUNDS
d
EDUCATION
Annette
Islands
Reserve,
Alaska,
fund
No year from leases Car)isle Pa. , Bradford R. Wood bequest. No year Special deposit accounts
Total special funds, Education Total, Education
3, 765. 81 I, 000. 00
8¹ 11
11, 170. 44
4. 18
501. 49 4, 765. 81
11, 671. 93
1, 995, 275. 33
982, 046. 27
48, 483, 63 18, 789. 08 143. 42
108, 582. 25 387, 33 100, 23
4, 572. 92 1, 000. 00
5, 234. 20
8¹ 11
5, 230. 08
10, 556, 799. 63
9, 972, 860. 18
10, 096, 767. 80
» 1, 495, 700. 00
1, 357, 210. 39 14, 658. 94 2, 046. 07 184. 50 86. 78 19. 35
1, 311, 328. 64 120, 862. 64 210. 51 84. 87 86. 78 19.35
1, 373, 783. 52
1, 432, 368. 14
5, 129. 13
505. 61
238, 025. 91
5, 572. 92
5, 634. 74
445, 609. 76
175, 899. 62
1, 719, 679. 49
858, 138. 65
78, 894, 10
11, 644, 35 2, 648. 83
47, 951. 16 26, 155. 86
45, 883. 75 2, 328. 55 2, 172. 89
GENERAL FUND GENERAL SUPPORT AND ADMINISTRATION
Support of Indians and administration of Indian property
1933 1932 1931 1930 1929 Certided claims
19. 35
16, '143. 01 267. 92 26. 73
Bnpport aod cfvtltzatfon or Indians
4. Ss
ISSS
Certined claims
23. So
Ig. 10
19. IO Administration, bursable)
Quspaw Agency (reim1932 1931
I, 134. 04
I, 409. 65
2, 016.76
607. Sf 248. 15
248. 15
526. 83
Expenses of tribal council, Tongue River Indians, Montana 1928-31 Indian Colony on Fort Bidwell School Reserve, Calif 1931-32 vessel for Indian Service, Alaska, emergency construction No year Relief of indigent Indians 1933
.
¹w
..
.,
Village
site, homes,
Eiko, Nev
Village site, homes, Indians, Idaho
688. 27
187. 73
50, 000. 00
49, 389. 16 49, 211, 93
49, 889. 15 47, 445. 94
I' 1, 786. 43 II J, 786. 43
1, 735. 37
I, 886. 43
1, 735. 37 368. 30
48. 94
2, 103. 67
49, 586. 61
etc., for Indians, 1931-33 1931-82
2, 054. 73
197. 46 230. 78
557. 29
46. 30
5. 76
etc. , for Kootenai
Support ofSioux of different tribes, subsistence snd civilization Wisconsin Band of Pottswstomies, Wisconsin snd Michigan (reimbursable)
1930-31
83. 42
83. 42
. 93
1925
No year
500 21
500. 21
Total general fund, General Support snd Administration
113, 014. 58
114, 789. 06
I, 545, 742. 95
1, 471, 176. 23
1, 632, 039. 63
17, 839. 65
79, 170. 18
14, 293. 18
78, 052. 77
PDLFILLING TREATY STIPULhTIONS WITH SND SUPPORT OP INDISN TRIBES
Fulfilling treaties withBannocks, Idaho Chippewas, Turtle Mountain Band Columbias and Colvilles Confederated Bands of Utes Crows, Montana I'ort Eall Indians Indians of Blackfeet Agency, Mont Indians of Fort Berthold Agency Indians formerly of Lemhi Agency,
Idaho Miamis of Indians
1931 No year No year, 1931 1931
No year No year No year
No year No year
.08 1, 311.31
I, 311.31
2, 850. 19
2, 850. 19
5, 017. 87 01 1. 58 55. 22 111.90
5, 017. 87 01
.
.
1. 58 55. 22 111.90
4, 449. 40
4, 449. 40 ia gg 4g
99. 49
"
» Includes $20, 000 transferred from "Indian boarding schools, 1933, sct June 30, 1932 (47 Stat. 411). » Fxclusive of $28, 900 transferred to "Indian boarding schools, 1932-33", snd includes $124,600 transferred from the following accounts under act June 30, 1932 (47 Stat. 411): Indian boarding schools, 1932-33 Indian boarding schools, 1931-33 Indian school buildings, 1933 Indian school buildings, 1932-33 Indian school transportation, 1933 Indian school support, 1933 indian schools, I'ive Civilized Tribes, 1933Con. cr rat mn of health among Indians, 1931-33 Outa ning employment for Indians, 1933 Ro;ids, Indian reservations, 1932-33 Iniltroierncnts, Fort Hall irrigation project, Idaho (reimbursable),
1932-33.
..
$33, 200 4, 560 640 2, 640 3, 960 34, 300 5, 000 6, 700 7, 200 21, 500 6, 000
99. 49
I' Transferred from 1931-32 account, act July I, 1932 (47 Stat. 532).
» Transferred SS
to 1931-33 account. Reestsblished frmn surplus fund, act Msr. 3, 1875 (18 Stat, 418, seo. 6).
Receipts and espertCitures, [Debit transfer appropriations
(net) and repayments
Fiscal propriayear
in excess of expenditures
are printed in ifeffc]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasurv
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
VENEREAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which ap tionn was znsde
—
f988 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Aot June 20, 1874
Impounded salary savings
bursing off) cere
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
1'ULPILLING TREATY STIPULATIONS WITH AND SUPPQRT or INDIAN TRIBEs continued
—
—
Fulfilling treaties with Continued. Northern Cheyennes and Arapahoes, Montana
.
.
1933 1932 1931
$2, 717, 93
$71, 095. 85 387. 20
$1, 795. 82
834. 70
Ottstvss and Chippewas
$2, 079. 01 ~
71, 483. 05 Omahas
$68, 232. 89 2, 183. 02
$1, 825. 14 2, 330. 73
$2, 862. 96
$834. 70 Vt
70, 415. 91
t3
No year
653. 39
653. 39
No year No year
194. 88 829. 17
194. 88 829. 17 472. 97 26. 25
of Michi-
gan Pawnees, Oklahoma
51, 300. 00
1933 1932
160. 38
49, 580. 93 17. 66
49, 543. 11 143. 13
49, 563. 68
49, SIK 24
106. 35
106. 35
1, 246. 10
37. 82 hl
Pottswstomie
Nation, award of Jan.
28, 1869
Quapsws, Oklahoma Sacs snd Foxes of the Mississippi, Oklahoma
No year 1931 No year
»
166. 35
25. 35
25. 35
Ox
800. 37
2, 83?. 87
2, 037. 50
Sacs and
Foxes of the Missouri, Kansas No year 1931 Shoshones, Wyoming Shoshones snd Arspshoes in WyoNo year ming Sioux of different tribes including Santee Sioux of NebrIRIks, North 1933 Dakota, and South Dakota 1932 1931' 1929
Spoksnes, Washington Winnebsgoes
.
No year 1931 No year
?, 742. 79
7, 742. 79 7. 29 520. 37
445, 000. 00
6, 445. 85 6', 898. 49'
26, 739. 91,
414, 444. 65 275. 25 108. 18 IS. 70
402, 664, 16 26, 833, 16 108. 18 fs. 70
414, 815. 28
429, 592. 80
$1, 218. 37 253. 00
9, 914. 21 5, 917. 60
6,. 692 31
12. ?0
236, 13 31, 50
236. 13
3, 750. 30
3, ?5(t 30
11, 780. 39 182. 00
Mnnesnecc and Srcr carina paarncnes
Fulnllina 'trestles withChoctsws, Oklahoma No year St. Croix Chippewa Indians of Wisconsin No year Senecas of New York No year Six Nations of New York No year
Payment
to Lays) Shawnee
73, 640. 00
10, 520. 00
9, 182. 32 2, 306. 71 1, 506. 43
10, 000. 00 6, 000. 00 4, 500. 00
10, 000. 00 6, 091. 49 4, 485. 05
10, 000. 00 6, 091. 49 4, 485. 05
28, 442. 24 4483 449. 94
27, 779. 24 97, 779. 94
2, 469. 27 9. 29
9, IN. 32 Q,
QIL 22
I, 521. 38
Indians,
Oklahoma
1930-33 1930-32
44
27, 788. 53
Q5,
309. 97
2, 478. 56
Total general fund, fulf)iling treaty stipulations with and support of, Indian tribes
NIECELIENEOUE
EXPENSES Or INDIAN
184, 733. 03
66, 484. 64
1, 586. 31 334. 64 2, 818. 61
3, 938. 45
602, 525. 84
557, 444. 76
573, 756. 26
60, 000. 00
50, 893, 79 S, $90. 49
50, 242. 21
IO. 16
IO. I6
47, 593. 22
50, 880. 09
12, 621. 81
22, 747. 98
1, 471. 37
142, 972. 95
40, 173. 14
3, 771. 86
3, 616. 67 280. 00
1, 717. 6S 4, 596. 73
S51. SS
EEBVICE
Rrpenses in probate maffers Determining
heirs of deceased Indian
allottees
1933 1932 1931 1930
648. 03
334. 64 2, 828. 76
t3
Probate attorneys, Five Civilized Tribos, Oklahoma
1933 1932 1931 1930
264. 72 579. 52 1.95
30, 000. 00
27, 324. 91
21. 15
649. I 8 SI. 76 23. 10
2, 611.96
26, 859. 14 2, 069. 78 SI. 76
1, 651. 15
1, 023. 94 806. 90
465. 77
O
601.27
23. 10
26, 784. 08
28, 930. 27
102. 63 199, OS
102. 63
M
Indian lands
Advertising bursable)
solo of Indian lands
.. .
. ..
O
(reim1933 1932 1931
500. 00
224. 5(' 268. 01
129. 03
263. 01
$8. 40
Compensation toCochiti Pueblo, N. Mex. , for loss of land snd water rights.
.
Crow Indians for Custer Battle Field Nai, ional Cemetery Islets Pueblo, N. Mex. , for loss of land snd water rights
1933 1932-33 1932
7, 811.62
1930-31
2, 830. 00
102. 63
13, 130. 56 7, 311.62
13, 130. 56 7, 311.62
&4
1932-33 1932
397. 37 353. 63
«7, SII. SS 2, 830. 00 44
1, 532. 21
1, 532. 21
1, 532. 21
1, 532. 21
« I 6SASI 1, 532. 21
» 4'
Reestablished Irom surplus fund, sct Mar. 3, 1875 (18 Stat. 418, Sec. 5). Transferred from 1930-32 account, sct Apr. 22, 1932 (47 Stat. 97, 102).
» Transferred to 1930-33 account.
Transferred from 1932 account, act Apr. 22, 1932 (47 'i Transferred to 1932-33 account.
44
stat. 96).
Receipts and expenChtures, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 [(see p. 6)
Funds available in 1933
are printed in ifaiicj Unexpended
balances June 30, 1933
Fiscal year forwhich appropriation was made
Unexpended bslances June 30, 1932
Appropriations On books of
Treasury
GENERAL FUND MISCELLANEODS EXPENSES
On books of the Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
bursing officers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary ssvhlgs (see p. 7)
disbursing oiitcers
Available
—Continued
or
INDIAN
SERVICE—
continued Irafian far«fr
—Continued
—
Compensation to Continued. Laguna Pueblo, N. Mex. , for loss of land and water rights Nambe Pueblo, N. Mex. , for loss of land and water rights
1933
$33, 566. 47
1933 1931-33 1931-32 1929-33 1929-32
«11,675. 00 « if, 676, 00 «17, 500. 41 «17, 600. 41
$33, 566. 47
1. 40 $11, 675. 00 16, 961. 56
$538. 85
1.40 11, 675. 00 $503. 00 688. 86 3A 86
Pecos Pueblo, N. Mex. , for loss o! 1932 land and water rights Picuris Pueblo, N. Mex. , for loss of 1933 land snd water rights Pojosque Pueblo, N. Mex. , for loss 1933 of land and water rights Ssn Juan Pueblo, N. Mex. , for loss of 1931-33 hnd and water rights 1931-32
Santa Ana Pueblo, of land and water Santa Clara Pueblo, of land and water
16, 997. 41
503. 00
28, 145. 00
28, 145. 00
27, 522. 74
3, 421. 31
15, 625. 69
15, 625. 69
56, 624. 21
56, 524, 21
II 29, 407. 38 «ge, 407. 58
2, 295. 70
", 237. 72
I, 884. 64
1, 536. 67
41L 06
3, 774. 39
27, 111.68
1932
952. 65
1933 1932
86, 821. 87
N. Mex. , for loss rights
Non-Indian claimants, pueblo lands, New Mexico Santo Domingo Pueblo, N. Mex. , for loss of) snd and water rights
San Felipe Pueblo, N. Mex. , for loss of land snd water rights
Ssn Ildefonso Pueblo, N. Mex. , for loss of land snd water rights
952. 65 27, 154. 87
27, 154. 87 86, 821. 87
232, 086. 80
232. 086. 80
«2, 522. 80 a 8, 68A80 «13, 888. 20
2, 522. 80
2, 522. 80
13, 888. 20
« f3, 888. 30
1933 1929-33 1929-82
20, 341. 10
«20, 341. 10 «80, 341 . IO
1933 1931
6, 147. 12
1933-34 1932-33 1932 1929-33 1929-32
21, 860. 88
$57. 98
co
N. Mex. , 'for loss rights
cn
13, 888. 20
21, 860. 88 20, 341. 10
73. 27 6, 147. 12
San&as pueblo, N. a&ter. , ror loss or 1SSS-SS lend snd mater rights ISSS
~&
«16, 972. 79 «18, 878. 78
IMl-33 18, 971.90
1929-62
Taos Pueblo, N. Mex. , for loss of land snd water rights
1931-33 1931-32
«27, 631.85 «$7, 881. 88 «27, 615. 21
27, 631. 85
1929-'33
1929-32.
18, 797. 00
12, 171.69
~
'8T, 818; 81
Tesuque Pueblo, N. Mex. , for loss of 1932-33 land sad water rights.
..
Counsel for Pueblo Mexico
Indians
1932
~
3, SSS.SS
3, SSS 35
e 8, 888. 88
6, 211.57
5, 942. SS
6, 210. 68
5, 942. 39
.89
838. 40
27, 631.85
10, 283. 19 8, 880. 80
10, 280. 69 3, 351.29
1, 462. 89
13, 631. 98
17, 830. 02
426. 23
«426. 23 n 588 88
426. 23
of New
1933'-
3, 700. 00 148. 20
1932 1931
3, 379. 84 70. 58
$333. 13
333. 13 3, 309. 29
Disposition of affairs of Eastern Band of Cherokees in North Carolina 1929-31 Enrollment, Indians of California 1932-33
..
1930-32 1930-31
3, 446. 90
11, 288. 6T
11, 288. 67 4, 266. 01
4, 653. 4T I
40. 00 70. 55
3, 369. 25 77. 65
360. 65
33. 41 88. $1
1, 108. 22
26. 81 1, 141.63
4, 232. 60
I ands
snd improvements for Choctaws in Mississippi Land for Cahuills Reservation, Calif Land for Papago Reservation, Ariz Land and water service for Indian colony, Ely, Nev Payment to— A. bsentee Shawnees, for leads Indians of Fort Berthold Reservation, N. Dak. , for lead Indians of Klamath Agency, Oreg Indians of Round Valley Reservation, Calif. , for lands Scouts aad soldiers of Sissetoa, Wahpeton, Medawskantoa, and Wapakoota Sioux Shawnee and ai!iliated Delaware Iadisas, Oklahoma, act Dec. 22, 1927
Purchase of lands for landless Indians in California « Quieting title, Pueblo lands, New Mexico
1932 1933
5, 450. 00
1931-32
1, 538. 60
2, 560. 00
1932
3, 957. 00 2, 560. 00
1, 493. 00
3, 957. 00 2, 660. 00
1, 538. 60 288. 8T
.
--------- -- ---
6. 67
282. 30
No year
2, 660. 42
2, 196. 92
No year No year
500. 10 3, 653. 20
500. 10 3, 653. 20
No year
503. 50
No year
1, 336. 82
No year
7, 359. 25
1930-32 1933 1932
313.35
10, 806. 38
313. 35
1, 023. 47
4, 048. 65
7, 359. 25
16, 200. 00
16, 200. 00 &t
806. 13
«Transferred from 1932 account, act Apr. 22, 1932 (47 Stat. 96). '& Transferred to 1932-33 account. &' Transferred from 1931-32 account, sct Apr. 22, 1932 (47 Stat. 96). «Transferred to 1931-33 account. «Transferred from 1929-32 account, sct Apr 22, 1932 (47 Stat. 96).
631. 70
11, 337. 83
«L 887. 88
10, 200. 00 881. 70
9, 425. 07
9, 668. 30
9, 425. 07
686. 73
to 1929-33 account. also special fuad account, p. 182. «Transferred from 1932 account, act Apr. 22, 1932 (47 Stat. 96). «Transferred to 1933 account. «Transferred
«Ses
451. 10
—
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
bursingg
On books of
Treasury
xslSCELLANEOUS
in excess of expenditures
sre printed in itahc]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30 1932
made
QENER1kL FUND
to appropriations
Expenditures in 1933 ( ee p. 6)
Funds available in 1933
for which sp propristion was
1888 Continued
Unexpended
balances June 30 1933
On books of the Treasury
Appropriations
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20 1874
Impounded salary savings
officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oiflcers
Available
—Continued
EXPENSES Ov INDIAN SEEVICE—
continued
Indian lands
—Continued
Survey; classification, and allotment of lands, Wind River Reservation, Wyo 1930-31 . Surveys, allotments, etc. , Northern , Cheyenne Reservation, Mont Surveying snd allotting Indian reservations
$5, 685.03
1928-31
3, 118.98
$5, 685. 03 3, 118. 93
1929-31
569. 40
569. 40
1933 1932 1931
ls 835. 40
$30, 000. 00
$7, 307. 35
$27 242 71
486. 56
$26, 306. 71 6, 883. 04 486. 56
27, 304. 96
33, 876. 31
48/&
13, 725. 50
sf
mrs
$1, 533. 24
$1, 224. 05
$936. 00 pD
2, 259. 71
13, 238. 94
'xl
Industrial assistance and adsancsrasnt
Administration
of Indian forests
.
1933 1932 1931
200, 000. 00
6, 121.21
180, 396. 59
171, 320. 22
Administration of Indian forests, emergency construction Agriculture Indians
and
stock raising
1931
507. 32
1933 1932 1931
1, 247. 93 6, 824. 68
173, 198. 71 20, 346. 75 I. 00
9, 078. 87 A 00
29, 422. 12
'
13, 702. 89 45. 14
5, 900. 52 14, 729. 78
7, 197. 88
$421. 66
5, 601. 07 505. 96
5, 049. 81 4, 039. 80
11, 565. 26
1. 00
193, 544. 46
52. 47
52. 47
344, 118.78
8, 897. 88 20. 64
332, 553. 52 12, 214. 00 27. 50
340, 841. 59
344, 795. 02
33, 823. 39 Jf. 88 15. 10
33, 567. 68 265. 46 15. 10
33, 597. 26
33, 848. 24
12, 000. 00 J, JJ6. 44
11, 204. 64 4, 899. 26
10, 484. 56
16, 903. 90
454. 35
sraong
Eradication of scabies in sheep snd goats, Indian Service
.
Eradication of scabies in sheep snd goats, Indian Service (transfer to Department of Agriculture): Act Apr. 22, 1932 Act Feb. 14, 1931
1933 1932 1931
1933 1932
382& 000. 00
15, 511.83 6. 86
~ 36, 000. 00 71. 70
306, 69
555. 50
N
6, 214. 70
14, 000. 00
27, 330. 64 6, 804. 02
1, 501. 38
875. 23 112.93
540. 40
485. 80
1, 514. 20
1, 515. 44
Expenses, sale of timber (reimbursable)
1933 1932 1931
39, 377. 43 11,817. 01
Fence between Mexico snd Papsgo Indian Reservation, Ariz 1931-32 Industry among Indians 1933-34 1933 1932-33 1932 1931-32 1931 1930-31 Certified claims
Industrial work snd care of timber Obtaining employment
for Indians
.
Suppressing contagious livestock of Indians
Suppressing vations
130, 000. 00 12, 193.69 2, 426. 98 28, 161.17 14. 87
20, 000. 00 51, 769. 45 13, 503. 01 n 50
.
221. 31
18. 31
18. 31
75, 001. 95
93, 791. 71
312, 638. 44 126, 450. 80 7, 848. 88 967. 98 86. 96 7. 87 221. 31
272, 872. 67 144, 001. 10 44, 427. 12
433. 015.79
475, 572, 28
14, 470. 99 86. 46 7. 87 221. 31
7r
7N. 64 2, 557. 53
25, 131.40 53, 952. 22
7, 840. 78
11, 798. 70
» 52, 800. 00 19, 473. 63
4, 872. 56
9, 318. 87 56. 39
500. 00
5, 378. 80 f SS. 06 56. 39
36, 569. 51 32. 50 2, 906. 12 5, 002. 42 366. 95 56. 39
48, 391.09
44, 933. 89
2ee. 81
See. 81
8, 000. 00 6. 06
5, 658. 81 214. 83
7, 993. 95
5, 873. 64
18, 048. 19 19, 309. 12
11, 420. 57 20, 171.63
87, 357. 31
31, 592. 20
45, 022. 89 32. 50
w
21, 440. 07 a 81, 660. 07 » 9, 451. 92 » 8, 661. 88
f, 886. 64
1, 077. 63
150, 000. 00 11,949. 57 173.07 19, 536. 02 1, 459. 00
411.99 3, 376. 13
40, 265. 77 2, 449. 70
28, 074. 21 22. 24
f. ee
. 26. 89
boas
Purchase of implements, etc. , for Indians of Fort Belknsp Reservation, Mont. (reimbursable) No year
84, 275. 18 9, 498. 22
3. 00 150, 000. 00 325, 000. 00
1929
1932-33 1932 1931-33 1931-32 1931
92, 115.96 17, 788. $8
28. 87
1, 410. 00
1, 906. 02
441. 42
4, 461. 09 21, 407. 57
8, 453. 38
3, 631.70
376. 38 jzf
1, 375. 84
O
diseases among 1933 1932 1926
224. 88
» 9, 006. 05 » e. 06
448. 04
558. 01
2, 341. 19
44. 19
21, 907. 62 2, 858. 85
6, 627. 62
1, 032. 09 1, 018. 46
1, 446. 14 24. 92
125. 00
forest Ores on Indian reser-
Supervising mining operations on leased Indian lands
1933 1932
40, 000. 00 22, 167. 97
862. 51
(»)
1933 1931
ss
Supervising mining operations on leased Indian lands (transfers to Department of the Interior, Geological Survey):
Act Apr. 22, 1932 Act Feb. 14, 1931 Act Msy 14, 1930
1933 1932 1931
12. 04
12. 04
» 69, 000. 00 2, 925. 13 12. 04
3, 231. 39
62, 500. 00 1, 581. 68
61, 053. 86 4, 788. 15
64, 081. 68
65& 842.
5, 467. 91
324. 99
» 18. 06
» Iacludes $6.05 transferred from 1932 account, act Apr. » Transferred to 1933 account.
» Debit balance.
from 1932 account, act Apr. 22, 1932 (47 Stat. 96). to 1932-33 account. » Transferred from 1931-32 account, act Apr. 22, 1932 (47 Stat. 94). » Transferred to 1931-33 account. ss Exclusive of $14,000 transferred to same object under the Department of Agriculture. » Transferred from same object under Indian Service, See note 49. n Exclusive of $7, 200 trsasferred to "Support of Indians sad administration of Indian property, act June 30, 1932 (47 Stat. 411).
01
Transferred u Transferred ss
22, 1932 (47
Stat. 99).
» Appropriation of $60,000 and "
(reimbursable), per note 56.
$9, 000 transferred from "Improvements, Fort Hall irrigatioa nroject, Idaho 1933, aet June 30, 1932 (47 Stat. 411) wss transferred to same object under Geofogjcsl Survey
» Returned from same object under Geological Survey.
1933",
» Transferred from same object under Indian Service. See note 54. sr
Returned to same object, Indian Service.
See note 55.
O
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
IM8
to appropriations
—Continued in excess of expendituresare
Expenditures in 1933 (aee p. 6)
Funds available ln 1933
printed in italic]
Amount carried to surplus fund (aee p. 7)
Unexpended
balances June 30, 1933
Fiscal year forwhich appropriation was made
Unexpended balances June 30, 1932
Appropriations On books of
Treaauf y
QENERLL PUND
On books of the Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded aslsry savings
bursing offlcera
To credit of Reserve for impounded salary savings (aee p. 7)
disbursing officers
Available
—Continued
NISCELLSNEOUS EXPENSES Or INDIAN 8EBVICE—
continued Deaetopment
of water supply
Water supply for Indian use and increasing grazing range on unallotted Indian lands
1932-33 1931-32 1931
$100i 000. 00 105. 96 3, 580. 19
$90, 555. 98 sso. 01
$12, 701. 29
$84, 698. 56 12, 381. 28
$6, 327. 68 425. 97
$3, 116.34
$5, 857. 42
taj
M
$3, 580. 19
In
90, 235. 97
97, 079, 84
167, 906. 16 10. 95 3, 942. 58
145, 191.30
8, 407. 59
2, 956. 41
141. 75
5, 850. 14
ee. SI
11, 491. 39
493. 96 9, 508. 34 314. 31
21, 860. 51 493. 96 8, 701. 93 5, 590. 47
Irrigation and drainage
Irrigation, Indian bursable)
reaervationa
(reim1932-33 1932 1931-33 1931-32 1931 1930-33 1930-32
163, 000. 00
10. 95 5, 561. 93 500. 00
21, 948. 72
» $17, 750. 00 ss 10. 96
» 5, 304. 00 ee
«8. 04
es
11, 799. 66
6, 2'76. 16
» 11,486. 35
$2, 400. 00
2, 036. 25
22, 714. 86
1, 219. 67
98(L 17
1, 779. 64
806. 41
06
400. 00 203. 41
faj
00
(reimIrrigation, Indian reservations bursable), transfer to Department of the Interior, Geological Survey: 1932-33 Act Apr. 22, 1932 1931-32 Act Feb. 14, 1931
Improvement, maintenance, and operaC olored o system, tion, irrigation River Reservation, Ariz. (reimburs1932-33 able) 1932
1931
Improvement, maintenance, and operation, irrigation project, Gsnsdo irrigation project, Navajo Reservation, Ariz. (reimbursable)
1932
281. 48
145. 48
20, 000. 00
235. 60 6. 00
I, 106. 00
182, 066. 19
184, 794. 58
«25O. OO
250, 00
«48. 91
238. 57
240. 07 384. 05
488. 57
624. 12
19, 337. 27 235. 60
19, 337. 27 235. 60
9, 98
662. 11
6. 00
172. 05
19, 572. 87
19, 572. 87
812. 42
984. 47
.62
lkgafntensnce
snd operation, Gonads fnigstion prolect, Navajo Reservation, Ariz. (reimbursabie)
1933 1932 1931
3, 000. 00
. 65
2, 835. 93
2, 742. 12 198. 39
2, 835. 93
2, 940. 51
355. 35
355. 46
198. 39
93. 81
164. 07
. 65
Dsm across canyon of Gila River, near Ssn Carlos, Ariz. (reim-
Coolidge
bursable)
1931-32 1930-32 1930-31 1929-32 1928-32 1927-32
Power plant, Coolidge Dam, Ssn Carlos Reservation, Ariz. (reimbursable)
1931-32 1930-32 1929-32
M6. 32 534. 97
«2. 93 w
2. 12
60. 21 8, 276. 93 21, 551. 87
675. 75 29. 05
Irrigation, San Carlos snd FlorenceCass Grande projects, Arizona (reimbursable)
1932-33 1931-33 1931-32 1931 1930 Certhjed claircs
Irrigation, Ssn Carlos and Florence-Casa Grande projects, Arizona (reimbursable) (transfer to Geological Survey): Act Apr. 22, 1932 Act Feb. 14, 1931
Drainage, Kootenal Indian allotments, Idaho (reimbursable)
1932-33 1931-32
1930-33 1930-32
.81
S. BS
6, 341. 88
808 40
4, 780. 69 871. 22
1, 581. 19
6, 667. 06
2, 807. 06
234. 82
1, 043. 22
n 319, 854. 93
308, 880. 97 12, 705. 71
32, 479. 24
179. 82
988. 22
270. 65 205, 566. 04
1.01 46. 58
254. 12 176, 932. 41 21, 505. 28 9. 77 1.01 46. 58
194, 898. 53
198, 727. 61
2, 750. 00 274. 22
2, 750. 00
3, 024. 22
3, 050. 99
» S18, 866. 88
10, 878, 88 9. 77
46. 58
» 2, 750. 00 274. 22
26. 77
" 110, 674. 39 109, 674. 82
326. 20
st
97, 581. 09 899. 67
110, 874. 39
96& 581. 52
Extension of Fort Hall irrigation system, Idaho (reimbursable)
440. 93 29. 05 55. 00
66. OO
» 8, 760. OO
75, 000. 00
60. 21 13, 037. 62 20, 680. 65
871. 22
tt 55. 00 tt 66. OO
1929
. 97 537. 90
jzj
t 19, 855. 00
11,016. 26
"
t Act June 30, 1932 (47 Stat. 412) provides for a reduction of 10 percent of the limit of cost of construction. « Includes $7, 000 transferred from "Wapsto irrigation anddrainage system (reimbursable), 1931-33, sct June 30, 1932 (47 stat. 471), and excludes$250 transferred to same object under Geologicsl Survey. See note 64. tt Transferred to 1931-33 account, sct Apr. 22, 1932 (47 Stat. 100). « Includes $10.95 transferred from 1932 account, snd $5, 293.05 from 1931-32 account, sct Apr. 22, 1932 (47 Stat. 100). st Transferred to 1931-33 account, act Apr. 22, 1932 (47 Stat. 100), including $42. 91 returned from same object under Geological Survey. «Transferred to 1930-33 account. « Includes $11,485.35 transferred from 1930-32 account, sct Apr. 22, 1932 (47 Stet. 100), snd $6.04 from 1931 account. «Transferred to 1930-32 account.
16. 53 28, 633. 63 «3
12, 715. 48 1. 01
300. 99
I
80, 972. 64
t 854. 14
676. 67
80, 299. 27
27. 54
1929
71, 979. 35 82, 217. 63
«Transferred from same object under Indian Service. See note 57. «Returned to same object under Indian Service. See note 60. «Transferred from 1930-31 account. «Transferred to 1930-32 account; «Transferred from 1929 account. «Transferred to 1929-32 account. » Transferred to same object under Geological Survey. See note 73. » Transferred from 1931-32 account, sct Apr. 22, 1932 (47 Stat. 100). » Transferred to 1931-33 account. » Transferred from same object under Indian Service. See note 70. "Transferred from 1930-32 account, act APr. 22, 1932 (47 Stat. 101). » Transferred to 1930-33 account.
12, 239. 16
16, 608. 45
—
Receipts and expenditures, [Debit transfer appropriations
(ne)) and repayments
Fiscal year
Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
NISCELLANEOCS
sre printed in ffaffcj
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations Expenditures
Funds available in 1933
for which appropriation was made
1988 Continued
To credit of dis-
Wsrrantsdssued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oIB.cere
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
EXPENSES OP INDIAN SERVICE—
continued Irripafion and drafnaps
—Continued
Improvements, Fort Hall irrigation project, Idaho (reimbursable) Improvement, maintenance, snd operation, Fort Hall irrigation system, Idaho
Surveys for dams. Duck Valley Reservation, Idaho snd Nevada
.
Drainage system, Sac and Fox Indian lands, Iowa (reimbursable) Improvement, maintenance, and operation, irrigation systems, Blackfoot Reservation, Mont. (reimbursable)
Irrigation systems, Blackfeet Reservation, Mont. (reimbursable)
1932-33
$250, 000. 00
1932-33 1931-32 1931
35, 000. 00 I, 108. 25 41. 03
1932-33
5, 000. 00
1930-31
10, 000. 00
snd operation, irrigation Maintenance systems, Crow Reservation, Mont. (reimbursable)
$1, 525. 57
3, 627. 73
I $18& 900. 00
$32, 046. 08 835. 12 30. I'9
$31, 570. 36 2, 360. 69 SO. 19
32, 851. 01
33, 900. 86
4, 657. 97
5, 128. 91
$201, 100. 00
$2, 276, 00
677. 92 273. 13
$475. 72
108. 83
3, 156. 79
Ln
71. 22
233. 20
10& 000. 00
H t3
d 41, 000. 00
1933
38, 354. 52
I, 780. 75
38, 379. 97
864. 73
n
25. 45 Oo
1932
1931-32 1931
Maintenance snd operation, irrigation systems, Fort Belknap Reservation, Mont. (reimbursable)
n 330 000 00
1933 1931-32 1931
1932 1931
498. 54 782. 41 1, 116. 68
177. 45 168. 77
17, 500. 00
2. 33
967. 32
176. 95 77. 44 271. 70
354. 40 246. 21 271. 70
526. 09
872. 31
16, 873. 02 163. 81
13, 852. 60 803. 51
co oo
844. 98
530. 19
96. 79 166. 14
3, 020. 42
012. 34
2, 098. 08
2, 208. 68
2, 208. 68
19, 782. 50 365. 2I}
321. 59 704. 97
288. 51
16, 709. 21
14 656. 11
18, 770. 16 45. 62
16, 960. 59 45, 62
18, 815. 78
17, 006. 21
1&
319. 67
Systems, Ierethead tion. Mont. (rei&nhursabie)
Ir&igs&ion
Reserva-
.
Improvement, maintenance, and operation, irrigation systeros, Crow Reservation, Mont. (reimbursable)
Maintenance and operation, irrigation systems, Fort Peck Reservation, Mont, (reimbnrsable)
1933—34 1932-33 1931-33 1931-32 1931 1929-33 1929-32 1927-33 1927-32
1932— 33
1933 1932
1930-31
Maintenance, operation, and drainage assessments, Paiute Indian lands, Nevlands project, Nevada (reimbursable)
Irrigation system, Paiute Indian lands, Newlands project, &Vevada
Payment to Truckee-Carson district, Fallon, Nev.
1933-34 1932-33 1931-32 1930-31
1931-32
35, 000. 00 172, 420. 28 142. 37 258. 13 76. 73
60, 000. 00
199, 000. 00
38, 973. 83
58, 268. 20 76. 73
11, 135. 86
78. 11
2, 965. 40
43, 702. 98
17. 67
58, 010. (7 » 68, 010. 07 &&
17, 709. 57 %07, 906. 00
s
19, 800. 00
53G. 78 6, 355. 75
142. 37 10, 993. 99
80. 03
2, 963. 48
80. 68 » 43, 716. 69 ss 48, 716. 66
18. 71
3. 96
207, 881. 88
239, 796. 10
17, 195. 38
16, 160. 90
4, 808. 57
4, 551. 27
18, 000. 00
27. 42 I, 277, 36
. 68
5, 000. 00
4", 7iG. GQ
76. 53
177. 34
. 5'8
25. 46
14. 09 28. 10
I, 034, 48
257, 30
I, 277. 36 4, 807. 89
4, 551. 27
5, 218. 71 1, 118. 47
5, 218. 71
10, 443. 00 5, 024. 29 5, 118. 47
10, 443. 00 10, 243. 00 4, 000. 00 I, 608, 04
17, 290. 43 3, 488. 11
400. 00
76. 73
» 80. 03 &s
24, 463. 22 3'J3. 97 57, SG7. 70
I, 118.47
I, 608. 04
I, 728. 22
4, 100. 24
5, 218. 71
840. 86
I, 387. 96
200. 00 200. 00 100. 00
200. 00 200. 00 100. 00
3G5. 72
irrigation
.
1933 1932 1931
200. 00 2&N. 00 100. 00
500. 00
Paiute Indian Reclamation charges, lands, Newlands project, Nevada Maintenance and operation, irrigation system, Pyramid Lake Reservation, Vev. (reimbursable)
.
Improvement, maintenance, and operation, Hogback irrigation project, Navajo Reservation, N. Mex. (reimbursable)
1933
1933 1932 1931
1932-33 1931-32
s Ac&, luna 3(', 1932 (47 S&ai, . 412) l&rn&'i&les for
. 83 78. 88
6, 000. 00 39. 15
5, 381. 00
5, 381. 00
5, 381. 00
4, 000. 00
3, 650. 00 76. 66
3, 262. 10
274. 33
83. 42 77. 49
339. 88
1. 94 3. 19
78. 88
6, 000. 00 1, 142. 45
a reduction of 10 per centum of the limit of cost of construction
» Dcb&t balance. S
266. 58
197. 67
Transferre&l un&)sr aCt Of June')0, I932 (4& Stat. 411) tc 1933 aCCOuntS aS fallOWS: Salaries, I&ureau of In&lian Ail'&ire suitor»sine minin" operations on leaseel Indian lands Sui&por& of Imiians &&a&i;«in&ir&isir &linn of indian property
815, OIN 9, 000 6, 000
3, 573. 34
3, 459. 77
5, 658. 18 35. 96
11, 658. 18
5, 694, 14
12, 836. 59
'
I, 178. 41
Transferred from 1931-32 account, act A i&r. 22, 1932 (47 Stat. 101) . Transferred to 1931-33 acoount. » Transferred from 1929-32 account, act Apr. 22, 1932 (47 Stat. 101). &s Transferred to 1929-33 account. rs Transferred from 1927-32 account, sct Apr 22, 1932 (47 Stat, 101), Transferred to 1927-33 account. &
"
387. 90
—
Receipts and expenditures, iDebit transfer appropriations
(net) and repayments
Fiscal year
are printed in itaffcj
Amount carried to surplus fund (see p. 7)
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On hooks of
!IISCL'LLANEOUS
in excess of expenditures
Unexpended balances June 30, 1932
ation wss made
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropr1-
1088 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit, Reserve for impounded salary savings (see p. 7)
e'f
disbursing offfcers
Available
—Continued
EXPENSES SND INDIEN SERVICE—
continued frrfgafion and drainage
—Continued
improvement, maintenance, and operation, irrigation system, Laguna Pueblo. N. Mex. (reimbursable)
1932-33 1931-32 1931
$500. 00 48. 81 22. 72
$5, 000. 00 16. 47
f 253. 29
$4, 980. 45
33. 49
49. 96
Payrueoi, to Middle Rio Grande conservancy district, New Mexico (reimb;Irsable)
Repairs to irrigation systems and flood protection of irrigable lands, pueblos in New Mexico
. .
1933 1932
II
489. 77
1932-33 1931-33 1931-32 1928-32
7, 228. 26
$12 266 94 » 7, 888. 84
2, 000. 00
), 273. 35 451. 09
4, 505. 20
7, 724. 44
S.Dsk Lummi diking project, Washington, repairing flood damage (reimbursable) Reclaiming lamia, Lummi Reservation, Wash (reimbursable)
1930-32
2, 842. 05
2. 36
Wash.
47, 373. 20
» 17. 08
1, 800. 00
4) 564. 06
119. 77
122. 13
171.97
3. 35
1931
]25. 11
4, 009. 02
28. 03 17. 08
77. 99
4, 686. 19
1, 000. 00
373. 20
1, 000. 00
18, 739. 96
3, 561. 70
47&
25, 600. 00
1931-32
244. 78
500. 00
1983-34
Investigations, water supply, Ahtanum irrigation project, eskimo Reservation,
$125. 00
8, 270. 57
1, 919. 77
Spillway snd drainage ditch, Lake Andes,
614. 79
n 17. 08
186. 85 500. 00
$272. 84
5, 030. 41
8, 777. 17
8, 270. 57
1931-32
$25. 91 15. 32
$22, 72
286. 78
Engineer and assistants, Middle Rio Grande conservancy project, New Mexico
$220. 80
6, 846. 70
13. 34
3, 285. 00
10. 18
6. 83
125. 11
Maintenance and operation, ToppenishSimcoe irrigation Yakims system, Reservation. Wash. (reimbursable)
1933 1932 1931
&,
50. 00 St& 87
000. 00
s:Hi
1931
1932-33 1932 1931
and operation, Wapato Maintenance irrigation project, Yskima Reservation, Wash. (reimbursable)
Wspsto irrigation
and drainage
j
1, 018. 73
646. 87
646. 87 15, 000. 00
49. 30 5, 659. 57
&0
17 32
316. S7 889. 48
Fish ladder, Wspato irrigation project, Yskima Reservation, Wash. (reimbursable) Sstus unit, Wapsto project, Yskima Reservation, Wash. (reimbursable)
99. 35
845. 95 172. 78
&)0
32. os
140. 10
352. 53
1933
e
1, 500. 00
12, 557. 42 B. 89 9. 77
12, 200. 46 342. 84 8. 77
12, 537. 96
12, 533. 53
27, 961. 55
27, 775. 28
253. 32
1, 785, 13
221, 692. 27 866, 678. 13
185, 867. 11 10, 431. 78
5, 592. 46
15, 374, 40
35, 825. 16
36, 779. 86
196, 298. 89
11, 000. 00
11, 000. 00
42. 339. S4 372. 04 19. 96
41, 789. 75 828. 45 19. 96
2, 41& 32
246. 84 555). 92
550. 09
42, 731. 84
42, 638. 16
707. 41 407. 41
2, 9?9. 00
82, 435. 03 4& 06
2, 369. 21
5, 669. 34
186. 27
system
(reimbursable)
.
Operation and maintenance of reservoirs, Yskima Reservation, Wash
systems, Wind River diminand ceded lands, ished reservation Wyoming (reimbursable)
1931-33 1931-32
268, 859. 13 "' 876, 869„13 )&
20, 387. 00
265, 903. 91
1933
11, 000. 00
Irrigation
Conservation
Asylum
for insane Indians,
1932-33 1931-32 1931
45, 000. 00
927. 96 82. 17
45& 41
of health
Canton,
S. 1933 1932 1931
Dsk
e&
219. 52 946. 96
45, 000. 00
2, 092. ?2
39, 772. 69 898. 78
'
conditions
.
1933 1932
"90,484. 62 38, 957. 36
7, 178. 18
» .(0, 486. &18
8. 032. 93 1, 676. 38 6, 459. 61
Act June 30, 1932 (47 Stat. 412) provides for a reduction of 10 per centum of the limit of cost of construction. Transferre&l from 1931-32 account, act Apr. 2'2, 1932 (47 stat. 96), Transferred to 1931-33 account. » includes &$7.26&i. 91 Iransferred from 1932 sccoun&. , act Apr. 22, 1932 (47 Stat, 102). » Transferred to 1933 accouuu 0 Tr))nsferred from 1931-32 account, act Apr. 2"., 1932 (47 Stat. 102) exclusive of $7, 000 transferred to "Irrigation, Indian reservations (reimhursai&le), &932-33", sct June 30, 1932 (47 Stat. 411).
'.
3, 25L 63
1, 268. 27
110.83
I
3& 587. 69
5, ii(i& 72, 5, 604. 86
iG,
Transferred i,o 1931-33 account. » Includes $5,000 transferred from
&
(47
Stat. 411).
a Includes $40, 484. 62 transferred Transferred to 1933 account. &
6)G
11, 268. 58
&)
&
&
36, 793. 69 1, 794. 00
946. 96 39, 473. 97
Clinical survey of disease among Indians.
62. 21
"('.onservaiion of
from 1932 sccount,
health among Indians,
:&ct,
Apr. 22, 1932 (1, Stat,
1931-33)), act Jun&. 30, 1932 9&))
g
Receipts and expenditures, lDebit transfer appropriations
(net) and repayments
—
1988 Contiuned
to appropriations
in excess o[expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre prinlwl in irartr]
Amount cerned to surplus fund (see p 7)
Unexpended
balances J &rue!&r,
!!sx
Fiscal year for which
apprcprr. stronswas
Unexpended balances June 30, 1932 A ppropristions
made On books of
Treasury
To credit of dis-
basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To Reserve for impounded salary savings (see p. 7)
&
red)t. o
&iislnrrsing
ofiioers Availalilr
—Continued
GENERAL FUND xnscELL&)NEOCS
On books of the Treasury
Warrants. issued
EXPENSES OI' INDISN SERVICE—
conl inucd
f ho
&en)a&
ioa of hkarih
—Continued
Conserral, ion of health among Indians
1933-34 1933 1932-33 1932 1931-33 1931-32 1931 1930-31 1930 1929 Certified claims
Construction, etc. , Kiowa Indian Hospital, Oklahoma &Hopi-)Navajo Sanatorium, Winslow, Ariz. , construction and equipment
w
$65, 200. 00 49, 516. 05
$9, 198. 70 239, 860. 84 w
873, 035. 48 79, 069. 19 2, 765. 17
168, 267. 06 654. 57
rr
951, 198.08 971, 887. 67 w
510. 41
155. 23
1, 575. 64
1931—33 1931—32
150, 000. 00
$4, 000. 00 2, 748, 303. 58 30, 678. 69 46, 188. 84 406, 135. 75
100, 900. 08 4, 020. 70
ses. 56 1, 334. 46
1929-31
Ldnd for sanatorium, Pueblo Indians, 1930-31 New Mexico Reheving distress and prevention, etc. , of diseases among Indians Certified claims Tacoma H'ospitsl, Washington water 1931-32 supply and heating plant
n $15, 000. 00 3, 057, 000. 00
8!I, OOO. OO $2, 590, 823. 20 37, 045. 76 193, 599. 88 250, 727. 18 67, 366. 62 4, 300. 33
SS. 67 1, 334, 46
108. 88 SS. 67 1, 334. 46
3, 047, 149. 60
8, 146, 055. 44
$151& 693. 41 rr
rr
$7, 600. 00 75, 000. 00
rr
150, 000. 00 160, 000. 00
129, 007. 34
97, 529. 89
129, 007. 34
97, 529. 89
500. 00
12, 402. 64
I J, 5)70. 10 25), 84!i. 93 83, 217. 98 467, I. 75 2, 326. 32
I!
74, 538. 08 2& 765. 17 263. 55 33. 67
1&
rr
1, 074. 48 21. 67 2, 950. 58 221. 51
$143, 432. 91
$4, 000. 00 480. 38 2, 831. 53 134. 72 155, 408. 57 42 1 57,
.
374. 94
575. 64
I 15, 000. 00
238. 87
6, 753. 79
31 477. 45
500. 00 1, 443. 43
1, 443. 43
1, 443. 43
1, 050. 19
1, 050. 19
Roads and bridges
Bridge across Ssn Jscinto River near $)chubs Indian Reservation, Calif $(osds, Indian reservations
.
l )
Roads, Indian reservations, emergency construction Roads, Indian reservations, emergency $ofi$trrrction (sct July 21, 1932).
1931 1932-33 1931-32 1931
1981 1933
47. 69 293, 100. 00 2, 253. 41 1, 854. 40
47. 69
103, 443. 23 17, 079. 87 3. 50
r)k
40, 500. 00
242, 635. 11
4, 097. 66 g. 48
325, 314. 20 12, 982. 21 5. 88
238, 528. 03
338, 290. 49
931, 181. 69
782, 068. 40
1, 439. 66
6, 678. 35
3, 286. 54 6, 351. 07
20, 764. 14
15, 731. 35
63, 087. 06
149, 113. 19
1, 863. 82
I, 489. 66 1, 000, 000. 00
—
Highway, Oaiiup Shiprock, Navajo Reservation, N. Mex. , repairs and maintenance (reimbursabie)
1932—33
1931-32 1931
17, 957. 82 1, 439. 56
18, 000. 00 88. 76
1, 468. 31
341. 70
1, 658. 30 28. 75
42. 18
706. 88
22, 793. 84
5, 231. 84
11.12
11.12 17, 971. 25
19, 397. 38
66, 499. 28
79, 664. 44
Road, Wind River Reservation, Wyo. , emergency construction (transfer to Department of Agriculture, act May 21, 1920)
1931-32
90, 000. 00
18, 397. 00
1931—32
600. Oo
4, 400. 00
4, 400. 00
1, 475. 00
1, 353. 79
121. 21
Monzemente
Monument st Old Crossing, Minn Monument on Cheyenne River Agency Reserve, S.Dak
1931-32
Mreeellaneeue
Claims for damages, sct Dec. 28, 1922, Departrnent of the Interior, Indians No year Payment of claims of individual Sioux Indiana 1933-34 Relief ofJohn Farrell No year Florian Ford No year Hamilton Grounds No year Holy Family Hospital, St. Ignatius, Mont No year Pscific Creditors' Association No year Sherburne Mercantile Co. No year R. K. Stiles 6e Co No year
Permanent and indefinite: Indian Service supply fund
.
Civilization of the Sioux
1933-34 1932-33 1931-32 1930-31
203. 95
1, 377. 98
1, 377. 98
I, 377. 98
203. 95
19, 357. 00
17, 421. 30
7, 921. 80
1, 935. 70
2, 500. 00
585. 20 1, 5. 00 2, 500. 00
585. 20 175. 00 2, 500. 00
8, 825. 66
8, 825. 66
8, 825. 66
569. 34
725. 80 569. 34
725. 80 569. 34
585. 20 175. 00
147. 00 725. 80
189, 699. 70 27, 113.94 1, 321. 71
No year
750, 000. 00 u 6f6, 000. 00
C)
200, 000. 00.
117, 148. 90 48, 4os. 86
62, 416. 86 88, 676. 69
1, 648. OO
$86. $9
32, 904. 85
76, gl8. 78
254, 664. 18
254, 664. 18
2M, 664. 18
6, 671, 294. 24
7, 172, 966. 07
7, 503, 148 69
550, 000. 00 2, 143. 90 53, 334, 51
200, 000. 00 124, 971. 65 2, 292. 28
17, 565. 42
0
Total general fund, miscellaneous expenses of Indian Service
4, 521, 179, 07
1, 4, I3, 215. 05
Act of June 30, 1932 (47 Stat. 412) provides for s reduction of 10 percent of the limit of cost of construction. I Transferred from 1931—32 account, act Apr. 22, 1932 (47 Stat. 109). » Transferred to 1931-33 account. u Exclusive of 7250, 000 transferred to "Indian Service supply fund, 1933—34", act Jsn. 12, 1927 (44 Stat. 939). » lncludea $215,0001rsneferred from "indi, m Service supply fund, 1932-33", act Jan. 12, 1927 (44 Stat. O'N ), and excludes $45, 000 transferred to the following account~, act June 30, 1932 (47 Stat. 411): $4o, ooo Fducation of natives of Alaskrn 1932-33 5, 000 Asylum for insane Indians, Canton, S.Dak. , 1933 w Includes $971,898, 08 transferred from 1931-32 account, act APr. 22, 1932 (47 Stat. 100), snd excludes $20, 700 transferrer! to the following 1933 accounts, act June 30, 1932 (47 Stat. 411); $15, 000 Salaries, Bureau of Indian Affairs 5, 700 Support of Indians and administration of Indian property n This account was charged with $971,898.08 1rausferred 1o 1931-33 account and credited with $510.41 transferred from 1931 accoun1. r
g
147. 00
er
500, 000. 00 4, 931.26 16, 017. 42
9, 499. 50
414, 670. 85
301, 350. 41
175, 959. 62
» Transferred to 1931-32 accr unt, act A pr. 22, 1932 (47 Stat. 109) . n Transferred, act June 30, 1932 (47 Stat. 411) to 1933 accounts as follows:
er
ee
3, 127, 526. 36
1, 123, 035. 43
Salaries, Bureau of Indian Affairs $15, 000 Pay of judges, Indian courts. 2, 000 Field representatives, Indian Service 2, 000 Support of Indians snd administration of Indian property 21, 500 Transferred, acts Mar. 1, 1907 (34 Stat. 1016), and Jan. 12, 1927 (44 Stat. 939), from accounts as follows: — Indian school support. 1933 34. $250, 000 Indian boarding schools, 1933-34 250, 000 Conservation of health among Indians, 1933-34 250, 000 Returned, sct Jan. 12, 1927 (44 Stat. 939), to 1933 accounts as follows: Indian school support $200, 000 Indian boarding schools 200, 000 Conservation of health among Indians 215, 000
Receipts and expenditures, [l)chit transfer appropriations
(net) and repayments
—
1888 Continued
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in itaticj Unexpended
balances June 30, 1933
F iscal year
for which
appropriation was made
Unexpended
balances
On books of the Treasury
June 30. 1982
Appropriations On books of
Treasury
To credit of dis-
Warrants-issued basis
Cheeks-issued. basis
Act June 20, 1874
To credit of
Impounded salary savings
Reserve for impounded salary savings (see p. 7)
bursing officers
disbursing officers
Available
SPECIAL FUNDS AIISCELLANEODS
EXPKNsES
OF
INDIAN
SEBFICE
Irrigation and drainage
lvlsintensnce, irrigation system, Colorado River Reservation, Ariz, , act Aug. 1, 1914 No year Maintenance, irrigation system, Maricopa Indian lands, Arizona, act Aug. 1, 1914 No year Power plant, Coolidge Dam, Ariz. , electric m&rrent fund, act Mar. 7, 1928 No year Maintenance, irrigation system, Ganado project, Navajo Reservation, Ariz. , act AUE. 1, 1914 No year sintenance, irrigation system, Malki project, California, sct Aug, 1, 1914 No year 1VIsintensnce, , irrigation, system, Pals Reservation, Calif. , act Aug. 1, 1914 No year .Maintenance, irrigation system, Yuma Reservation, Calif. , act Aug. I, 1914. No year Purchase of lands for landless Indians in C;&lifornia, act 1VIar. 3, 1925 No year irrigation system, Pine Maintenance, River project, Southern Ute ReservaNo year tion, Colo. , act Aug. I, 1914 irrigation system, Fort Maintenance, Hall Reservation, Idaho, act Aug. 1, No year 1914 Maintenance, irrigation systems, Blaokfeet Reservation, 1VIont. , act Msy 18, No year 1916 Surveys and investigations, protection of No year water rights, Blackfoot River Maintenance, irrigation systems, Crow No year Reservation, Mont. , sct Aug. I, 1914 irrigation system, Fort Maintenance, Belknap Reservation, Mont. , act Aug. No year 1, 1914 Maintenance, irrigation systems, Flat head Reservation, Mont. , act May 18, No year 1916 Maintenance, power system, Flathead Reservation, Mont. , act May 10, 1926 No year irrigation system, Fort Maintenance, Peek Reservation, Mont. , act May 18, No year 19IG 1VIsintensnce, irrigation system, Walker River project, Nevada, sct Aug. 1,1914 No year
$3, 900. 46
$1, 36S. 98
$11, 161.33
$9, 008. 67
28, 6G7. 30
17, 831. 09
13, 034. 06
561. 60
999. 55
879. 90
$5 232
$9, 6G4. 77
8 02. 88 C5
Si i7
27. 77 56, 946. 84
2'&
I, 570. 2S
440. 00
67,
GS'2.
05
6, 367. 31
119. 65 00
I
1, 549. 05 3, 711. 11
75. 15
58, 114. 63
27, 609. 47
18, 390. 07
34, 199 r&0
16. 67
435. 00
5, 439. 25
2, 424. 85
27, 078. 67
2&
567. 64
550. 51
2, 540. 22
In'1 Sz
200. 00 Cios.
95
5, 004. 25
$1, 376. 00
44. 77
1, 305. 10
577. 93
c»
7, 177. 65
23. 71
19, 567. 99,
16, 506. 44
18, 833. 92
4, 949. 83
4, 661. 68
5, 757. 32
561. 28
I
'20, S90. 34
4. 850. 17
23. 77 635. 41
635. 41
I, 202. 15
13, 891. 83
19, 793. 93
20, 266. 54
919.G3
3, 503. 03
3. 03,
5, 422. 42
6, 225. 89
51, 146. 70
49, 122. 88
46, 141. 14
2, 781. 25
9, 207. 63
9, 815. 66
7, 131.96
53, 093. 47
41, 311. 59
38, 438. 16
21, 2749 92
10, 005. 39
3, 781. 06
268. 17
2, 346. 55
3, 332. 69
2, G85. 63
2, 677. 24
915. 23
14, 383. 43
I, 922. 49
6, 005. 82
1, 600700'
966. 75
64. 37
'
56. 98
117.68
7, 279. 18
120. 35
I, 449. SS
Maintenance, irrigation system, Ifogback project, Navajo Reservation, N. Mex. , sct Aug. 1, 1914. No year Maintenance, Modoc I&oint irrigation project, Oregon, act Aug. 1, 1914 . No year Maintenance, irrigation system, Modoc point project, oregon, act Aug. 1, 1914 No year Maintenance, irrigation system, Sand Creek project, Oregon, act Aug. 1, 1914 No year Maintenance, frrfgation systems, V (utah Reservation, Utah, sct Aug. 1, 1914 No year Maintenance, irrigation system, Ahtanum project, Washington, sct Aug. 1, 1914 No year Maintenance, Ahtsnum irrigation project, Washington, act Aug. 1, 1914 No year Maintenance, irrigation systems, ColviBe Reservation, Washington, act Aug. 1, 1914 No year Maintenance, irrigation system, Lummi project, Washington, act Aug. 1, 1914 No year Maintenance, irrigation system, Nespelem project, Washington, sct Aug. 1, 1914 No year Maintenance, irrigation systems, Sstus project, Washington, act Aug. 1, 1914 No year Maintenance, irrigstionsystem, Toppenish-Simcoe project, Washington, act Aug. 1, 1914 No year Construction, irrigation system, Wapato project, Washington, act Feb. 14, 1920 No year Maintenance, irrigation system, Wapsto project, Washington, act Aug. 1, 1914 No year Maintenance, irrigation system, Wapato prolect, Washington, act Aug. 1, 1914 (transfer to Department of the Interior, Geological Survey, act Apr. 22, 1932) No year Maintenance, irrigation system, LeClairRiver ton, ditch No. 2, ceded portion of Wind River Reservation, Wyo. , act No year Aug. 1, 1914 Maintenance, irrigation system, Wind River Diminished Reservation, and ceded lands, Wyoming, act Aug. 1, No year 1914.
235. 91
781. 68
4, 451. 05
34. 87,
34. 87
1, 498. 97
1, 000. 00
2, 366. 23
19, 485. 97
4, 138.68
2, 370. 27
2, 873. 07
374. 10
L 000. 00
497. 40
1, 295. 72
1, 624. 26
90. 07
1, 477. 84
23, 513. 19
33, 479. 59
33, 694. 42
899. 91
8, 619. c6
2, 647. 93
4, 649. 02
3, 693. 96
469. 18
11.52
11.52
122. 00
122. 00
227. 60
35. 39
634. 52
1, 767. 56 6, 129. 31
6, 887. 69
239. 54 8, 873. 82 30, 249. 26
35" 11
1, 437. 79
31. 35
3, 597. 39
3, 167. 82
662, 34
209.
'l.
'&2&3.
1
361. 92
70
&8
1'&0 51
789. 20
50. 92
953. 33
902. 41
6, 781. 72
854. 39
5, 235. 28
6, 062. 83
431. 81
25. 03
616. 04
451. 77
549. 46
403. 81
11,912. 61
16, 666. 14
84. 66
11.997. 27
25, 455. 30
30, 470. 96
s'98, 888. 60
82, 650, 79
101.015, 34
46, 487. 07
u 575. 00
575. 00
575. 00
1, 889. 23
1'2, 10&l. 41
I, 889. 23
5, 003. 42
9, 893. 55
8, 136. 08
4, 213. 08
11, 175. 36
707. 53
458, 60
92, 419. 30
354, 869. 45
380, 738. 50
355, 904, 84
5, 374. 36
1, 375. 00
279, 840. 19
67, 252. 96
4, 783, 637. 67
1, 546, 634. 86
7, 026, 163. 69
7, 603, 704. 67
7&
$414, 670. 86
306, 724. 77
177, 334. 62
3, 407, 366. 65
1, 190, 288. 39
4, 621, 179, 07 262, 458. 60
1, 453, 21 6. 05 92, 419. 30
6, 671, 294. 24
7, 172, 966. 07 330, 738. 50
7, 503, 145. 69 355& 904. 84
670. 85
301, 360. 41 5, 374. 36
175, 959. 62
354& 869. 45
3&
1, 376. 00
127 526, 36 279, 840. 19
1, 123, 036. 43 67, 252. 96
4, 783, 637. 67
1, 545, 634. 35
7, 026, 163. 69
7, 503, 704. 57
7, 859, 050. 53
306, 724. 77
177, 334. 62
3, 407, 366. 65
1, 190, 288. 3&i
8, 218. 89
2,
931. 2
Total special funds, MisceHaneous expenses of Indian Service
Total, Miscellaneous
262&
expenses
of
Indian Service Summary, Miscellaneous expenses of Indian Service: General fund Special funds
Total » Exclusive of $575 transferred
to same object under Geological Survey.
rt
859, 050. 53
414&
414, 670. 85
Transferred from same object under Indian Service.
See note 96.
'cl
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
1M8
to appropriations
—Continued in excess of expenditures
Expenditures in 1933 (See p. 6)
Funds available in 1933
are printed in italic)
Amount cerned to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year
for which
appropriation was made
Unexpended balances June 30, 1932
On books of the Treasury
Appropriations On books of
Treasury
To credit of disbursing offfeers
Warrsntsyissued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
GENERAL PVND iNTEREST ACCOUNTS OPER%ANENT)
Interest onKiowa, Apsche, fund Apache,
Kiowa,
and
Comanche
snd Comanche
percent fund Blackfeet Reservation
$5, 558. 40
f4. 56
$5, 562. 96
No year
], 148. 57
210. 41
1, 358. 98
No year No year
839. 91 12. 30
percent
4
fund Cherokee school fund Cheyennes snd Arspahoes in Oklahoma fund Cheyennes and Arapahoes in Oklahoma 3 percent, fund Cheyenne River Reservation 3 percent fund Cheyenne River Reservation 3 percent fund, act Jan, 28, 1913 Chippewas in Minnesota fund Clallam minors' 4 percent fund Coeur d'Alene 3 percent fund Creek general fund Crow consolidated 4 percent fund Crow Creek 4 percent fund Devils Lake Sioux, 3 percent minors'
fund. Fort Belknap Reservation
No year 4
4
118.09
$953. 00
1, 384. 55
45. 35
500. 00
No year
405. 94
2, 52
No year
1, 877. 32
894. 26
23, 053. 10
24, 918. 54
25, 661. 63
11, 88
year year year year year ifo year No year
1, 216. 02 82, 710. 19 10, 872. 74 295. 95 1. 36 1, 853. 19 456. 89
14. 85 1, 574. 80
321. 29 115, 135. 98
198. 41 127, 422. 76 13, 072. 74
213. 26 12S, 739. 90 13, 072. 74
1, 338. 90 70, 423. 41 2, 640, 44 359. 79 1. 36 20. 36 415. 17
No year
36. 99
No year
193. 60
No year
3, 646. 59 2, 938. 57
No year
No No No No No
12. 30
4, 840. 44 63. 84
888. 17 103. 36
929. 90
$500. 00
408. 46
2, 721. 00 145. 08
2, 612. 67
145. 08
151.17 'tl 257. 66 h7
108. 33
36. 99
percent
fund
1. 96
Fort Berthold Reservation 3 percent fund
No year Fort Hall Irrigation 4 percent fund Fort Hall Reservation 4 percent fuhd
Fort Peck Reservation
$1, 003. 06
231. 18
$50. 06
1, 742. 32
1, 098. 93 1, 485. 83
195. 56 4, 000. 00
133. 24
4, 000. 00 I, 768. 19
44. 70
745. 52 4, 291. 16
No year
1, 507. 46
No No No No No No
year year year ysar year year
1, 577. 06 216. 64 266. 83 719. 83 80. 49 2, 231. 83
No No No No
year year year year
434. 56 490. 12 6, 022. 45 1, 805. 79
204. 84 61. 26
No year No year
2, 406. 21
571. 03
2, 977. 24
8, 328. 18
205, 46
3, 533. 64
604. 08 503. 19
16. 96 2, 318. 53
107. 37
1, 552. 16
4 percent
fund Grande Ronde minors' fund. Iowa fund Is+a minors' fund Jemez Pueblo 4 percent fund Kansas consolidated fund Kaskakia, Peoria, Wes, snd Piankeshaw fund Kickapoo general fund. Kickapoo minors' fund Kickspoos in Oklahoma fund Kiowa Agency hospital 4 percent fund Klsmath fund L'Ause and Vieux de Sert Chippewa fund Menominee fund
No year No year
447. 86
307. 38 30. 04 17. 07 '17. 04 20. 00 98. 62
167. 86 127. 75
290. 03 127. 75
2, 042. 27
118.93 283. 90 736. 87 100. 49 2, 330, 45
1
ru
434, 56
556. 73
440. 67 481. 47
666. 73
440. 67 60. 07
490. 12 4, 786. 62 1, 385. 58
62E 04 3, 378. 45
421. 40
Menominee 4-percent fund No year Menominee log flmd No year Nez Perces of Idaho fund No year Omaha fund No year Omaha minors' fund No year Osage fund No year Otoe and Missouria fund No year Picuris Pueblo 4-percent fund No year Pine Ridge Reservation 3-percent fund No year Ponce fund No year Pottawatomi education fund No year Pottawatomi general fund. No year Pottawatomi mills fund No year Pottawatomies of Ransas and Wisconsin, act Apr. 4, 1910 No year Pottawatomi minors' fund No year Puyallup 4-percent school fund No year Puyallup Indian Cemetery, Tacoma, Wash. , 4-percent fund No year Red Lake Chippewas 3 percent minors' fund No year Red Lake Forest 4 percent fund No year Rosebud Reservation 3 percent fund, act May 30, 1910 No year Rosebud Reser vation 3 percent fund, act Mar. 2, 1907 No year Rosebud Sioux 3-percent Minors' fund No year Round VaHey general fund No year Sac and Fox of the Mississippi in Iowa fund, act Mar. 3, 1909 No year Sac and Fox of the Mississippi fund, Iowa, acts Mar. 3, 1909, and Apr. 4, 1910 No year Sac and Fox of the Mississippi in Iowa fund No year Sac and Fox of the Mississippi in Oklahoma fund No year Sac and Fox of the Mississippi in Oklahoma fund, acts Mar. 3, 1909, No year and Apr. 4, 1910 Sac and Fox of the Missouri minors' No year fund San Ildefonso Pueblo 4-percent fund No year No year Santa Ana Pueblo 4-percent fund No year Santee Sioux fund No year Seminole general fund No year Seminole school fund No year Seminoles of Oklahoma fund No year Senecas of New York fund No year Seneca Tonawanda Band fund No year Seneca and Shawnee fund. No year Shoshone and Bannock fund Sioux fund: No year Cheyenne River. . No year Crow Creek. No year Flandreau. No year Flandreau minors'. No year I.ower Brule No year Pine Ridge No year Ponce No year Ponce minors' No year Rosebud No year Santee No year Standing Rock No year Tongue River
.
.
..
8, ON. 66 6, 655. 16 9, 912. 97 1, 070. 61 362. 45 53, 601. 55 I, 042. 5S 5, 322. 80
618. 06 541. 03 995. 58 939.89 5, 520. 41
10, 245. 29 774. 49
150. 21
I
267. 00
179. 59 2, 901. 22 407. 29
189. 56 613. 83
16, 246. 24 70& 067. 84 109. 66 15. 04 6. 80 144, 051. 01
6, 922. 89 62, 224. 01 6, 982. 54
18, 018. 00 61, 000. 33 6, 777. 14
143, 210. 86
143, 223. 61
1, 885. 32
2, 500. 00
I, 623. 03
16, 823. nt 14, 498. QQ 3, 040. 09 1, 085. 65 369. 25 54, 441. 70 1, 042. 58 4, 708. 12
921. 79 157. 36 396. 23
938. 44 5'41. 03 820. 21 2, 037. 32 5, 317. 78
320. 38
858. 69 987. 78 193. 60
I, 034. 06 109. 65 396. 23
I, 000. 00
I, 707. 79
7. 32 16, 799. 81
154. 38
407. 29
407. 29
770. 13
824. 19
875. 75
15, 929. 01
196.88 3, 192. 42
14, 22L 22
80. 98
876. 97
112. 27
162. 48
450. 29 409. 31
1, 222. 20
65. Sf
1, 222. 20 15. 77
9, 680. 10 1, 148. 68 417. 08
28. 15
7, 195. 43
7&
222. 35
7, 222. 35
103. 59
103. 59
361. 71
361. 71
2, 291. 23
80. 15
1, 420. 58
70. 10 974. 72 149. 36
I, 71S. 44 450. 01 310. 19 104. 11 8, 303, 25 92. 46 928. 24 4, 554. 07 2, 876. 64 3, 216. 2S
15, 24
137. 46
127. 48
417. 08
15, 268. 13 2, 074. 31 631. 63 29. 47 1, 048. 41 1, 954. 37 2, 690. 25 262. 62 19, 094. 73 11, 501. 17 4, 533. 21
205, 40
70. 70
127. 48 10, 452. 01 674. 16
1, 99L 17
190. 09 3, 014. 52
10. 50 113.30
216. 54
1, 15L 18
2, 371. 38
792. 26
698. 42 2, 693. 16 599. 37
310. 19 104. 11 2, 500. 76
33. 61 1, 014. 46 ?S. 26
I, 054. 84
I, 054. 84
4, 209. 34 1, 526. 52 24. 44
3, 805. 32 1, 405. 23
3, 871. 11 1, 405. 23
447. 21 7, 941. 62 22. 90 5. 72 12, 777. 00 55. 28 6, 232. 83
481. 30 5, 178. 98
4, 683. 23
9, 820. 10 I, 125. 00 4, 543. 16
10, 805. 57 1, 021. 77 5, 591. 06
144. 86
129. 75
504. 25
I, 102. 74 1, 047. 90
481. 30
10, 804. 01 92. 46 961. 85 4, 513. 69 2, 954. 90 3, 361. 14 15, 672. 15 2, 19f&. 60 656. 07 29. 47 1, 014. 32 4, 7i7. 01 2, 713. 15 268. 34 22, 051. 63 10, 431. 45 6, 222. 88 15 24
63. 96
117.'27 103. 23
Receipts aftd expendjtttres, (Debit transfer appropriations
(uet) and repayments
—Continued
7 088
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds availablein 1933
are printed in italic] Unexpended
balances J((ne 30, 1933
Fiscal year forwhieh appropriation was made
Unexpended
balances June 30, 1932 Appropriations
On books of
Treasury
GENERAL FUND INTEREsT AccoUNTs
,
To credit of dis-
Checks-issued basis
bursing officers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
(PERI(ANENT)
—continued
—
Continued. Sisseton and Wahpeton fund minors' Sisseton and Wahpeton fund Sissetnn and Wahpeton 4 percent fund Standing Rock Reservation 3 percent fund Standing Rock Reservation 3 percent fund, act Feb. 14, 1913 Tesuque Pueblo 4 percent fund Uintah, White River, and Uncompahgre Ute 4 percent fund, Utah Uintah and White River Ute fund Umatilla general fund I, matilla school fund Utes, Confederated Bands of, 4 percent fund, Southern Ute Utes, Confederated Bands of, 4 percent fund, Ute Mountain Ute Utes, Confederated Bands of, 4 percent fund, Uintah, etc Ute 5 percent fund, Ute Mountain
Interest on
On books of the Treasury 5Varrsnts-issued basis
Ute Ute 5 percent fund, Southern Ute Ute 5 percent fund, Uintah, etc Winnebago fund, Nebraska Winnebago fund, Wisconsin Ysnkton Sioux fund Proceeds ofMenominees, logs. Blackfeet Reservation, Mont. , act Mar. 1, 1907 Capitan Grande Indian Reservation, Calif. , act Feb. 28, 1929 Cheyenne River and Standing Rock Reservations, S.Dsk. snd
N. Dak d'Alene Reservation, Coeur Idaho Colville Reservation, Wash. , act Mar. 22, 1906 Flathead Reservation, Mont. , act Feb. 12, 1929 Irrigable lands, Yuma Reservation, Calif River Reservation, Klsmath
Oreg.
No yes(
$1, 662. 38
No year
913. 34
No year
7, 138. 37
2, 124. 23
$9, 262. 60
$9, 262. 60
No year
474. 82
259. 62
337. 68
337. 68
No year No year
203. 21 4, 075. 04
157. 17 950. 60
225. 28
225. 28
No No No No
year year year year
47, 483. 08 G, 586. 23 671. 30 368. 93
No year
1, 763. 96
$1, 92K 12
$262. 74
931. 28
$1, 716.09 25L 37
37, 343. 51 924. 96
396. 7G
130. 10 5, 025. (i4
5, 675. 28
210. 33
645. 18 IGL 5G
7, 391. 37 43. 04
506. 20
84, 826. 59 I, 835. 91 1, 531. 81 552. 49 2, 270. 25
$4. 06
1, 900. 18
558. 49
679. 07
4, 476. 03
3 777 33
43.~. 80
5, 072. 74 169. 28 9, 349. 20
325. 23
325. 23
3, 782. 03 4, 565 80 4, 170. 73 5, 398. 58 1, G76. 07 314. 64
195. 07
53. 70 9, 500. 00
1, 243. 99
10L 82
1, 784. 93
2, 470. 43
No year
4, 970. 00
1, 983. 46
1, 732. 70
2, 92K 37
No No No No No No
year year year year year year
3, 309. 69 583. 22 8, 719. 06 5, 271. 42 1, 879. 02 314. 64
56. 41
5, 683. 74 4, 036. 28 4, 951. 67 127. 16 122, 28
5,
2(1. 40
No year
1, 835. 84
555. 39
No year
1, 074. 85
483. 28
No year
11, 427. 07
12, 748. 13
No year
468. 05
468. 05
No year
298. 43
t98. (3
No year
2, 302. 49
No year
No year
11k 58
804. 31
2, 39L 23 1, 313. 00
1, 313. 00
245. 13
24, 175. 20
2, 771. 00
2, 750. 00
335. 80
160. 22
783. 31
No year
266. 95
375. 81
642. 76
No year
679. 00
200. 70
779. 70
21. 00
Lac du Flambeau
Reservation, Wis No year Lands, Coiviiie Indians, Washington, act Apr. 12, 1924 Nc year Lands, etc. . Five Civilized Tribes, Oklahoma No year Lands and buildings, Chippewas in Minnesota, act Feb. 14, 1920 No year Lands and buildings, Ssntee Sioux Indians, Niebraska and 8outh Dakota, actFeb. 14, 1920 No year Lands snd buildings, Siletz Indians, Oregon, act Feb. 14, 1920 No year Lower Brule Reservation, SzDsk No year Mineral leases, Ute Indian lands, act June 30, 1919 No year Northern Cheyenne Indian Reservation, Mont No year Oil and gas leases, royalties, etc. , Osage Reservation, Okla No year Oil and gas, south half of Red River, Kiowa, Comanche, snd Apache Indians, Oklahoma No year Oil snd gas leases, Wind River Iteservation, Wyo No year Psiute indians lands, Pyramid Lake Reservation, Nev No year Puye Cliff Ruins, Santa Clara Pueblo, N. Mex No year Quiniault Reservation, Wash No year Red Lake Reservation, Minn No year Rosebud Reservation, S.Dak No year Rosebud Reservation, S.Dak. , sct Mar. 2, 1907 No year Ssn Carlos Reservation, Ariz No year Southern I te Reservation No year Spokane Reservation, Wash No year Surplus Pottawatomi lands, Kansas No year Surplus Puyallup School lands No year Surplus lands, Quapsw Agency, Okla No year Surplus lands, Sac and Fox of the Missouri Indians, Kansas and No year Nebraska . Timber, Jicarilla Reservation, No year N. Mex. , act Mar. 4, 1907 Town lots, White Earth ReservaNo year tion, Minn Town sites, Colorado River No year Reservation, Ariz Town sites, Crow Reservation, No year Mont. , sct June 4, 1920 Town site, Fort Hall Reserve tion, Idaho, act Feb. 12, 1929 No year Town site, Spokane Reservation, No year Wash Tribal leases, etc. , Seneca Nation No year of New York l.'intah and White River Ute No year lands . . White blount I!n Apache lands, No year . Arizona No year Wichita ceded laniis INo year Wiiiil River Reservation, Wyo
..
.
.
.
.
.
..
.
.
...
.
.. .
I, 038. 58
360. Co
I, XW. 53
121.23
42. 02
1333. 25
13, 639. 69
7, 822. 64
18, 261. 81
1, 468. 66
509. 08
284. 92
98. 76
tc3. 68
69. 04 505. 20
24. 00 6. 62
93. 04 51L 82
i
3, "00. 52
3, 301. 52
l
1, 977. 4',
179.31
348. 75
6, 620. 23
1.24
10, 010. 83
15, 601. 76
15, 589. 39
1, N9. 30
18, 083. 71
3, 629. 44
7, 881. 61
2, N8. 17
1, 101.27
28, 493. 49
3, 318.99
1, 757. 54
2, 726. 41
4, 234. 86
1, 884. 74
1, 007. 64
'
372. ]6 67. 05 38. 50 7, 645. 64
142, 06
1, 149. 70
332. 91 23. 24
70c. 07 90. 29 38. 50 336. 05
2, 661. 51
9, 971. 10
9, 961. 10
5, 719. 84 125. 06
5, 970. 00
6, 970. 00
985. 09 95. 97
34tl 05
162. 52 95. 97
162. 52 95. 97
195. 82
67. 88
263. 70
131.73
45. 66
177. 39
3, 310. 28
1, 379. 33
1, 109. 08
384. 44
87. 15 61. 57 3, 501. 35 360. 79
3, 997. 33
75. 86 21, 34
28L 52
1, 781. ?8
3, 874. 38
164. 01 82. 91 251. 3, 19 485. 85
I, 16'2. 62
3, 882. 63
815. 23 1, 493. 52
3, 379. 75
3, 561. 79
2, 399. 36 I
39. 19
I
i
1, 518 35
1, 125. 29
169. 44
'
69. 00
69. 00
. 17
683. 23
249. 61
932. 84
118. 57
41. 10
159. 67
230. 33
188. 54
190. 59
2, 041. 91
299. 37
2, 341, 28
90. 59 464. 04 788. 78
155. 52 388. 97
31. 40 619. 56 1, 17. 5
.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
—
I[)88 Continued
Expenditures
Funds available in 1933
in excess of expenditures
to appropriations
(see
in 1933
p. 6)
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year for which
appropriation was made
Unexpended balances June 30, 1932
Appropriations On books of
Treasury
GENERAL PIIND
On books of the Treasury
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
bursing ofilcers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for Impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
INTEREsT AccouNTs (PERMANENT)
—confnlued
—
Interest on Continued. Proceeds of interest, on moneys on de- . posit in banlts, sct Mar. 3, 1911 (interest): No Choctaw No Seminole Judgments, Court of Claims, Indians of the Fort Berthold (Indian) No Reservation, N. Dak Judgments, Court of C!aims, Ottawa and Chippeva Indians of MichiNo gan Judgments, Court of Claims, YankNo ton Sioux Indians Payment toIndians of Colville Reservation, No Wash. , for lands Indians of Fort Belknap ReserNo vation, Mont. , for lands Agency, Indians of Klamath Oreg. , for lands conveyed to the California dl Oregon Land Co No
year year
95. 54
year
19, 396. 85
year
240. 13
year
2, 009. 55
year
I, 232. 14
431. 68
1, 663. 82
year
320. 54
17. 32
337. 86
year
3, 507. 03
1, 215. 64
4, 722. 67
year year year year
76. 62 16. 98 328. 05 300. 82
51. 08 34. 02 218. 70 557. 16
127. 70 51. 00 546. 75 282. 98
No year
73. 42
51. 39
124. 81
No year No year
764. 58 20. 34
731. 42
1, 496. 00 20. 34
75. 39
70. 26 15. 40
1. 74
6, 630. 74
6, 699. 52
145. 65 15. 40 5. 20 486. 83 1, 037. 74
I, 491. 00
I, 491. 00
43. 51 207. 77
$4. 71
$14. 19 33. 12
$18. 90 128. 66
19, 396. 85
83. 24
323. 37 2, 009. 55
[The following 4-percent interest accounts were established during the fiscsl year 1931, under the act of June 13, 1930 (46 Stat. 584, sec. 2).) Interest on proceeds of labor: Absentee Shawnee Indians, Oklahoma Agua Caliente I'ndians, California Bad River Indians, Wisconsin. Blackfeet Indians, Montana and Arapaho Indians, Cheyenne Oklahoma Cheyenne River Indians, South Dakota Chippewa Indians, Minnesota Choctaw Indians, Oklahoma (unallotted lands) Cocopah Indians, Arizona Coeur d'Alene Indians, Idaho Colorado River Indians, Arizona Colville Indians, Washington (town Oklahoma Creek Indians, lots) Crow Indians, Montana
No No No No
No No No No No
year year year year year
291. 63 5, 281. S4
3. 46 195. 20 2, 386. 64
No year No year
43. 61 1, 251. 39
447. 3S
$575. 00
$675. 00
$31. 22
Devils fake Indisrs, North Dakota No year Cherokee Indians, North Carolina No year Eastern Navajo Indians, New Mexico No year Flathead Indians, Montana No year Fort Apache Indians, Arizona No year Fort Belknsp Indians, Montana No year Fort Berthold Indians, North Dakota No year Fort Hall Indians, Idaho No year Fort Mojave Indians, Arizona No year I'ort Peck Indians, Montana No year Goshute Indians, Utah No year Iowa Indians, Kansas No year Jicari)is Indians, New Mexico No year Ksibab Indians, Arizona No year Kalizpel Indians, Idaho No year Kickapoo Indians, Kansas No year Kiowa Indians, Oklahoma No year Klsmath Indians, Oregon No year Lsc Courte Oreille Indians, Wisconsin No year Lac du Flambeau Indians, Wisconsin No year Lac du Flambeau Indians, Wisconsin (swamp-land receipts) No year Lower Brule Indians, South Dakota No year Lummi Indians, Washington No year Maksh Indians, Washington No year Martinez Indians, California No year Menominee Indians, Wisconsin No year Mescalero Indians, New Mexico No year Morongo Indians, California No year Navajo Indians, Arizona and New Mexico (oil, royalty, and leases) No year Navajo Indians of Leupp Agency, Arizona No year Neah Bay Indians, Washington No year Nevada Indians, Nevada No year No year Nez Perce Indians, Idaho Northern Indians, New Navajo . No year Mexico No year Omaha Indians, Nebraska No year Oneida Indians, Wisconsin No year Ontonagan Indians, Michigan No year Osage Indians, Oklahoma Otoe and Missouri Indians, OklaNo year homa No year Ozette Indians, Washington Paiute Indians of Psiute Agency, No year Utah Paiute imliaus of Summit Lake, No year Neva&ia No year P;&wnee Indians, Oklahoma No year Pi&n;i ln&lians, Arizona No year Pine Ridge Indians, South Dakota No year Ponce Indians, Oklahoma No year Pottawato&ni Indians, Kansas No year Puyallnli Indians, Washington No year Pyramid Lake Indians, Nevada. No year Quillehute In&li;ms Washington No year Quinaielt Indians, Washington No year Red l.ake indians, Minnesota Red Lake Indians, Minnesota (sawNo year m i l I) No year Rocky Boy Indians, klontana
Essrcm
.
.
.
..
.
. ..
53. 02
12. 51
40. 44
2, 946. 6S
28. 90 1, 546. 76 I, 119.49 13. 36
43. 35 2, 237. 43 3, 308. 26 122. 12
6. 24 305. 20 52. 18
814. 40
6. 37 331.59 35. 18 336. 19 1. 44
72. 25
3, 784. 19 3, 500. 00
1, 690. 18
927. 75 135. 48
12. 61 651. 19 87. 36
I4. $0
I, 078. 85
742. 66 75. 71 95. 05 779. 24 783. 68 118.83 132. 23 108. 50 50, 223. 27
15, 320. 10
I, 620. 63
1, 143. 99
2, 764. 62
478. 24
347. 71
825. 95
7, 167. 03
4, 778. 33
11, 945. 36 52. 33 56. 60 148. 90 65. 38 413. 05
52. 33 20. 60 89. 34 20. 57 146. 53 5, 222. 07 33. 81
77. 15 95. 05 855. 88 I, 237. 40 IS3. 30 132. 23
76. 64 453. 72 64. 47
98. 64 58, 400. 84
52, 914. 59
36. 00 59. 56 44. 81 266. 52
I, 040. 93
5, 000. 00
5, 000. 00
207. 14 7, 142. 53
I, 263. 00 119.68
3, 613. 83
43. 62 1, 223. 63 34. 56 2, 506. 28
78. 26 468. 40 23. 04 758. 45
119.88 1, 692, 03 57. 60 3, 264. 73
58. 20 459. 31 50. 19 77. 56 I, 922. 24
17. 73 332. 71
75. 93 184. 52 50. 19 126. 62 2, 751. 88
345. 21 71. 53
8. 83
Srz 57
60. 62
147. 19
206. 14 254. 35 159. 21 61. 83
177. 85 173. 59 20. 98 8. 89 230. 74 31. 07 440. 62 257. 70 69. 56 1, 380. 86 66. 76
383. 99 427. 94 180. 19 70. 72 731. 74 78. SG 133. 72 643. 81 118.63 1, 225. 18 118. 03
2, 390. 09
28. G3
9, 405. 05
9, 405. 05
607. 50
465. 17
330. 00
329. 62
49. 06 829. 64
915. 45 51. 90
5, 486. 25
49. 57
15. 76
5, 910. 90
501. 00 47. 79 693. 10 386. 11 49. 07 2& 544. 32 51. 27
I, 809. 82
I, 000. 00
990. 04
2, 700. 00
2, 526. 29
24. 04 71. 53
3, 305. 54 80. 5&3
M
0 142. 33
. 38
173. 71
—Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
for which appropriation was made
FUND
1NTKRKsT AccoUNTs
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations
On books of Treasury
VENEREAL
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
Fiscal year
1 &)88
To credit of dis-
Act June 20,
Cheeks-issued basis
1874
bursing offlcers
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oflicers
Available
—Continued
&PERMANENT)
—continued
—
Interest on proceeds of labor Continued Rosebud Indians, South Dakota Round Valley Indians, California Sac and Fox Indians, Iowa Sac snd Fox Indians, Oklahoma Salt River Indians, Arizona San Carlos Indians, Arizona Santa Clara Indians, New Mexico Santa Rosa Indians, California Sautes Indians, Nebraska Seminole Indians, Florida Shivwits in&lian», Utah Shoshone and Arapaho Indians, Wyoming Skull Valley Indians, &Utah Southern iVavajo Indians, Arizona Southern Ute Indians, ('olorado Spokane Indians, Washington Standing Rock Indians, North Dakota Tongue River Indians, Montana. Tonkawa Indian», Oklahoma Truxton Canyon Indians, Arizona Tulalip Indians, Washington Tule River Indians, California Uintah snd Oursy Indians, Utah Umstilla Indians, Oregon Ute lVIountain Indians, Colorado W»lker ltiver Indians, Nevada Warm Spring» Indians, Orecon Western Navajo Indians, Arizona Western Sho»hone Indians, N el a&i» lyichit» Indians, Oklahoma Winnebago Indians, Nebraska Y»kima Indians, Washington Vankton Indian»» South Dakota Yuma Indians, California
Total general counts.
fund,
interest
No year iVo year No year No year No year No year No year No year No year No year No year No No No No No
year year year year year
$47. 42 25. 28 48. 10
$44. 09 39. 82
911.24
548. 79 3. 53 6, 861. 46 475. 50 19. 15 25. 76 205. 22
. 63
5. 68 14, 776. 73 693. 26 126. 47
38. 41 305 55 5. 87
1, 083. 73
$1, 219. 78
399. 81 219. 70 81. 01 365. 33
No year Nn year Vo year Vo year Vo year No year No year No year No year No year » year No year No year Vo year No le»r
8. 43 600. 72 46. 32 1, 987. 37 61. 16 46. 61 417. 03
749. 01 20. 38 4, 145. 64 18. 86
80. 35 1, 173. 16
63. 80 1, 944. 77 27. 00
327. 27
110.99 2, 861. 13
$48. 73 1, 190. 97
. $30. 03 1, 190. 97
17, 000. 00 934, 92
14, 160. 88
1, 923. 24
2, 323. 02
$18. 70 269. 06 9. 21 4, 638. 19 233. 84 145. 62 64. 17 510. 77 29. 42
%4. 92
414. 58 18. 36 31. 36 922. 78 68. 16 325. 5S
20. 74 »&11. 68
113. 20 447. 10
2, 839. 12
773. 37
%4. 42 280. 00
105. 08
1, 031. 00
569. ?7
2, 910. OO
856. 82
365. 94 130. 78 382. 06
8. 43 318. 73 66. 70 3, 523. 01 80. 02 126. 96 590. 19 174. 'l9 4, 853. 78 61, 32 15. 62
~
894. 90
47. 88
279. 39
34. 32 15. 62
70. 55 521. 45
2,
1, 612. 88 284. 61
146. 24 49. 77 296. 73
No year Vio year Vio year
$91. 51 65. 10
174. 92
461. 23 2, 053. 18
105. 10
70. 55
2, 417. 74
2, 073. 16
';
936. 03 ]S. 36 52. 10 1, 116. 72 181. 36
344. 58
772. 68
ac-
%4, 727. 91
34, 811.44
636, 594. 58
649, 188. 27
660, 287. 00
672, 134. 22
23, 712. 71
TRUST FUNDS psnvclpsz aceous rs
(pss»ass»ri
Apache, Kioiv;i, and Comanche fund (5 percent) Xo year 91. 22 Apache, Kiowa, and Comanche 4-percent fund No year 5, 067. 60 Blackfeet Reservation 4-percent fund No year 5, 717. 11 Cheyennes and Arspshoes in Oklahoma fund (5 percent) . No year 672. 33 646. 08 Cheyennes snd Arapahoes in Oklahoma 3-percent fund iVo vear 83. 73 Cheyenne River Reservation 3-percent fund. act Jsn. 28, 1913 No vear 9 859 06 231. 69 Cheyenne River Reservation 3-percent "' 9, 743. 34 fund No year 796, 481. 89 Chippewas in Minnesots fund (5 percent) iVo year 2, 298, 436. 28 28, 259. 94 Clsllam minors' 4-percent fund No year 119, 183. 69 Coeur d'Alene 3-percent fund No year 21 128. 06 Crow consolidated 4-percent fund No year 21, 114. 71 4, 399. 94 Crow Creek 4-percent fund No year 2, Gi51. 40 Fort Belknap Reservation 4-percent fund No year 48. 86 Fort Berthold Reservation 3-percent fund iVo year 36, 675. 96 Fort Hall Reservation 4-percent fund No year 1, 117. 29 Fort Hall Irrigation 4-percent fund No year 39, 587. 65 3, 697. 21 Fort Peck Reservation 4-percent fund iVo year 7, 518. 33 1, 868. 34 Grande Ronde minors ' fund (5 percent) No year 530. 63 Iowa fund (5 percent) No year 284. 40 Iowa minors' fund NVo year 340. 80 Jemez Pueblo 4-percent fund No year 500. 00 Kansas consolidated fund (5 percent) No year 1, 972. 48 Kickapoo minors' fund (5 percent) No year 4, 09G. 73 Kickapoos in Oklahoma fund (5 percent) No year 1, 108. 10 Kiowa Agency hospital 4-percent fund No year ]4, 319. 98 Efamath fund (5 percent) . No year 4, 109. 16 L'Anse and Vieux de Sert Chippewa fund (5 percent) No year 339. 03 Menominee fund (5 perrent) No year 46, 123. 85 Menominee 4-percent fund No year 393, 194. 05 38, 671. 56 Menominee log fund (5 percent) iVo year 1, 430, 997, 07 Nez Perces of Idaho fund (5 percent) No year 2, 193. 33 Omaha fund (5 percent) No year 300. 88 Omaha minors' fund (5 percent) No year 136. 04 Osage fund (5 percent) No year 2, 891, 7G8. 96 Picuris Pueblo 4-percent fund No year 47, 132. 90 Pine Ridge Reservation 3-percent fund. No year 11, 698. 92 7, 679. 14 Pot tawatomi education fund (5 percent) No year 17, 196. 47 Pottawatomi general fund No year 781. 00 19, Pottawatomi mills fund (5 percent) No year 3, 877. 06 Pottawstomi minors' fund (5 percent) No year 2, 265. 83 Pottawatomies of Kansas aud Wisconsin, No year act Apr. 4, 1910 (5 percent) 210. 03 Indian Cemetery, Tacoma, Puyallup Wash. , 4-percent fund. No year 25, 000. 00 Red Lake Chippewas 3-percent minors' No year 244. 18 fund » 24, 380. 32 No year Red Lake Forest 4-percent fund 463, 031. 23 Rosebud Reservation 3-percent fund, act No year 93. 57 Msr. 2, 1907 Rosebud Reservation 3-percent fund, act No year 2, 344. 06 May 30, 1910. "' Fixclusive of funds in other deposits ries than t he Treasury of t he United States.
91. "' 92. 04 5, 600. 70
4, 955. 12 116. 41
439. 50
1, 757. Gf
540. 14
6, K's. 14
10, 099. 20
2, 263. 69
1, 7'75. 48
112, 923. 38
111,659. 21
685, 333. 99
» 11, 007. 51
10, 412. 82
582, 846. 88 1, 444. 65 57. 35 3, 233. 46 266. 84
584, 802. 32 1, 444. 65
1, 726, 002. 22
26, 304. 50
92. 04 5, 600. 70
~
I
'
,
~
L086. 68
670. 11
t
~
~
'
57. 35 4, 893. 58 266. 84
117, 739. 04 2, 070, 71 18, 551. 36 2, 284. 56
2, 739. 82
48. 86
3, 417. 02
5, 700. 69
5, 705. 69
13, 280. 59 6, 645. 80 298. 49
14, 979. 98 8, 159. 89 298. 49
250. 45
341. 39 38. 79
2, 496. 80 155, 392. 70 242, 164. 84
2, 496. 80 172, 928. 39 136 340 25
1, 696. 49
87, 817. 25
87, 817. 25
1, 383. 93
1, 635. 65 1, 212. 62 1, 394. 82 273. 16
3, 140. 27 1, 212. 62 1, 394. 82 273. 16
341. 39 630. 43
192, 434. 35
31, 126. 51 1, 117.29 26, 307. 06
1, 997. 82
4, 289. 55 232. 14 284. 40
364. 25
0
340. 80 600. 00 1, 972. 48 3, 755. 34 857. 65 14, 850. 41 4, 109. 16
339. 03 43, 627. 05 430, 235. 70 1, 188, 832. 53 2, 193. 33 300. 88 136. 04 2, 805, 648. 20
Ixl
211. GG
21. 135. 84 105, 815. 59
47, 132. 90 11, 447. 20 16, 983. 85 18, 386. 18
6, 174. 52
3, 603. 90 2, 265. 83
210. 03 25, 000. 00
10. 51
429. 22
180, 117.61
146, 434. 64
244. 18 282, 924, 13
168. Qf
251. 78 2, 838. 17
»
58, GG3 29
0
—
1988 Continued
Receipts and expenCitures, iDebit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
AccoUNTs
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
PRINGIPAL
are printed in italic!
Unexpended balances June 30, 1932
On books of
TRUST FUNDS
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
bursing officers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing o]]]cere
Available
—Continued
(PERMANENT)
—coatinued
Rosebud Sioux 3-percent minors' fund Round Valley general fund (5 percent) Ssc snd Fox of the Mississippi fund, Iowa, acts Mar. 3, 1909, and Apr. 4, 1910 (5 percent) Ssc snd Fox of the Missouri minors' fund (5 percent) San Ildefonso Pueblo 4-percent fund Santa Ana Pueblo 4-perceat fund Seminole school fund (5 percent) Seneca Tonawanda Band fund (5 percent) Senecss of New York fund (5 percent) Seneca aad Shawnee fund (5 percent) Shoshone snd Bannock fund (5 percent) Sioux fund: Cheyenne River (5 percent) Crow Creek (5 percent) Flsndreau (5 percent) Lower Brule (5 percent) Pine Ridge (5 percent) Ponce (5 percent) Ponce minors (5 percent) Rosebud (5 percent) Ssntee (5 percent) Standing Rock (5 percent) Sisseton and Wahpeton fund (4 percent) Sisseton snd Wahpeton fund (5 percent) Sisseton snd Wahpetoa minors' fund (5 percent) Standing Rock Reservation 3-percent
No year No year
$14, 985. 67 8, 682. 48
No year
No No No No
year year year year
No No No No
year year year year
No No No No No No No No No No No No
etc,
$1, 821. 35 3, 144. 59
$13, 164, 32 5, 8ii7, 29
143i 142, 20
61 625. 64
6, 625. 64
136, 516. 56
1, 489. 02
1, 093. 49
1, 093. 49
$694. 72
24, 367. 78
3, 733. 78 50, 015. 39
3, 733. 78 50, 015. 39
843. 53
843. 53
19, 428. 60 653. 13 1, 565. 31 2, 897. 08
year year year year year year year year year year year year
84, 623. 59 30, 060. 62 488. 64 8, 918. 25 158, 949. 70 458. 00 114. 50 246, 896. 4] 1, 105. 67 125, 076. 98
9, 441. 12
9, 441. 12 3, 855. 06
75, 182. 47 26, 205. 56 488. 64 8, 836. 07 133, 468. 35 458. 00 114. 50 204 235 47 1, 105. 67 113, 922. 04
No year
358. 76
201 272.
230. 75
82. 18
82. 18
25, 481. 35
25, 481. 35
42, 660. 94
42, 655. 91
11, 154. 94
11, 154. 94 95. 00
95. 00
8, 378. 00 5, 058. 77 23, 765. 19
No year
]8, 499. 01
year year year year year year
1, 162, 221. 25 14, 813. 66 3, 78'1. 79 80, 725. 61 102, 298. 72 113, 674. 92
No year
13, 931. 68
235. 78
5, 254. 68
5, 254. 68
No year No year
No No No No No No
3, 855. 06
$398. 44
395. 53
24, 367. 78
13 653. 13 1, 565. 31 2, 897. 08
No year
fund
Standing Rock Reservation 3-percent fund, sot Feb. 14, 1913 Tesut]ue Pueblo 4-percent fund Uintsh snd White River Ute fund (5 percent) Uiatsh, White River, snd Uncompahgre Ute 4-percent fund, Utah Umst]]]s general fund (5 percent) Umatills school fund (5 percent) Ute 6-percent fund, Southern Ute Ute 6-percent fund, Uintsh, Ute 6-percent fuad, Ute Mountain Ute Utes, Confederated Bands of, 4-percent fund, Southern Ute
$1i 821. 35 3, 509. 91
$33. 12
358. 76 2, 000. 00
I, 612. 24
7, 688. 27
9, 672. 27
933. 85
5, 381. 57
5, 381. 57
2, 301.97 i
16. 00
611.05 23, 765. 19 18, 499. 01 1, 16'2, 221. 25
.
], 291. 40
], 791. 78
14, 2]o. 96 3, 375. 48
14, 187. 21 3, 376. 48
17, 022. 82
17, 022. 82
8, 415. 68
9, 176. 47
69?. 71
36. 24
412. 31 80, 725. 61 86, 275. 90 113, 674. 92 7, 307. 78
530. 61
g +
t
Utes, Confederated Bands of, 4-pcrcent fund. Uintab, etc Utes, Confederated Bands of, 4-percent fund, Ute Mountain Ute Winnebago fund, Nebraska (5 percent) Winnebago fund, Wisconsin (5 percent) Proceeds of lands: Fulfilling treaties
5, 731. 74
17, 265. 26
25, 466. 32
2, 091. 21
48, 309. 81
49, 821. 26
418. 77
418. 77
543. 28 2, 216. 83
13, 810. 95
747. 30
747. 30
13, 063. 65
No year No year
77. 23 353. 67
11.60
11.60
77. 23 342. 07
No year
301. 36
No year
12, 170, 04
No year
360, 411. 55
No year
365. 41
365. 41
No year
341. 45
374. 77
No year
68. 02
68. 02
No year
43. 77
43. 77
No year
21, 056. 65
No year
78. 00
No year
44, 933. 76
No year No year No year
55, 496. 63 2, 543. 28 2, 635. 60
No year
17, 480. 12 1, 966. 72
9, N8. 03
466. 27
'2,
with— Menominees, logs (4 percent) Omahas, interest on deferred payments for lands (4 percent) Winnebagos (4 percent) Wlnnebagos in Nebraska, allotted lands (4 percent) Proceeds of: Biackfeet Reservation, Mont. , act of Mar. 1, 1907 (4 percent) Capitan Grande Indian Reservation Calif. , act Feb. 28, 1929 Cheyenne and Arapahoe reserve lands, Oklahoma Cheyenne River and Standing Rock Reservations, S.Dak. and N. Dak. (4 percent) Coeur d'Alene Reservation, Idaho (4 percent) Colville Reservation, Wash. (4 percent) Colville Reservation, Wash. , act Mar. 22, 1906 (4 percent) Devils Lake Reservation, N. Dak. (4 percent) Flathead Reservation, Mont. (4 per-
cent).
301. 36
176. 50
179. 20
508. 57
No year
Flathead Reservation, Mont. , act of May 18, 1916 Irrigable lands, Yuma Reservation, Calif. (4 percent) Rlamath River Reservation, Oreg. (4 percent) Lac du Flambeau Reservation, Wis. (4 percent) Lands, Colville Indians, Washington act Apr. 12, 1924 (4 percent) Lands, etc. , Five Civilized Tribes, Oklahoma (4 percent) Lands, Flandreau Sioux Indians, South Dakota, act Msr. 4, 1923 Land and buildings, Chippewas in Minnesota, act Feb. 14, 1920 Lands, Standing Rock Sioux Indians, act Apr. 12, 1924 Lands and buildings, Santee Sioux Indians, Nebraska and South Dakota, act Feb. 14, 1920 (4 percent) Lands and buildings, Siletz Indians, Oregon, act Feb. 14, 1920 (4 percent) l.ower prole Reservation, S.Dak. (4 percent) M ineral )cases, I:te Indian lands, act June 30, 1919 (4 percent)
.
2, 752. 28
12, 246. 00
12, 246. 00
111,769. 00
10S, 361. 73
248, 642. 55
21, 180. 53
21, 180. 53
384. 69
I, 634. Sf
i, 634. Si
1, 712. 81
78. 50
78. 50
3, 138. 21
No year
3, 686. 47
300. 00
No year
9, 385. 73
No year
5, 017. 35
5, 017. 35
No year
9, 000. 00
9, 000. 00
No year
1, 050. 60
I, 050. 60
No year
202, 065. 27
118. 34
12, 594. 48
68, 370. 32
9, 504. 07
74, 478. 03
85, 730. 36
No year
195, 957. 56
300. 00
No year
12, 727. 00
12, 727. 00
No year
62. 50
62. 50
No year
2, 469. 00
2, 469. 00
No year No year
415. 39
No year
9, /51. 46
130. 00
ISO. 00
415
3/i
9, 75 i. 46/
1, 342. 15
—
1088 Continued
Receipts rznd expenChtures, [Debit transfer appropriations
(net) snd repayments
Fiscal year approprjstion was made
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Ap pro priat On book'S of
Unexpended
iona
To credit of dis-
Warrants-issued basis
Checks-issued basis
bursing officers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for im pounded salary savings
disbursing ofBcers
Available
(see p. 7)
TRUST FUNDS
—Continued
PRINCIPAL ACCOUNTS (PERMANENT)
—COntinued
—
Proceeds of Continued. Northern Cheyenne Indian Reservation, Mont. , act June 3, 1926. Oil and gas leases, royalties, etc. , Osage Reservation, Okla. (4 percent) Oil and gss, south half of Red River, Kiowa, Comanche, and Apache Indians, Oklahoma (4 percent) Oil and gss leases, Wind River Reservation, Wyo. (4 percent) Paiute Indian lands, Pyramid Lake Reservation, Nev. (4 percent) Puye Cliff Ruins, Santa Clara Pueblo, N. Mex. (4 percent) Quinsielt Reservation, Wash. (4 percent) Red Lake Reservation, Minn. (4 percent) Rosebud Reservation, S.Dak. (4 percent) Rosebud Reservation, S.Dsk. , act of Mar. 2, 1907 (4 percent) Ssn Carlos Reservation, Ariz. (4 percent) snd Sioux Reservations, North South Dakota» Southern Ute Reservation (4 percent) Spokane Reservation, Wash. (4 percent) Surplus Pottswatomi lands, Kansas (4 percent) Surplus lands, Quapsw Agencv, Okla (4 percent) Surplus lands, Sac and Fox of the Missouri Indians, Kansas snd braska (4 percent) Reservation, Jicarilla Timber, N. Mex. , sct Mar. 4, 1907 (4 percent) Town lots, White Earth Reservation, Minn. (4 percent) Town sites, Colorado River Reservation, Ariz. (4 percent) Town sites, Crow Reservation, Mont. , act June 4, 1920 (4 percent)
.
¹
.
No year
$4, 450. 80
No year
350, 110. 40
$15, 010. 16
1, 605, 114.45
$1 786 174 90
$1, 787, 071. 79
169, 049. 95
$14, 113.27
No year
201, 506. 98
512. 00
12, 557. 04
124, 488. 00
124, 982. 12
89, 576. 02
17. SS
No year
4S, 239. 54
10, 827. 71
9, 108. 60
32, 705. 93
38, 221. 86
24, 642. 21
5, 311.78
No year
3, 422. 08
113.93
7. 25
8. 70
No year
7) 956. 12
No year
581. 12
No year
9. 64
fs. 50
f5. 50
25. 14
No year
66, 544. 13
52, 787. 02
52, 787. 02
13, 757. 11
No year
1, 987. 97
$340. 01
$4, 790. 81
3, 436. 03
2, 582. 10
10, 538. 22
581. 12
35. 28
2, 023. 25
533. 63
No year No year
305, 589. 64
305, 589. 64
No year
142, 996. 16
142 996 1
No year
3, 126. 43
186.'45
186. 45
2, 939. 98
No year
8, soi, 86
1, 04L 16
1, 045. 16
7, 456. 70
No year
1, 696, 75
], 696. 75
No year
1, 141. 70
1, 141. 70
No year
36, 254. 59
No year
9, 610. 99
No year
49, 360. 91
No year
742. 00
393. 55
18, 400. 00
45, 610. 07
451 308. 70
9, 044. 52 9, 610. 99
154. 69
68. 00
20, 214. 22
131 583. 94
792. 00
792. 00
29, 146. 69
6, 784. 97
fn p'D
Town sites, Fort Beurnap Reservation, Mont. (4 percent) No year Town site, Spokane Reservation, Wash. (4 percent) No year Tovrn site, Fort Hall Reservation, Idaho, act May 31, 1918 (4 percent) No year Tribal leases, etc. , Seneca Nation of New York (4 percent) No year Uintah and White River I:te lands (4 percent) No year White Mountain Apache land, Ariz. (4 percent) No year Wichita ceded lands (4 percent) No year Wind River Reservation, Wyo. (4 percent) No year Winnebago Reservation, M)nn No year Proceeds of interest on moneys on deposit in bank, sct Mar. 3, 1911: Choctaw (4 percent) No year Seminole (4 percent) No year Comprotnise settlement suit of United States v. Yabe Gaino et sl. , Creek Nation No year Individual Indian moneys, trust fund» No year Indian moneys, proceeds of labor, agenNo year cies, schools, etc. » No year Unclaimed individual Indian moneys» Judgments, Court of Claims, Indians of the Fort Berthold (Indian) ReservaNo year tion, N. Dsk Judgments, Court of Claims, Ottawa and Chippewa Indians of Michigan (4 No year percent) Judgtnents, Court of Claims, Yankton No year Sioux Indians (4 percent) Payment toReservation, Indians of Colville No year Wash. , for lands (4 percent) Indians of Fort Belknsp ReservaNo year tion, Mont. , for lands (4 percent) Indians of Klamath Agency, Oreg. , for lands conveyed to the California No year )k Oregon Land Co. (4 percent).
"
3QG.
376. 25
25
1 027 50
1, 027. 50
6, 377. 63
6, 247. 63
130. 00
7, 460. 76
18, 971. 18
13, 954. 24
13, 954. 24
12, 477. 70
316. 00
2, 723. 85
2, 970. 77
5, 728. 54
559. 63
559 63
785. 00 3, 331. 66
50. 00
50. 00
G18. 00
618. 00
8, 136. 39
246. 92
785. 00 3, 891. 29 10, 144. 94 46. 55
Gfg.
1, 507. 45
tf
'
827. 76
11, 602, 39 46. 55
. 11 827. 76
330. 67 425. 88 219, 390. 89 847. 34
56, 909. 17
182, 337. 59 45. 74
30. 88
30. 88
361. 55 425. 88
128, 048. 43 2. 20
136, 729. 14 2. 20
273 680 05 890. 88
1, 4(J). 18
1) 4/j4. 18
1, 444. 18
2, 080. 76
2, 080. 76
15. 00
15. 00
10, 806. 84
257. 04
1, 983. 59
!)0.00
10, 846. 84
2, 115.96
2, 180. 63
48, 228. 46
0 ------- --
]2]
194. 36
M
0 30, 390. 80
30, 390. 80
[The following tribal funds were established during the fisca year 1931, bearing simple interest at the rate of 4 percent per annum on balances exceeding $500 from July 1, 1930, under the act of June 13, 1930 (46 Stat. 584, sec. 2).] Proceeds oflahor: Absentee Shawnee Indians, Oklahoma. Agua Csliente Indians, Cshfornia Augustine Indians, California Bsd River Indians, Wisconsin Blackfeet Indians, Montana ('amp McDowell Indians, Arizona Campo Indians, California ('apitan Gran&le Indian. ', California Cherokee Indians, Oklahoma. Chettimanchi Indians, Louisiana ('heyenne snd Ar:)i)ahn Indians, Oklahoma
..
» Nnninterest
bearing.
year year year year year year year year year year
1, 277. 02 947. 11 52. 42 5, 467. 55 14, 107. 23 36. 12 G6. 60 1. 33 67. 52 189. 33
No year
I, 504. 77
No No No No No No No No No No
1, 277. 02
293. 82 2. 45 499. 08
32, 018. 34 18. 06 10. 60
38, 384. 63
37, 289. 44
800. 77
800. 77
101. 33 67. :12 990. 10
650. 00
160. 00
854. 77
100. 00 )
1, 240. )13 54. 87 5, 467. 55 7, 40. 94 54. 18 77. 20
1, 5))94 27
i)JG. 00
CO
—
Receipts and expenditures, [Debit transfer appropriations
(net) aud repayments
f888 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in itaticj
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year appropria-
for which
Unexpended balances June 30, 1932
tionn was made
Appropriations On books of
Treasury
TRUST FUNDS
On books of the Treasury
To credit of disbursing officers
Wanants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
PRINCIPAL ACCOCNTS (pERR ANENT)
—continued
—
Proceeds of labor Continued. South River Indians, Cheyenne Dakota Chickasaw Indians, Oklahoma (unallotted lands) Chippewa Indians, Minnesota Choctaw Indians, Oklahoma (unallotted lands) Cocopsh Indians, Arizona Coeur d'Alene Indians, Idaho Colorado River Indians, Arizona Colville Indians, Washington Creek Indians, Oldahoms (town lots) Crow Indians, Montana Crow Creek Indians, South Dakota Devils Lake Indians, North Dakota Eastern Cherokee Indians, North Carolina Eastern Navajo Indians, New MexIco Flathead Indians, Montana Fort Apache Indians, Arizona Fort Belknap Indians, Montana Fort Berthold Indians, North Dakota Fort Bidwell Indians, California Fort Hall Indians, Idaho Fort MeDermitt Indians, Nevada Fort Mojave Indians, Arizona. Fort Peck Indians, Montana Goshute Indians, Utah Hoh Indians, Washington Hoops Valley Indians, California Hopi Indians, Arizona. Jicsrills Indians, New Mexico Ksibsb Indians, Arizona Kslispel Indians, Idaho Ksw Indians, Oklahoma Kickspoo Indians, Kansas Kiowa Indians, Oklahoma Klamsth Indians, Oregon. Lsc Courte Oreille Indians, Wisconsin Lsc du Flambeau Indians, Wisconsin Lsc du Flambeau Indians, Wisconsin (swamp land receipts)
.
No year
$35, 811.96
No year No year
253. 83
No No No No No No No No
$13, 589. 58
$31, 758. 15
$31, 758. 15
$17, 643. 39
160. 64
15. 00 53. 83
15.00
year year year year year year year year No year
2, 196. 68 552. 50 16. 85 5, 101.84 61, 865. 02 12. 14 10, 339. 86 25. 48 1, 395. 21
No year
109, 824. 11
No No No No
year year year year
722. 60 38, 918. 63 26, 726. 68 83, 42
No No No No No No No No No No No No No No No No No
year year year year year year year year year year year year year year year year year
170. 65 308. 50 6, 949. 21
72. 86 2, 102. 85 372, 458. 44
No year
28, 701. 37
No year
8, 035. 33
No year
119, 450. 50
219. 27 879. 73 8, 468. 21 . 37 478. 59 18. 08 1.90 2, 182. 51 11, 867. 52 I, 980. 32 250. 00
$15. 25 1, 930. 31
600. 00
37. 30 11, 708. 00 35. 69 1, 000. 00
1, 606. 37 23, 368. 69
14, 164. 53 91. 50 1, 530. 21
10.00 3, 017. 54 43, 272. 14 35. 69 14, 659. 31
1, 930. 31
10. 00 2, 937. 03 48, 988. 00
15, 491.08
2, 685. 14
2, 659. 32
24, 869. 87 30& 542. 33 1, 742. 03
28, 771. 09 20, 971. 52
31, 401. 80 22, 938. 69
35. 83
7. 00
251. 11
1, 313. 43 6. 00 9, 892. 76
23. 55
274. 66
399. OS
27. 88
2, 009. 55
1, 374. 08
240. 28
722. 60 35, 017. 41 36, 297. 49 I, 851. 07
67. 25
1, 460. 53 314. 50 17, 241. 05 219. 27 879. 73 8, 190. 83 2, 035. 35 478. 69 24. 83 1. 90 6, 276. 62 7, 300. 43 25. 32 317. 25
1, 819. 00 84, 308. 05
3, 921. 85 138, 371. 22
f. 93 6'. 76
343. 04 727. 59
4, 148. 33 669. 71
117.81 5, 992. 14
168. 23 25. 82
112, 037. 27
6, 506. 51 4, 166. 52 32. 62
1, 732. 17 2, 033, 05
111
116.98
2, 213. 16
1. 93
266. 37 552. 50 626. 85 3, 690. 67 41, 961. 57 47. 83 9, 845. 08
$54. 71
54. 22 5, 236. 80 1, 955. 00
397. 26 4, 961. 22 1, 954. 40
g 3, 875. 80 2, 199. 35
635. 47
1, 003. 17 ,
60
72. 86
19, 308. 63
318, 395. 27
331, 844. 06
1, 200. 00
I, 133.97
1, 067. 97
5, 859. 74
29, 901. 37
366. 03
138. 30
8, 737. 27
119,450. 50
1, 361, 70
In
Ls yells Indians, California Lower Bruie Indians, South Dakota. Lummi Indians, 55 ssbington Msksb Indians, Washington Martinez Indians, California Menominee Indians, Wisconsin Mescslero Indians, New Mexico Modes Indians, California Morongo Indians, California Navajo Indians, Arizona snd New Mexico (oil, royalty, snd lessesj Navajo Indians of Leupp Agency, Arizona Neah Bsy Indians, Washington Nevada Indians, Nevada Nez Perce Indians, Idaho Northern Navajo Indians, New
Mexico. Omaha Indians, Nebraska Oneida Indians, Wisconsin. Ontonagan Indians, Michigan Osage Indians, Oklahoma Otoe snd Missouri Indians, Oklahoma Psiute Indians of Psiute Agency, Utah Paiute Indians of Summit Lake, Nevada Pals Indians, California Papago Indians of SeBs Agency, Arizona Pawnee Indians, Oklahoma . Pechsnga Indians, California Pima Indians, Arizona Pine Ridge indians, South Dakota Ponce Indians, Oklahoma Port Madison Indians, Washington Pottawatomi Indians, Kansas Pottawatomi Indians, Wisconsin Puysllup Indians, Washington Pyramid Lake Indians, Nevada (}uillehute Indians, Washington (}uinsielt Indians, W ash ington Red Lake Indians, Minnesota Red Lake Indians, Minnesota (sawmill) Itincon Indians, California Rocky Boy Indians, Montana. Rosebud Indians, South Dakota Round Valley Indians, California Ssc and Fox Indians, Iowa. Sac and I'ox Indians, Oklahoma Salt River Indians, Arizona San Carlos Indians, Arizona = San Felipe Indians, New Mexico Santa Clara Indians, New Mexico Santa Rosa Indians, California Sautes Indians, Nebraska. Seminole Indians, Florida Seminole Indians, Oklahoma Seneca Indians, Oklahoma Shivwits Indians, Utah Shoshone and Arapaho Indians, Wyoming. Sisseton Indians, South Dakota Skull Valley Ind(ans, Utah
.
.
.
.
.
.
1, 000. 00
963. 07
38, 390. 86
36& 355. 13
1, 639. 84
30. 00
259. 37
375. 69 476. 48 90(X 00 1, 489. 24 876. 08 9, 974. 48 8, 441. 24 1. 83 2, 044. 27
4, 732. 60
53, 565. 57
64, 172. 07
60, 834. 56
32, 526. 23
8, 070. »
603. 44 M4. 81
7, 431. 65
], 926. 14 4, 626. 19
1, 907. 69 5, 127. 01
18. 45 3. 99
2, 005. 64
2, 480. 41
2, 078. 74
3, 66(t 05
1, 320. :32 14, 938. 30 576. 09 I, 004. (iG
107. 90
175, 37 797. 87
3, 072. 00
No year No year No year No year No year No year No year No year No year
208. 46
268. 02
900. 00 1, 489. 24 1, 269. 08 6, 630. 48 29, 038. 78
607. 00 3, M4. 00 17, 793. 32
434. 43
270. 00
No year
43, 132. 73
No No No No
year year year year
2, 643. 02 12, 132. 84 576. 09 20, 602. 98
year year year year No year
54. 41 8, 712. 17 1, 242. 16 21, 774. 41
200. 00 2, 037. 17
No year
G05. 00
194. 37
No year
1, 719.91
126. 18
No year No year,
4, 757. 32 146. 63
». 68
Na No No No Na No No No No No No No No No
year year year year year year year year year year year year year year
22. 75 4, 323. 78
133.00
No No No No No No No No No No No No No No No No No
year year year year year year year year year year year year year year year
No No No No
year year
No year No year No year
81. 25
39. 00
579. 55
. 61
1. 22
2. 00 374. 89 155. 46 6, 127. 19 72. 06 773. $5 33. 35 », 936. 46 7, 190. 30 1, 790, 30 40, 089. 06 250. 47 25, 171.21 294. 39
»
971. 1, 145. 30 933.44 150. 90 13, 901. 42 17. 08 183, 301. 23 15.00 10, 926. 71
81. Zs
593. 22
624. 42 439. 75 484. 78 13.48
27. 43 10, 195. 66 1, 296. 50 800. 00 37, 256. 21 4, 527. 31
120. 00 »0. 12
1, 774. 03 26. 90 6, 059. 77
'
27. 50 3, 100. 24
2. 17
»3. 54 93. 39 212. 35 13, 371. 67
90. 00 1, 391. 77
644. 14 5, 140. 75
:38, 163. 84
j
2!
&)
9. 37
8, 438. 04
7. 00
6, 057. 68
1, 242. 16 17, 753. 90
200. 00
4, 020. 51
462. 91
637. 59
735. 31
19. 69
386. 17
80. 84
1, 633. 74
43L 51
1, 000. 00
703. 65
4, 257. 32
296. 85
7. 00
158. 31 22. 75 4, 456. 78 GOS.
20
~
5'. 5'I
1, 847. 34
972. 58 900. 00 1, 901. 11
», 276. 74
IL396. 74
2, 492. 59
2, 602. 71
31& 886.87
25, 073. 88
38, 375. 7'/ 100. 00 950. 00
)
l
43, 856. 75
'
913. 79
339.28 354. 32
113.5/&
300. 00 1, 853. 42 246. 41 55, 845. 80
100. 00 10, 713. 89 167. 67 86, 196. 74
10, 782. 49 74. 68 93, 541. 24
2, 072. 95
2, 975. 08 Sf. 77
3, 005. 08 253. 04
3. 00 94. 11 600. 75 4, 764. 63 85. 54 773. 25 60. 78 10, SG5. 38 5, 994. 21 2& 590. 30 45, 458. 40 4. 804. 68
23, 00
33. 41
t4
8, 587. 02
Ã, 959. '&8 221. S9 3, 121. 35 1, 59S. 12 1, 287. 76 350. 90 5, 040. 95 401. 16 152, 950. 29 15. 00 10, 024. 58
'Ji. 77
0
79 100. 00 38. 38 ,57&t
'
100. 00 24. 79 6, 027. 17 lio. 0(l
1, 04(i. 9(i
644. (4
64. 50
»0. 77
39. 40 108. 15
738. 62
7, 237. 92
40. 63
1, 170. 53 7. 00
~
5, 205. 25
330. 00
31, 533. 33
2, 615.28
!
1. 00 90. 38 905. 54 87. 18
36. 93
4, 512. 82
46, 546. 90
186. 02
6, 047. 01 280. 50
330. 00 150, 17 294. 12
37, 362. 47 6, 047. 01 573. 98
248. 69
41, 371. 01 6, 027. 22 282, 66,
552,
ric)
45. 43
40, 717. 7(i
504. 25 19. i'J
lh
',
)44
(I
(77.
(.
i
I
CD
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
for which appropriation was made
Unexpended
in excess of expenditures
are printed in (tahe!
Amount cerned to surplus fund (see p. 7)
balances
Appropriations
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
June 30, 1932
On books of
TRUST FUNDS
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
Fiscal year
—Continued
7088
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
PRINCIPAL ACCOCNTs (PERMANENT)
—cOntinued
of labor — Continued.
Proceeds Soboba Indians, California Southern Navajo Indians, Arizona Southern Ute Indians, Colorado Spokane Indians, Washington Standing Rock Indians, North Dakota Swinomish Indians, Washington Table Mountain Indians, California. Tonawsnda Seneca Indians, New
No No No No
year year year year
$38. 00 3, 656. 24 I, 242. 83 9, 732. 23
No year No year No year
334. 47 281. 59 56. 00
York. No Tongue River Indians, Montana No Tonkswa Indians, Oklahoma No Truxton Canyon Indians, Arizona No Tulalip Indians, Washington No Tule River Indians, California No Tuolumne Rancheria Indians, Calif No Turtle Mountain Indians, North Dakota No Uintah and Ouray Indians, Utah No Umati )la Indians, Oregon No Ute Mountain Indians, Colorado No Walker River Indians, Nevada No Warm Springs Indians, Oregon No Western Navajo Indians, Arizona No Western Shoshone Indians, Nevada No Wichita Indians, Oklahoma No Winnebago Indians, Nebraska No Wyandotte Indians, Oklahoma No Yakima Indians, Washington No Yankton Indians, South Dakota No Yuma Indians, California No Zuni Indians, New Mexico -- —- ———-— No Specisl deposit accounts»
.
Total trust funds, Indian Service. Summary, Indian Affairs: General fund Special funds Trust funds
Total
year year year year year year year
2. 83 18, 889. 05 1, 028. 22 49, 696. 28 1, 676. 25 I, 181.58
year year year year year year year year year year year year year year year
109. 71 14, 295. 06 3, 185. 28 79, 467. 04 1, 051. 41 » 351. 60 180. 61 12, 702. 34 590. 87 84L 62 148. 68 21, 756. 74 I, 703. 87 9, 171.70 461. 35
$19. 00
$2, 705. 40
8. 00 3, 139.79
$5, 893 58
$6, 913.73
$57. 00 3, 656. 24 1, 250. 83 6, 978. 44
I, 459. 67
620. 00
620. 00
I, 174. 14
18, 868. 62
18, 994. 68
586. 59 56. 00 2. 83 4, 408. 50 1, 701. 97
23, 088. 75
16, 183. 78
305. 00
4, 388. 07
373. 47
673. 75 7, 831. 33 1, 090. 50 60. 67 1. 55
1, 980. 00
82. 80
453. 67
408. 42
9, 128. 16 258. 00 8, 910. 13 283. 00 2, 454. 76
13, 380. 20 3. 20 22, 558. 55 802. 77
473. 99
6, 660. 00 311.85 154. 52
4, 855. 17
531. 10
531. 10
47, 741. 53
32, 230. 86
30, 710. 99
291. 20 314. 19
4, 000. 00
4, 000. 00
~
109. 71 10, 043. 02 3, 440. 08 65, 818. 62
14, 980. 99 87. 15 18, 841. 78 542. 80
3, 104, 07 83. 95 3, 790. 18 207. 27
2, 504. 71
34, 43S. 86 ", , 66. 75 833. 83 1. 55
5,
531. 64 2, 103. 16 180. 61
312. 38
14, 507. 17 902. 72 465. 04 148. 68 37, 26(. 41 1, 703. 87 5, 462. 90 775. 54
276, 347. 81
2, 715, 148. 74
15, 158, 894. 23
3, 056, 491. 74
2, 800, 993. 39
5, 048, 951. 19
5, 261, 762. 03
7, 786, 360. 99 267, 224. 41 15, 158, 894. 23
2, 680, 217. 80 104, 091. 23 3, 056, 491. 74
22, 038, 818. 63 354( 869. 45
22 361 211 61
2, 800, 993. 39
21, 845, 864. 16 329, 931.39 5, 048, 951. 19
23, 212 479. 63
5 840 800. 77
25(,
194, 681. 37
27, 224, 746. 74
27, 984, 108. 56
$1, 685. 25 'tl
247. 41
8, 884. 97 ~
37. 55
1, 503. 28 7, 506. 95 467. 24
16. 78
4, 024. 58
2, 438, 800. 93
$731 035 65
36(1, 134. 92
$909, 827. 79 5, 374. 36
$3S1 S20 86 1, 375. 00
5, 261, ?62. 03
731, 035. 65
915, 202. 15
383, (95. 86
12, 910, 936. 43
2, 843, 680. 90
5, 956, 631. 06 285 413 11 12, 910, 936. 43
2, 164, 870. 35
19, 152, 980. 60
5 081 438. 95
72 887 70 2, 843, 680. 90
Summary, Department or the Interior, including Indian Affairs but exclusive of pensions: General fund Special funds Trust funds
64, 420, 614. 92 8, 610, 327. 57 5, 239, 596. 83
64, 741, 830. 85 8, 752, 572. 22 5, 438, 140. 93
I, 111,203. 98
3, 063, 921. 31
66, 132, 381. 36 8, 127, 056. 26 2, 930. 066. 41
58, 445, 021. 54
8, 762, 821. 06
77, 189, 504. 03
78, 270, 539. 32
78, 932, 544. 00
I, 111,203. 98
I, 104, 885. 42
I, 099, 382. 99
11, 091. 51 I, 791. 12
4, 082. 99
4, 049. 98
33. 06
I, 100, 835. 49
I, 099, 416. 05
35, 927, 846. 39 450. 90 6, 16, 292, 724. 25
4, 668, 543. 25
~,
Total
I, 030, 356. 50
I, 771, 498. 55
"
34, 197, 027. 45 5, 397, 533. 49 13, 983, 193.83
4, 347, 327. 32 888, 111.85 2, 865, 377. 21
593, 535. 41
53, 577, 754. 77
8, 100, 81tL 38
62, 693. 20
10, 125. 66 15, 141. 44
5, 502. 43
559, Sss.
)
309, 993. 54
33, 6:)tt 5)I')
2) 081, 492. 09
111,295. 72
~
GENERAL FUND DEPARTMENT OF JUSTICE OFFICE OF THE ATTORNEY OENESAL
Salaries, Department
Jlooks, Department
of Justice
.
of Justice
CONTINGENT
)Contingent
1933 1932 1931
expenses,
1933 1932 1931 1930 Certified claims
Department
and
binding,
I, 791. 12
7, 500. 00 150. 00 4. 25 109. 29 IE 75
7, 500. 00
161.43 35. 50 141.48
I, 747. 50 15. 75
Department
1933 1932 1931 1930 Certified claims
Department
7, 779. 29
8, 534. 54
116.91
68, 057. 43 3, 984. 45
334. 39 129. 90
331. 52 129. 90
66, 160. 05 12, 938. 25 130. 10 331. 52
Traveling snd miscellaneous Department of Justice
80, 000. 00
3, 961. 46 243. 79
8, 953. 80
130. 10
sct
11, 942. 57 93. 92
I, v97. 38
32. 19
113.69
D
2. 87
lsj
129. 90
72, 633. 40
79, 689. 82
300, 000. 00 23, 204. 36 I, 133.27 358. 54
29, 440. 13 972. 70
240, 094. 83 23, 191.86 63. 76 203. 63
227, 403. 75
433. 73
50, 673. 32 918. 96 203. 63 433. 73
263, 870. 31
279, 633. 39
14. 40
14. 40
14. 40
122, 000. 00
122, 000. 00
. 0&
119, 589. 13 10, 114. 18
121, 999. 96
129, 703. 31
15, 000. 00 781. 89
11, 496. 35 I, 338. 57
433. 73
1923
1938 1932 1931
10, 114. 22
H 59, 908 17 12. 50
I, 187. 01
12, 691. 08 I, 958. 67
154. 91
2 410. 87
.06
expenses,
.
1933 1932 1931
I 15, 000. 00
786. 40 5, 829. 58
568. 16
Includes 8155,000 transferred from
I Includes 85, 000 transferred from June 30, 1932 (47 Stat, 411).
"Fees of jurors
snd witnesses, United States courts, 1933", act June 30,
"Salaries, fees, snd expenses of marshals, United States courts, 1933",
4 51
5, 829. 58
15, 781. 89
Stat. 411).
3. 27
31. 25
of
Rent of buildings, Department of Justice
I
109. 29 IE 75
988. 98
11.43
of
Justice.
1932 (47
6, 511. 02
I, 894. 23 4. 25
of
1933 1932 1931 1930 Certified claims
Printing
1, 289, 000. 00
EXPENSES
Justice
Printing and binding, Justice and courts
I
3, 503. 65 li. 48
12, 834. 92
' Debit balance. Credits willhe derived from subsequent rel'eipls of fu ds du II Exclusive of lnveetmenta Of Indian lncneye III seeur)I)es i))i)i i)V i, ilc 'I'rl)ISur disbursing officers of the Department of the In(crier, :Iu)f fun)LI in oihlr Iiepositsries the United States.
ill)lll 'I)le I're)cur~7 ))f
CD
JM8
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
Unexpended
in excess of expenditures A. mount
are printed in italic] carried to surplus fund (see p. 7)
balances Appropriations
Treasury
'ifnexpended
balances luue 30 1933
On books of the Treasury
June 30, 1932
On books of
GENERAL FUND
—Continued
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
to appropriations
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing of%cars
To credit of Reserve for impounded salary savings
disbursing officers
Available
(see p. 7)
—Continued
MISCELLANEOVB OBJECTS
Defending suits in claims against United Statav
the
1933 1932 1931 Certiffed claims
1933 1932 1981 1930 Certiffed claims
$1, 951. 21 20, 534. 78
$45, 175. 23 667. 95
$4, 232. 83 968. 71
46. 30
$40, 186. 28 4, 576. 15 171.80 46. 30
45, 092. 57
44, 980. 53
2, 307, 082. 30 99, 917. 08
19, 419. 90 1. 17 117.95
2, 232, 627. 30 87, 387. 10 413. 17 1. 17 117.95
2, 15, 866. 14
2, 820& 546. 69
146, 912. 92
141, 323. 17 15, 242. 01
5. 03
5. 03
146, 917. 95
156, 570. 21
066. 28
194, 457. 58 4, 069. 83
7¹ 9f
46. 30
r
Detection and prosecution of crimes
158, 804. 19 37, 320. 66
2, 758, 681. 32
219, 214. 37 19, 831. 37
' 1. 17 117.96
&
Ento& sv mt of antitrust laws
Examination
of judicial offfces
..
1933 1932 1931-32 1931
1933 1932 1931 Certified claims
r
32, 528. 45 20, 000. 00 10, 206. 87
r
4, 382. 21 2, 983. 70
1931-32
and expenses, Pueblo I,ands 1931 Board Judgments, Court of Claims, DepartNo year ment of Justice ' Judgments, United States courts, DeNo year partment of Justice'. Salaries
9.'90
110, 000. 00 1, 490. 36 6, 069. 89
66. 20
3, 462. 84
200&
$4, 988. 95
170. 02
2& 136. 12 268, 721. 27
74 455 00
1, 487. 39
2, 090. 50 32, 528. 45 20, 000. 00
5, 589. 75 2, 652. 12
324. 63
$21, 331.69
$172& 292. 88
$277&
31 910. 19
56, 738. 86
15, S27. 87
d
10, 201. 84
14, 649. 31
8, 968. 65
1, 315. 76 4, 385. 01
5, 608. 70 10& 637. 96
2&983 70
interests of United States in customs matters
Protecting interests of the United States under settlement of war claims act
225, 000. 00
14, 710. 59
Protesting
1933 1932 1931 Certiffed clstms
166, 318. 68
17 894, 13
$14, 824. 77 1, 283. 26
2, 698. 05
.60
2. 50
2. 50
200, 065. 98
198, 529. 91
95, 984. 99 8. 00.
8, 285. 80
94, 704. 59 2, 371. 33
5, 345. 00
384. 21
1.496. 36 6, 059. 89
. 60 95, 979. 59
97, 076. 52
13. 14
13!14
53. 06
8, 462. 84
1, 280- 40 320. 72
Co
ot
BUREAU
PRISONS
.
63aiaries and expenses
1933 1932 1931
' 228, 760. 00 2, 634. 91 4, 937. 21
3. 85
196, 073. 23 6, 089. 27 3. 85
199, 842. 56
202, 166, 35
8, 802, 475. 31 130, 297. 84 fe, Sse. 89 66
8, 676, 996. 21 402, 264. 60
8, 916, 127. 01
9, 086, 731. 27
i99, 839. 66
. 96
11,055. 27
17, 483. 59
5, 615.95
5, 820. 80 2, 636. 86
3, 766. 43 4, 965. 05
641, 956. 77
262, 760. 45
542, 807. 47 287, 550. 28
125, 479. 10 27, 046. 28
981, 791; 94
624, 040. 66
I, 275, 273. 29
327, 993. 09
4, 933. 36
BUREAU OP PROHIBITION I
'Salaries and expenses
.
1933 1932 1931 1930
Printing and binding Stationery
1931 1931
Total general fund,
OQjce of
10, 250, 000. 00 417, 848. 12 163, 789. 36
299, 013. 04 24, 116. 60
7, 877. 71
6¹
4¹ 66
180, 028. 25 407. 25
1. 80
4, 719. 36 399. 42
48
13, 716, 442. 85
800, 406. 27
277, 204. 39
277, 204. 39
4, 721. 16 399. 42
the
Attorney Qeneral
942, 860. 04
669, 614. 46
9, 715. 28 5, 309. 17
818. 09
15, 613, 473. 60
13~ 374~ 821
JUDICIAL UNITED STATES SUPRE3SE COURT
Balaries, Supreme Court
Salary, reporter of Supreme Court
Miscellaneous
expenses, Supreme Court
Printing and binding, Supreme Court
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
Io
288 000 00
276, 386. 30
277, 204. 39
7, 199. 88
7, 199. 88 . 08
. 08
. 08
15, 000. 00 1, 144. 00
875. 21
7, 199. 80
7, 199. 88
10, 000. 00 87k 61
7, 397. 87
600. 13
039. 99 . 08
. 08
O
Ixj
I, 647. ;30 2, 019. 21
352. 70
2, 602. 13
jsj
21, 000. 00
966. 47
9, 124. 79
7, 397. 87
13, 895. 30 8, 547. 90
13, 321. 24 9, 176. 54
7, 104. 70
574. 06
3, 079. -14
337. 83
:396. 56 17, 355. 20
8, 943. 46
4, 095. 09 22, 443. 20
22, 497. 78
2, 174, 917. 35
2, 165, 973. 89
1, 680. 60 1, 041. 61
I, 836. 15 1, 043. 61
2, 174, 378. 46
2, 168, 851. 65
SALJIRIKS Or JUDGES
Salaries, of circuit, district, and retired judges
Salaries, retired judges.
F
.
I xclusi ve of f I 0 338 68 transferred to I Reestai&lwherl froro I he surplus fund, I lncludcx f IG, :338.68 transferred from
Stat. 411)
1933 1932 1931 1930
«2, 206, 000. 00 15, 774. 70 57, 345. 02 11, 250. 95
g H
3, 824. 76
3, 824. 76
11, 627. 34 4, 095. 09
2, 283. 05 10, 533. 37
5, 309. 17
. 08
. 08
8, 512. 56
818. 09
3, 416. 65
1924
"Enforcement
of antitrust laws, 1933",act June 30, 1932 (47 Stat. 411) . sct Msr. 3, 1875 (18 Stat. 418, sec. 5). "Detection and prosecution of crimes, 1933", act June 30, 1932 (47
I Includes 825, 000 transferred from "I"eos of jurors snd witnesses, United States courts, 1933 ", act June 30, 1932 (47 Stat. 411). I Account stated under "Miscellaneous" chapter, p. 210.
166. 00 I Includes $13,760 transferred
Stat. 411).
I Additional
24, 574. 99
6, 111.10
56, 303. 41 11, 250. 95
125. 00 from "Probation system, United States courts,
expenditures amounting to 83, 374.76 for for the Bureau of Prohibition were made by the Treasury u Includes f7, 500 transferred from "Salaries, fees, and act June 30, 1932 (47 Stat. 411) . » Includes 832,000 transferred from "Salaries, fees, and act June 30, 1932 (47 Stat. 411'3.
1933",I act June 30I
1032 (47
prior year transactions during the fiscal ye Ir 33333 Department. See p. 259. expenses of marshals, United st. ,xtcs courts, IR3:c', expenses of marshals,
I
United
States courts, ~ 1933"
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic)
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year
for which
appropriat, ion was Instie
Unexpended
balances
On books of the Treasury
June 30, 1932
Appropriations On books of
Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings
Available
disbursing officers
(see p. 7)
GENERJtLL FUND NATIONAL
—Continued
PARK COMMISSIONERS
Salaries, National Park Commissioners"
1933
UNITED STA'IES COURT OF CUSTOMS AND PATENT APPEALS
Salaries and expenses, United States Court of Customs and Patent Appeals
U. S. Court
of Customs
and
1933 1932
$104, 500. 00
$1. 09
$87, 600. 00
$86, 325. 36 3, 9N. 11
87, 600. 00
83, 392. 25
$10. 08
$13, 007. 39
$3, 678. 00
$214. 61 1. 09
$1, 274. 64 2, 943. 19
500. 00
3, 393. 56 1, 190. 02
t3
Patent
Appeals
1931 1930
Printing and binding, U. S. Court of Customs and PatentAppeals
.
595. 96 10. 91
$595. 96 10. 91 5, 000. 00
1933 1932
4, 500. 00
1, 106. 44
I, f90. OS
M 4, 500. 00
83. 58
UNITED STATES CUSTOMS COURT rJI
Salaries snd expenses, Customs Court
Printing snd binding, Customs Court
United
.
United
States 1933 1932 1931
245, 000. 00
8, 542. 02 8, 353. 11
6, 062. 49
20c, 087. 37 340. 69 43. 45
205, 132. 26 3, 431. 79 4'3. 45
205I 471. 51
208, 607. 60
2, 000. 00
1) 115. 42
20, 472. 42
13, 024. 17
«44. 89
6, 416. 04 8, 201. 33
2, 971. 39
1, 000. 00 1, 570. 15
884. 6S 882. 00
343. 77 368. 42
33. 82
8, 309. 66
States 1933 1932
3, 000. 00 1I 570. 15
952. 08
70. 08 2, 000. 00
1, 185 50
108, 050. 00
108, 016. 18 13. 33
COURT OP CLAIMS
Salaries, Court. of Claims
1933 1932 1931
tt 126, 500. 00
6. 29 4. 92
376. 46
363. IS
17, 978. 29
4. 92 107, 687. 87
108, 029. 51
127. 94
Salaries and expenses of commissioners Court of Claims
Contingent
1933 1932 1931
expenses, Court of Claims
'i 66, 000. 00 3. 57
Printing and binding, Court of Claims.
.
1933 1932 1931
60, 017. 90
57, 605. 29
6, 000. 00
6, 000. 00
6, 000. 00
4, 000. 00
3, 750. 00
3, 729. 53
.
.
No year
57
26. 83 14. 38
223. 17
14. 38
4. 56
35, 000. 00 6, 052. 02 958. 70
2, 547. 68
3, 750. 00
3, 729. 53
27, 000. 00 6, 041. 78
18, 964. 13 5, 944. 90
8, 035. 8'1 2, 644. 56
10. 24 958. 70
33, 041. 78
Payments of judginents
'A.
3, 384. 36
1933
1931-32 1931
3, 087. 74 5, 950. 49
5(. 17
5, 230. 93
56, 930. 16 675. 13
3, 384. 36
1933
Repairs to buildings, Court of Claims
60, 017. 90
6, 625. 62
24, 909. 03
12, 489. 10
12, 489. 10
TERRITORIAL CouRTS
Salaries, judges, marshals, etc. , Territory of Alaska i" Salaries, justices and judges, Territory of Hawaii
1931
83. 89
1933 1932
3, 583. 33
83. 89 88, 500. 00
73, 444. 74
73, 444. 74
73, 444. 74
73, 444. 74
847. 37
166. 60 64. 16 67. 64 12, 603. 94
3, 429, 797. 35 112, 502. 57 1, 488. 71 8, 861. 76 708. 48 166. 60 64. 16 67. 84 12, 603. 94
3, 595, 944. 18
3, 549, 168. 90
2, 922, 005. 60 6, 804. 81 2, 426. 92 88. 16 6. 66 183. 29
2, 866, 532. 47 23, 330. 53 2, 57'/. 71 88. 16
2, 918, 316. 79
2. 892, 529. 19
4, 576. 87
7, 500. 00
2, 978. 39 3, 583. 33
183, 528. 00
37, 308. 16
137, 426. 47 87, 980. 94 I, 740. 66
148, 050. 02 14, 898. 81 2. 30
217, 274. 37
46, 900. 43
4, 379. 60
55, 473. 13 4, 981. 45
LN)TED STATES COI&RTS
Salaries, fees, and expenses of marshals, United States courts
O 1933 1932 1931 1930 1929
'I 3, 936& 110.00 98, 062. 75 1, 463. 97
117, 319. 57 'I I, 143. 72
3,
10& 081. 81
876. 68 8, 861. 76 708. 48
' 55. 48
1928 1927 1926 12, 603. 94
Certified claims
Salaries and espenses of district attorneys United States courts
1933 1932 1931 1930 1929 Certified claims
I' 3, 190, 560. 00 34, 516. 19 150. 79
11, 698. 06 13, 245. 40
'. 85 183. 29
i Reestablished from the surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5). » Account with prior year balances and all transactions for the Sstal year 1933 are stated under National Park Service, Department, of the Interior, p. 1M, 'or budget purposes. » Appropriation for this object for fiscal year 1933 provided for under "National park Service, 1933-34" p. 155, act A pr. 22, 1932 (47 Stat. 121) . II Debit balance. » Includes $9 000 transferred from "Salaries and expenses of commissioners, Court of Claims, 1933",act June
.
30, 1932 (47 Stat. 4) I). ii Exclusive of $9, 000 transferred to "Salaries, Court of Claims, 1933. See note 15. ii provided for under the general appropriations for salaries of jiidges, and salaries and expenses of inarsha]s, district attorneys, and clerks, United Slates Courts for the fiscal years 1932 and 1933.
"
577&
6. 66
3, 417. 24 702. 49 156. 50 54. 16 37. 34
17& 902. 27
10, 818. 48
88. 16 7. 50
188. 29
li Includes f55, 610 transferred froin "Fees of jurors and wi(ceases, United Slate courts, 1933",aint $219,500 transferred, act June 30, 1932 (47 Stat. . 411), to 1933 accounts as follows: Traveling and miscellaneous expenses, Department of Justice. Salaries of circuit, district, and retired judges Salaries and expenses of district attorneys, United States courts Salaries and expenses of clerks, Un)(e&) States courts Salaries, Supreme Court Pay of special assistant attorneys, United Slates courts ii Includes $140,560 transferred, ac(. June 30, 1932 (47 Stat. 411), from 1933 accounts ixs [allo)v&v Fees of jurors and witnesses, United States courts. Salaries, fees, and expenses of marshals, United States courts.
c
x
cl (I ( l&.' s
8», 000 32&, 00()
3), OI)0 I)7, 0(X) 7, 5&(X) 5&
I, (XX)
)0(l,
5&60
34, IO(l
—
I t}88 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p, 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year for which
appropriation was made
Unexpended balances June 30, 1932
Appropriations
On books of Treasury
QENER1kL FUND
of regular assistant United States courts» Psy of special assistant United States courts
To credit of dis-
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oili cere
To credit of Reserve for impounded salary savings (see p. 7)
disbursing ofiicers
Available
—Continued continued
UNITED STATER coURTs
Psy
On books of the Treasury
Warrants-issued basis
attorneys, 1931
$29, 340. 21
1933 1932 1931
30, 851. 54 5, 798. 37
$29, 340. 21
attorneys,
Pay of bailiffs, etc. , United States courts
1933 1932 1931 1930 1929
I' $414, OOO. OO $6, 324. 36
400, 000. 00
1, 612. 04 1, 947. 71 21, 077. 48
11, 325. 10 1, 261. 07
23. 45
$330, 308. 90 30, 332. 02 5, 032. 41
$324, 475. 37 30, 730. 67 5, 032. 41
365, 673. 38
360, 238. 45
366, 195. 52 1, o81. 74 3, 146. 42 IO. 00 10. 00
342, 258. 06 8, 996. 62 3, 169. 87 10. 00 10. 00
367, 740. 20
354, 404. 55
1, 937, 948. 99 10, 688. 03 1, 359. 76 9. 39
1, 904, 897. 76 6, 441. 31 1, 858. 10 k 88
60. 29
60. 29
1, 928, 677. 62
1, 913, 248. 07
364, 962. 57 232, 797. 41 7, 558. 35 7, 027. 70 262. 69 176. 55 4, 963. 95
364, 962. 57 232, 797. 41 7, 558. 35 7, 027. 70 252. 69 176. 55 4, 963. 95
617, 749. 22
617 749. 22
2, 618, 299. 57
2, 424, 050. 14 35, 247. 99 21, 961. 77 18. 00 777. 81 81. 30
$29, 991.91
$53, 699. 19 519. 52
$5, 833. 53 5, 925. 71
20, 108. 99
13, 695. 49 3, 193. 78 62. 36
23& 937. 46
19, 706. 85 13I 214. 87
33, 051. 23 2, 262. 12
765. 96
746. 74
21, 087. 48 10. 00
M
Salaries snd expenses of clerks, United States courts
.
1933 1932 1931 1930 1928 Certified claims
Fees of commissioners,
United
courts
Fees of jurors snd witnesses, States oourts
» 2, 532. 84 27, 878. 71
2, 119, 830. 00
19, 385. 46 498. 34
161, 992. 84
$181, 32
L-)
26, 518. 95
9. 39 5, 08
5. 08 60. 29
States 1933 1932 1931 1930 1925 1922 Certified claims
550, 000. 00 80, 088. 96 8, 40!}.40 7, D36. 60 270. 49 176 . , 5 4, 96?. 95
165, 083. 69 3, 046. 73 2. 16
United 1933 1932 1931 1929 1930 Certified claims
» 8, aoo, ooo. oo 34, 588. 47 10, 544. 52
PJ, 347. 65 450. 10
11, 356. 85
81. 30
118, 689. 70 21, 511.61 18.00 777. 81 81. 30 2, 514, 463. 57
zr 480r
551 9!}
29, 327. 54
1. 08
165, 709. 89 12, 375. 24 3, 896. 70 11.05
7. 80
686, 70D. 43 154, 228. 17
389. 76 12. 00 777. 21
189, 249. 43 10, 459. 96
Peas of jurors, U'nited States ecarte
1925 Certfned claims
2M. 00
Irees of witnesses, United States courts Certified claims
MfsceHsneous
expenses,
United
Rent of court rooms, United States courts
Books for judicial officers
.
802. 30
809, 892. 36 11,942. 05 6, I86. 9f 4, 434. 35 $8. 60
766, 222. 74 61, 986. 60 1, 244. 63 2, 429. 70
States 1933 1932 1931 1930 1929 1928 Certified claims
Supplies for United States courts
802. 30
802. 30
1933 1932 1931
1933 1932 1931 1930 Certided claims
71, 835. 40 67, 811.92 65. 56
52, 305. 06 4, 428. 64 44 2, 004. 65
4, 498. 53
4. 16 48o. 02
823, 532. 12
832, 330. 94
87, 290. 20
87, 025. 20 35'2. 50
90, 000. 00 3, 762. 27 11, 313.84
2, 844, 48
404. 11
61. Gf
75, 000. 00 548. 93 177. 92
2, 328. 73
13. 90 1, 557. 46
3. 35
75, 000. 00
5, 453. 65 182. 63
24, 817. 07
59, 893. 35
48, 669. 62 2, 264. 51
70, 995. 83
129. 74 288. 37
2, 709. 80 3, 813.88
11, 31'A. 84
,
1933 1932 1931 CertiSed claims
4. 16 480. 02
23, 919.86
28. 60
480. 02
284. 22
41, 370. 71
17, 896. 93 2, 632. 59
87, 238. 59
87, 377. 70
73, 305. 31 2, 734. 08 190. 02 602. 89 3. 35
67, 081. 35 4, 819. 71 190. 02 602. 89 3. 35
76, 835. 65
72, 697. 32
70, 000. 00 5, 075. 00 159. 32 2, 632. 59
62, 719. 54 22, 788. 65
77, 866. 91
88, 300. 10
159. 32 2, 632. 59
1, 694. 69 659. 33
. 40
6, 228. 96 243. 10
1. 40
954. 57
g 4, 981. 24 378. 65
18.76
7, 280. 46
183. 28
%.31
0 I-j
H
PENAL AND CORRECTIONAL INSTITUTIONS
United States penitentiary, maintenance.
Atlanta, Qa. ,
United States penitentiary,
Atlanta, Qa
.
1933 1932 1931
1930-31 CertiSed claims
United Staies penitentiary, Atlanta, Qa transfer to Treasury Department, Public Health Service, acts Msy 21, 1920, aud Ma. y 13, 1930
1932 1931
226, 423. 19 78, 918. 88 7, 389. 56
16, 364. 23
1, 045, 000. 00
725, 396. 89
709, 731. 38
"3, 095. 09
110, 197. 80 2, 569. 94 4, 661. 66 206. 00
124, 962. 54 2, 569. 94 4, 661. 66 206. 00
117, 635. 40
132, 400. 14
gye. 35
2, 198. 71
f98. 35
2, 198. 71
206. 00
33. 34 3, 095. 09
2, 762. 68 44
13, 671. 50
275, 922. 03
15, 665. 51
115, 225. 39
599. 49
631. 69
65. 62
79, 444. 03 2, 727. 90
8, 095. 08
Debit balance. Provided for under "Salaries and expenses of district attorneys, United States courts, 1933. Includes $54, 000 transferred from "Salaries, fees, and expenses of marshals United States courts, 1933, act June 30, 1932 (47 Stat. 411.) » Includes $194,830 transferred, act June 30, 1932 (47 Stat. 411), from 1933 accounts as foBows: Salaries, fees, and expenses of marshals, United States courts Fees of jurors and witnesses, United States courts 44
4~
30, 009. 58
"
" 44 44
Exclusive of $450, 000 transferred, act June 30, 1932 (47 Stat. 411) to 1933 accounts as follows: Salaries, Department of Justice Examination of judicial officers. Salaries, fees, and expenses of marshals, United States courts Salaries and expenses of district attorneys, United States courts Salaries and expenses of clerks, United States courts Returned from same object under Treasury Department. See note 25. Returned to same object under Department of Justice. See note 24.
$155, 000 25, 000 55, 610 106, 560 107, 830
Receipts and expenditttres, [Debit transfer appropriations
(net) and repayments
—
1M8 Continued
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in itaffc]
Unexpended
balances June 30, 1933
Fiscal year
for which
appropriation was made
Unexpended balances June 30, 1932
Appropriations On books of
Treasury
GENERAL FUND
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing oificers
—Continued
PENAL AND coRRFcTIONAI. INSTITUTICNS
United States penitentiary, Atlanta, Gs. , Buildings snd equipment
—contd. 1933 1932 1931-32
Buildings and equipment (transfer to Treasury Department, Public Health Service, act May 21, 1920) 1931-32 Infirmary and isolation buildings No year
Farm improvement
United States penitentiary, worth, Kans. , maintenance
On books of the Treasury
1931 1930-31
.
$8, 500. 00 $5, 596. 76 817. 44
924. 80
I, 164. 51 1, 636. 00 597. 14
$8, 222. 50 5, 040. 46 234. 20
$7, 795. 57 12, 236. 11 11, 484. 04
13, 497. 16
31, 515. 72
3, 705. 64 989. 45
647. kg 817. 86
3, 158. 35 171.60
720. 68
689. 03
1, 409. 71
689. 03
1, 409. 71
1, 346, 738. 27
I, 258, 521. 68
$7, 195. 65 11, 249. 84
$277. 50 556. 30 583. 24
$426. 93
1, 472. 09
$1, 982. 36
946. 97 697, 14
Leaven1, 645, 000. 00
1933
$51, 879. 58
$25, 136. 39
221, 245. 76
88, 216. 59 Ixf
United States worth, Kans
penitentiary,
Leaven1932 1931 1930
LeavenUnited States penitentiary, worth, Kans. , transfer to Treasury Department, Public Health Service, acts May 21, 1920, and May 13, 1930
1932 1931
397, 260. 56 166, 432. 17 13, 436. 80
3, 462. 03 3, 449. 20
70, 921. 11 439. 07
II 3, 402. 20
26, 739. 62
II 8, 4I02 20
28, 096. 16
96& 869. 24
468. 44
10. 63
27, 667. 72
96, 879. 87
6, 080. 66 47. 00
20, 363. 03 47. 00
6, 888. 66
United States penitentiary, worth, Kans. : Building Buildings snd equipment
Machinery and equipment
3691 164. 40
I
C&
co co
9, 492. 55
20, 410. 03
Leaven-
No year 1933 1931-32 1931
1930-31
4. 97 8, 000. 00 9, 599. 56
4. 97 8, 000. 00 67, 504. 00 60. 45
550. 01
1, 373. 67 93. 45
II 2, 588. 06
57, 904. 44 15. 23
59, 278. 11 108. 68
57, 919. 67
69, 386. 79
2, 148. 03
170, 262. 81 13, 436, 80
45. 22
3, 138. 07
346. 07
Machinery and euuipme»t ftransfer to Treasury Department, Public Health Service, act May 21, 1920) Repairs to bridge across Missouri
River lynited States penitentiary, Island, Wash. , maintenance United States Island, Wash
1930-31
»
2, 589. 39
No year
S&
588. 06
115. 03
88. 65
26. 40
McNeil
.
1933
428, 500. 00
1?, 843. 61
], 735. 62
56, 920. 77
4, 030. 89
4, 196. 17 46, 657. 41
1, 072. 84 502. 00
6, 201. 20
1, 000. 70
352, 000. 00
347, 969. 11
4& 000. 00 31, 344. 46 I, 505. 94
2, 927. 16 43, 903. 52
33, 838. 52
46, ?89. 25
5, 964. 49
16, 591. 74
33, 000. 00
28, 389. 06
185. 41
49, 154. 26
21, 000. 00 71, 072. 76 10, 169, 73
18, 606. 13 70& 645. 39
e57. 99
10, 342. 01 13, 084. 98 82. 27
McNeil
penitentiary,
No year 1932 1931
United States penitentiary, McNeil Island, Wash. ftransfer to Treasury Department, Public Health Service, acts Msy 21, 1920, snd May 13, 1930) 1932 United States penitentiary, McNeil Island, Wash. : Buildings No year Buildings and equipment
1933 1932
1931-32 1931
8, 196. 17 78, 001. 87 43, 252. 25
2, 236. 71
13, 061. 06 1, 464. 51
21, 556. 93
82, 339. 67
84, 157. 74 10, 252. 00 1, 945. 93
» 70. 68 2,
32, 000. 00
091. 30 684. 12
41. 43
11, 889. 30 630. 00
44, 758. 19
1, 945. 93
5&
038 14
2, 393. 87 356. 69 371. 73 54. 12 jle
102, 242. 49
Machinery, equipment, and land Penitentiary, maintenance
1930-31
'tf
101, 770. 82
11, '?29. 91
t3
11, 729. 91
g jaJ
U. S. Northeastern
U. S. Northeastern
Penitentiary
1933
No year 1932
Federal Industrial Women, A)derson,
440, 000. 00
1, 236, 399. 38 241, 005. 84
3, 606. 46 2, 622. 17
388, 026. 54
316, 323. 69
1, 073, 355. 10 188, 816. ?7
1, 069, 403. 29 186, 749. SS
1, 262, 171.87
1, 256& 153. 17
233, 884. 00
223, 781. 83
1, 497. 35
20, 915. 71 662. 59
16, 922. 43
10, 270. 62
24, 780. 41
71 702 85
I/I
163, 044. 28 52, 189. 07
7, 558. 27 4, 689. 06
O
50, 497. 48
10, 102. 17
Inst, itution for W. Va. , mainte-
nance
8 1933
Federal Industrial Institution Women, maintenance
300, 000. 00
12, 017.85
3, 600. 67
f o r 1932 1931 1930
12, 249. 88 25, 488. 41
22, 413. 06
» 7, 284. 62
662. 59 15. 60
15. 50
8oO. 56
21, 562. 70
4, 5?0. 41
2, 741. 27
4, 870. 41
2, 741. 27
95. 86
2, 960. 10
483, 564. 91 479, 566. 79
541, 338. 45 462, 744. 79
13, 747. 23 32, 110.44 15. 60
f o r Institution Federal Industrial transfer to Women, maintenance, Treasury Department, Public Health Service, acts May 21, 1920, snd May 13, 1932 1931
1930
Institution f o r Federal Industrial 1931-32 Women, construction ChilliReformatory, U. S. Industrial cothe, Ohio: No year Construction 1933 Maintenance
11, 017. 18
..
.. .... ....
7, 011.68
» 7, 584. 68
7, 284. 62
3, 055. 96
380, 873. 99
76, 911.52
tr
Debit balance. » Returned from same object under Treasury Department.
See note 25.
521, 000. 00 e34, ooo. oo
15, 287. 59
95. 86
6, 406. 61 24, 036. 22
» Returned to same object under Department of Justice.
9, 016. 73
see note 24.
411, 902. 47 121, 380. 26
19, 137.98 16, 822. 00
Receipts and ezpenChtures, [Debit transfer appropriations
(net) snd repayments
—
1M8 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printe d in itahcj
Amount cerned to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year
for which
appropriation was
Unexpended balances June 30, 1932 Appropriations
nla&ie
On books of
Treasury
GENERA. L FUND
cothe, Ohio
.
To credit of dis-
Warrantsf issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing oflicers
—Continued
PENAL AND coRREcTIoNAL INSTITUTIQNS
U. S. Industrial
On books of the Treasury
Reformatory,
contd.
Chilli1932
1931 1930
$191, 721. 20 40, 179. 01 9, 879. 93
$16, 363. 12 24, 966. 52
$110, 403. 83 22
$3N. 39
et, 976. 80
$123, 695. 07 10.28
85, 427. 03
123, 684. 79
es7. ee
4, 710. 68
837. ee
4, 710. 68
425, 000. 00
380, 761. 56
146, 140. 00
61, 721. 36
369, 763. 74 64, 931. 01
371, 482. 05 133, 614. 18
434, 694. 75
505, 096. 23
3, 481. 40
5, 483. 95
$81, 317. 37
$3, 071. 88
101.03
413.91
493, 274. 56
48, 708. 44
$1, 731. 60
136, 128. 40
84, 418. 64
418. 28
31, 859. 05 129, 681. 73
17, 057. 63 16, 173. 57
$65, 492. 20 9, 879. 93
U. S. Industrial
ChilliReformatory, cothe, Ohio, transfer to Treasury Department, Public Health Service, sets Msy 21. 1920, snd May 13, 1930
United States Southwestern tory United States Southwestern tory construction United States Southwestern tory, maintenance Federal jails, construction. Federal jails
1932 1931
5, 961. 95
336. 39
22
3&
eee 89
ReformaNo year
398, 274. 56
4, 470. 00
22
520, 000. 00
Reforma-
No year
(27)
Reforma-
.
Federal jails (transfer to Treasury Department, Public Health Service, sets Msy 21, 1920, snd May 13, 1930) Federal jails (transfer to Department of the Interior, Bureau of Reclamation, act Msy 21, 1920) Federal jails (transfer to Department of the Interior, Geological Survey, act
Feb. 14, 1931) Federal jails, buildings, snd equipment Federal jails, maintenance Prison camps, maintenance
284, 000. 00
1933
No year No year 1932
Prison camps
2, 263. 67
1932
(22)
402, 041. 07 375, 612. 74
5, 028. 00
1932
22
1ef, 000. 00
2, 234. 99
4, 000. 00 478, 767. 61
» 4, 000. 00
431. 12
1933 1933
» 5oo. oo » 717) 200. 00 ll 869, 150. 00
1931-32
8, 167. 27
1981
81. 28
1 546. 60
2, 000. 00
2, 000. 00
1932
No year
18, 775. 94 84, 856. 74
7, 349. 99 95. 65
47, 177. 99 487, 320. 49 787, 858. 27
8, eee. 19 2&
841. 39
38, 114. 02
12. 16 20, 899. 10 28, 251. 02
434, 663. 98
713, 283. 13
ee. ee
3, 441. 59 30. 07
8, 764. 77
3, 471. 66
988. 25
482, 077. 46
$19, 527. 41 29, 263. 89
189, 453. 00 23, 776. 82
9, 495. Of 52, 656. 51 74, 575. 14
11, 866. 46
209. 21
r&a
Prison camps (transfer to Treasury Department, Public Mes]th Service, sct Msy 21, 1920) Prison camps, construction and maintenance co Prison camps, construction snd maintenance (transfer to Treasury DepartN ment, Public Health Service, acts May 21, 1920, snd Msy 13, 1930) Prison industries
working
» 841. 88
1931
1932
127, 827. 48
29, 789. 52
100, 604. 25
130, 393. 77
1932
956. 81
6, 151. 55
44]. 85
5, 457. 20
184& 109.76'
773, 367. 93
124, 931.94
58, 881.88 488. 08
884, 880. 83 65, 930. 62 488. 08
If]8, 677. 18
8]8, 816. 78
capital fund 1933 snd prior 1032 snd prior
1931
Medical snd hospital service, penal in. stitutions
» 832, 835. 33 » 838, 888. 85 » 488. 08
» 400, 000. 00
1, 308. 66
262. 41
14, 780. 07
10, 309. 77
541, 865. 25
150, 170. 67
15, 276. 31
1, 845. 86
3, 276. 35
40, 828. 11
140, 508. 86 95, 403. 44
5, 346. 41 56, 188. 32
20, 825, 36
16, 274. GG
('q
1933 1931
ll 8, 167. 08
8, 157. 08
Medical snd hospital service, penal institutions (transfer to Treasury Department, Public Health Service):
» 340, 650. 00
Act July I, 1932 Acts May 21, 1920, and May13, 1930
United States hospital for defective delinquents: No year Construction 1933 Maintenance United States hospital for defective de1931-32 linquents National Training School for Boys, Washington, D. C., maintenance School National Training Washington, D. C. »
for
1932 1931
Probation system, United States courts
45&
535. 25 248& 000.
00
un&]or
1933 1932 1931
10, 260. 00 5& 600. 83
13, 392, 37 13, 000. 00 1, 112. 18
3, 776. 87
1, 390, 75
76, 000. 00
)n 401& 240.
441. 55 29, 035. 80
Treasury Department.
3&
00
500, 12'1. 73 117, 811. 68
884, 947. 0]
930, 482. 26
199, 000. 00
182, 725, 34
4, 532. 74 . 80
8, 309. 61 . 30
4, 532. 54
8, 309. 41
34, 061. 00
34, 920. 24
]63.58
494. 02
335, 9]2. 8]
316, 078. 41
596. 56
10, 111.64
18, 063. 00
]4, 727. 26) 5, 610. 03
]3, 302. 37 54, 939. 00
2,
20, 764. 64
9]3.01
2,
]92. 50
41, 920. 62 728. 40
20, 198. 38
531. 51
22,
79]. 76 40]. 77
» Includes
See note 26.
(47
Slat.
)) ']q)in account was charged with $]85,000 transferred to "Support of United States prisoners, 1032", act ]&J33 (47 Stat. 782), and cre&iited ii it]) 84 000reiurned fromsame object under Department of the Interior, per note 30. Itcturned to same object un&]or Department of Justice. See note 29. » 'I'ransferred from "Federal jails, conntru& tion". See note 28. » sac]univa c( $07, 800 transferrc&i, :)& t .Junc 30, ]032 147 Stat. 411) to]933 accounts as fo]iowa: $28, 650 Medical nud hospital seri ice, penn] ms]i&0&iona 69, 150 I'rison cnuq)&0 nlalntenancc
Jau 30,
505, 474. 14 174, 000. 00
313, 570. 48
See note 26, Ai)])ro])rintion of $520, 000 ir;msferred to "United States Southwestern reformatory". to ":Federal jails, buildings, and equipment", act July 1, lg32 (47
48&)l.
279, 423. 37
336, 362. 24 888. 88
602. 53 656. 60
» Af)pro])nnti&)n of $500 transferred
Stat.
320, 251. 48
'
], ]]2. ]8
» iteturned to same objec&, un&ler Department of Justice. See note 24. » 'I'r;lnnferrcd from "United States Southwestern reformatory, Construction", act July 1, 1932 485).
279, 423. 37
Boys,
School for Boys, National Training Washington, D. C. : No year Buildings No year Construction 1930 Inspection of prisons and prisoners
» Iieiurncd from sam eohjeci,
645, 983, 00 270, 000. 00 884, 947. 01
320, 251. 48
» 8, ]57. 08
8, 157. 08
$69, 150 transferred from "Federal jails, maintenance, ]033". Seo note 32. » Transferred from 103], nnd 1932 and prior account, sct July 1, 1932 (47 Stat. 4]}3). Act Mar. ], ]933 (47 Stat. ]385). » Transferred to ]933 and prior account. See note 34, » Returned from same object under Treasury Depart)neat. see»oie 25). » Returned to same object under the Department Snc nnic '2l. » This account was credited with $28, 650 transferredof Justice. from "Fedorn] jniii,
&)t
mninlcnnnrc, 1033", l)ct,]u»o 30, to same object under Treasury Dc]i)rtmen], pcr nu]e » Transferred from same object under the Department of Justice. See note 37. » Additional expenditures were made for this school under Dinirict of Coin»)i)i)), p. 3]5. «) Fxclusive of $13,760 transferred to "Salaries and expenses, B»rcnu of ]'rinonn. )no))i. ]!&Ãi", , aac 1, J unc 30, ]03'2. 30 ]032 (47 Stat. 411). lg32 (47 Stat, 411) and charged with $340, 650 transferred
',
0
—Continued
1M8
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933 year forwhich approprl ation was made
to appropriations
are printed in itaac]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasury
To credit of disbursing oificers
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salat y savings
To credit of Reserve for impounded salary savings (see
GENERA. FUND PENAL AND conEEGTIUNAL
balances June 30, 1933
On books of the Treasurv
Appropriations On books of
Unexpended
disbursiag ofilcers
Available
p. 7)
—Continued
INsTITUTIQNs
—contd.
Support of United States prisoners.
1933 1932 1931 1930 1929 1928 1927 Certified claims
$32, 015. 83 251 576. 73
51. 03
$468, 499. 97 2, 005. 75 1, 548. 21
$2, 855, 000. 00 tt 185, 000. 00 49. 80 ' 6. 50 1, 022. 38
1, 981. 21
$2, 846, 464. 82 212, 287. 45
$2, 637, 286. 21 658, 615. 34
17, ffe. Ss 1, 571. 96 1, 017. 35 10. 40 6. 00 1, 981. 21
16, 114.10 1, 571. 96 1, 017. 35 10.40 5. 00 1, 981. 21
3, 043, 043. 62
3, 282, 198. G5
$8, 294. 82
$150. 00
$9(L 36 4, 728. 38
$268, 746. 38 1, 578. 46
1, 548. 21
56. 06 10. 40 5. 00
XIISCELLANEOUS
Compeasation and expenses, commissioner, case Oklahoma against Texas Claims for damages, Act December 28, 1922, Department of Justice Judgments, Court of Claims, Department of Justice u Judgments, United States Courts, Department of Justice Payment, to— H. H. Thornton and B. D. Rochblaive, owners of steamer Monarch Relief ofAnderson-Tully Co Peter Bass John Pearce Cann William Dalton Estate of Peter Paul Franzel Abraham Green George H. Hansen W. H. Hendrickson A. L. Marshan A. Y. Martin J. P. Moynihsn Arthur R. Saffron Clyde Sheldoa Messrs. Short, Ross, Shaw, and Mayhood Randolph Siss R. L. Wilson Permanent and indefinite: Refunding moneys erroneously received snd covered (Justice) Return of unclaimed moneys deposited by clerks of courts
"
No year
6, 839. 03
6, 839. 03
.3, 011.38
No year No year
188. 76
No year
1, 000. 00
No year
35. 52
2, 202. 49
2, 202. 49
000. 00
1, 000. 00
35. 52 442. 41 500. 00 664. 30 1 500 00 168. 36
442. 41 500. 00 664. 30 1, 500. 00 168. 36 800. 00 1, 000. 00 175. 00
980. 00
500. 00 980. 00 1, 000. 00
560. 00 250. 00
560. 00 250. 00
442. 41 500. 00 664. 30 1, 500. 00 168. 36 800. 00 1, 000. (0 175. 00 500. 00 980. 00 1, 000. 00 560. 00 250, 00
00
60. 00
500. 00
500. 00
500. 00
No year
6, 131. 72
6, 131.72
6, 131.72
No year
7, 390. 70
7, 390. 70
7, 390. 70
No No No No No No No No No No No No No
year year year year year year year year year year year year year
No year No year No year
SOS. 89
188. 76 1&
800. 00 1, 000. 00 175. 00
500. 00 1, 000. 00
60. 00
GO.
205. 00
205. 00
$209, 178. 61 22, 172. 08
Special deposit accounts
185, 723. 81
200, 261. 76
SSS, 985. 57
Total general fund, Judicial
8, 094, 493. 50
I, 990, 069. 52
30, 724, 221. 42
29 934 822 28
30, 053, 442. 82
I, 426, 18L 48
1, 060, 238. 05
283, 534. 94
6, 113,938. 17
1, 871, 44L 98
Total general fund, Department of Justice, including Judicial
9, 037, 353. 54
2, 659, 683. 98
46, 337, 695. 02
43, 309, 643. 76
43 769 885 67
L 726 587 75
2 042 029 99
907, 575. 60
7, 389, 211.46
2, 199, 442. 07
SPECI~
FUNDS
Irederal Industrial Institution for Women, contributions for chapel No year
937. 27
937. 27
TRUST FUNDS Commissary funds, Federal prisons Unclaimed moneys of individuals whose whereabouts are unknown (Justice) Unclaimed funds of Federal prisoners Funds of Federal prisoners Special deposit account
Total trust funds, Department Justice
954. 46
262, 495. 06
259, 576. 46
13, 087. 11
22, 109. 25
2, 652. 29
7, 957. 05
564. 26
564. 26
197. 36 104, 968. 22
83. 93 654, 635. 44
633, 080. 38
646, 743. 14 5, 666. 68
10, 045. 08 281. 29 126, 523. 28
3], 624. 85
No year
161 627. 71
No year No year No year
19, 190. 65
258&
45, 287. 61 15, 967. 15
21, G32. 83
of
Summary for Department of Justice, including Judicial: Genera) fund Special funds Trust funds Trust funds (special deposit accounts)
124, 445. 58
80, 445. 41
921, 630. 88
896, 139.70
901, 218. 18
9, 037, 353. 54 937. 27
2, 659, 683, 98
46, 337, 695. 02
43, 309, 643. 76
43, 769, 885. 67
124, 445. 58
64, 478. 26
921, 630. 88
896, 139.70
906, 883. 86
9, 162, 736. 39
2, 740, 129. 39
2, 042, 029. 99
907, 575. 60
75, 366. 93
7, 389, 211.4G 93?. 27 149, 936. 76
2, 199, 442. 07
47, 259, 325. 90
44, 205, 783. 46
44, 671, 103. 85
I 205, 500. 00
186, 503. 66 1, 500. 70
178, 854. 18 77. 50
jsf
53, 734. 10
21, G32. 83
5, 665. 68
15, 967. 15
Total
1, 726, 587. 75
149, 936. 7G
1, 726, 587. 75
2, 042, 029. 99
907, 575. 60
7, 540, 085. 49
2, 274, 809. Pij
15, 486. 19
1, 603. 06
1, 907. 09 3, 5GG. 7P
7, 649. 48
18, 244, 65 5, 436. 35
2, 308. 67
77, 694. 00 G13. 03
I 582. 77
5
QENERLL FUND DEPARTMENT OF LABOR OFFICE OF THE SECRETXRT
Contingent
expenses,
Department
1933 1932 1931 1930
and binding,
Department
2, 060. 00 133. 54
1, 578. 20
0
133. 54 185, 002. 96
178, 931.68
62, 255. 35 5, 159. 06
8, 685. 75
59, 946. 68 14, 163. 75 25. 67
64, 788. 66
74, 136. 10
143, 356. 00 GG, 886. 97
143, 938. 77 80, 847. 47
209, 242. 9?
224, 786. 24
of
Labor.
Printing Labor
td 1933 1932 1931
Salaries, Office of Secretary of Labor
10, 595. 41 90, 94 127. 15
9, 013. 37 2, 651. 42
8, 68
2, 716. 69 127. 15
of 1933 1932
s
66, 500. 00
221, 050. 00
14, 960. 50
" "
from "Printing and binding, Department of Labor, 1933, act June 30, 1932 I Includes $5, 500 transferred (41 Stat. 411), I Includes $25, C00 transferred from "Salaries and expenses, Bureau of Immigration, 1933, act July 1, 1932 (47 Stat. 519). I Exclusive of $18,950 transferred act June 30, 1932 (41 Stat. 411) to 1933 accounts as follows: $5, 500 Salaries, Off ce of Secretary of Labor 13, 450 Salaries and expenses, Bureau of Immigration
I Reestablished from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5), I Debit balance. o Transferred from "Federal jails, 1932", act Jan. 30, 1933 (47 " Stat, 782).
u Heretofore stated under "Department
oi J usi ire proper
See p 200
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
Fiscal year
are printed in ifaac]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
for which appropri-
Appropriations On books of Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
ation wss made
GENERAL PUND
in excess of expenditures
To credit of dis-
Warrants-issued basis
Checks-Issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing ofiicers
Available
—Continued
GI&TIcE 01& THE sncRETARY
—continued
Salaries and expenses, commissioners conciliation
of
1933 1932 1931 Cer tined claims
$19, 450. 25. 9, 660. 77
$205, 000. 00
$187, 581. 83 6, 180. 13 344. 83
3. 50
3. 50
$169, 279. 13 8, 598. 03 I e. 38 3. 50
193, 520. 63
177, 864. 38
712, 053. 50
652, 555. 22
655, 718. 40
450, 000. 00
403, 393. 10 5, 865. 38 5, 819. 92
398, 256. 29 10, 440. 68 5, 816. 97
415, 078. 40
414, 513. 94
$2, 921. 00 228. 55
$5, 735. 55 13, 270. 12
$11, 682. 62
$18, 302. 70 503. 10
$9, 905. 60 C1
Total general fund, Office of Secretary=
108, 618. 06
31, 353. 04
5, 982. 67 40, 000. 00
4, 578. 19
12, 882. 98
27, 168. 81
$1, 603. 06
126, 461. 49
28, 189.86
34, 879. 24
3, 322. 39
8, 405. 2? 117.29 34, 180. 08
5, 136. 81 2. 89 2. 95
BUREAU OP LABOR STATISTICS
Salaries and expenses
1933 1932 1931-32
1931 1930-31 1930 1931 1930-31 1930 Certiged claims
Salaries
Misoellsneous
expenses
'
59. 06
59. 06
4, 653. 64 18. 10
4, 653. 64
8, 212. 88 I, 440. 00 100. 16
366. 88
11.47
2. 80
2. 80
364. 08
14. 27
450, 002. 80
414, 814. 32
414, 528. 21
I 9, 888, 450. 00
8 636 829 22
200, 000. 00
774, 225. 82
30, 439. 8f
8, 355. 928, 17 996, 567. 75 4, 1ss. Of
380, 615. 23
9, 348, 362. 91
337. 6f 7I7. 50 7. 80 a. 99 f4. 14
361.31 717. 50 7. 30 3. 99 14. J4
3, 763. 25
8, 763. 25
2, 700. 89
2, 767. 19
278. 35
2. 80
t3
18. 10 8, 479. 76 1, 440. 00 100. 16
xn
oo r&c
Total general fund, Labor Statistics.
Bureau
of 60, 466. 51
4, 856. 54
647, 181. 98 25, 412. 04
224, 493. 83 26, 306. 80
14, 750. 72
34, 879. 24
3, 322. 39
42, 702. 64
5, 142. 65
547, 327. 75
8, 776. 47
695, 516.56 72, 956. 16 55, 851. 85
280, 901.05 2, 161.90
BUREAU OE nxHIGRATION
Salaries snd expenses
1933 1932
1931-32
9&
Salaries Expenses of regulating immrgration
1931 1931 1930 1929 1928 1928 Certined claims
13. 01 1, 012. 02 24, 414. 60
66. 30
3, 763. 25
13. 01 1, 339. 53 25& 132. 10 7. 20 3. 21 14. 14
IDDDigraDt ststioDP-
1933 1932 1931
18, 399. 98
30, 000. 00 7, 975. 16 178. 69 3, 320. 00
1930-31
275, 950. 40
211.75
.
211.75
13, 377. 62 2, 948. 82
285& 999. 20
Sgff. 75
35. 25
35. 25
66. 00 30. 00
30. 00
.
.
9, 049. 60 390. 44 4, 776. 36
178. 69 3, 350. 00 290, 851. 69
Immigrant stations (trans(er to Wsr Department, sct May 21, 1920) 1931 Refund of head tsx No year Refund of fine to Rsfsel Subira No year Refund toChin Fong No year Collector of customs, Los Angeles, Calif. No year Swedish-American Line No year Payment toSteve Fekete No year Pssqusie Miribelli No year Joseph Vigliotti No year Relief ofMsgee Bros. , Ltd No year Catterins Pollino No year John Stratis No year
11,600. 02
5, 022. 46 280, 976. 74
.
500. 00 1, 000. 00 1, 500. 00
500. 00 1, 000. 00 1, 500. 00
5(e. 00 1, 000. 00 1, 500. 00
950. 33 500. 00 1, 000. 00
950. 33 500. 00 1, 000. 00
950. 33 500. 00 1, 000. 00
10, 127, 670. 78
9, 679, 618. 14
9, 642, 579. 63
000. 00
84, 871. 64
102, 597. 86
Total general fund, Bureau of Im984, 917.01
262, 340. 78
. No year
7, 155. 60
17, 726. 22
to deported aliens of passage money collected from steamship comNo year panies
70, 591. 23
migration
31& 675,
99
547, 327. 75
8, 776. 47
845, 189.44
299, 379. 29
SPECIE.L FUNDS BUREAU OP IMMIGRATION
Extra compensation
.
Service
migration
for overtime,
Im-
78&
283. 96
TRUST FUNDS BUREAU OP IMMIGRATION
Return
Total, Bureau of Immigration
1, 450. 25
1, 062, 663. 84
280, '067. 00
48, 949. 93
84, 812. 23
72, 041. 48
10, 207, 121.03
a, 764, 48a. 78
9, 745, 177. 49
975, 770. 00
868, 180. 26 27, 833. 86
832, 255 00 56, 929. 67
356. 40
889, 184. 67
38. Of
38. 01
31, 675. 99
547, 327. 75
8, 776. 47
917, 514. 88
299, 379. 29
81, 660. 06
14, 705. 22
11, 224. 46 76, 773. 79
35, 926. 26 58. 70
GENERAL FUND BUREAU OP NATURALIZATION
Salaries and expenses
1933 1932
840&
Salaries Miscellaneous
expenses
1931
1, 939. 28
1931 1930 Certified claims
73, 370. 49 12, 169. 53
6. 82
1, 977. 29 73, 403. 64 12, 169, 53
28. 95
28. 95
28. 95 2. 62
I Includes $13,450 transferred from "Printing and binding, Department of Labor, 1933", act June 30, 1932 (47 Stat, 411), and excludes 825, 000 transferred to "Contingent expenses, Department of Labor, 1933", act July 1, 1932 (47 Stat. 519) ~
I Reestablished from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5), I Returned from same object under War Department. See note a I Returned to same object under Department of Labor. See note, .
—
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
in 1933 (see p. 6)
or
NATURALIZATIQN
general
fund,
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
burs iug officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
kvailable
—Continued —coniinlled
IndefiniteI Naturalization fees, publishing zenship textbooks
Total
are printed in italic]
On books of the Treasury
Appropriations
Treasury
BUREAU
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERAL FUND
to appropriations Expenditures
Funds available in 1933
for which
1888 Continued
citi1932
Bureau
$7, 064. 99
$7, 064. 99
$7, 064. 99
982, 863. 94
847, 379. 18
896, 214. 27
375, 500. 00
339, 604. 50 585. 92
327, 826. 86 10, 767. 70
340, 190. 42
338, 594. 56
of
Naturalization
$186, 429. 23
$84, 819. 05
15, 570. 95
10, 184. 22
$87, 550. 46
$81, 660. 06
$14, 705. 22
$87, 998. 25
$35, 983. 96
311 345. 96
1, 708. 00
2, 841. 54 14, 985. 03
11, 777. 64 2. 44
CHILDREN S BUREAU
Salaries and expenses
1933 1932
Salaries Oeneral expenses Investigation of child welfare Administrative expenses, welfare hygiene of maternity snd infancy
1931 1931
80. 51 14, 933. 81 1, 695. 82
11. 57
ff. 67
447. 57
447. 57
80. 51 14, 945. 38 2, 143. 39
and
No year
3, 636. 74
3, 636. 74
Total general fund, Children's Bureau
35, 917. 83
10, 643. 36
19, 923. 78 10, 957. 67
11, 857. 71 470. 93
30, 881. 45
12, 328. 64
3, 782. 89 89, 948. 09
25, 984. 05 16, 081. 43 14. 43
17, 169. 28
375, 500. 00
339, 731. 28
338, 594. 56
160, 000. 00
147, 648. 00 7, 002. 14 448. 61
138, 339. 94 4, 855. 37 22. 62
11, 405. 98
160, 000. 00
140, 197. 55
143, 217. 93
11, 405. 98
965, 000. 00
742, 187. 07 f. 04 10, 350. 17 19. 00
713, 030. 72 25, 971. 80 26, 153. 32 4. 57
752, 517. 20
765, 151.27
21, 463. 31
11, 780. 08
9, 318. 92
3, 033. 08 26, 925. 92
9) 308. 06 . 20
9I 318. 92
29, 959. 00
9, 3I]8. 26
66, 986. 10
155, 826. 83 3, 788. 93 79, 597. 92
29, 156. 35 11.28 278. 21
66, 98t. 10
239, 208. 6S
29, 445. 84
31, 345. 96
1, 708. 00
worsEN'S BUREAU
Salaries snd expenses
.
"
1933 1932 1931
Total general fund, Women's Bureau EMPLOYHENT
Employment Labor
servioe,
SERVICE
Department
of 1933 1932
1931-32 1931 1930
5S. 28 22, 394. 80
Total general fund, Employment Service
116, 184. 06
42, 079. 91
965, 000. 00
77. 28 22, 394. 80
22, 472. 08
HOUSINO CORPORATION
Salaries and expenses, Housing Corporation, Department of Labor 1933 Salaries and expenses, U. S. Housing Corporation 1932 Salaries 1931 Contingentexpenses 1931 Operation of projects 1931 Printing and binding 1931 Judgments, United States courts No year Housing for war needs No year Special deposit accounts'
221. 40
13, 097. 84
12, 870. 20
59. 14
162. 26
3, 147. 11 5, 999. 34 1, 696. 01 471. 95 104. 00
283. 19
618. 97
59. 14
3, 147. 11 5, 999. 34 1& 696. 01 471. 95 104. 00 566, 909. 42 9, 952. 34
566, 909. 42
919. 42
9, 032. 92
Total general fund, U. S. Housing Corporation
11, 418. 41
577, 083. 16
618. 97
14, 000. 00
13, 038. 70
13, 951. 88
320. 28
539. 77
700. 10
700. 10
159, 95
206. 15
9, 244. 15
9, 410. 14
9, 410. 14
40. 16
978. 50
978. 50
978. 50 112, 689 65
11, 314. 41
446. 33
576, 169. 98
LABOR, bIISCELLANEOUS
Claims for damages, act Dec. 28, 1922, No year Department of Labor Judgments, United States courts, DeNo year partment of Labor Payment of judgments against collectors No year of customs (Labor) Specialdepositaecounts
159, 338. 83
46, 649. 18
Total general fund, Labor, miscel526. 43
laneous
159, 338. 83
10, 762. 42
11, 088. 74
123, 778. 39
200. 11
t4 46, 649. 18
SPECIAL FUNDS 999, 354. 30
Special deposit accounts
534&
138 4g
465, 216. 81
TRUST FUNDS LABOR, bIISCELLANEOUS
.
No year Rosa Goldman, cash bail exacted. Unclaimed funds of Jei Bei Gta, deceased No year Japanese alien Unclaimed moneys of individuals whose No year whereabouts are unknown (Labor) Special deposit accounts
500. 00
500. 00
2. 27
2. 27 7, 103. 4g
8, 370. 45
Total trust funds, Labor, miscel8, 872. 72
laneous
Total, Labor, miscellaneous Summary of Department of Labor: Generalfund Special funds Special funds (special deposit accounts) Trustfunds
Total I Exclusive of funds in depositaries
1&
701. 00
701. 00 85, 431. 10
14, 772, g4
7, 103. 4g
701. 00
84, 750. 10
15, 275. 21
85, 431. 10
15, 475. 32
, 296. 09
3'93, 629. 25
»'042, 049. 10
9, 399. 15
1, 158, 693. 13
17, 865. 91
11, 789. 74
573, 186. 78
358 9g 7, 155. 60
1, 184, 843. 31 17, 726. 22 999, 354. 30
13, 797, 853. 44 78, 000. 00
12, 850, 940. 33 84, 871. 64
8, 553. 74
701. 00
12, 993, 734, 54 102, 597. 86 534& 138. 49 84, 780. 10
13, 884, 407. 18
12, 936& 512. 97
485&
79, 463. 95
1, 571, 978. 54
2, 201, 923. 83
other than the Treasury of the United States.
85, 431. 10
209, 221. 90
799, 305. 81
30, 115. 14
1&
283. g6
799, 305. 81
30, 115. 14
87, 316. Og
465, 215. 81 85, 431. 10
1, 481, 229. IIO
1, 592, 696, 01
Receipts and ezpertditures, [Debit transfer appropriations
(net) and repayments
for which appropriation was made
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933 Fiscal year
—
1M8 Continued are printed in ifalic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasury
To credit
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
nf dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
~
GENERAL PUND NAVY DEPARTMENT OFFICE OF THE SECRKTSRF
Contingent,
Navy
.
Naval research laboratory
Operation and conservation petroleum reserves
. .
1933 1932 1931
1933 1932 1931
$15, 000. 00 $12& 469. 86
$9, 792. 52 736. 08
$9, 792. 52 736. 08
S, 644. 17
$91. 48
$5, 116.00 11& 733. 78
$8, 644. 17
213, 000. 00 27, 523. 95 1, 361. 76
10, 5&28. 60
10, 528. 60
193, 473. 71 20, 385. 50 18. G3
193, 473. 71 20, 385. 50 18. 63
213, 877. 84
213, 877. 84
14, 286. 98 19, 754. 78 214. G3
14, 286. 98 19, 754. 78 214. 63
34, 256. 39
34, 256. 39
41, 300. 00 112. 41
40, 382. 80 1, 980. 09
41, 412. 41
42, 362. 89
1, 201, 667, 88 65, 155. 68 229. 89 G. 73 121. 60
1, 193.826. 64 76, 828. 43 229. 89 8. 72 121. 60
1, 267, 1GB. 83
I
14, 385. 04
$2, 552. 55
2, 588. 70 7, 138. 45
1, 105. 52
1, 329. 99
18, 277. 51 60, SG7. 50
1, 343. 13
of naval 1933 1932 1931
' 35, 000. 00 80, 619. 56 11, 396. 58
&2. 72
11& 181.95
Operation and conservation of naval petroleum-reserves (transfers to Department of the Interior, Geological Sur-
vey): Act Apr. 22, 1932 Act. Feb. 14, 1931
Pay, miscellaneous
1933 1932
1933 1932 1931 1930 Certified claims
Ratifying cessions of certain Samoan Islands No year State marine schools, sct Msr. 4, 1911 1983
Temporary government for West Indian Islands (transfers to Department of Agriculture) &
115. 13
199& 087. 58
$1, 867. 68
11,672. 75
i 45, 000. 00 ' 2. 73
1, 450, 009. 08 896. 73
108, 580. 73
121. 60
&
3, 405. 27
53, 918. 34
189, 130. 69
13, 702, 04
180, 720. 82 134, 82S. 68
108, 350. 84 6, 72
270, 999, 84
4, 324. 48 217, 600. 00
$917. 20
189, 130. 69
5, 620. 64
4& 324. 48 22, 848. 67
7, S41. 24
Care of lepers, etc. , Island of Guam
Claims for damages naval vessels s
by collision
1933 1932 1931
1, 107. 96 34, 533. 43
34, 533. 43
3, 388. 39
3, 388. 39
3, 38K 39
2, 015, 015. 80
1, 794, 296. 08
1, 799, 078. 07
]30, 634. 77
I 870. 96
1, 870. 06
9, 408. 50
12
140, 043. 27
with
No year
Total general fund,
1, 314. 08 94. 12
2'22. 66
32, 918. 82 1, 614. 61
32, 918. 82 1, 614. 61
1, 70K 73 1, 107. 96
482. 61
482. 61
Oflice of the
Secretary
457, 428. 10
13, 540. 43
78, 748. 95
18, 129. 02
450, 630. 08
8, 758. 44
SPECIAL FUNDS OPPICE OP THE 9ECEETAEY
I)sited States naval
prison
activities
fund
No year
Total, Oifice of Secretary
12, 446. 66 469, 869. 76
&
13, 540. 43
2, 015, 015. 80
1, 792, 425. 13
533, 243. 00
439, 281. 27 112, 781. 68 15, 907. 74 )00. 66
439, 281. 27 112, 781. 68 15, 907. 74 190. 66
567, 771. 13
567&
1&
797& 207
4, 909. 11 78, 748. 95
18 129 02
13, 286. 39 771. 15 278. 97
1, 222. 24
40, 001. 88 4, 910. 18 857. 76
240. 00
455&
53g Ig
8, 758. 44
GENERAL FUND EVEEAU OP NAVIGATION
Instruments
and supplies
1933 1932 1931 1930
161, 251. 12 24, 253. 92
Installation of memorial tablet to officers snd men who lost their lives in the submarine S-4 Medals for officers snd men of Byrd Antarctic Expedition
1931-32
302. 00
1930-31
2, 239. 00
the Naval Reserve
1933-34
Organizing
1933 1932 1931 1930 Certified claims
Ocean and lake surveys
.
Outfits on first enlistment.
Transportation
1933 1932 1931
1920 snd prior 1919
1927 1923 Certified claims
&
771. 13
2, 239. 00
57, 000. 00 3, 077, 686. 00
2, 786, 165. 61
433. 03
509, 948. 10 20, 694. 38 484. 90 309. 33
2, 786, 165. 61 509, 948. 10 20, 694. 38 484. 90 309. 33
3, 316, 633. 22
3, 316, 633. 22
60, 202. 01 2, 775. 94
60, 202. 01 2, 775. 94
863, 881. 68 263, 668. 63
65, 000. 00
17, 016. 03 1, 642. 40
242, 012. 27 484. 20
57, 000. 00 251, 278. 51 349, 023. 40 104. 22
123. 70
1, 859. 76
2, 938. 23 14, 240. 09
1, 642. 40
I 44. 64 I 8. 70
296. 47 680. 12
Exclusive of $45, 000 transferred to same object under Department of the Interior, Geologicsl Survey, act Apr, 22, 1932 (47 Stat. 120) . I Returned from same object under Department of the Interior, Geological Survey, act Feb. 14, 1931 (46 Stat. 1148). t Trsnsforred from same object under Navy Department. See note 1. See note 2. Returned to; me object under Navy Department. &
7, 755. 15 199. 56
79, 453. 10 47, 698. 29 312. 06
62, 977. 95
62, 977. 95
44. 64 8. 70
44. 64 8. 70
66. 04
68. 04
14. 69 296. 47 680. 12
14. 60 296. 47 680. 12
962. 00
962. 00
14. 59
I The administration of the government of the Vt'est Indian Islands (Virgin islands) wss transferred from the Navy Department to the Department of the Interior by Executive or&ler, date&i I&'ob. 27, 8&31. To confortn to the practice of the Bureau of the Budget this account has been state&i for the full fiscal years i931, 1932&, mtd 1933, under the Department of the Interior, p. 158. j Heretofore stated under "Miscellaneous" chapter, p. 234. I Returned to "Naval supply account fund.
"
Receipts and expenchtures, iDebft transfer appropriations
(net) and repayments
—Continued
1M8
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6}
Funds available in 1933
are printed in itahci
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year
for which sppl'oprlation was mMle
Unexpended balances June 30, 1932
Appropriations On books of
Treasury
GENERAL FUND BURRAU
GI&
Contingent
Great Lakes
Hampton Roads, Va
1933-34 1933 1932 1931
1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
A. vailable
exercises
1933 1932 1931
1933 1932 1931
1933 1932 1931
1933 1932 1931
$20, 000. 00
$2, 700. 93
$2, 700. 93
$17, 299. 07
9, 000. 00
7, 081. 27 3, 190. 59 5, 410. 00
7, 081. 27 3, 190. 59 5, 410. 00
I, 918. 73 2, 697. 82
$5, 888. 41 9, 421. 91
42, 750. 00
17, 173. 54 4, 119, 65
1933 1932 1931
. 15&
32& 881. 70
32&
93
160, 200. 00
245, 000. 00
681. 86
881. 70 12, 473. 93
45, 355. 63
45, 355. 63
145, 889. 53 10, 787. 40
145, 889. 53 10, 787. 40
156, 676. 93
156, 676. 93
929. 64 9, 594. 81
224, 929. 64
224&
$209. 84
9, 658. 46 4, 699. 61
4, 105. 06
10, 205. 41 828. 05
16, 524. 24
3, 546. 12 89. 24
7, 984. 38
7, 963. 37
9, 594. 81 426. 87
426. 87
225, 000. 00
5, 428. 34 228. 67
234, 524. 45
234, 524. 45
209, 052. 25 4, 982. 67
209, 052. 25 4, 982. 67
445. 67 228. 67
19, 447. 65 533. 12
214, 034. 92
214, 034. 92
196, 052. 38 17, 868. 51
196, 052. 38 17, 868. 51
213, 920. 89
213, 920. 89,
97, 679. 90 7, 606. 98 2. 63
97, 679. 90 7, 606. 98 2. 63
105, 289, 51
105, 289. 51
3, 719. 34
2, 228. 28 1, 579. 14
6, 825. 77
5, 494. 33 3, 129. 20
533. I?
110, 000. 00 642. 42
011.91
2, 636. 49
9, 684. 05
10, 736. 18
$4&
4, 119.65
202, 000, 00
1932 1931
15, 681. 86
12& 473.
11, 615. 45 2, 636. 49
Rhode Island
Naval Wsr College
Act June 20,
—continued
Training, education, snd welfare, Navy
Naval training station: California
To credit of dis-
Checks-issued basis
—Continued
NkvIGATloN
Qunnery and engineering
On books of the Treasury
Warrants-issued basis
639. 79
Naval Ressr ve Oincers' 'Draining Corps
19SS 1932
1931
Recreation for enlisted men, Navy
Permanent and indefinite: Naval Home, Philadelphia,
1933 1932 1931
Pa.
.
90, 085. 00
31, 134. 87 45, 141. 71
t
368, 000. 00 68, 287. 99 7, 746. 36
' 185, 000. 00
1933 1932 1931
24, 580. 71
10, 273. 97
s
3, 496. 93
70, 989. 44 3, 496. 93
74, 486. 37
74, 486. 37
313, 540. 64 42, 259. 45
313, 540. 64
355, 800. 09
355, 800. 09
156, 718. 57 7, 270. 06
156, 718. 57 7, 270. 06
163, 988. 63
163, 988. 63
70, 039. 44
18, 511.33 27, 637. 94 45, 141. 71
51, 856. 86
2, 599. 00
26, 028. 54
42, 259. 45
7, 746. 36
6, 787. 84
891. 00
20, 603. 09 17, 310. 65
111,305. 29
2, 356. 74
1, 036, 080. 81
10, 873. 97
Total general fund, Bureau of Navigation
1, 619, 403. 14
5, 381, 046. 61
5, 530, 751. 47
5~
530( 751 47
319, 955. 44
SPECIAL FUNDE BUREAU OF NAVIGATION
591, 553. 50 325. 00
» 57, 687. 50.
36, 603. 35 250. 00
36, 603. 35 250. 00
497, 262, 65 75. 00
591, 878. 50
57, 687. 50
36, 853. 35
36, 853. 35
497, 337. 65
2, 211, 281. 64
5, 323, 359. 11
5, 567, 604. 82
5, 567, 604. 82
18, 030, 000. 00
16, 438, 220. 46 2, 672, 057. 43 1, 129, 894. 53
354. 14 6. 48 4, 199.05
16, 438, 220. 46 2, 672, 057. 43 1, 129, 894. 53 854. 14 g. 48 4, 199. 05
20, 244, 010. 85
20, 244, 010. 85
416. 12
560. 88
9. 44
9, 44
Navy fines and forfeitures
No year Naval Observatory circle No year Total special funds, Bureau of Navigation
Improving
Total Bureau of Navigation
319, 955. 44
111,305. 29
2, 366. 74
1, 533, 418. 46
590, 384. 02 32, 272. 45 20, 383. 36
33, 537. 67
967, 857. 85 821, 327. 73 3, 540. 28
GENERAL FUND BUREAU OF ENGINEERING
Engineering
1933 1932 1931 1930 1927 claims Certified
Engineering (transfers to Department of Commerce, Bureau of Standards), act Feb. 23, 1931 Engineering, Bureau of Steam EngineerCertified ing station, AnEngineering experimental napolis, Md Total general fund Bureau of Engineering BUREAII OF CONSTBUCTION
Construction
I &
and repair
3, 525, 657. 61 I, 536, 126. 81
4, 199. 05
1932
500. 00
$144. 76
9. 44
claims 1931
Isi
83. 38
48. 38
48. 38
5, 062, 332. 80
382, 308. 64 354. 14 6. 48
144. 76
18, 034, 208. 49
20, 244, 436. 41
20, 244, 581, 17
821, 000. 00
13, 851, 081 43 1, 626, 083. 15 461, 273. 85 20. 40 336. 47
13, 851, 081. 43 1, 626, 083. 15 460, 273. 85 $0. 40 336. 47
15, 988, 754. 50
15, 938, 7M. 50
382, 717. 64
643, 039. 83
33, 537. 67
1, 792, 809. 74
628, 348. 47 36, 843. 26 14, 589. 79
54, 531, 01
1, 287, 039. 09 1, 066, 559, 65 2, 728, 52
AND REPAIR
1933 1932 1931 1927 Certified claims
1 ii,
2, 729, 486. 06 1, 274, 390. 03 336, 47
"
Transferred from "Navy pension fund, interest, act June 30, 1932 (47 Stat. 427). Returned to "Navy pension fund, interest", act Mar. 2, 1929 (45 Stat. 1456).
795, 797. 87 20. 40
Is This account was credited with f342, 312.50 from iniscellaneous receipts during the fiscal year 1933 and charged with $400, 000 transferred to "Naval Hospital fund ", acts June 7, 1900 (31 Stat. 697) ~ Mar. 3, 1909 (35 Stat. 766).
CO
—
1088 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
in excess of expenditures
sre printed in fiche]
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which Sppropr&-
to appropriations
Unexpended balances June 30, 1932
stion wss On books of Tress»&'y
Warrants-issued basis
To credit of dis-
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
GENERAL FUND BUREAU oF coNsTRUGTloN
balances June 30, 1933
On books of the Treasury
Appropriations
made
Unexpended
disbursing officers Avs&lsble
p. 7)
—Continued
AND RRFAIR
snd repair (transfers to Deof Commerce, Bureau of act Feb. 23, 1931 and repair (transfers to War Depart&nent, sct May 21, 1920) Construction of buildings snd improveConstruction partment Standards), Construction
.
ments, sir stationed& Major alterations, naval vessels. » Restoration of frigate Constitution
—con'td. 1932
$800. 00
1932
22. 19
1930-31
28, 976. 99
Total general fund, Bureau of Construction and Repair
4, 033, 675. 27
$177. 78
$591. 19
$768. 97
$208. 81
18. 48
18. 48
3. 71
$28, 976. 99
177. 78
$15, 821, 336. 47
15, 939. 364. 17
15, 939. 541. 95
11, 271, 000. 00 B 190. 26 I& 6. 39
7, 325, 020. 72 2, 848, 035. 21
7, 325, 020. 72 2, 848, 035. 21 1, 031, 309. 08 137. 80
824, 795. 26
$679, 781. 52
$54, 531. 01
30, 268. 25
471, 316. 56
486, 243. 32 97, 953. 09 35, 936. 88
2, 356, 539. 78
BUBEAU OF ORDNANCE
Armor plant, Navy Ordnance and ordnance stores
No year 1933 1932 1931 1930 1923 Certified claims
Ordnance and ordnance stores (transfers, act May 21, 1920): To Department of Commerce, Bureau of Standardg =
To War Department Projectile plant, Navy Torpedoes and appliances
1932 1931
1982 ~
Total general fund, Bureau of Ordnance.
No year No year
236. 46 3, 905, 473. 00 1, 541, 102. 54
I&
137
SO
30, 957. 20
3, 000. 00 2, 23e. e2
1, 108. 19 &
173, 986. 53 6, 147. 09 478, 129. 49
6, 110, 310. 63
&
1, 108. 19
,
8. 39
f1&0. 88
11, 302, 095. 00
1, 031, 309. 08 137. 80 5, 957. 80 30, 957. 20
5', 867. 80 30, 957. 20
11, 229, 502. 81
11, 229, 502. 81
2, 497. 71 1, 912. 56
3, 605. 90 1, 912. 56
4, 410. 27
5, 518. 46
15S, 764. 40
236. 46 3, 429, 467. 71 959, 674. 96 2, 546. 41
5, 957. 20
362. 32 316. 57
139.97
158, 764. 40
2, 036. 65
248, 342. 82
248, 342. 82
13, 080. 88
12, 995. 22 6, 147. 09 216, 705. 79
11, 641, 020. 30
11, 642, 128. 49
477, 273. 76
635, 929. 71
30, 268. 25
4, 627, 913.61
BUBESU
or
evppxrne
END k6x'oUNTs
Evacuation of high explosives, Navy
Freight
16, 638. 52 'Il, 962. 45 1, 172. 97
16, 538. 52 71, 962. 46 1. 172. 97
89, 673. 94
89, 673. 94
128. 34
128. 34
128. 34
6, 88S, OOO. OO '6 Iso, 000. 00
6, 443, 116. 67 144, 978. 07
5, 443, 116. 67 144, 978, 07
75, 000. 00 116, 698. 18 '6 II6, 898. 18
66
117, 871. 15 3. 22
Certioed claims
Fuel and transportation
1933 1932 1931
Maintenance
Pay, subsistence,
1933 1932-33 1932 1931-32
1933 1932 1931 1930 1927 Certified claims
and
66
2, 437, 265 48 1, 662, 364. 15
3. 22
1, 416, 374. 53 2, 142, 195. 64
25, 508. 80
91. 77 1, 662, 364. 15
9, 417, 500. 00 1, 072, 532. 55 259, 021. 89 1, 297. 05 1, 910. 00
5, 588, 094. 74
5, 588, 094. 74
8, 089, 860. 85 861, 293. 92 7, 336. 56 80. 56 1, 297. 05 1, 910. 00
8, 089, 860. 85 861, 293. 92 'I, 336. 56 80. 56 1, 297. 05 1, 910.00
8, 961, 617. 82
8, 961, 617. 82
251, 590. 68 80. 56
577, 637. 99 3, 275. 91 94. 65
104, 546. 22
64S, 4S4. 94 207, 962 72
transportation,
Navy
1933-34 1933 1932 1931-32 1931 1930-31 1930
1, 000, 000. 00 149, 877, 831. 00
Certified claims
Pay of the Navy
1919 1918 1917 Certified claims
Provisions, Navy Purchase and transportation fuel oil Reserve material, Navy
46, I67. 18
43, I67. I8
2, 303, 851. 39 1, 000, 000. 00
664 39 11.86
elb. 84 991.66 I, 054. 89
Sfo. 84 891. 68
38, 695. 37
38, 695. 37
I, 054. 89 38, 695. 37
944. 69 995. 75 1, 066. 75 111.30
142, 419, 546. 86
142, 419, 546. 86
128. 85
66
1927 1926 1922 1921 1920
'6
141. 40
66
4. 58
4. bo
I bp. 30 89. I 5 IN. 41
Iso. $0 58. I b
IN. 41
66
NO. 50
NO. 50
NO. 50
66
bbf. 69
6N. 89
651. 69 54. 58
» 54. 58 62. 47
3, 311,045. 73
4, 634, 990. 83
66
111.30
'6 137, 791, 889. 93
137, 791, 889. 93 4, 634, 990. 83
5, 329, 594. 62 1, 000, 000. 00 2, 260, 684. 21 1, 000, 000. 00
1929 1928
22, 285. 98
Certified claims of reserve 670, 877. 46 53, 860. 24
See notes 13 and 14. Returned to same object under Navy Department. 66 Account stated on p. 224. 66 Account stated on p. 220. 66 Returned from same object under War Department, act Msy 21, 1920 (41 Stat. 613). See note 4, «Returned from same object under Department of Commerce. See note 4. » Reestsblished from the surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5). «Transferred from 1932 account, act June 30, 1932 (47 Stat. 433) . 6
57, 261. 85 44, 348. 14
1, 199. 63 387. 59
54. 58
. Ib
. Ib
22, 285. 98
22, 285. 98
20, 643. 73
20, 643. 73
58. 56
58. 56
24, 986. 98
24, 986. 98
1, 000, 000. 00 8, 774, 895. 34 694, 603. 79 1, 000, 000. 00
4. 59 300. 60 29. 15 122. 41
.
13 62. 47
670, 877. 46 28, 873. 26
» Transferred to 1932-33 account. » Includes $150,000 transferred from 1932 account, act June 30, 1932 (47 Stat. 433). » Transferred to 1933 account. » Exclusive of $1,000,000 chargeable against the special fund account, "Clothing and sruall stores fuml, as transferred under act June 30, 1932 (47 stat. 430). see note 25. » Net amount returned to "Naval supply account fund. " » Transferred to 1919 account.
"
Receipts and egpenCktitres, (Debit transfer appropriations
(net) and repayments
to appropriations
Fiscal year
sre printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1932
On books of
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
made
GENERAL FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was
—
1988 Continued
To credit of dis-
Act June 20,
Checks-issued basis
Warrants-issued basis
1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
disbursing officers
Available
p. 7)
—Continued
BUREAU oF sUPPLIEs AND AccoUNTs
—continued
Permanent and indednite: Navy pension fund, interest No year Naval supply account fund No year Naval supply account fund (transfer to War Department, act May 21, 1920) No year Naval working fund No year
$3, 975. 16 27, 636, 013. 32
I&
n $6, 298. 82 6, 988, 885. 37
818, 698& 688. 36
gf 3, 688, 6es. Se
$531, 990. 51
2, 779. 87 183, 410. 48
2, 779. 87 183, 410. 48
47. 23 57, 050. 68
143, 592, 412. 96
143, 592, 412. 96
I' 60, 788. 88
15, 985. 32 1, 191, 464. 60
$248. 36
$10, 273. 97 34, 803, 967. 44
12, 878. 40 951, 003. 44
Total general fund, Bureau of Supplies and Accounts
4, 608, 330. 49
104, 794. 58
51, 790, 096. 68
n 60, 783. 38 168, 351. 55
23, 886. 93
3, 168. 56
7, 337, 557. 44 282, 271. 34
117, 668. 17
117, 568. 17
23, 886. 93
3, 168. 56
7, 619, 828. 78
22, 484. 34
22, 484. 34
168, 440. 04
105. 00
57, 621. 84
22, 589. 34
216, 061. 88
44, 711, 687. 13
161, 176, 349. 66
7, 313, 829. M 232, 376. 56
218, 246. 33
168, 351. M
7, 546, 206. 11
218, 246. 33
146& 874. 91
34, 049. 47
$5, 892, 402. 08
SPECIAL FUNDS BUREAU OF SUPPLIES AND ACCOUNTS
No year No year
Clothing and small-stores fund Ships' stores proQts, Navy
Total special funds, Bureau of Supplies snd Accounts
TRUST FUNDS BUREAU OF SUPPLIES AND ACCOUNTS
.
No year Pay of the Navy, deposit fund Navy allotments (transfer to Veterans' No year Administration, act Oct 6, 1917) I&
.
57, 254. 84
$472, 00
204, 129. 76
472. 00
52, 462, 022. 99
472. 00
Total trust funds, Bureau of Supplies and Accounts
Total, Bureau of Supplies snd Accounts
22, 117.34
34, 049. 4?
161& 428&
646 46
148
732& 098
47
143
732& 570
47
6, 892, 402, 08
4, 532, 217. 42
107, 963. 14
59, 625& 987. 34
GENERAL FUND BUREAU OF IIEDICINE AND SUROEBY
Care of the dead
1933 1932 1931 Certified claims
68, 000. 00
16, 819. 15 10, 434. 19
29. 00
61, 047. 17 9, 215. 23 88. 86 29. 00
51, 047. 17 9, 215, 23 38, 86 29, 00
60, 268. 04
60, 268. 04
16, 952, 83 6, 603. 92 10& 457. 65
Medical Department
1933 1932 1931 1930 1929 Certified claims
Total
general fund, Bureau Medicine and Surgery
1, 840, 000. OO 118, 575. 88 30, 048. 56
137. 00
1, 510, 506. 02 56, 505. 16 34. 05 60. 00 65. 81 137.00
1, 510, 506. 02 6S, 506. 16 34. 05 60. 00 65. 81 137. 00
1, 458, 076. 10
1, 458, 076. 10
1, 518, 344. 14
1, 518, 344. 14
151, 759, 98
59, 483. 72
118, 250. 28 171,081.04
151, 759. 98
59, 483. 72
312, 888. 07
30, 014. 51
60. 00 35. 81 '
of 174, 877. 78
1, 908, 166. 00
40, 567. 87
SPECIAL FUNDS BUREAU OF 1IEDICINE AND SURGERY
Naval hospital fund
No year
1, 451, 349. 45
rr
814 824 56
249, 958 71
249, 958. 71
I, 626, 227. 23
2, 722, 990. 56
1, 768, 302. 85
1, 768, 302. 85
138, 000. 00
100, 909. 69 25, 510. 68
100, 909. 69 25, 510. 68
2, 013, 568. 66
2, 646. 64
~
Total, Bureau of Medicine
and
Surgery
40, 567. 87
154, 406. 62
59, 483. 72
2, 326, 456. 73
GENERAL FUND BUREAU OF YARDS AND DOCKS
Contingent
1933 1932 1931
Maintenance.
.
1933 1932 1931 Certified claims
Maintenance, Bureau of Yards snd 1931 Docks, emergency construction Ammunition storage facilities, Navy No year Ammunition storage facilities, Navy (transfer to Department of the Interior, Qeneral Land Office, act May 21, No year 1920)
!
30, 974, 20 528. 25
126, 420. 37
126, 420. 37
8, 400, 000. 00
7 462 362 52
101. 20
598, 243. 29 1, 921. 58 101. 20
7, 462, 362. 52 598, 243. 29 1, 921. 58 101. 20
8, 062, 628. 59
8, 062, 628. 59
» 1, 660, 960. 46
1, 660, 960. 46
» 1, 664, 345. 78
3. 79
I Returned to same object under Navy Department. See note 24. I Returned to same object under Navy Department. See note 28. » This account was credited with an appropriation of $445, 205.29 for the fiscal year 1933 and $10,273.97 returned from "Naval Home, Phffadelphis, Ps. , 1931"and charged with $449, 180.44 transferred to the following
accounts: $264; 180. 44 Navy pensions, 1933 (Veterans' Administration) act Feb. 23, 1931 (46 Stat. 1375) 185, 000. 00 Naval Home, Philadelphia, Pa. , 1933, act Feb. 28, 1931 (46 Stat. 1436) » This account was credited with $279.82 returned from same object under the Wsr Department, sct May 21, 1920 (41 Stat. 613), and under the provisions of the sct of Mar. 1, 1921 (41 Stat. 1169). The "Naval supply account fund" was debited with $6, 000, 000 transferred to "Increase of the Navy, construction and machinery" and $60.00 to "Pay of the Navy, 1920" and credited with $1,444. 81 returned from sundry appropriations enumerated below during the fiscal year 1933, by transfer appropriation warrants: Bureau of Supplies and Accounts: 1920 $680. 50 Pay of the Navy 1919
Bureau of Navigation:
Outfits on first enlistment
Marine Corps:
Pay
700. 13 528. 25
656, 157. 18 52, 318. 83
2, 213. 49 638. 98
34, 833. 14 4, 763. 39
2, 257. 17
1920 and prior
1919 1919
706. 27
44. 34 8. 70 6, 00
I, 444. 81
462, 723. 13
13, 133. 35
438, 441. 75 44, 780. 54
3, 057. 62
966. 68
36, 472. 60
50, 397. 25
2, 213. 49
50. 16 80. 15 » Includes $1,000, 000 transferred per note 20 to the generalfund account, "Psyr subsistence, and transportation, Navy, 1933", act June 30, 1932 (47 Stat. 430). Such transfers by appropriation transfer warrants sre charged as special-fund expenditures under this title as of the dates the transfers are made, correspondiug credits being made in the general. fund expenditures account to which transfer was made, which credits are subsequently offset by checks drawn againsl, the general-fund account in connection with payments to public creditors » Represents allotments of Navy pay under the wsr-risk insurance act. » Includes $400, 000 transferred from "Navy fines and forfeitures, special fund, acts June 7, 1900 (31 Stat. 69'7), and Msr. 3, 1909 (35 Stat. 756) . » Includes $1,664, 321.86 transferred from "Public works, Bureau of Yards snd Docks ", act Feb. 28, 1931 (46 Stat. 1444), snd $23.92 returned from same object under Department of the Interior. See note 4. » Includes $513.33 chargeable against this general fund account by transfer appropriation warrant to the. "Reclamation fund ", special fund.
"
Receipts arad expendiftares, iDebit transfer appropriations
(net) snd repayments
—Continued
1 988
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre printed in italic)
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year for which appropriation wss made
Unexpended
Treasury
BUREAU
Oa&
To credit of
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
Reserve for impounded salary savings (see p. 7)
disbursing officers Available
—Continued
YARDS AND DOCKS
—continued
Boiler house engineering experiment station, Annapolis, Md Buildings and grounds, Naval Academy 84 Depot of supplies, Philadelphia, Pa Destroyer base, San Diego, Calif Fleet air base: Coco Solo, Canal Zone Pearl Harbor, Hawaii Improvements st ordnance stations Lightning protection, naval ammunition depots Lightning protection at ordnance stations Marine barracks: Ferris Island, S.C (i»entice, Va Ssn Diego, Calif Marine Corps ffying ffeld, Qua»tice, Vs Marine recruiting station, Port Royal, S.C Naval aircraft factory, Philadelphia, Ps Naval sir base, Sunnyvale, Calif Aids to sir navigation st ordnance stations Construction of buildings and improvements, air stations 88 Naval sir station: Anacostis, D. C Coco Solo, Canal Zone Hampton Roads, Vs Lakehurst, N. J Pearl Harbor, Hawaii Pensacola, Fla Ssn Diego, Calif Sand Point, Wash Naval air station site, Cape Msy, N. J Naval ammunition depot:
.
Fort Miffiin, Ps Hinghsm, Mass Iona Island, N. Y Lake Denmark, N. J Mare Island, Calif Puget Sound, Wash St. Juliens Creek, Vs Naval base, Ssn Diego, Calif
On books of the Treasury
Appropriations On books of
GENERA. L FUND
balances
June 30, 1932
No year
$3, 046. 35
No year No year No year
106, 987. 03
No year No year No year
901. 77 35. 30 22, 357. 58
No year
1, 593. 20
88
88
year year year year
645. 70 89, 040. 03
No year No year No year
14, 232. 00 176. 62 1, 291, 292. 20
7, 982. 16
No No No No No No No No No
. 86 3, 336. 3L
No No No No No No
year year year year year year year year year
year year year year year year No year No year
48, 604. 23 120. 60 206, 700. 37 13, 609, 83 78, 299. 31 2, 465. 99 277, 058. 33
59. 94
. 21 7, 270. 05 9, 208. 30 526. 76
1, 434. 96
7, 122. 56
$2. 40
$101. 50
9. 22
7, 122. 56 22, 774. 45 42, 488. 34
» 35, 672. 66
36, 574. 43 159, 505. 60
36, 574. 43 159, 505, 60
946. 61
» 177. 18
1, 414. 73
1, 414. 73
1. 29
88
35, 135/01
30, 799. 90
30, 799. 90
1, 224. 18
3, 110. 93
84
32, 022. 25
120, 222. 65 311.18 107, 980. 61
732. 61
107. 02
108, 008. 64
120, 222. 65 311. 18 107, 980. 61
10. 92
17. 11
18, 6eA68
669. 58
a' A 06
151.02
2, 069, 081. 25
3, 351, 250. 78
669. 58 151. 02 3, 351, 855. 75
23. 55 7, 883. 15
1, 239. 52
57, 599. 07
53, 291. 52
53, 291. 52
1, 856. 26
2, 451. 29
ffs. jao
7, 179. 06
7, 179. 06
245. 89
438. 76
34, 659. 90 95, 683. 70 » 164, 804. 15 88 113, 266. 46 88 68, 674. 88 » 102, 096. 22 8o 4L 388. 88 aa 3, 576, 93 » 677, 068. 5$
34, 208. 60 98, 975. 70 207, 112. 79 111,696. 38 162, 972. 11 114, 384. 60 36, 782. 03 5, 906. 97
34, 208. 60 98, 975. 70 207, 112. 79 111,69(t 38 162, 972. 11 114, 384. 60 36, 782. 03 5, 906. 97
452. 16 26. 47 4, 570. 58 1, 690. 68 994. 44 363. 89 130. 45 119.25
43, 806. 27
43, 137. 81 26, 135. 90 38, 195. 26 35, 127. 55 138, 186. 28 45, 885. Bs 56, 672. 71
43, 137. 81 26, 135. 90 38& 195. 26 35, 127. 55 138, 186. 28 45, 885. 68 56, 672. 71
446. 36 105. 27 196. 38 187. 69 5, 837. 05 1, 860. 98 152. 88
99, 864. 47
160, 426. 13 SS, 667. 68
88
»
8J46. 70
» 311.18 8o
$604. 97
88
88
No year
$2, 934. 54
22, 774. 45 42, 488. 34
84
No year
$2, 934. 54
» 22, 774. 45 » 42, 488. 34 84
No year
No No No No
$7. 91
88
88 aa
84
» 28, 931.86 » 39, 221. 52 84
28, 045. 19
" 138, 970. 60
» 47, 91B. 16 aa
56, 338. 00 466. 96
88 7
M
Cn
17. 84 1, 725. 01
158. 99 957. 56 4. 21 16. 70
282. 04 2, 690. 69
830. 09 4, 155. 57 169. 50 39. 16
c
Naval fuel depot: Melville, R.L = Ssn Diego, Calif Naval hospital: Chelsea, Mass Newport, R.I Philadelphia, Ps Ssn Diego, Calif Naval Observatory, Wmhington, D. C Naval operating base: Canal Sane Hampton Roads, Vs Pearl Harbor, Hawaii Naval proving ground: Indisnhesd, Md Bellevue, Naval research laboratory, D. C Naval radio and radio compass stations Naval station: Cavite, P.I Gusntsnsmo, Cuba Pearl Harbor, Hawaii San Diego, Calif Tutuils, Samos Naval supply depot, Brooklyn, N. Y Naval torpedo station: Newport, R.I Keyport, Wash Naval training station: Great Lakes, buildings Hampton Roads, Va Rhode Island San Diego, Calif Naval War College, buildings Navy mine depot, Yorktown, Va Navy yard: Boston, Mass Charleston, S.C Mare Island, Calif New York, N. Y Norfolk, Va Philadelphia, Pa Portsmouth, N. H Puget Sound, Wash Washington, D. C
No year No year No No No No No
year year year year year
415. 49 90. 80
1, 084. 65
No year No year No year
12, 248. 32 45, 413. 46
No year
2, 230. 19
No year No year No No No No No No
year year year year year year
No year No year No No No No No No
year year year year year year
No No No No No No No No No
year year year year year year year year year
798. 61 8, 80L96
6, 312. 35 225. 00
6, 312. 35 225. 00
» 28, 418. 35
27, 973. 29 3, 362. 82 32, 511. 08
27, 973. 29 3, 362. 82
52, 966. 29
52, 966. 29
» 127, 961. 08 » 113, 240. 82
86, 050. 23 167, 016. 02 110, 829. 73
86, 050. 23 167, 016. 02 110, 829. 73
6, 910. 40 9, 126. 95
45, 382. 58 28, 755. 45
6, 814. 16 419, 312. 72 402. 25 660. 59 30, 053. 00
938. 06
54, 852. 47 1, 672. 50
579. 66 85. 84
&» &»
» 3, 460. 59
» 33, 394. 03 » L 086. 86 » 52, 966. 29 » 74, 332. 46
4, 015. 04 2, 250. 81
530. 55 2, 343. 48 160. 28
1, 180. f 9
1, 070. 00
1, 070. 00
51, 059. 13 8, 238. 20
51, 059. 13 8, 238. 20
919. 16 630. 82
1, 288. 30
» 8, 868. 88 » 6, 011.37 ee 199, 333. I 8
21, 765. 95 I, 792. 32 215, 771. 59 189, 125. 64
21, 765. 95 1, 792. 32 215, 771. 59 189, 125. 64
347. 29 10. 47 3, 115.06 70. 08
415. 93
» 19, 363. 33
15, 512. 60 53, 175. 12
15, 512. 60 53, 175. 12
426. 68 1, 830. 97
» /j8, 784. 60
10, 772. 16 369. 02 60, 272. 18 106, 374. 73 24, 949. 94 43, 943. 05
10, 772. 16 57, 369. 02 60, 272. 18 106, 374. 73 24, 949. 94 43, 943. 05
355. 81 883. 29 1& 288. 08 12. 18 173. 90 217. 50
122, 995. 13
122, 995. 13
33, 663. 10 607, 868. 64 508, 978. 41 135, 478. 06 283, 668. 95
33, 663. 10 607, S68. 64 508, 978. 41 135, 478. 06 283, 668. 95 150, 118. 64 864, 326. 62 8, 495. 72
1, 676. 28 1, 336. 90 14, 013. 56 25, 688. 04 2, 926. 30 12, 003. 36 6, 116.87 6, 748. 15 406. 00
» 189, 054. 43
"880. 69
I, 202. 95 260. 96
» 80, 068. 00 » 56, 739. 28
» 56, 579. 81 » 61, 646. 55 » 106, 351. 07 »
57&
25, 192. 39
» 3, 686. 88
4, 541, 11
» 125, 324. 73 » 35, 000. 00 » 352, 589. 27
» » »
499, 799. 12 112&452. 70 186, 897. 25 er 146, 666. 89 » 884, 206. 83 » 68 998 73
150& 118. 64 864, 326. 62 8, 495. 72
» Net amount returned to "Public works, Bureau of Yards snd Docks", sct June 30, 1932 (47 Stat 435). See note 37. » Heretofore stated under Naval Academy" chapter. » Transferred from "Public works, Bureau of Yards and Docks ", act Feb. 28, 1931 (46 Stat. 1444) note 3?. » Transferred from "Public works, Nav'y, Emergency construction, act July 21, 1932" (47 Stat. 717). See note 38.
"
670. 94
» 51, 978. 29 » 86 886 68
40
47, 729. 28
274, 602. 16 52& 711. 41 28& 615, 57 115, 700. 80 12, 859. 67 364. 68 31, 904. 76
32, 511.08
83. 79
776. 76 188. 57 212. 01
"
4, 362. 11 1, 733. 19
665. 95
68. 55 43. 41 5, 194. 43
$2, 133.28
"
5, 309. 23 17, 844. 08 2, 663. 91 6, 925. 74 3, 291. 05 11, 363. 46 4. 32
» Transferred from Public works, Bureau of Yards and Docks ", and Public works, Navy, Emergency construction, act July 21, 1932", acts Feb. 28, 1931 (46 Stat. 1444), and July 21, 1932 (47 Stat. 717). See notes 37 snd 38. Returned to "Public works, Bureau of Yards and Docks ", act June 30, 1932 (47 Stat. 435). See note 37. » Heretofore stated under "Bureau of Construction and Repair" chapter.
See»
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre printed in itaac]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscai year for which appro priation wss
made
QENERIkL FUND BUREAU OF YARDS AND
fund,
Appropriations On books of Treflsury
To credit of dis-
Checks-issued basis
Art June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p: 'i)
disbursing oilicers
Available
DOCK~antfnued
..
general
On books of the Treasury
Warrants-issued basis
—Continued
Public works, Bureau of Yards snd Docks Public works, Navy, emergency construction, act July 21; 1932 Public works, Navy, emergency construction Receiving ship station, San Francisco, Calif Repairs due to hurricane damages, American Samoa Submarine base: Coco Solo, Canal Zone New London, Conn Pearl Harbor, Hawaii Supply depot, San Diego, Calif.
Total
Unexpended balances June 30, 1932
Bureau
No year
$4, 775, 932. 23
$265.
55» ge, 085, 898. II
ge, 694. 90
gs, 360. 99
$6, 282. 99
» 6, 853, 972. 54
3, 139. 58
3, 44S. 96
3, 093. 63
7, 364. 00
7, 364. 00
No year No year
964, 308. 57
» 864, 308. 57
No year
42, 225. 33
ii 34, sense
1931-32
No No No No
year year year year
$2, 563. 89
$2, 689, 818. 14
$891. 57
854, 018. 49
303. 38
6&
'd
. 27
. 27 » 39, 445. 04
188, 344. 26 1, 400. 68 93, 997. 32
ii 22, 716. 52
148, 802. 34 4, 666. 34 211, 197. 12 22, 716. 52
20, 028, 101.20
19, 397, 054. 16
ii 3, 689. 33
ii 122, 530. 26
148, 802. 34 4, 666. 34 211, 197. 12 22, 716. 52
95. 88 79. 98 806. 92
343. 69 4, 523. 54
of 10, 232, 037. 34
Yards and Ducks
870. 52
19& 396&
729 73
$53, 138. 99
615, 221. 12
41&
169. 77
10, 153, 554. 50
1, 194. 95
SPECIE.L FUNDS BURFAU OF YARDS AND DOCKS
Naval public works cons'truction fund No year Civic Naval Reservation, Olongapo, No year Fund
Total special funds, Yards and Docks
Bureau
20, 53'4. 83
20, 534. 83
5, 892. 61
2, 465. 02
2, 465. 02
26, 427. 44
2, 465. 02
2, 465. 02
20 534. 83
19, 399, 519. 18
19, 399, 194. 75
73, 673. 82
3&
427. 59
of
Total, Bureau of Yards and Docks
10, 258, 464. 78
870. 52
20, 028, 101. 20
» Net amount returned to "Public works, Bureau of Yards snd Docks", act June 30, 1932 (47 stat. 435). See note 37. » Transferred from "Public works, Navy, emergency construction", act July 21, 1932 (47 stat. 717). See note 38. » Transferred fram "public works, Bureau of Yards and Docks", snd "Public works, Navy, emergency construction", sct July 21, 1932", acts Feb. 28, 1931 (46 Stat. 1444) snd July 21, 1932 (47 Stat. 717). See notes 37 and 38. ii Returned to."public works, Bureau of Yards and Docks", act June 30, 1932 (47 Stat. 435). See note 37. » This account was credited with $4, 676, 715.99 returned from sundry accounts, stated below, sct June 30, 1932 (47 Stat. 435), snd charged with $9, 252, 608.10 transferred, act Feb. 28, 1931 (47 Stat. 1444), to sundry accounts as stated below: Credits: No year ' $3, 046. 35 Bailer house engineering experiment station, Annapolis, Md 106, 987. 03 No year Bu ilding and grounds, Naval Academy ar 22, 357. 58 No year N Improvements st ordnance stations ear 1, 593. 20 No y depots ammunition Lightning protection, naval Marine barracks: S. C Ferris Island, Quantico, Va ear No year 14, 232. 00 Marine recruiting station, Port Royal, S.C
3, 427. 59 615, 221. 12
Continued. Debits — Naval air station Continued. San Diego, Calif Sand Point, Wash Naval amrrunuion depot
41, 169. 77
10, 156, 982. 09
1, 194. 95
—
No year No year
Fort MiEin, pa
Hingham, Mass Iona Island, N. Y. Lake Denmarlr, N I Mare Island, Calu Naval fuel depat; Melville, R.I San Diego, Calif Naval hospital Chelsea, Mass Newport, R.I Naval Observatory, Washington, Naval operstin'g base: Canal Zone Hampton Roads, Vs
No No No No No
D. C
$36, 916. 69 6, 042. 92
year year year year year
41, 956. 79 28, 931.86 39, 221. 73 35, 05L 77 31, 346. 43
No year No year
6, 716. 89 . 225. 00
No year No year No year
28; 418. 35 3, 460. 59 52, 966. 29
No year No year
86, 580. 78 142, 655. 23
Naval a(rcraft factory, Pf&usdelpbis, Pa Naval air base, Sunnyvale, Calif Construction of buildings and improvements, Naval air station& Anscostis, D. C Caco Solo, Canal Zone Hampton Roads, Vs Pearl Harbor, Hawaii Pensacola, Fla Ssn Diego, Calif Sand Point, Wash Naval air station, site, Cape May, N. J Naval ammunition depot: Fort Mifflin, Pa Iona Island, N. Y Lake Denmark, N. J Mare Island, Calif St. Juliens Creek, Vs Naval base, San Diego, Calif Naval fuel depot: Melville, R.I San Diego, Calif Naval hospital: Ssn Diego, Calif Naval operating base: Canal Zone Hampton Roads, Vs Naval proving ground: Indisnhesd, Md Naval radio snd radio compass stations. Naval station: Cavite, P.I Gusntsnsmo, Cuba Pearl Harbor, Hawaii San Diego, Calif Tutuils, Samos Naval supply depot, Brooklyn, N. Y Naval torpedo station: Newport, R.I Naval training station: Great Lakes, buildings Naval mine depot, Yorktown, Vs
air stations
Navy yard: Boston, Mass Mare Island, Calif New York, N. Y Norfolk, Vs Philadelphia, Ps Portsmouth, N. H Washington, D. C Public works, Navy, emergency construction Receiving sl ip station, Ssn Francisco, Calif Submarine base: Coco Solo, Canal Zone New London, Conn Pearl Barbar, Hawaii
No Fear No year No year
144. 94 1, 291, 787. 21 7, 160. 80
.86
No No No No No No No No
year year year year year year year year
3, 279. 53 47, 005. 13 205, 719. 66 13, 452. 95 78, 299. 31 2, 465. 99 277, 058. 33
No No No No No No
year year year year year year
7, 198. 24 9, 208. 30 526. 75 1, 434. 96
No year No year
6, 910. 40 9, 126. 95
No year
1, 084. 65
No year No year
12, 248. 32 44, 726. 08
No year No year
2, 230. 19 45, 369. 74
No No No No No No
year year year year year year
2. 54
. 21
33. 06
No year No year
53, 607. 91 47, 729. 28
740. 91 274, 602. 16 35, 796. 90
year year year year year year year year year
28, 615. 57 113, 700. 27 10, 869. 76 31, 888. 87 964, 308. 57 42, 225. 33
No year No year No year
188, 343. 26 90. 68 93, 187. 16
3&
4, 676, 715. 99
Debits:
Ammunition storage facilities, Navy Boiler house engineering experiment station, Annapolis, Md Buildings snd grounds, Naval Academy Depot of supplies, Philadelphia, Pa Fleet air base: Coco Solo, Canal Zone Pearl Harbor, Hawaii Lightning protection, naval ammunition depots Lightning protection at ordnance stations Marine barracks: Qusntico, Vs Ssn Diego, Calif Marine Corps flying field Quantico Va Marine recruiting station, Port Royal, S.C Naval aircraft, factory, Philadelphia, Pa Naval sir base, Sunnyvsle, Calif Construction of buildings snd iinprovements, air stations Kaval air station: Anscostia, D. C Coco Solo, Canal Zone Hampton Roads, Vs Lakehurst, N. J Pearl Harbor, Hawaii Pensacola, Fls
.
No year No year No year
1, 070. 00 51, 978. 29 10, 144. 48
No year No year No year No year
22, 529. 17 804. 31 190, 759. 43 189, 076. 64
No year
No No No No
year $1, 664, 321. 86 year 3, 038. 44 year 1, 675. 85 year 22, 774. 45
No No No No
year year year year
22, 752. 19 158, 225. 23 1, 416. 02 35, 135. 01
No No No No No No Na
year year year year year year year
120, 342. 28 311. 18 107, 700. 64 669. 58 142. 89 3, 360, 868. 46 7, 042. 35
No No No No No No
year year year year year year
98, 963. 23 211, 809. 2S 113, 266. 46 163, 144. 83 115, 549. 17
34, 660. 70
7, 257. 85
No No No No No
year year year year year
10, 883. 41 56, 579. 81 18, 727. 41 46, 905. 03 44, 203. 96
No No No No No No No No No
year year year year year year year year year
20, 204. 01 478, 716. 08 281, 485. 34 31, 649. 99
No year No year No year
148, 898. 22 3, 682. 19 123, 119.38
28, 755. 45 5,'815'. 68
417, 325. 45 22. 21 660. 59 30, 053. 00
No year
No No No No No No No No No
Nave( proving ground: Indisnhead, Md Naval research laboratory, Bellevue, D. C Naval radio snd radio compass stations Naval station: Cavite, P.I Gusntansmo, Cuba Pearl Harbor, Hawaii Ssn Diego, Calif Naval torpedo station: Newport, R.I Naval training station: Great Lakes, buildings Hampton Roads, Vs Rhode Island Ssn Diego, Calif Navy mine depot, Yorktown, Va Navy yard: Boston, Mass Mare Island, Calif New York, N. Y Norfolk, Va Philadelphia, Pa Portsmouth, N. H Puget Sound, Wash Washington, D. C Receiving ship station, Ssn Francisco, Calif Submarine base: Coco Solo, Canal Zone New I ondon, Conn Pearl Harbor, Hawaii
16, 291. 01 96, 084. 75 601, 001. 71 8, 890. 15 7, 364. 00
9, 252, 608. 10
» Exclusive of $3, 146,027.46 transferred, sct July 21, 1932 (47 Stat. 7 (7), to accounts as follows: Buildings and grounds, Naval Academy. Destroyer base, San Diego, Calif Fleet sir base: Coco Solo, Canal Zone Pearl Harbor, Hawaii Marine barracks: Qusntica, Va Marine Corps flying field, Qusntico, Va Aids to sir navigation at ordnance stations Naval ammunition depot: Fort M(ffi(n, Ps Lake Denmark, N. J Mare Island, Calif. Puget Sound, Wash St. Juliens Creek, Va Naval hospital: Philadelphia, Pa Naval operating base Hampton Roads, Vs Pearl Harbor, Hawaii Naval station: Pearl Harbor, Hawaii Naval torpedo station: Newport, R.I Keyport, Wash Naval training station: Rhode Island Ssn Diego, Calif Naval Wsr College, buildings Navy yard: Boston, Mass Charleston, S.C Mare island, Calif New York, N. Y Norfolk, Vs Philadelphia, Pa Portsmauth, N. H Puget Sound, Wash Submarine base: Kew London, Conn Pearl Harbor, Hawaii Supply depot, Ssn Diego, Calif Increase of the Navy: Armor, armament, and ammunition Construction snd machinery
.
No year No year
$5, 446. 71 42, 488. 34
No year No year
12, 920. 47 2, 200. 90
No year No year No year
720. 00 308. 00 57, 599. 07
No No No No No
year year year year year
1. 852. 02 191.66 116, 832. 47
No year
33, 394. 03
No year Ko year
30, 031. 93 113, 240. 82
47, 916. 16 56, 864. 75
Ko year
27, 342. 90
No year No year
12, 138. 53 56, 739. 28
No year No year No year
42, 919. 14 59, 446. 04 25, 192. 39
No year Ko i ear
1 car year year
108, 861. 63 35, 000. 00 148, 4&5&. 35 254, 110. GS 109, 418, 28 284, 306 5&i 61, 451. 00 283, 205&, (2
No year No year iVo year
9& 82 92, 59rc 04 22, 710. 52
Ko iesr
No Na No No No
1 w(r
veal'
Ka year N a year
000 00 550, 00(1. 00 45&0,
3, 140, 027. 4G
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
—
1M8 Continued
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year
for which
approprl. ation was made
Unexpended balances June 30, 1932
On books of the Treasury Appropriations
On hooks of Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
GENERAL FUND BUREAU OP AERONAUxms
Aviation,
Navy
1933 1932 1931 1930 1928 Certified claims
Aviation, Navy (transfers to Department. of Commerce, Bureau of Standards): 1933 Act July 1, 1932 1932 Act Feb. 23, 1931 1931 Act Apr. 18, 1930
Aviation, Navy (transfers to Department of Commerce, Bureau of lvfines, under helium production): Act July 1, 1932 Act Feb. 23, 1931
1933 1932
Aviation, Navy (transfers, sct May 21, 1920): 1932 To Wsr Department No year Acquisition of sites, Aviation, Navy
a $24, 982, 120. 00 n 595. 85 u 579. 58 u. 10
$14, 606, 493. 20 3, 723, 886. 51
124, 071. 86
r
7, 000. 00 579. 58
&
s
43, 352. 45
18, 400, 698. 09
175, 000. 00
' 595'. 86
13, 432. 57 5& 953. 78
31, 162, 481. 48
31, 162, 481. 48
79, 109. 24 5, 495. 83
77, 806. 69 8, 340. 85
84, 605. 07
86, 147. 54
121, 060. 73 4, fss. 51
115, 174. 72 4, 694. 04
116, 894. 42
119, 868. 76
12, 787. 09
12, 787. 09
. 10
.
$1, 054, 781. 77
$401, 805. 34 37, 597. 05 4, 015. 78
$18, 526. 32
$6, 397, 662. 15 4, 359, 870. 18 839. 03
6, 150. 93
696. 44
2, 343. 39 1, 504. 17
$1, 302. 55
9, 235. 90
1, 937. 65
42, 765. 72 47, 518. 76
5, 886. 01
168. 00
579. 58.
8, 860. 35
49. 63 5, 953. 78
Total general fund, Bureau of Aeronautics
88, 800. 00
$2, 845. 02
188. 00 124, 071. 86
$18, 164, 126. 19 10, 290, 621. 82 2, 664, 829. 51 10 158. 00 124, 071. 86
$18, 164, 126. 19 10, 209, 621. 82 2, 664, 829. 51
11, 705. 37
25, 369, 491. 96
31, 376, 768. 06
31, 381& 284. 87
79, 700. 00
73, 265. 53 13, 232. 35 3. 75
73, 265. 53 13, 232. 35 3. 75
86, 501. 63
86, 501. 63
806, 212. 91 88, 484. 71
806, 212. 91 88, 484. 71
1, 054, 949. 77
458, 854. 63
21, 160. 41
10, 858, 457. 18
NAVAL ACADEMY
Buildings and grounds. 4e Current snd miscellaneous
Maintenance
and repairs
expenses
.
1933 1932 1931
1933 1932 1931
13, 303. 30 1, 961. 47
940, 000. 00
101, 707. 81 30, 368. 66
894, 697. 62
6, 270. 64 70. 95
61, 176. 57
7 2, 5S2. 52
1, 957. 72
13, 223. 10 30, 368. 66
894, 697. 62
163. 83
7, 1SS. 56
tn
Psy
19SS 1932
1931
861, 517. 00
23, 713. 06 10, 879. 64
764, 095. 45 15, 653. 06
12, 822. 86
19, 174. 44 8, 060. 00
126, 764. 65
12, 850. 86
119, 381. 65
89, 468. 71 1, 448. 16
7, S91.82
2, 041, 905. 08 1, 806, 728. 25
764, 095. 45
15, 653. 06
10, 879. 64 779, 74S. 51
779, 748. 51
I, 881, 217. 00
1, 760, 947. 76
I, 760, 947. 76
6, 458, 720. 00
4, 319, 954. S9 1, 713, 506. 79 42, 504. 75 803. 81 46. 78
4, 319, 954. 89 1, 713, 506. 79 42, 504. 75
Total general fund, Naval Academy
181, 933. 94
43, 206. 02
staatbtE coups
General expenses
1933 1932 1931 1930 1929 1928 1927 1925 claims Certified
Expenses, Marine Band, Spanish-Amer. icon War Veterans' Convention, New Orleans, La Expenses, Marine Band, Grand Army national Cincinnati, encampment, Ohio
Maintenance, ment
Quartermaster's
3, 521, 678. 20 813, 051. 71 572, 125. 08
tr tr
16. 54 11.96
70. 96 17. 57 482. 97
tb
1932
1, 769. 53
6, 076, 215. 16
1931
558. 00
770, 546. 96 572, 344. 83
58. ?4 10. 51 62. 27
I, 769. 53 558. 00
DepartCertified
49. 96
49. 96
49. 96
't 15, 378, 290. 00
14' 312, 621. 01 135, 421. 58 1, 745. 11 80. 87 JO. 86 19.58 10. 8$ 59. 21 83. 30
14, 312, 621. 01 135, 421. 58 I, 745. 11 80. 87 „O. 85
t 5. OO
5. OO
5. OO
5, 814. 06
5, 814. 06
5, 814. 06
14) 455~ 541 12
14, 455, 541. 12
266, 222. 44 449. 78
2661 222. 44
266, 672. 22
266, 672. 22
claims
904, 989. 29 264, 692. 25 150, 000. 00
"888, IOJ. 00 t&
]928
t&
14. 82 72. 37
1927 tb
192G
59. 21
1925
1919 Certified claims
Psy of civil employees
1933 1932 1931
Reserve supplies (transfer to War DeNo year partment, act Msy 21, 1920)
n 306, 930. 00 2, 324. ?3 4, 639. 80
18. 58 10. 85 59. 21. 83. 80
493, 133. 13
I, 066. 66
571, 469. 20 5401 466. 71
27, 011.76
10, 348. 65
3, 347. 15 I, 874. 45
262, 947. 14 150, 020. 87 55. 08 91. 95 10. 84
23. 30
449. 78 4, 639. 80
131.93 6, 235, 960. 02
Total general fund, Marine Corps
See note 39. Transferred from same object under Navy Department. See note 14. Returned to same object under the Navy Departtnent. t Returned to "Naval Supply Account Fund. See note 4. » Returned from same object, uoder the Wsr Department. See note 4, u Returned from same object under the Department of Commerce. u Reestsblished from the surplus fund act Msr. 3, 1875 (18 Stat. 418, sec. 5). r
6, 07G, 215. 16
JO. 51 tb
1933 1932 1931 1930 1929
s
S. 69 17. 57 482. 97
803. 8f $8. 78 10. Gf S. 69 17. 57 482. 97
"
131.93 21, 921, 444. 42
20, 798, 478. 46
20, 798, 478. 46
I, 761, 370. 29
611, 056. 76
18, 806. 63
4, 967, 692. 30
u Exclusive of $263, 300 transferred to same object under the Department of Commerce, See note 3. u Account transferred and stated under Bureau of Yards snd Docks, p. 224. « Includes $229, 101 transferred from 1932 account, and excludes $1,900 transferred to "pay of civil employees, Marine Corps, 1933", sct June 30, 1932 (47 Stat. 411). u Transferred to 1933 account. u Includes $1,900(rsnsferred from "Psy, Marine Corps, 1933. See note 41.
"
Recei pts and expenChtttres, [Debit transfer appropriations
(net) snd repayments
Fiscal year
to appropriations
are printed in italic]
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriations was made
—
f 988 Continued
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Tressury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants-issued tiSSIS
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oflicers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing offlcers
Available
TRUST FUNDS SIARINE
CORPS
. No year
Pay of Marine Corps, deposit fund Marine Corps allotments Veterans' Administration, 1917)Ii
$161 282 09
$381, 727. 00
$151 367 27
$391, 641. 82
$151, 367. 27
(trsnsfer to act Oct. 6,
No year
Total trust funds, Marine Corps Total, Marine Corps
4, 182. 18
4, 182. 18 385, 909. 18
161, 282. 09
151, 367. 27
151, 36. 27
6, 621, 869. 20
22, 082, 726. 51
20, 949, 845. 73
20, 949, 845. 73
440, 497. 16 2, 817, 755. 20
«16, 653, 259. 92 «8, 858, 858. 88
12& 252&
886 01 164, 495. 28 283. 81
564, 388. 45
2,
283. 81
12, 252, 886. 01 164, 495. 28 283. 81
14, 000, 283. 81
12, 417, 665. 10
12, 417, 66,1. 10
564, 388. 45
395, 824. 00
$1, 761, 370. 29
$611;056. 76
$18, 806. 63
5, 363, 516. 30
889. 90
4, 273, 592. 72
2, 889. 90
4, 273, 592. 72
GENERAL FUND ALTERATIONS TO NAVAL VESSELS ii
Major alterations, naval vessels
No year 1931-32 Certified claims
Total general fund, alterations to 3, 258, 252. 36
naval vessels INCREASE
Oi&
THE NAVY
Increase of the Navy (transfer to Wsr Department, act Msy 21, 1920) Increase of the Navy, armor, armament, snd ammunition Increase of the Navy, armor, armament, snd ammunition (transfer to War Department act May 21, 1920) Increase of the Navy, construction and machinery
.
Improving snd equipping for construction of ships
No year
254. 14
No year
13, 347, 442. 49
Noyesr
409, 876. 69
No year
24, 767, 687. 85
254. 14
«3, 450, 000. 00
$217. 17
«21, 613, 000. 00
navy yards 1932
1931
27, 174. 59 204. 17
8, 261, 202. 92
8, 260, 078. 76
254, 477. 75
390, 310. 73
390, 310. 73
256. 42
39, 643, 412. 09
39, 643, 105. 11
793, 957. 93
26, 253. 85
26, 253. 85
Total general fund, Increase of the Navy
16, 670. 30
'I 3, 706, 19
3, 706. 19
'8, 708. 18
38, 573, 016. 42
8, 281, 069. 15
$1, 124. 16
19, 309. 54 14, 417. 81
6, 928, 900. 02
524. 15
198. 35
722. 39 204. 17
26&
No year Naval emergency fund. Naval emergency fund (transfer to War No year Department, act Msr. 4, 1915)
692. 67
217. 17
25&
063, 000. 00
26, 253. 85
253. 85
20, 376, 49
4S, 321, 179. 59
48&
319 748 45
204. 17
1, 049, 414. 49
15, 110.48
14, 250, 10?.69
1, 64K 31
8SLSRIE9, NSVT DEPSRTNENT
Bslsries: Office of Secretary of tbe Navy
General Board, Navy Department
Naval examining snd retiring boards
1933 1932 1931
1933 1932 1931
1933 1932 1931
215, 520. 00
873. 08
10, 520. 00 26. 26
173, 500. 00 873. 08
9, 241. 62
410. 70
14, 921. 51
11, 393. 08 26. 26
12, 560. 00
40. 20
280. 00 4. 01
172 626 92
173, 089. 30
11,300. 00 40. 30
11, 172. 74
1, 141. 08
118.92 320. 20
127. 26
946. 55
53. 45
155. 73
4. 01
10, 600. 00 . 04
11, 259. 80
11, 172. 74
9, 600. 00 . 06
9, 444. 27
. 04 1. 47
1. 47 9, 599. 96
Compensation ment
17, 856. 97
173, 089. 30
9, 444. 27
Board, Navy Depart1933 1931
Oflice of naval records and library
Office of Judge Advocate General
Office of Chief of Naval Operations
Board of inspection Navy Department
and
1933 1932 1931
1933 1932 1931
1933 1932 1931
8, 700. 00
39, 240. 00
760. 00 100. 45
7, 900. 00
7, 763. 89
7, 900. 00
7, 763. 89
34, 500. 00
34, 450. 12
. 66
761. 48
136. 11
3, 423. 32
877. 66
439. 02 890. 79
49. 88
11, 948. 50
3, 130. 44
I, 161.OG
378. 39
130. 79
130. 79
38. 52
100. 45
130, 240. 00
6. 75
84, 369. 21
34, 450. 12
114, 000. 00 10. 98
113, 621. 61 4. 18
10. 93 35. 02
35. 02
73, 760. 00 272. 51
460. 00 139. 06
113, 989. 07
113, 617. 43
65, 500. 00 872. 61
65, 442. 63
g 6, 561. 17
555. 00
I, 143. 83
57. 37
732. 51
139. OG 65, 227. 49
65, 442. 63
17, 000. 00 60. 08
16, 797. 36
survey, 1933 1932 1931
20, 780. 00
2, 180. 00 46. 30
'
GG.
08
I, 775. 93
150. 00
1, 854. 07 2, 240. 08
202. 64
11, 793, 06
2, 182. 00
4, 004. 94 4, 063. 63
51. 66
46. 30 16, 939. 92
16, 797. 36
11?,000. 00
116, 948. 34
Office of l&irc. tor of Naval Commu-
nications
1933 1932 1931
134, 980. 00
3, 620. 00 13. 74
443. 63
468. 66
13. 74 116, 556. 37
' Returned to same object under Navy Department. See note 13. See note 4. «Returned from same object under War Department. «Represents allotments of Marine Corps pay under the Wsr Risk Insurance Act. "Construction under and Repair" chapter. stated heretofore «Accounts in this chapter, «Transferred from 1931-32 account, act June 30, 1932 (47 Stat. 447). "No account. «t Transferred year" to
116, 948. 34
u Includes $450, 000 transferred
act June 30, 1932 (47 Stat, 411) .
from
"Public works, Navy, emergency construction, act July 21, 1032".
u Includes $6, 550, 000 transferred, act June 30, 1932 (47 Stat. 411), from accounts as follows: Naval supply account, fund Public works, Navy, emergency construction, act July 21, 1932
'ilk
000, 000 550, 000
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal appropriation was made
Appropriations On books of
1933 1932 1931
1933 1932 1931
Bureau of Navigation
.
1933 1932 1931
Bureau of Engineering
Bureau of Ordnance
1933 1932 1931
1933 1932 1931
Naval Observatory
Bureau of Construction
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of disbursing officers
—Continued.
Office
Amount carried to surplus fund (see p. 7)
To credit of Reserve for impounded salary savings (see p. 7)
disbursing
officers
Available
—continued
Office of Naval Intelligence
Hydrographic
are printed in itafic]
—Cont, inued
SALARIEs, NAvy DEPARTMENT
Salaries
in excess of expenditures
Unexpended balances June 30, 1932
Treasury
GENERAL FUND
to appropriations
Expenditures in 1933 (see p, 6)
Funds available in 1933 year for which
—
1988 Continued
and Repair
1933 1932 1931
1933 1932 1931
$41 440 00
$220. 00 21. 48
780. 43
664. 42
35, 549. i}4
35, 361. 66
439, 900. 00 780. 48
439, 615. 49
439, 119.57
439, 615. 49
370, 647. 17 884. 48
370, 416. 93
193, 540. 00
217. 74
369, 982. 75
370, 416. 93
165, 240. 62 817. 74
165, 139. 87
333, 040. 00
216. 13
537. 53
44, 203. 58
7, 781. 34
8, 655. 08 3, 320. 43
284. 51
36, 899. 69
19, 029. 30
4, 403. 84 2, 993. 54
230. 24
M
16, 881. 35
6, 189. 16
5, 228. 87 5, 717. 74
100. 75 QJ
165, 022. 88
165, 139.87
296, 500. 00 818. 18
296, 389. 91
29, 202. 28
1&
200 66
6, 137. 06 2, 656. 13
110.09
117.44
296, 283. 87
296, 389. 91
000. 00 687. 68
346, 863. 87
347&
34, 739. 22
2, 373. 66
9, 787. 12 2, 753. 61
136. 13
14, 545. 15
854. 14
1, 800. 71
178.09
149. 35
165, 000. 00
220. 00 26. 32
$338. 34
30. 07
393, 900. 00 2, 216. 08 149. 35
$943. 94 370. 06
3- 26
3. 26
2, 440. 00 30. 07
$1, 245. 06
38. 38
38. 38
5, 500. 00
$3, 551. 00
$21. 48
430, 980. 00
2, 329. 12
$35 361 66
160. 08
500, 540. 00 2, 540. 00 27. 36
$35& 700. 00
$150. 06
346, 462. 47
346, 863. 87
147, 800. 00 117.44
147, 621. 91
337. 44 26. 32
147, 682. 56
147, 621. 91
ftureau of BuppBes and Accounts
Bureau of Medicine and Surgery
Bureau of Yards and Docks
1933 1932 1931
1933 1932 1931
1933 1932 1931
Bureau ofkeronautics.
1933 1932 1931
Indefinite: Increase of compensation, partment
18, 713. 94 60. 45
593. 38
87, 560. 00
1, 640. 00 188. 22
745, 931.Ge
745, 434. 12
745, 931. 66
73, 160. 00
73, 064. 45
237. 04
and binding,
4, 271. 84
1, 224. 74
73, 017. 71
73, 064. 45
281, 000. 00 937. 04
280, 154. 79
27, 645. 34
2, 679. 58
2, 995. 08 964. 54
290, 400. 00
280, 762. 96
280, 154. 79
256, 100. 00
256, 026. 23
25, 975. 03
3, 620. 33
4, 704. 64 723. 67
374, 222. 49
91, 164. 53
155, 915. 72
4, 05S. 2S
1, 703. 77 246. 96
276. 41 2. 00
270, 000. 00
8, 035. 88
36, 440. 50 5, 283. 89
550. 97
393. 67
323. 67
21. 26 255, 776. 33
256, 026. 23
7. 38
7. 38
7. 38
55, 652. 84
5, 807. 21
4, 270, 107. 38
3, 703, 571. 28
8, 705, 320. 23
16, 846. 96 119. 19
4, 882. 51
80, 000. 00
78, 293. 58
78, 018. 17 21, 4&0. 51
886. 20
EXPENSES, ETC
Contingent expenses, Navy Department
Printing ment
8, 903. 42
19, 307. 32
1, 782. 29
Total general fund, salaries, Navy
CONTINGENT
25, 721. 29
13. OS
Navy DeCertified claims
Department
25, 782. 84
138. 22
13. 08
400. 00 21. 26
75, 46' 37
f43. $9
142. 29
3 14, 320. 00 727. 50
746, 027. 50 693. SS
Navy
1933 1932 1931
1933 1932 1931
.
.
119.19 94, 893. 58
99, 498. 68
550, 000. 00 240, 000. 00
35, 085. SS
280, 000. 00 240, 000. 00
271, 964. 12 276, 085. 38
520, 000. 00
547, 049. 50
98, 672. 12 18, 822. 65 60. 00
98, 121. 15 19, 211.81 60. 00
117, 55 . 77
117, 392. 96
34, 033. 20
34, 033. 20 1, 642. 64
34, 033. 20
35, 675. 84
20, 011. 64 7, 413. 50
41. 50
18, 990. 81 9, 826. 40 41. 50
27, 466. 64
28, 858. 71
expenses,
Astrograpbic equipment and appurtenances, Naval Observatory
Contingent and misceBsneous Naval Observatory
2. 65
Depart1933 1932
Contingent and miscellaneous Hydrographic Office
16, 600. 00
138, 120. 00 24, 106. 54 3, 274. 61
389. 16
110, 000. 00
1933 1932
1, 642. 64
4, 007. 38
3, 214. 61
75, 966. 80
expenses, 1933 1932 1931
25, 000. 00
8, 779. 90 56. 56
2, 412. 90
42. 54
4, 945. 82
1, 3BB.40 15. 06
1, 020. 83
—Continued
Receipts and expenditures, (Debit transfer appropriationa
(net) and repayments
1f)88
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic)
Unexpended
balances June 30, 1933
Fiscal year for which
appropriation was Irtade
Unexpended balances June 30, 1932 Appropriations On books of
Treasury
GENERAL FUND coNTINGENT
On books of the Treasury
To credit of dis-
Warrants-issued basis
Act June 20,
Checks-issued basis
1874
Impounded salary savings
bursing ofiicers
To credit of Reserve for impounded salary savings (see p. 7)
Available
—Continued
ExPENSEs
—continued
Naval Observatory, Washington, D. C.« Observations, eclipse of the sun, Naval Observatory
1933 1930-31
Collecting naval records of the Revolutionary War No year Labor-saving devices, Navy
1932 1931
Total general fund, contingent expenses, etc
$4, 000. 00
$2, 259. 58
$2, 195. 5a
$544. 16
296, 990. 67
Claims for damages by collision with naval vessels. }I Claims for damages, act Dec. 28, 1922, Navy Department etc. , barkentine owners, Judgment, Mabel I. Meyers, under act of Aug. 21, 1916 Judgments, bounty for destruction of enemies' vessels Judgments, Court of Claims, Navy Department Judgments, United States courts, Navy Department Payment toHenry F. Downing Reimbursement to certain persons for loss of private funds while patients at United States naval hospital, naval aperatifng base, Hampton Roads, Va Refund o stolen deposits of enlisted men, Navy and Marine Corps . Relief ofJoe Andrews Co Sophia A. Beers M. M. Brayshaw Laura J. Clarke Claimants, explosion at naval ammunition depot, Lake Denmark, N, J Contractors, Navy Department
No year
2, 007. 47
No year
1, 058. 88
No year
58, 603. 28
No year
9, 169. 44
No year
2, 430. 11
No year
80. 20
No year
105. 00
No year
Na No No No
year year year year
Na year No year
11, 022. 91 40. 00
$64. 05
$544. 16
337. 89 2, 005. 00 919.86
$1, 740. 42
I
$3, 798. 04
2, 259. 5S
2, 195. 53
61. 00
61, 00
1, 942. 96
5, 741. 00
'276. 89 62. 04
919.86
48, 210. 63
1, 942. 96
5, 741. 00
907, 120. 00
798, 211. 73
836. 473. 22
4, 161.93
4, 161. 93
4, 161. 93
4, 812. 88'
$4, 052. 57
397, 033. 49
NAVY }aIsCELLANEOUS
.
disbursing officers
2, 007. 47
1, 058. 88 37. 16
37. 16
58, 566. 12
1, 559, 104. 4S
1, 537, 399. 70
1, 537, 399. 70
30, 874. 22
2, 072, 838. 08
2, 061, 794. 02
2, 061, 794. 02
13, 474. 17
80. 20
105. 00
I} 8. 63
8. 63
8. 63
275. 00 4, 000. 00 210, 00
275. 00 4, 000. 00
8, 500. 00
210. 00 3, 500. 00
275. 00 4, 000. 00 210. 00 a, soo, oo
14, OI}0. 55
21, 149. 94
21, 149. 94
3, 963. 52 40. 00
9, 949. 14
Margaret Grot tp Estate of Annie Lee Edgecumbe Annie M. Eopolucci Essie Finger Lt. Col. H. H. Kipp Alvs D. McGuire, Jr Madrigal &f& Co Newport Contracting &9 Engineering
No No No No No No No
Co Joseph
Na year No year No year No year No year
3, 313.22
No year
52, 238. 41
.
Alfred
T. Ryerson
&fr
Son, Inc
Q. Simmons, Jr
Vsn Camp Sea Food Co. , Inc Clara E. Wight Permanent snd indefinite: Bounty for destruction of enemies'
.
vessels
pear year year year year year year
579. 60 5, 000. 00 58. 70
31. 50 420. 00
579. 60 5, 000. 00 58. 70 540. 00 243. 19 31. 50 420. 00
2, 490. 00 112. 55
2, 490. 00 112.55
2, 490. 00
5, 000. 00 5, 000. 00 540. 00
243. 19
1, 000. 00
1, 000. 00
1, 718. 06 600. 00
1, 718. 06
243. 19 31.50 420. 00
119.55 1, 000. 00 1, 718. 06
2, 713. 22
600. 00
52, 238. 41
Total general fund, Navy miscel3, 673, 500. 78
141, 891. 71
laneous
3, 645, 329. 98
170, 062. 51
3, 645, 329. 98
SPECIAL FUNDS NAVY MISCELLANEOUS
302, 360. 55
9, 403. 36
292, 957. 19
Special deposit accounts
TRUST FUNDS NAVY MISCELLANEOUS
No Navy pension fund, principal Return of subscriptions to Liberty bond issues by civilian employees of Naval No Establishment. No Prize money to captors No Prize money to captors, Spanish War No Prize money, Battle of Manila Bay Unclaimed moneys of individuals whose No whereabouts are unknown (Navy) Funds due estate of John A. Cameron, Jr No
.
.
14, 841, 321. 24
91. 10
year
14, 841, 230. 14
year year year year
1, 356. 22 429, 232. 33 26, 366. 67
year year
119.00 4. 20
3. 50
15, 330, 255. 53
94. 60
145. 28
145. 28
4. 20
15, 330, 200. 65
3, 673, 595. 38
3, 645, 475. 26
3, 636, 071. 90
4. 20
15, 500, 263. 16
302, 360. 55
I, 793, 39E 49
5, 310. 21
» 29, 389, 614. 63
29, 383, 689. 07
107, 712, 756. 53
32, 797. 66 29 383 683 07
1.08 2. 92 141.28
31, 946. 97
Total, Navy miscellaneous
141.28
122. 50
Total trust funds, Navy miscellaneous
I, 356. 22 429, 231. 25 26, 363. 75 31, 805. 69
1. 08 2. 92
15, 472, 147. 24
292, 957. 19
» 31, 182, 007. 12
31, 181, 385. 77
139, 546& 143. 24
81, 782. 06 31, 181, 385. 77
332, 752, 484. 58
342, 479, 831. 65 1, 798, 59A 49
342, 528, 816. 05 5, 310. 21
10, 986& 915. 14
31, 263, 167. 83
332, 752, 484. 58 975, 383. 39
340, 687& 439. 16 404, 974. 30
342, 534, 126. 26
10, 986, 915. 14 29, 943. 33
472. 00
195, 426. 16
173, 629. 89
174, 101. 89
4. 20
597 02
333 923 294 13
341 266 043 35
343, 103, 799. 09
11, 016, 862. 67
GENERAL FUND GENERAL ACCOUNT OF ADVANCES (WORKING FUNDS)
General account of advances (new)»
. No
Summary of Navy Department: Regular accounts General account of advances
» 31, 192, 007. 12 108, 364, 136. 12 9, 628, 308. 16
Total general fund Special funds Special funds counts) Trust funds
Total
.
(special
year
deposit
404&
974. 30
10, 612, 870. 93
$506, 253. 57
» 29, 389, 614. 63 10, 612, 870. 93 26, 533. 57
506, 253. 57 3, 168. 56
78, 323, 141. 90 10, 139, 071. 79
29, 416, 480. 73
ac9, 403. 36
292, 957. 19
15, 920, 294. 46
133, 912, 738. 74
31& 556&
» Reestablished from the surplus fund, act Mar . 3, 1875 (18 Stat. 418, sec. 5). «Account transferred snd stated under "Burea u of YArds and Docks" chapter. I' Account transferred and stated under "Office of the Secretary" chapter. sppro» "General Account of Advances" is an accoun ting fund established as s means of handling naval 167). Advances of funds are priations pursuant to the provisions contained in th e act of June 19, 1878 (20 Stat. exceed the total appropriations of
made to disbursing officers and agents of the Navy, under this fund, not to
the are pay the
302, 360. 55 15, 942, 086. 53
10, 639, 404. 50
Navy, the amounts so advanced to be exclusively used to subsequently charged to the proper appropriations and and counter warrant, based upon settlements of accounts said charge, however, to particular appropriations being » Debit balance. See note 52.
509, 422. 13
104, 404, 300. 22
"-9, 718, 841. 28
pay current obligations. The amounts advanced returned to "General Account af Advances" hy by the Comptroller General of I l&e I nitcd States, limited to the amount appropriated to oach. &
—
f f)88 Continued
Reoeipfe attd expenditures, [Debit transfer appropriations
(net) snd repayments to appropriations
Fiscal year
for a hich
appropriation wss made
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ifaffc]
in excess of expenditures
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
bursing officers
Impounded salary savings
To credit of Reserve for impounded salary savings (see
p.
disbursing officers
Available
7)
GENERAL FUND POST OFFICE DEPARTMENT PRYRBLE Zaoxr THE TRExsURY i
Salaries, Bureau of Accounts, Post Oflice Department
.
1932
Contingent expenses, Post Offfce Department: Miscellaneous items
Stationery
1932 1931
. .
and binding, Printing Department
1932 1931
Post
$221. 26
ftaaf
.36
$221. 25
5. 34
$161. 25
166. 59
$10. 00
$10. 00
186. 90
5. SJ
161. 25
. 70
186. 20
5. 76
5. 76
. 70
186. 20
ei, as
14. 46
Oflice 1932
1931
States United courts, Judgments, Post Office Department Court of Claims, Post Judgments, Oflice Department Payments of overtime claims of letter carriers Claims for Damages, act Dec. 28, 1922, Post Office Department Relief ofCstherine Bell Ssdie Bermi Sarah Ann Coe Avery Q. Constant John H. Dsy Ssm Echols Employees of post office, Detroit, Mich First National Bank, El Dorado, Ark First National Bank, Junction City, Ark Mary Elizabeth Fox Nelson E. Frissell D. Emmett Hamilton
86. 12 190. 55
96. 39
168. 05
190 55
$2, 655. 41
No year
ei. Ss
14. 46
2, 655, 41
2, 655. 41
No year
1, 230. 42
1, 230. 42
No year
4, 530. 17
4, 530. 17
No year
4, 227. 38
4, 227, 38
4, 227. 38
year year year
1, 000. 00 1, 600. 00
1, 000. 00 1, 500. 00 4, 000. 00
1, 000, 00 1, 500. 00
129. 00 650. 00
7. 14
129, PP . 650. 00 7. 14
129. 00 650. 00 7. 14
No year
9, 287. 85
9, 287. 85
9, 287. 85
No year
720. 13
720. 13
720. 13
No year No year No year No year
664. 17 3, 000. 00 3, ljop. 00 1, 500. 00
654. 17 3, 000. 00 3, 500. 00 1, 600. 00
664. 17 3, 000. 00 3, 5OO. oo 1, 500. 00
No No No No No No
4, 000. 00
year.
year year
-
4, 000. 00
Oenevieve
M. Heberfe
Herman ragman James McCann Mail contractors in certain Southern States, 1860 snd 1862 Frank Martin Merchants snd Farmers Bank, Junction City, Ark Mary Murnane National Bank of Commerce, El Dorado, Ark National Surety Co Ellen N. Nolan Della 0'Brien Estate of Samuel Schwartz. Frances Southsrd Mary E. Stebbins Estate of Harry W. Ward May Weaver Heirs of Msssalon Whitten
Permanent snd indefinite: Deficiency in the postal revenues
No year No year No year
1, 000. 00 230. 00
1, 000. 00 230. 00
3, 168. 50
178. 49 3, 168. 50
178. 49 3, 168. 50
No year No year
3, 044. 99 109. 00
3, 044. 99 109. 00
3, 044. 99 109. 00
year year year year year year year year year year
3, 904. 16 500. 00 1, 500. 00 5, 000. 00 3, 500. 00 2, 500. 00 1, 500. 00 75. 41 5, 000. 00
3, 904. 16 500. 00 1, 500. 00 5, 000. 00 3, 500. 00 2, 500. 00 150. 00 75. 41 5M. 00
3, 904. 16 500. 00 1, 500. 00 5, 000. 00 3, 500. 00 2, 500. 00 150. 00 75. 41 5M. 00
115, 000, 000. 00 2, 131, 065. 04 162. 21 248, 965. 08
115, 000, 000. 00 2, 131, 065. 04 162. 21 248, 965. 08
115, 000, 000- 00 2, 131, 065-04 162. 21 248, 965. 08
117, 380, 192. 33
117, 380, 192. 33
No year No year
No No No No No No No No No No
230. 00 150. 00
41, 664. 42
150. 00 41, 485. 93
1, 350. 00 4, 450. 00
137. 50
137. 50
'
1933 1930 1929 Certified claims
Q
'tgl i
Total general fund, Postal Service, 32 234. 94
payable from Treasury
671. 13
117, 439, 825. 47
117, 438, 124. 74
117, 438, 795. 87
206. 31
H
SPECIAL FUNDS POST OFFICE DEPARTMENT PAYABLE FROM THE TREASURY
Proceeds of waste paper, etc. , of the Post Office Department No year
.
476. 28
476. 28
TRUST FUNDS POST OFFICE DEPARTMENT PAYABLE FROM THE TREASURY
Return of subscriptions
to Liberty Bond
issues placed through the postmaster at No year Philadelphia, Pa
12, 832. 00
29. 00
29. 00
117, 438, 153. 74
117, 438, 824. 87
12, 803. 00
Total, Postal Service, payable from Treasury
Q
53, 729. 36
65, 066. 94
671. 13
117, 440, 301. 75
206. 31
' For Postal Service payable from postal revenu es, see p. 413. f For classification of extraordinary expendifur es contributing to the deficiency in postal revenues for the fiscal year ended June 30, 1933, see exhibit 1, p. 414.
67, 008. 64
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
—
1988 Continued
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic)
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year for which
appropriation was made
Unexpended
balances
On books of the Treasury
June 30, 1932
Warrants-issued basis
Appropriations On books of
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
GENERAL FUND DEPARTMENT OF STATE SSLSBIES& ETC.
Salaries
Contingent expenses
1933 1932 1931
1933 1932 1931 1930 Certified claims
$1& 900, 540.
$104, 071. 50 152, 948. 06
8, 786. 85
12, 878. 56 2, 015. 74
92. 22
Printing and binding
1933 1932 1931
1933 1932 1931 1930
s
5, 816. 40 14, 894. 61
529. 89
23. 66
21, 240. 90 8, 646. ss
s
65, 000. 00
8, 030. 00 1, 852. 07
757. 30 4, 049. 24 1&
220, 000. 00
168, 601. 95 83, 308. 45
14, 908. 25 6, 061. 31 r
&
594, 676. 19
f&196, 717. 01
$23, 903. 74
$19, 034. 00 102, 336. 52
$12, 761. 50
1, 662, 620. 23
1, 653, 760. 86
68, 160. 02 18, 788. 08 1, 996, 64 99. 46 1, 897. 86
58, 109. 51 31, 665. 64 20. 40 7. SS 1, 897. 86
11, 839. 98 27, 578. 22
10, 050. 51
86, 751. 17
91, 686. 18
12, 800. 00
12,'488. 29
7, 493. 81
311.71
1, 619. 46 426. 41
1, 271. 62
107, 424. 13 75, 749. 56
29, 827. 86 9, 684. 00
'd 1. 00
10, 782. 19
123. 11
947. 09
629. ss
s 14& 864. 5'1
National security and defense, DepartNo year ment of State No year Working fund, Department of State
Total general fund, Department of State proper
&
1, 897. 86
Collecting snd editing official papers of 1931-33 Territories of the United States
Passport agencies
$1, 648, 123. 75 5, 637. 11 $152, 948. 06
80, 000. 00 46, 366. 30
$1, 660& 885. 25 1, 734. 98
~
1932 1931
00
$3, 902. 13
46, 194. 64
2S. 35
6, 000. 00
2, 262, 489. 87
12, 270. 11
12, 488. 29
57, 000. 00 sss. 4f 4, 049. 24
55, 728. 38 1, 360. 89
52, 554. 35
57& 089. 27
112& 575. 87
92, 852. 39 33, 339. 25 28. 35
82, 748. 01 98, 076. 64 39, 400. 56 28. 35
238, 795. 86
220, 253. 56
5; 000. 00 60. OS
6, 000. 00
2, 047, 931.69
6, 380, 54
8&
5, 901. 31
49, 969. 20
60. OS
2&
030& 218. 13
44. 19
219, 723. 87
204, 088. 83
15. 84
23, 903. 74
361, 517. 93
63, 908. 20
poEEIGN INraacouasa
Salaries of ambassadors
and ministers
1933 1932 1931 1929 Certified claims
Salaries, eharggs d'sffaires ad interim
1933 1932 1931 1930 1929
80, 052. 20 43, 1%. 71
461, 857. 09 23, 419. 41 3, 761. I I . 48 1. 94
456, 684. 70 34, 028. 90
481, 516. 85
486, 953. 95
11, 698. 97
f. fE
9, 614. 50 4, 032. 55 53. 03 80. 58 69 44 f. 15
13, 914. 83
13, 452. 85
2, 601, 365. 57 768, 883. 02 7, 880. 84
24. 49
2, 564, 347. 67 813, 841. 59 3, 901. 60 364. 94 . 84 24. 49
3, 362, 757. 06
3, 374, 077, 07
17, 301. 25 2, 924. 19 401. 25
16, 358. 31 3, 474. 19
10, 609. 49
20, 000. 00
18, 361. 45 12, 270. 11 748. 27 557. 98
1, 622. 49
2, 410. 06 43, OS 30. 68 69. 44
1919
Salaries, Foreign Service officers
1933 1932 1931 1930
&
883, 362. 79 144, 435 20
3, 250, 000. 00
44, 958. 67 3, 379. 34 &
1929'
NJ. 94
29. 59 9. 00 24. 49
t
Certified claims
45, 055. 25
118, 087. 66 56, 632. 79
5, 172. 39
763. 93
7, 537. 10 15, 951. 39
2, 084. 47
365, 120. 46 114 479 77
37, 017. 90
56, 375. 89 10, 933. 59
942. 94
46, 889. 82
3, 761. 11
. 48
. 48
1. 94
12, 313. 14 828. 85 627. 42
1. 15
261, 241. 74 '
22, 272. 23
151, 716. 04 264. 53
9. 24
Salaries,
Foreign Service officers while re'ebiving instructions snd in transit
1933 1932 1931 Certified claims
(
Salaries, Foreign Service clerks Allowance for clerks at consulstes
r
13, 857. 78 18. 95
401. 25 861. 11
1933 1933 1932 1931 1930 1929 1927 1920 Certified claims
Clerks at embassies and legations
Salariesofsecretaries, DiplomaticService
1933 1932 1931
75, 000. 00
550. 00
2, 365, 438. 00
627, 755. 42 21, 506. 30
861. 11
401. 25 861. 11
21, 487. 80
21, 094. 86
1, 959, 630. 60
1, 931, 721. 67
565, 800. 42
604, 383, 85 1, 562. 53 8. 67 8. 66
38, 583. 43 633. 36
929. 17 8, 67 /HAJJ.
i 90. 56
86. 58
30, 783. 03 12. 20
4, 370. 51 500. 44
1919 1918
Reestsblished from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5.) r Includes $6, 346.29 transferred from 1932 account and $14,894.61 from 1931 account act July 1, 1932 (47 Stat. 476.) & Transferred to 1931-33 account. See note 2. ~ Returned to "National security and defense", account, p. 118. Act July 1, 1918 (40 Stat. 635). ~
J. 88 90. 56 86. 58
4. 88 90. 56 86. 58
566, 896. 58
606, 113.37
16, 610. 95 78
20, 981. 46 55. 72
16, 166. 23
21, 037. 18
30. 70 8. 46
30. 70
r
3. 46
1, 322. 86
18. 95
t3
0 126, 679. 36
57, 885. 84
221, 242. 20
61, 955. 00 20, 577. 13 2. 67 2. 66 4. 82
14, 172. 08
456. 92
30. 70 3. 46
Includes $175,000 transferred from "Office and living quarters, Foreign Service, 1933", act June 30, 1932 (47 Includes $60, 000 transferred from "Office and living quarters, Foreign Service, 1933", act May 29, 1933 (48
Stat. 411). e
Stat. 99). r
27, 908. 93
provided for under "Salaries, Foreign Service clerks, 1933", act July 1, 1932 (47 Stat. 477),
—
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
1988 Continued
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Fiscal year
for which appropriation was made
Unexpended balances June 30, 1932
Treasury
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing ofllcers
1933 1932 1931
$1, 000. 00 $1, 500. 00 1, 015. 29
$302. 78
To credit of Reserve for iinpounded salary savings (see p. 7)
Available
disbursing officers
1933 1932 1931 1930 1929 1920 Certided claims
United
750, 000. 00
192, 063. 87 165, 302. 32
$820. 83 189. 45
$734. 01 133. 33
$29. 17
$150. DD 1, 669. 45
$86. 82
174, 651. 10 165, 886. 74
26, 890. 70 25. 65
$1, 015. 29
Contingent expenses, foreign missions.
22, 345. 31 2, 338. 56
6, 641. 41
' 20. 00
651. 38
867. 34
556, 657. 21 26, 177. 13 80, 398, 94 8, 783. 93
ss. 81 369. 52
529, 766. 51 48, 496. 79 18, 080. 38 8, 141.88 91.49 38. 61 369. 52
553, 961. 59
558, 370. 52
460, 698. 79 149, 179. 46 8, 378. 45
426, 026. 42
81.49 369. 52
13, 295. 31
$5, 396. 38
fn
185, 701. 26 8, 803. 23 21. 49
38. 61
h5
States 1933 1932 1931 1930 1929
700, 000. 00
331, 619. 90 160, 347. 96
10, 346. 32 2, 115.94 2, 940. 17
1928 1927 1926 1925 1923
Certified claims
Emergencies arising in the Diplomatic snd Consular Service
1933 1932 1931 1930
. 88
159, 396. 83 10, 472. 2g 794. 80 97. 93 . 83
4. 98
498
19. 16
15. 06
15.06
19. 17
80. 91 80. 00 19. 17
. 56 80. 81 90. 00 19. 17
614, 511. 65
595, 090. 66
574. 76
674. 76
574. 76
130, 000. 00
75, 471, 83
72, 322. 25 18, D83. 23
I
31. 74
3, 664. 37 87. 93
. 68
1918 Certined claims
.
Warrants-issued basis
—continued
Allowances to widows or heirs of Foreign Service officers who die abroad
Salaries, Consular Service
balances June 30, 1933
—Continued
PQREIQN INTERCQUBBE
Contingent expenses, consul ates
Unexpended
On books of the Treasury
Appropriations On books of
GENERAL FUND
are printed in italic)
in excess of expenditures
212, 394. 88 137, 579. 95
8, 076. 21 7, 837. 93 9, 637. 42
10, 007. 02 8, 888. 88 9, 587. 48
69, 653. 11
1, 449. 61
'1, 338. 37
223, 562, 79 182, 440. 44
34, 672. 37 128. g5 22. 10
.
fn
co co
54, 528. 17 202, 387. 86 143& 968. 27
9, 537. 42
91, 855. 09
8, 400. 05
161, 969. 51 3, 696. 11 67. 93 83 4. 98 4. 10 . 56 20. 61 20. 00
3, 149. 58
Expenses or Foreign Service inspectors
1933 1932 1931 1930
6, 686. oa 678. 88 IS. 81 81.78
4, 762. 36
4, 934. 31
5, 966. 10
416, 000. 00
416, 000. 00
SO. 67
56. 14
416. 54 8. 6$ 66. 14
20. 95
464. 16
1, 202, 699. 09 660, 010. 71
1, 160, 491. 61
1, 762, 709. 80
1, 758, 421. 14
27, 398. 75
28, 631. 72
O. 89
131.21
IIO. 17 20. 77 6. 81
IIO. I7 %. 77 6. 31
16, 616. 76 14, 441. 23
I Foreign Service retirement ability appropriated fund
c Immigration State
snd Service.
Office
.
of aliens,
snd
~
No year
Department
quarters,
IS. OI 61. 78
85S. 70
14, 453. 34 61. 76
dis-
.
~
416, 000. 00
of
1931 1930 Certified claims
living
4, 41S.94 16, 192. 64
1, 303. 11
31, 093. 39
443, 21
8. 52 56. 14
31, 1%.06 8. 52
Foreign 1933 1932
u1, 559, 760. 00 808, 036. 84
38, 784. 10
351, 803. 26 248, ON. 13
5, 247. 66
597, 929. 63
Post allowances to Foreign Service of51932 1931 1930
cers
33, 366. 90 500. 23
1, 282. 97 141. 10
1920
1919
5, 968. 15
510. 12 119.17 20. 77 5. 31
hd
t3
27, 243. 61
Representation allowances to diplomatic missions and consulates.
..
Transportation cers
1932 1931
26, 710. 64 12, 720. 53
5, 131. 18
g
4, 934. 44
10, 065. 62
63. 36
88. 36
4, 871. 08
10, 002. 26
235, 444. 06 59, 487. 00
1$, 8+. 8, 881. t1 67. 02 I, 015' 66 6, 115.93
218, 334. 24 68, 606. 67 8, 729' $8 3, 866. OO 67. 02 I, OI5' 86 6, 115.93
280, 871. 71
277, 413. 82
21, 776. 20 12, 783. 89
of Foreign Service of5-
1933 1932 1931 1930 1929-30 1929
450, 000. 00
161, 553. 16 48, 709. 71
9, 264. 15 4& 615. 39
'77
2. 65 207. 66 ' 2. 18 5I 115' 93 &
&
Certitied claims.
214, 565. 94 102, 071. 16 63, 054. 48 3, 884. 42 140. 64 1, 017. 84
17, 109.82 134.48
83. 13
and consu-
Transportation of diplomatic 1920 lar oscars Transporting remains of Foreign Service 1929 officers snd clerks No year. Foreign Service buildings fund Acquisition of embassy, legation, or conNo sular premises Acquisition of embassy premises, Paris, No France Acqutsttton of embassy premises, Tokyo, No Japan Diplomatic snd consular establishments, No Tokyo, Japan
.. . .
.
year.
OO.
247. 88 2, 218, 783. 53
6, 650. 08
I, 833, 158. 62
864. OO
86$. 30
6, 429. 91
193.75
193. 75
82. 24
1, 483. 09
1, 483. 09
1, 962. 02
5, 662. 66
year. 1, 483. 09
year,
19, 860. 61
8, 264. 06
418, sec. 5). R~~tsbttshed from the surplus fund act Msr. 3, 1875 (18 Stat. snd statement of the account; Bee also trust fund account, p .250, also p. 428, for analysis the liability of the United States under ~ Itp ropristion from the general fund of the Treasury for ffnsncing this fun, sct July 1, 1932 (47 Btst. 479).acts Msy 29, 1933 (48 Stat. 99) snd June 80, 1932 t47 Stat. 411) to 1933 14 Exclusive of 3240, 260 transferred I
s
18. 36
I, 894, NL 08
4, 665. 61
year.
56
accounts ss follows: Salaries, Foreign Bervice ol5cers while receiving instructions Salaries, Foreign Service otffcers Salaries snd expenses, United States Court for China
324, 717. 09
17, 888. 6g
snd ln transit
..
67, 539. 6
4, NB. 42
360, 000 175, 000 6, 260
g
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
,
Fiscal year for which
appropriation was Insde
(net) and repayments
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
Unexpended
to appropriations
are printed in italic]
Amount carried to surplus fund (see p. 7)
balances Appropriations
Treasury
To credit of dis-
Wsrrsntsrissued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oiiicers
To credit of Reserve for impounded salary savings (see
GENERAL FUND
ba]ancos June 30, 1933
On books of the Treasury
June 30, 1932
On books of
Unexpended
disbursing otfl cere
Available
p. 7)
—Continued
xoREION INTERCQURSES
—continued
Annual expenses of Cape Spartel Light, coast of Morocco „
Arbitration between the United States and Sweden
Arbitration of claims, schooner I'm Alone
Bringing home criminals.
1933 1932 1931
1931-33 1931-32
1930-32 1930-31
1933 1932 1931 1930
Expenses of prisons for American victs
$868. 50
$788. 95
43, 983. 87
321. 27
$76. 42
$2&
572. 24
1, 438. 21
u 43, 993. 18 u 48, 888. 18
n 5. 00 II 6. 00
2, 000. 00
3, 476. 08 5, 961.94
$79. 55 72. 64
$788. 95
$72. 64 76. 42
944. 97
2. 67
788. 95
788. 95
6, 958. 48 9. 81
5, 784. 93 2, 562. 93
6, 949. 17
8, 347. 86
1, 86L 88 6. 00
86. 93 6. 00
1, 36'8. SS
81. 93
1, 853. 77 817. 71 22. 00 2. 67
1, 810. 46 327. 26 22. 00 2. 67
1, 260. 73
2, 162. 39
3, 051. 01 1, 374. 81
1, 651. 35 325. 31
83
$171. 05
36'i
863. 65
$1, 173. 55
1, 677. 55
"8
146. 23 4, 093. 79
43. 31
gl
t4
5, 939. 94
5o
con1933 1932 1931
1933 1932 1931 Certified claims
7, 600. 00 2, 559. 30 3, 280. 27
1, 599. 62
Rescuing shipwrecked American seamen
1933 1932 1931
15, 000. 00
1, 293. 11
1, 399. 66
1, 776. 70
1, 976. 66
Ii 437. 27 587. 73
1, 024. 58 1, 880. 84
13, 562. 73 45, 279. 30
412. 69
150. 78
150. 78
2, 175, 78
3, 056. 20
1, 000. 00 897. 18
960. 24 29. 24
41, 652. 67 150. 78
1, 000. 00 1, 000. 00 9. 95
4, 524. 69 3, 833. 61
3, 280. 27
Relief and protection of American seamen
45, 867. 03 41, 652. 67
24. 30
726. 36
1, 697. 12
9. 95 302. 88
989. 48
Salaries snd expenses, Court for Chins
States
17»ited
1933 1932 1931
Forefgn hospital at Cape Town
1933 1932
» 40, 250. 00 498. 12
2, 103. 53 1, 468. 62
35, 516. Sl 1, 858. 07 8 YL 26
34, 382. 15 2, 356. 19 302. 26
37, 677. 14
37, 040. 60
1, 79L 87
2, 942. 32
1, 134. 66
245. 46
1, 166. 36
50. 00
50. 00 50. 00
50. 00
50. 00
Conference on limitation of manufacture of narcotic drugs, Geneva, Switzerland
Convention Africa
6, 199.85
1933-34 1932-33 1930-31
S. 16 9. 09
8, 529. 41
387. 79
2, 717. 35
relating to liquor trafllc in
General Disarmament nevs, Switzerland
General
1931-32
Claims
Conference,
Commission,
55. 00 S. 19
55. 00
. 06 9. 09
. 08
.08
5, 000. 00 125, 321. 10
49. 60 134, 097. 70
130, 321. 10
134, 147. 30
8, 063. 75 26, 843. 09
63. 90
692. 28 26& 843. 09 484. 82
34, 970. 74
31, 020. 19
1, 000. 00 18. SS I, 639. 77
842. 57 3, 008 22 1. 48
Qe1933—34 1932—33
150, 000. 00
11, 276. 60
126, 722. 90
608. 87
145. 000. 00 792. 93
4, 950. 40 2, 500. 00
4, 37L47
I, 461. 07
41, 936. 25 695. 84
United
hrj
States snd Panama
1933
1931-33 1931-32
35, 639. 13
420. 92
50, 000. 00 u 29, 000. 00 » 29, 0(6. 00
3&
6, 575. 23
IC
Qenersl and special claims commissions, United States and Mexico
.
1932-33 1932 1931
3, 017. 45 I, 641. 25
245, 953. 05 13, 084. 07
» 245, 966. 28 » 845, 966. 68
244, 966. 28
157 43
4, 481. 90
463. 94
I, 935. 44
3, 445. 16 84. 75
14, 723. 84
3, 848. 27
Investigation of f)sberies, Passamsquoddy and Cobscoo)c Bays, by United States snd Csnsds
» 18, 500. 00
1931-33 1932 1931
Mixed Claims Commission, States snd Germany
5;000. 00 40, 000. 00
1933-34 1983
Qorgss Memorial Laboratory
4, 738. 15
2, 000. 00 22, 270. 84
» 18, 500. 00
5, 000. 00 40, 000. 00
40, 000. 00
45, 000. 00
45, 000. 00
14, 018. 10 2, 000. 00
13, 554. 16 6, 738. 15 3&
16, 018. 10
20, 292. 31
34, 450. 96 21, 360. 49
31, 005. 80 42, 997. 41
United 1933 1932—33
40, 000. 00 25, 500. 00
21, 721. 67
3, 613. 60 4. 053. 68
. 90
1931-32 1923
.
Transferred from 1931-32 account, sct July 1, 1932 (47 Stat. 538) » Transferred to 1931-33 account. » Transferred from 1930-31 account, sct July I, 1932 (47 Stat. 484). «Transferred to Ii}30-32 account. » Includes $5, 250 transferred from "Office snd living quarters, Foreign Service, 1933", sct June 30, 1932 (47 St&i. 411). ~~
770. 84
67. 03
67. 03
55, 743. 52
73, 935. 28
$85. 83
. 90 67. 03
» Transferred from 1932 account, sct July I, 1932 (47 Stat. 538). » Transferred to 1932-33 account. ~r Transferred from 1931 account, act July I, 1932 (47 Stat. 485). » Transferred to 1931-33 account.
0 Isi
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
to appropriations
in excess of expenditures
ia 1933 p. 6)
Expenditures
Funds available in 1933
(see
are printed in Ecac]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year for which appropriation wse made
Unexpended balances June 30, 1932
On books of the Treasury
Appropriations
'
On books of
Treasury
GENERA. L FUND TOREIGN INTERCOURRE
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing
oscars
Available
—continued
Naval Conference st London, England
Psn American Sanitary Bureau Psn American Union and binding,
Checks-issued basis
—Continued
Mixed Claims Commission, United States snd Germany, snd Tripartite Claims Commission, United States, Austria, snd Hungary»
Printing Union
To credit of disbursing oscars
Warrants-issued basis
1931-32
$12. 50
1930-31 1930
482. 93
$12. 50
$12 50
11.96
11.98
11.96
11.96
1933 1933
$29, 986. 70 167, 367. 60
29, 986. 70 167, 367. 60
29, 986. 70 167, 367. 60
1933
20, 000. 00
20, 000. 00
20, 000. 00
9. 04
9. 04
$482. 93 11.96
Pan American
Rainy Lake reference (transfer to Wsr Department, act May 21, 1920). Certified claims
M
Study of policies of United States in Haiti United States Section, Inter-Americsa High Commission
b3
1930-31 1933 1932 1931
16, 623. 81
16, 623. 81 10, 000. 00
$4. 22
8, 475, 00 3. 60
8, 341. 03 62
$959. 96
.
$555. 00
$10. 04
$133.97
3. 60
C&
636. 46
B36. 46
8, 471. 40
co
cc
8, 341. 65
Statue of Henry Clay in Caracas„Venesuela Second Polar Year program Second Polar Year Program (State transfer to Commerce, Coast snd Geodetic Survey, aet Mar. 18, 1932) Fourth World's Poultry Congress, Eng'
1929-31 1932-84
3, 695. 85
8, 695. 85
(n)
» 30, 000. 00
1932-34
land» 193D31 Sixth Psn American Child Congress, 1930-31 Lima, Peru Ninth International Dairy Congress, 1931-32 Copenhagen Fourteenth Annual Convention of French Veterans of the World Wsr, 1933 Washington, D. C One hundred snd fiftieth Anniversary of Surrender of Lord Cornwallis, York1930-32 towa, Va
27, 405. 94
19, 584. 27
485, 03
3, 084. 9B
3, 084. 96
1, 452. 'J6
1, 452. 26
1, 249. 49
2 222 32
---------- —---
1, 838. 40
989. 92
40, 000. 00
1, 113.56
4, 225. 94
2, 109, 03
2, 481. 89
40, 000. 00
3, 73R se
603. 05
fa
4, 836. 45
7, 821. 67
One thousandth of the Anniversary National Psrih»neat of Iceland
American International Institute for Protection of Childhood Bureau of InterpsrHsmentary Union for Promotion of International Arbitration
Expenses, American group of Interpsrliamentary Union
Inter-American Conference in Agriculture, Forestry, and Animal Industry, Washington, D. C International Boundary Commission, United States snd Canada and Alaska and Canada
1930-33 IQSM1
6, 171.00
» 2, 500. 00 » $600. 00
762. 75
857. 94 2, 997. 25
163. 89 3, 750. 00
3, 655. 19
3, 913.89
1933
2, 000. 00
2, 000. 00
2, 000. 00
1933
» 6, 347. 08
6, 347. 08
6, 347. 08
723. 07
» 1, $16. $1
1, 146, 60
1, 11$ 18
39. 67
69A 11
1, 186. 27
No year 1932 1931
1930-31
1933 1932 1931
723. 07 200. 13 27. 57
423. 53 1, 154. 85
27. 57
1, 751. 60
1, 751. 60
27, 237. 67 607. 8$
30, 000. 00 2, 231. 84
26, 476. 37 1, 924. 22
49. 26
Water boundary, Mexico
United
1931
132. 39
» 140, 000. 00
113, 722. 08
110, 650. 59
9, 578. 50
2, 536. 96
14, 162. 46
3, 071. 49
(»)
140, 848. 29
2, 036. 48
17I 530. 08
1, 656. 87
» 70, 000. 00
16, 096. 94
» 87, 972. 99
1933 1932 1931
7. 70
(») 18, 960. 68
4, 276. 62
of
960. 68
Permanent 1932-33 1932
1931
International Bureau for Protection of Industrial Property.
1933 1932 1931
350. 60 306. 28
2, 000, 00
1 662 38
2, 000. 00
1, 657. 65
1, 657. 65
3, 320. 03
3, 320. 03
968. 84
966. 84
1 662 SS
1, 350. 00 721. 09 709. 85
» See also special fund account, p. 249. » Appropriation of $30, 000 transferred to same object under Department of Commerce. » Transferred from same object under Department of State. See note 21. » See also appropriation for this object under Department of Agriculture, p. 132. » Transferred from 1930-31 account act July 1, 1932 (47 Stat. 486).
» Transferred to 1930-33 account. » Includes $1,315.31 transferred from "Expenses, American group of Interparliamentary
337. 62 350. 60 648. 61
i
383. 16 721. 09 709. 85
966. 84
sct July 1, 1932 (47 Stat. 482).
226. 2? 4, 276. 62
lgp
See note 22.
Union, 1932",
t3
O
States snd
17, 303. 81
International Bureau Court of Arbitration
307. 62
28, 400. 59
132. 39
1933
1933 1931-32
761. 30
2, 355. 50
49. 26 26, 930. 05
Boundary line, Alaska snd Canada snd United States snd Canada International Boundary Commission, United States and Mexico International Water Commission, United States and Mexico
1, 842C 06 873. 75
966. 84
"
» Transferred to "Bureau of Interparliamentary Union for promotion of International Art&itroliun, ui33. See note 26. » Includes $70, 000 transferred from "International Water Commission, United States and 7 ice ivo, 1931-32"~ act July 1, 1932 (47 Stat. 480). » Provided for under "International Boundary Commission, United States and Mexico, iil)3", or t July 1, 1932 (47 Stat. 480). » Transferred to "International Boundary Commission, United States and Mexico, 1 }37 » Act July 1, 1932 (47 Stat, 480).
"
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
IM8
to appropriations
—Continued in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ttsltc]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
I'iscsl year forwhich appropriation was made
Unexpended balances June 30, 1932
Appropriations On books of
Treasury
GENERAL FUND FQREIGN INTERCGURsx
.
Exposition
Exposition International Spain (transfer, act May Architect of the Capitol International Exposition of Overseas Countries, Paris,
at
1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
1933 1932 1931
$1, 400. 00
$1I 326. 35
$1, 326. 35
1, 326. 35
1, 326. 35
4, 342. 50
4, 342. 50
$67. 66 63. 94
$73. 65 67. 66 $63. 94
4, 342. 50
32. 94 1, 753. 94
$341. 20
9. 46
3, 171.80
341. 80
2, 095. 14
1, 222. 48
1, 958. 78
'tl
Seville,
1929-81 1928-31
56, 995. 02 4, 01L 96
u 232. 82
1928-31
232. 82
u Ne. 88
No year 1931-32
4, 086. 64 1, 000. 00
at Sevine, 21, 1920), to Colonial and
France
Irrternational Fur Trade Exhibition and Congress, Leipzig, Germany International Fisheries Commissron.
Hydrographic
Act June 20,
bursing officers
354. 53 628. 75
International Exposition of Colonial and Paris, France Countries, Overseas (transfers, act June 24, 1930): To War Department (Puerto Rico) No year (Philippine To Wsr Department No year Islands)-
International
Checks-issued basis
—continued
International Bureau of Weights and 1933 Measures International conference for codidcation 1930 of international!aw at Tbe Hague International conference on load !ines, 1930—31 London International congress of military med1931-22 icine and pharmacy International Spain
To credit of dis-
Warrants-issued basis
—Continued
International Bureau for Publications of Customs Tariffs
.
On books of the Treasury
Bureau
1930-31 1933 1932 1931
1933 1932 1931
I' 774. 28
3ll
56, 995. 02 4, 244. 78
80. 31 841. 38
265. 22 1, 463. 55
752. 07
1, 728. 77
. 64
$2, 750. 00
2, 179. 39
158. 62
$6. 58
947. 78 4, 465. 76
2, 771. 93
, 64
u 773. 74
773. 74
775. 74
25, 000. 00
24, 052. 22
21, 280, 29 8, 113.61
1, 070. 20
1, 070. 20 7, 500. 00 8, 240. 09
$20. 84
3, 034. 24
5, 079. 37
8, 240. 09
6, 790. 00
27, 086, 46
29, 393. 90
5, 788. 59
5, 788. 59
6, 788. 59
5, 788, 69
1. 41 1. 41
1. 41
1. 41
1. 41
~™
International Ilygiene Exhibition, Dresden, Germany 1930-31 International Institute of Agriculture st Rome, Italy 1933-34
I, 950. 02
1931-32 1930-31
9, 984. 78 8, 480. 74 52, 213. 07
.
193~
I, 950. 02 167. 58
4, 703. 74 I, 848. 87
I, 329. 56
52, 213. 07
3, 359. 77
International map of the world on millionth scale International Monetary snd Economic Conference Iaternstional Monetary Conference international
International
Oflice of Public Health
Prison Commission
Radiotelegraphic International ence, Madrid, Spain Radiotelegraphic International ence
Internstioasl tion
international
Radiotelegraphic
50. 00
1933-34 1932-33
275, 000. 00 40, 000. 00
27, 620. 54
11, 584. 66
3, 015. 62
3, 015. 62
3, 015. 62
3, 015. 62
3, 015. 62
3, 015. 62
6, 031. 24
6, 031. 24
613. 70 70. 00
613. 70 70. 00
683. 70
683. 70
1932 1931 1929
50. 00 275+ 000. 00
12, 379. 46
844. 38
16& 035. 88
844. 38
I, 246. 00 I, 324. 32
I, 246. 00 70. 00
710. 62
Lej
Confer1933
» 70, 000. 00
61, 640. 96
58, 490. 35
1933-34
» 10, 000. 00
I, 000. 00
21. 25
1933-34 1932-33 1931-32 1930-31
7, 527. 00
7, 527. 00 759. 42 I, 723. 28
1932 1931
42. 02 65. 03
Confer-
653. 36
7, 705. 68
3, 150. 61
9, 000. 00
978. 75
Conven-
Research Council
t3 7 527 00 7 527. 00
Road Congress
Commission on construct&on of highway, United States and Canada
1932 1931
2, 411. 07 2, 410. 84
1931-33 1931—32
5, 500. 36
759. 42
7, 527. 00
7, 527. 00
38. 60
38. 60
3. 42 65. 03
38. 60 2, 411.07 2, 410. 84
3, 687. 04
» Transferred from 1931-32 account act July I, 1932 (47 Stat. 538). Transferred to 1931-33 account. » Returned from same object under Architect of the Capitol. See note 33. » Returned to same object under Department of State. See note 32. » Returned from same object under War Department. See note 35.
» 9, 187. 40 a 9, I 87. 40
11003.94 8, 687. 08
721. 23
8, 888. 10
721. 23
&&
.»"
7, 527. 00
I, 723. 28
38. 60
International
4, 85lx 91
1932-33
1933-34 1932-38 1931-32 1931
5, 400. 00 5, 281. 04 9, 8'24. 71
4, 871.32 14. $f
(47
8, 183. 46
282. 71
» Returned to same object under Department of State. See note 34. !& Exclusive of $10,000 transferred to "International Radiotelegraphic Conference 1933-34", act Nor. 1, 1933. Stat. 1378). » Transferred from "International Radiotelegraphic Conference, Madrid, Spain, 1933.
"
Receipts avtd espendt'tures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropristion was made
—
I888 Continued are printed in italic]
Amount carried to surplus fund (see p. 6)
Unexpended balances June 30, 1932
Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing ofhcers
To credit of Reserve for impounded salary savings (see
roRRIGN INTRRcoURss
committee
Wsterways treaty, Great Britain
7
$44. 97 8&&8. 91
5, 868. 90
$44. 97
$52. 74 $2, 000. 00
1933-34 1932-33 1931-32 1930-31
001. 61
$4, 001. 61
5&
520. 99
5, 573. 73
2, 000. 00
2, 000, 00
195. 28
195. 28
1931-32
52. 68 54. 50 54. 50
$3. 657. 30
. 55
$347. 36
4&
920. 78
54. 72 52. 68 54. 50 54. 50
3, 634. 30
195. 28
195. 28
3; 834,04
810. 26
14, 330. 20 9, 369. 20 3, 414. 00
14, 330. 20 9, 369. 20 3, 414. 00
27, 113, 40
27, 113.40
23 458. 14 1, 086. 9$
23, 193. 61 145. 22
7, 744, 82
Registration 14, 330. 20 9, 369. 20 3, 414. 00
1933 1932 1931
United
$4&
of
International technical consulting committee on radio communications, Copenhagen, Denmark
Trade-Mark
7)
—continued
Permanent International &sociation of 'Road Congresses 1931 Inter-American highway No year Inter-American Highway (transfer to Department of Agriculture, sct Jan. 18, 1927) No year International Statistical Bureau st The Hague 1933-34
International Bureau
p.
disbursing officers
Available
—Continued
GENERA. L)FUND
International technical aerial legal experts
balances June 30, 1933
On books of the Treasury Appropriations
On books of
Unexpended
States snd 1933 1932 1931 1930
» 35, 855. 00 24, 941. 59 32&
1, 231. 16
512. 11
1933 1932
&0
7, 100. 00
1, 652. 93
26, 300. 00
$2, 455. 56
1, 122. 22 26, 027. 53
$264. 53
1, 895. 28 3, 781. 46
1, 325. 54
32, 512. 11 76. 81
» 76. 81 372 20
23, 338. 83
23, 247. 22 3, 318. 54
21, 921. 68 4, 971, 47
26, 665. 76
26, 893. 15
22&
Wsterways treaty, United States snd Great Britain (transfers to Department of Agriculture): Act July I, 1932 Act Feb. 23, 1931
8, 819.08
1, 157. 50
Wsterways treaty, IJnited States and Great Britain (transfers to Department of the Interior, Geological Survey):
Act July I, 1932 Act Feb. 23, 1931
1933 1932
Wsterways treaty, United States arid Great Britain (transfer to Wsr Department, sct Msr. 26, 1930) Payment toCertain Foreign Service of6cers snd employees
Lau Ye Run Government of MexicoGovernment of Panama under treaty of Nov. 18, 1903 Permanent and indefinite: Pay of consular agents for services to American vessels and seamen Refunding moneys erroneously received and covered (State). ' Refunding passport fees Special deposit accounts
f
w
55, 700. 00
4, 978. 83
1930
No year No year No year
u 76. 81
9, 661. H 100. 00
50, 005. 99 285. 26
52, 913. 12 5, 264. 09
50, 291. 25
58, 177. 21
76. 81
76. 81
100. 00 100. 00 30, 000. 00
30, 000. 00
100. 00 100. 00 30, 000. 00
No year
250, 000. 00
250, 000. 00
250, 000. 00
No year
8, 310. 44
8, 310. 44
8, 310. 44
No year No year
742. 27
742. 27
72. 00
72. 00
742. 27 72. 00 379, 415. 84
2. 504. 73
4, '213. 69
1, 480. 32
I' 2, 907. 13
191.33
9, 761. 11
281, 920. 57
Total general fund, Foreign Intercourse
Total general fund, Department State
.
7, 583, 862. 87
352, 270. 23
12, 008, 787. 24
13, 354, 426 05
13, 098, 947. 40
1, 223, 765. 26
499, 724. 35
102, 529. 18
4, 412, 205. 27
60L '748. 88
8, 178, 539. 06
398, 464. 87
14, 271, 277. 11
15, 402, 357. 14
15, 129, 165. 53
1, 443, 489. 13
703, 813. 18
126, 432. 92
4, 773, 723. 20
671, 657. 08
oi
SPECIAL FUNDS FOREIGN INTERCOURSE
Austrian Government's exmoiety, penses, Tripartite Claims Commission German Government's moiety, expenses, Mixed Claims Commission Government's Hungarian moiety, ex. penses, Tripartite Claims Comm'ission Repatriation of American seamen Special deposit accounts
No year
326. 16
No year
996. 55
No year No year
227. 96
326. 16 5, 522. 23
5, 522. 23
6, 518. 78
10, 99
5. 46
227. 96 5. 46 261, 566. 11
712, 153. 59
Total special funds, Department of State
713, 704. 26
5, 533. 22
5, 5FZ. 69
268,'644. 47
162. 51
162. 51
6. 53 450, 587. 48
450. 587. 48
TRUST FUNDS FOREIGN INTERCOURSE
. .
Amount due Juan Nunc Awards in pecuniary claims, United States and Great Britain Awards ofMexican Claims Commission Chinese indemnity, claims of citizens of the United States growing out of the Boxer uprising in north China in 1900 u Ir
.
No year No year No year
124, 475. 44
No year
5, 446. 35
6, 481. 33
Debit balance. Exclusive of $82, 000 transferred, under sct of July I, 1932 (4? Stat. 483), to departments Department of Agriculture Department of the Interior, Geological Survey
6, 318. 82 124, 475. 44
5, 446. 35
as follows: $26, 300 55 700
» Returned
from same object under Wsr Department, sct Mar. 26, 1930 (46 «Transferred fram same object under State Department. See note 38. e Returned to same object under State Department, See note 39.
Stat. 113). See note 4i.
—
1988 Continued
Receipts and expenditures, [Debit trar.'sfer appropriations
(net) and repayments
Fiscal year
appropriation was made
in excess of expenditures
sre printed in italic j
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
Unexpended balances June 30, 1932
Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
bursing officers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see
TRUST FUNDS
p. 7)
—continued
Claims against Panama for injury to certain American victims of disturbances occurring July 4, 1912, in city of Panama. Claims against Japan for expenses incurred in connection with crew of sailing vessel Daifuku Maru Ecuador indemnity Estates of decedents, trust funds Foreign Service retirement and disability fund Funds due: Theo Fred Biinger Emmanuel Bustoil George Gonzales ' Wilhelm Quettler Robert Lavery C. J. Michali Mary Oxenburg Santo Domingo Mining Co Moritz Weinberg Moschek Wender and Jacob Sakobovits Payment of awards, Spanish and American Claims Commission Payment of judgments, Court of Alabama Claims Balance of deposit by Dr. Newton to cover expenses of forwarding mail Balance of deposit by Ivan Schretzoff to cover expenses of telegrams Proceeds, sale of effects of August Bialou, American citizen. Proceeds, sale of effects of J. T. Savine Return of subscriptions to Liberty bond issues placed through American consulates Russian indemnity, claim of owners of the schooners Cape Horn Pigeon, James Hamilton Lewis, the C, H. White, and the Kate and Anna Salvage proceeds, American vessels The Alsop award The Venezuelan indemnity of 1903 Unclaimed moneys of individuals whose whereabouts are unknown (State) Virginius indemnity. ==
.
disbursing officers
Available
—Continued
FQREIGN INTERCGURSE
"
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
No year
$250. 00
$250. 00
No year No year No year
360. 00 1, 834. 45 136, 745. 68
No year
1, 041. 09
No No No No No No No No No
year year year year year year year year year
360. 00
$8, 529. 67
$1, 691. 96
$734. 90
$734. 90
1, 834. 45 137, 702. 74
262, 272. 48
262, 779, 00
262, 176, 38
534. 57
2. 68 15. 00 5. 00 10. 00 1. 00 50. 00 3. 00
2 68
15. 00 5. 00 1D. 00 1. 00 5D:00 'l. 00
.
984. 63 8. 35
984. 63
14. 07
No year
14. 07
No year
886. 88
No year
9, 892. 99
9, 892. 99
No year
2. 03
2. D3
No year
17. 26
No year No year
46. 94
46. 94
9. 14
9. 14
No year
424. 52
424. 52
year year year year
2, 501. 01 1, 148. 04
2, 601. 01 1, 148. 04 60 94. 77
No year No year
2, 040. 28 180. 37
No No No No
. 60
.
94. 77 472. 22
9. 90
9. 90
2, 502. 60
180. 37
$9, 132. 29
Woolen duties indemnity No Wages due American seamen No Wages due certain Chinese seamen No Claim of— J. C. Clark against Haiti No Luciano Conda and Lorenzo Martyn No Estate of Anders Ditlevsen Aagaars against the Government of Denmark No Ivan Gerassimovitch No Charles J. Harrah against Cuba. No The Hydrographic Commission of the Amazon No Nicolai Ivanovitch Solovieff No Spiro Radoicich, Serbian soldier No Peter Scanlon, Altdamm Prison No Percy W. Shufeldt against Guatemala No '
Total trust funds, Department State
year year year
6, j570. 00 10, 987. 64 351. 85
year year
62. 44 11.00
year year year
10, 000. 00 59, 500. 00
377. 66
5. 93
6, 670. 00 11, 359. 37
5. 93
35L 85 62. 44 11.00
5, 346. 29 10, 000. 00 59, 500. 00
5, 346. 29
year year year year
203. 24 2, 000. 00 57. 54
year
75, 000, 00
203. 24 2, 000. 00 57. 54 154. 15
154. 15 75, 000. 00
75, 000. 00
338, 692. 24
338, 089. 62
of 458, 99L 13
8, 529. 67
271, 145. 24
391, 444. 13
9, 132. 29
~
~
Total, Foreign Intercourse
8, 042, 854. 00
1, 074, 504. 16
12, 285, 465. 70
13, 698, 645. 98
13, 705, 681. 49
$1, 223, 765. 26
$499, 724. 35
$102, 529. 18
4, 803, 654. 93
1, 067, 468. 65
1, 443, 489. 13
703, 813. 18
126, 432. 92
4, 773, 723. 20 5. 53
671, 657. 08
1, 443, 489. 13
~
Summary of Department of State: General fund Special funds Special funds (special deposit accounts) Trust funds
8, 178, 639. 06'
Total
14, 271, 277. 11 5, 533. 22
15, 402, 357. 74 5, 527. 69
458, 991. 13
398, 464. 87 1, 550. 67 712, 153. 59 8, 529. 67
271, 145. 24
338, 692. 24
15, 129, 165. 53 7, 078. 36 261, 566. 11 338, 089. 62
8, 637, 530. 19
1, 120, 698. 80
14, 547, 955. 57
15, 746, 577. 67
15, 735, 899. 62
703, 813. 18
126, 432. 92
391, 444. 13
450, 587. 48 9, 132. 29
5, 165, 172. 86
1 131 376. 85
CI
GENERAL FUND Cl
TREASURY DEPART!IIKNT OFFICE OF SECRETARY OF THE TREASURY
Salaries
1933 1932 1931
Total general fund, Secretary
160, 180. 00 7, 755. 00 9, 036. 26
593. 53
16, 791. 26
593. 53
4, 859. 50 8, 717. 92
243. 20
144, 000. 00 598. 68
1, 618. 70 8, 348. 53
14, 561. 30
140, 628. 98
3, 37!.02
Office of the 160, 180. 00
143, 406. 47
140, 628. 98
555, 000. 00
497, 568. 61 6BI. 58
493, 386. 44 538. 68
9, 036. 26
14, 561. 30
9. 967. 23
3, 371. 02
3, 555. 02 5, 441. 38
4, 182. 17
7, 889. 26 8, 558. 90
19, 587. 68 74. 79
25, 444. 56
23, 844. 64
OFFICE OF CHIEF CLERR AND SUPERINTENDENT
Salaries.
1933 1932 1931
Contingent
expenses,
Treasury
44, 375. 57
9, 500. 80
8, 717. 92 496, 986. 73
493, 047. 76
182, 110. 74 2, 168. 08 54. !3
162, 523. 06 28, 095. 57 54. 13
184, 332. 95
190, 672. 76
Depart-
ment.
1933 1932 1931
Rent, Treasury Department
1931
190, 000. 00
10, 726. 98 2, 771. 10
2, 716. 97
.02
. 02
Total general fund, Office of Chief Clerk and Superintendent u For appropriation
27, 075. 52
26, 245. 48
745, 000. 00
681, 319. 68
from the general fund of the Treasury for this account see p. 241, also p. 428 for analysis and statement
683, 720. 52 of the account
11, 434. 91
la!
t3
9, 036. 26
44, 375. 57
9, 500. 80
Receipts and expenditures, [Debit transfer appropriations
(net) and repavments
Fiscal year
appropri. ation wss made
GENERAL FUND
to appropriations
are printed in italic]
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—Continued
1M8
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasury
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oflicers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
DIVISION OF SUPPLY
Salaries, Division of Supply
1933 1932 1931
I
$597. 44 577. 89
$199, 220. 00
i $64. 23
$175, 600. 00 66. 44
2. 63 175, 666. 44
$173, 461. 51 2. 21 2. 63
$17, 535. 69
$1, 568. 50
$4, 515. 81 531. 00
$2, 138. 49
$577. 89
173, 466. 35
td Ci
Printing and partment.
binding,
Treasury
De1933 1932 1931
Stationery, Treasury Department
Tora) seneral Supply
fund,
1933 1932 1931 Certified claims
Division
670, 000. 00
67, 547. 85 23, 795. 28
96, 054. 77 340. 74
350, 000. 00 43, 864. 10 17, 610. 21
10, 985. 77 2, 591. 68
14. 37
of 153, 992. 77
109, 911.36
1, 219, 234. 37
570, 564. 05 63, 815. 26 4, 124. 16
441, 935. 65 159, 870. 03 4, 464. 90
638, 503. 47
606, 270. 58
345, 899. 92 20, 070. 52 3, 586'. 80 14. 37
282, 290. 53 30, 992. 94 4. 88 14. 37
363, 398. 01
313, 302. 72
1, 177, 567. 92
1, 093, 039. 65
99, 435. 95 3, 732. 59
128, 628. 40
4, 100. 08 23, 793. 58
63, 609. 39 63. 35
136, 109. 01
194, 439. 63
19, 671. 12
20, 197. 01
40, 446. 02
17, 535. 69
1, 568. 50
t4
i
OENERAL SUPPLY COMMITTEE
Salaries and expenses, General Committee
General Supply partment
Fund,
Supply
..
Treasury
1933 1932 1931
No year
311, 797. 84
6, 381. 06
314, 926. 71
6, 651. 84
4, 085. 00 1, 4B9. 92
164. 77
OFFICE OP COMMISSIONEE OF ACCOUNTS AND DEPOSITS
.
153, 242. 68 1, 829. 93 . 37
156, 523. 58
155, 072. 93
70, 256. 62
7, 988. 84
170, 000. 00
226, 780. 20
163, 061, 77
10S, 160. 00
98, 200, 00 164. 77
97, 221. 25
290. 78
De-
Total general fund, General Supply Committee
Salaries
154, 925. 93 1, 597. 28 . 37
170, 000. 00
1, 928. 23 1, 201. 14
1933 1932 1931
97, 221. 25
1, 688, 30 58. 13
241, 540. 72
68, 628. 84
12, 876. 67
244, 069. 07
70, 370. 27
9, 560. 71
399. 29 4, 249. 77
978. 75
1, 200. 77
1, 200. 77
1, 469. 92 98, 035. 23
2, 197. 40 330. 95
12, 876. 67
Library& Treasury Department
1933 1932 1931
100. 00 50. 00
736. 63 308. 05
16S.S7 48. 23
72. 29
Total general fund, Office of Commissioner of Accounts and De-
999.45
posits
5, 677. 21
470. 82
240. 00 60. 49
18. 76
109, 160. 00
98, 935. 23
98, 220. 70
167, 740. 00
150, 000. 00
149, 150. 67
I, 542. 21
I, 185. SS
9, 560. 71
DIVISION OP BOOKKEEPING AND WARRANTS
Salaries, Division of Bookkeeping Warrants
and 1933 1932 1931
Contingent expenses, public moneys
1933 1932 1931 1930 1929 Certified claims
Recoinage of minor coins
150, 000. 00 64, 276, 03 37, 498. 53 187. 04
Recoinage of gold coins
Permanent and indefinite: Recoinage of silver coins Total general fund, Division Bookkeeping and Warrants
1&
316. 03
15, 121.55
I, 454. 24 256. 76
149, 988. 24
149, 150. 67
144, 623. 03 $20. 30
130, 775. 37 14, 901. 25
5, 378. 97 64, 496. 33
13, 847. 66
37, 498. 53 187. 04
15. 85
5. 85 2. 87
5. 85
144, 411.45
145, 685. 34
2. 87
1932 1931 1932 1931
14, 970. 73
18. 76
2. 87
40. 83
40. 83 01 269. 86
.
01 269. 86
No year
752, 356. 97
752, 356. 97
752, 356. 97
1, 070, 105. 69
I, 046, 751. 66
1, 047, 192. 98
18, 699. 34
22, 772. 29
of 102&
573. 02
16, 138. 81
71, 894. 99
14, 696. 99
21, 960. 18
8, 600. 74
812. 11
8, 999. 76
8, 999. 76
385. 33
18, 699. 34
31, 772. 05
30, 959. 94
8, 986. 07
812. 11
I, 088, 805. 03
1, 078, 523. 71
1, 078, 152. 92
2, 425, 000. 00
2, 133, 550. 04 208. 04
2, 129, 058. 39 5, 563. 56
36. 02
36. 02
36. 02
2, 133, 794. 10
2, 134, 657. 97
37, 746. 30
14, 970. 73
1, 315. 03
SPECIAL FUNDS DIVISION OP BOOKKEEPING AND WARRANTS
Relief of the indigent, Alaska fund No year Redistribution, funds for indigent, Alaska fund No year Total special funds, Division of Bookkeeping and Warrants
12& 673. 69
9, 385. 09 22, 058. 78
Total,
Division of Bookkeeping and Warrants.
124, 631. 80
15, 138. 31
3, 880. 78 5, 888. 19
5, 355. 52
37, 746. 30
14, 970. 73
1, 315. 03
80, 881. 06
15, 509. 10
215, 520. 46
50, 351. 66
25, 577. 84 3, 672. 74
4, 49b 65
GENERAL FUND PDBLIC-DEBT SERVICE
Public-debt service
.
1933 1932 1931 Ccrtiged claims
5, 888. 19
I Includes 82, 900 transferred from "Operating force for public buildings, 1933", act June 30, 1932 (47 Stat 411). I Reestablished from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5).
I Debit balance.
—
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
Treasury
Distinctive curities
paper for United
in 1933
are printed in ftafic]
Amount carried to surplus fund (see p. 7)
(see p. 6)
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
PUBLIc-DEBT sEBvlca
in excess of expenditures
Unexpended balances June 30, 1932
ation wss made
GENERAL FUND
to appropriations Expenditures
Funds available in 1933
for which appropri-
1088 Continued
To credit of dis-
Warrantsrissued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
—Continued —continued States se1933 1932 1931
Permanent snd indeffnite: Expense of loans, act Sept. 24, 1917, No as amended ~ Expense of loans, act Sept. 24, 1917, No as amended and extended Expenses of loans, act Sept. 24, 1917, as amended snd extended (transfer to Post Office Department, act No Nov. 4, 1918) Preparation, custody, and delivery No of farm loan bonds (reimbursable) Preparation, custody, and delivery credit of Federal intermediate No banks securities (reimbursable)
$640, 000. 00
. $43, 707. 56
$38, 791. 93
$567, 800. 95 2, 816. 28
$553, 224. 10 41, 608. 21
570, 617. 23
594, 832. 31
6, sfs. 76
6, 8fe. 78
473, 852. 10
483, 930. 08
f, 960. 44
547. 38
124, 597. 70
$69, 930. 25 40, 891. 28
$14, 576. 85
$124, 597. 70
year year
$2, 268. 80
62, 245. 37
499, 484. 81
5, 812. 72
11, 298. 55
$14, 334. 16
52, 167. 39
I) year
2, 629. 83
2, 507. 82
4, 590. 27
I
year
year
4, 388. 77
28, 86D 66
es, 666. 90
28, 851. 56
2, 103. 11
173. 58
2, 826. 42
f, 463. 37
1, 137. 92
1, 596. 95
265. 13
180, 877. 64
116, 115. 83
3, 140, 215. 34
3, 182, 727. 04
166, 747. 12
29, 234. 78
29, 234. 78
3, 664, 520. 83
8, 169, 450. 12
3, 211, 961. 82
47, 880. 00
40, 200. 00
40, 033. 02
187. 69
2. 41
Total general fund, Public Debt Service
3, 564, 520. 83
229, 087. 81
64, 685. 82
144, 662. 38
73, 604. 13
TRUST FUNDS PUBLIC DEBT SERVICE
No year
Securities trust fund
Total Public Debt Service
339, 167. 42 520, 045. 06
116, 115.83
1, 005. 00 918. 17
190. 00
1, 923. 17
190. 00
309, 932. 64 166, 747. 12
229, 087. 81
64, 685. 82
454, 595. 02
73, 604. 13
4, 042. 29
3, 069. 23
568. 48 1, 192. 59
166. 98
4, 042. 29
3, 069. 23
I, 761. 07
166. 98
GENERAL FUND DIVISION OP APPOINTMENTS t
1933 1932 1931
Salaries
Total general Appointments
fund,
Division
918. 17
of 47, 880. 00
40, 012. 41
40, 035. 43
918. 17
OFFICE OF DISBURSINO CLERK
Salaries
1933 1932 1931
5, 134. 41
48, 623. 31
48, 700. 00 68. 04
169. 31 847. 38
7?5. 59 237. 35
76. 69
847. 38
Total general fund, Office of Disbursing Clerk
1, 016. 69
54, 940. 00
48, 631. 96
48, 623. 31
000, 000. 00
19, 615, 774. 30 67, ?P. 90 87, 8&6. 7? 1, 156. 86 1, 319.68 58. 95 277. 37
19, 201, 550. 42 270, 372. 73 786. 79 1, ff6. 88 1, 319.68 88. 95 277. 37
19, 550, 542. 93
19, 471, 573. 60
847. 38
5, 134. 41
330. 00
1, 012. 94
76. 69
1, 255, 799. 77
226, 771. 28
901, 654. 65 1, 113, 621. 39
414, 223. 88 67, 949. 30
BUBEAU OF CUSTOIIS
Collecting the revenue from customs
1933 1932
1931 1930
22&
1, 075, 879. 49 617, 037. 04
366, 063. 93 27, 099. 92 40. 00
1929 1928 Certified claims
Compensation in lieu of moieties Scales for customs service Payment of judgments against Collectors of Customs Permanent and indefinite: Debentures or drawbacks, bounties or allowances Refund of excessive duties Refunding moneys erroneously received and covered (customs) Refunding proceeds of unclaimed merchandise
1931 1931
1, 667. 86 277. 37
644, 933. 75 1, 155. 86 348. 18 33. 95
814. 57
814. 57 200. 65
321. 79
No year
522. 44
3$f. 79 9, 052. 77
9, 052. 77
9, 052. 77
7, 905, 657. 12 6, 313, 348. 81
7, 799, 494. 44 5, 030, 477. 27
No year
11.13
11. 13
11.13
No year
1, 921. 70
1, 921. 70
1, 921. 70
35, 231, 936. 76
32, 391, 178. 45
32, 090, 321. 29
No year No year
288. 35 559, 746. 40 725&
7, 712, 419. 41 895, 342. 68
4&
812, 363. 38 694, 880. 99
106, 162. 68 282, 871. 54
Total general fund, Bureau of Customs
1, 693, 931. 75
1, 678, 560. 39
1, 036, 842. 97
1, 255, 799. 77
226, 771. 28
2, 015, 276. 04
1, 979, 417. 65
SPECIAL FUNDS BUREAU OF CUSTOMS
Night services for lading and unlading vessels
Philippine special fund (customs) Philippine special fund (customs duties)
No year No year No year
550. 12
550. 12 17, 376. 94 2, 595. 30
2, 195. 26
59. 67
59. 67
4, 730. 89
20, 522. 36
2, 195. 26
59. 67
59. 67
22, 657. 95
35, 234, 132. 02
32, 391, 238. 12
32, 090, 380. 96
I 157, 400. 00
141, 000. 00
138, 294. 24 293. 74
17& 376. 94
Total special funds, Bureau of Customs
Total, Bureau of Customs
1, 714, 454. 11
1&
678& 560
39
1, 036, 842. 97
1, 255, 799. 77
226, 771. 28
2, 037, 933. 99
1, 979, 417. 55
11, 966. 06
3, 233. 19
1, 200. 75 4, 003. 00
2, 705. 7ii
GENERAL FUND BUREAU OF THE BUDQET
1933 1932 1931
Salaries and expenses
Printing and binding
1933 1932 1931
Total general fund, Bureau of the Budget I
Includes $2, 59 reestablished
I Exclusive of $600 transferred
(47
Stat. 411).
4, 003. 00 1, 527. 50
375. 57 259. 25
140, 740. 75
138, 587. 98
32, 600. 00
32, 187. 05 739. 32
I 32, 600. 00
1, 000. 00
6, 530. 50
824. 85 450. 96
1, 910. 63
32, 149. 04
32, 926. 37
172, 889. 79
171, 514. 35
from surplus fund, Act Mar. 3, 1875 (18 Stat. 418, sec. 5). to "Printing and binding, Bureau of the Budget, 1933", act June 30, 1932.
412. 95 85. 63
1, 450. 96
450. 96
190, 000. 00
81.83
1, 786. 75
859. 85
3, 237. 71
11, 966. 06
3, 233. 19
5, 203. 76
"
I Includes $600 transferred from "Salaries and expenses, Bureau of the Budget, 1933.
8, 286. 07
Scc note 4.
b3
IM8
Receipts artd expenditures, (Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
sre printed in Relic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury Appropriations
On books of Treasury
GENERAL FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
—Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savlDgs
bursing ofllcers
To credft of Reserve for impounded salary savings (see p. 7)
disbursing oiflcers
A.vailable
—Continued
FEDERAL FARE LOAN BUREAU I
8slsries snd expenses, Loan Board.
..
Federal
Farm 1933 1932 1931
$40, 312. 00 12, 693. 10
$27, 158. 64 1, 114.07
52, 905. 10
28, 272. 71
1931
8, 001. 96
I, 408. 41
1930 1929
408. 37 64. 91
I $750, 334. 39 I 38, 470. 07
$700, 031. 68 7i 841. 93 940. 30
$700, 031. 63 35i 000. 57 173. 77
$29, 665. 75
$20, 636. 96
I 13, 633. 60
704, 330. 92
706, 933. 31
735, 206. 02
29, 665. 75
20, 636. 96
29, 665. 75
20, 636. 96
110, 737. 21
36i 651. 09
Total general fund, Federal Farm Loan Bureau
SPECIAL FUNDS FEDERAL FARbl I.OAN BUREAU
&
6alaries snd expenses, division of examinations, Federal Farm Loan Board
6slaries snd expenses, Loan Board
MisceHsneous
expenses,
Loan Board
.
Federal
Federal
f, 408. Jf
I $4, 156. 32
Farm I 404. 01 ~ 62. 91
4. 36 2. 00
4. 36
6. 36
6. 36
1. 50
1. 50
f, 400. 66
7. 86
4, 626, 69
704, 076. 87
705, 532. 76
735, 213. 88
4, 626. 69
1, 269, 000, 00
1, 098, 074. 72 421. 76
1, 095, 145. 23 27. 34
2. 00
Farm 1928
4. 95
Total special funds, Federal Farm Loan Bureau
3, 480. 19
1, 408. 41
Total, Federal Farm Loan Bureau
66, 386. 29
29, 681. 12
758. 82 6, 449, 03
I 394. 42
&
3, 45
GENERAL FUND OFFICE OF TBEASURER OF UNITED STATES
1933 1932 1981
6slsries
6slsries able)
(national
currency,
$23, 536. 98 337. 06
$2, 929. 49
24, 689. 06 10, 505. 25
20, 831. 61
6, 449. 03 1, 098, 496. 48
1i 095, 172. 67
308) 056. 95
287, 225. 34
769. 36
83. ss
297. 70
287, 162. 01
reimburs1933 1932 1931
332, 746. 00
9, 746. 00 3, 341. 34
695. 92
8, 841. 34 80'7&
Indefinite: Contingent expenses, rency (reimbursable)
national
cur1938 1932 1931
3, 363. 39
129, 815. 83 20, 167. 89
147, 636. 81
149, 983. 72
I, 751, 74S. 20
1, e53, 429. 99
I, 532, 318. 30
262, 320. 00
232, 400. 00
231, 237. 91
149, 999. 20
149, 999. 20
22, 63L 28
41, 740. 41
2, 363. 39 41, 740. 41
I
Total
general
fund, Oflice Treasurer of United States
of
6' 035. 60
22, 832. 78
420. 00 5, 806. 48
10S. 38
53, 894. 17
110, 737. 21
36, 651. 09
59, 068. 34
43, 944. 47
23, 046. 78
761. 44
6, 111.78 525. 38
1, 16'2. 09
I, 141.43 I, 222. 80
2,
OPPICE OP THB COHFTBOLLEB OP THE CURRENCY
Salaries
Salaries able)
1933 1932 1931
(national
currency,
reimburs1933 1932 1931
f05. 38 6, 806. 48
.
232, 294. 62
231, 237. 91
50, 600. 00
48, 418. 37
40. 20
8. 00
53, 020. 00 1, 263. 00
I 32. 20
1. 511.50
of national banks
1932 1931
I, 090. 00
181.63
1, 511.50 50, 640. 20
Special examinations
I, 278. 57
48, 426. 37
300. 00
1, 300. 00
730. 59
730. 59
300. 00
Permanent and indefinite: Refunding to national banking associations excess of duty. No year
501, 91
501. 91
501. 91
315, 841. 91
283, 136. 73
280, 166. 19
Total general fund, Office of Cornptroller of Currency
10, 731. 57
373. 18
8, 048. 57
24, 325. 35
761. 44
10, 301. 39
3, 343. 72
SPECIAL PUNDS
tsj
OFFICE OF COHPTBOLLER OP THE CVRRENCP
Salaries and examiners
expenses,
national-bank
Office of Comptroller Currency
Total,
No year
112, 346. 15
59, 031. 91
2, 321, 857. 20
2, 431, 894. 65
2, 476, 290. 86
123, 077. 72
ea, 405. oa
2, 637, 699. 11
2, 716, 031. 28
2, 756, 457. 05
2, 308, 80
14, G35, iio
12, 610. 19
17, 979. 32
of
r Debit balance. & The Federal Farm Loan Bureau was transferred from the Treasury Department to the Federal Farm Credit Administration under Independent Oillces, p. 97, May 27, 1933, under act of June 30, 1932 (47 Stat. 413, sec. 403), and Lrxecutive order of Mar. 27, 1933. I F xclusive of $199,592. 29, transferred under same appropriation title to Federal Farm Credit Administration, p. 97, act June 30, 1932 (47 Stat. 413, sec. 403).
8&
048. 57
24, 325. 35
7G1. 44
I Transferred under same appropriation title to Federal Farm Credit Administration, 1932 (47 Stat. 413, sec. 403). ' Receipt adjustments for prior year accounts. See p. 54.
p. 98, act June 30,
—
Receipts and espertditures, iDebit transfer appropriations
(net) and repayments
Fiscal year
appropriation wss made
to appropriations
are printed in ftolfc]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
1888 Continued
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oihcers
To credit of Reserve for impounded salary savings (see
disbursing ofiicers
Available
p. 7)
GENERAL FUND BUREAU
01 INTERNAL
REVENUE
Salaries and expenses of collectors, etc„of internal revenue Certified claims
Collecting the internal revenue
Collecting the war revenue
1933 1932 1931 1928 Certified claims
$94, 724. 76 652, 239. 07
$39. 83
$39. 83
$39. 83
33, 650, 000. 00
30, 135, 499. 97 226& 148. 94 I 1, 979. 78 680. 00 390. 22
29, 656& 383. 52 255, 489. 34 192. 32 620. 00 166. 74
29& 900, 446. 53
29, 911,911.92
9. 17 8. 38
S. 17
9. 17
E88
2. 33
7. 55
7. 55
$576, 997. 07 12, 172. 04
390. 22
1920 1919 Certified claims
$2& 456&
794 47
$456 036 68
$601, 668. 98 317, 868. 70
$479, 116.45 98, 863. 79
$664, 218. 79
320. 00 223. 48
s. 96 Refunding
internal-revenue
collections Certified claims
Refunding taxes illegally collected. 1933 snd 1932 snd 1931 snd 1930 snd 1929 and 1926 and
prior prior prior prior prior prior
20, 229, 084. 31 127, 404. 63
of judgments against internslNo year revenue oflicers Permanent and indefinite: No year Allowance or drawback No year Redemption of stem ps Refunding legacy taxes, sct Mar. 30, No year 1928 RefundiIhg moneys erroneously re-8f revereceived and covered (internal No year nue)
105. 00
105. 00
105. 00
28, 000, 000. 00
27, 052, 885. 87 20, 228, 472. 90 125, 023. 06 8, 785. 84 8, 641. 00 8, 067. 87
20, 187, 067. 21 24, 604, 088. 17 6, 660, 745. 93 8& 786. 24 8, 84I. 00 2, 057. 87
47, 398, 258. 32
51, 443, 777. 80
139. 85
139.85
139. 85
123, 549. 60 3, 783& 017. 76
123, 549. 60 3, 783, 017. 76
123, 549. 60 4, 032, 618, 03
438, 205. 90
10, 000. 00
106, 052. 91
4, 375, 901. 35 6, 535, 722. 87
947, 114. 13 611.41
6, 865, 81L 66 28L 08
2, 381. 57 3, 725. 24 2, 341. 00 2, 057. 27
Payment
687, 806. 17
116, 052. 91
388. 27
388, 27
388. 27
65, 557, 638. 08
81, 205, 941. 21
85, 522, 626. 35
Total general fund, Bureau of Internal Revenue
21& 103& 452
77
12, 304, 652. 41
676r 055. 37
2, 456, 794. 47
456, 036. 58
lr 86'I, 263. 22
7, 988, 067. 27
SPIL'CI~ PUNDS BUBEAU OV INTERNAL REVENUE
Additional Alaska
income tsx on railroads
PhiTippine
special fund
in
No year
4, 262. 03
7, 614. 31
7, 614. 31
4, 262. 03
7, 614. 31
reve-
(internal
nue)
No year
792, 369. 66
442, 378. 54
349, 991. 12
449, 992. 85
354, 253. 15
7, 614. 31
7, 614. 31
65, 911,891.23
81, 213, 655. 52
85, 530, 140, 66
Total special funds, Bureau of Internal Revenue
Total, Bureau of Internal Revenue
21, 553, 445. 62
12, 304, 652. 41
796, 631. 69
676, 055. 37
2, 456, 794. 47
466, 036. 5S
353, 204. 02
139, 185. 09
24 6634
894 91
7, 988, 067. 27
GENERIC% FUND BUBEAU Or PROHIBITION
N
Enforcement of Narcotic snd National Prohibition Acts
4. 90
1930
Enforcement of Narcotic and National Prohibition Acts, internal revenue
1927 1926-27 Certified claims
Total general
fund,
Bureau
517. 50 418. 40 4, 313.56
617.50 Jf 8. 40 4, 313. 56
3, 379. 66
3, 379. 66
313.56
3, 374. 76
3, 374. 76
ii 4 500, 000. 00
3, 884, 875. 71 14, 941. 06 1, 885. 88
3, 824, 996. 59 67, 655. 43 154. 22
3, 897, 991.38
3, 892, 806. 24
71, 745, 03
71, 745. 03
71, 745. 03
1. 00
1. 00
1. 00
4, 313. 56
517. 50 416. 40
of
Prohibition
44
938. 80
BUREAU Or INDUSTRIAL ALCOHOL
1933 1932 1931
Salaries and expenses
310, 297. 06 99, 293. 42
65, 095. 89 1, 979. 61
Permanent and indefinite: Allowance or drawback (Industrial No year Alcohol) Refunding moneys erroneously re(Industrial ceived and covered No year Alcohol)
Total
general fund, Industrial AlcohoL
Bureau
57, 075. 50
204, 648. 01 43, 337. 57
68, 488. 37 265. 88
247, 885. 58
68, 754. 25
59, 879. 12 2, 381, 52
101, 118.81
h-
of 409, 590. 47
122, 735, 18 295, 355. 99
101, 118.81
4, 571, 746. 03
34
969, 737. 41
3, 964, 552. 27
1, 525, 000. 00
1, 249, 607. 95
9, 783. 39 53. 59
1, 133, 193. 71 77, 344. 12 319.47
43, 283. 98
I, 269, 444. 93
1, 210, 857. 30
43, 283. 98
353, 204. 02
139, 185. 09
418, 091. 17
62, 260. 64
92, SS2. 98
39, 681. 01
142, 828. 06 194, 764. 62
111) 414. 24 927. 64
92, 882. 98
39, 681. 01
337, 592. 68
117, 341. 88
BUREAU Ox NARCOTICS
1933 1932 1931
Salaries snd expenses
Total
general
fund,
Bureau
of
Narcotics
I' For additional transactions of expenditures of Justice. See p. 201.
Department
amounting
1, 525, 000. 00
to $9,086, 733.07 under Bureau of Prohibition,
» Exclusive of $25, 000 transferred to "Suppressing counterfeiting
(47
Stat. 411).
snd other crimes, 1933",act. June 30, 1932,
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
GENERA. L FUND
to appropriations
—Continued
Expend&tures tn 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
JM8
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
COAST GUARD
Salaries, Office of Coast Guard
Coast Guard
1933 1932 1931
$372, 000. 00
$6, 104. 44 7, 334. 48
$332, 995. 00
839. 68
$331, 528. 46 60. 89
332, 155. 32
331& 468. 17
179. 76 f99. 99
1 79. 75
$779. 39
$31, 103. 73
$2&
403. 57
$5, 497. 70 6, 944. 12
$1, 466. 54
$7, 334. 48
1927 1926 1926 1924 1923 1922
f 99. 99
j7.57
47. 67
t. 48
4. J&8
. 63
Certified claims
4, 278. 55
179. 75 199.99 47. 57 4. 48
. 65
. 63 5. 11
5. 11
5. ff
4, 278. 55
4, 278. 55
3, 841. 02
3&
ijn
841. 02
'tl L-4
No year Coast Guard Academy Coast Guard Academy (transfer to PubNo year lic Buildings, sct Msy 21, 1920) Coast Guard Station, Grand Island, 1931-32 Mich 1933 1932 1931
Civilian employees
Communication
1933 1932 1931 1930-31
lines
Contingent expenses
. ..
1933 1932 1931 1930 Certified claims
73, 697. 24
49, 362. 77
45&
134. 16
72, 464. 29
28, 563. 08
22, 032. 64
20, 734. 14
8, 696. 82
M
66
135, 221. 51
495, 548. 52
622, 073. 21
30, 000. 00
30, 000. 00
23, 225. 30
53, 225. 30
92, 294. 53 1, 964. 61
88, 663. 39 8, 155. 85
516& 282.
105, 220. 00 2, 331, 10 6, 777. 75
5, 120. 36
19, 313. 78 460. 63
255, 000. 00
23, 222. 62
16, 693. 32
4, 483. 89
122. 35
3, 631. 14
4, 295. 61
co
6, 777. 75
150. 000. 00 43, 156. 30 2, 746. 76 618. 27
6, 774. 70
8, 319. 23
26, 604, 43 5, 330. 37
» 28. 81
90, 330. 02
91& 819. 24
148, 109. 75 42, 646. 11 480. 88
141, 508. 02 58, 942. 14
190, 295. 23
200, 450. 16
214, 684. 60 9, 020. 94
54. 59
175, 660. 06 31, 528. 55 142. 99 e. 87 54. 59
218, 670. 48
207, 383. 92
o, 187. 38
e. 97 54. 59
262. 16
1, 628. 09 510. 19
904. 11
39, 411.29 14, 201. 68
6, 601. 73 3, 017. 75
3, 207. 39 618. 27
21, 909. 51 2. 27
39& 024.
54 4, 096. 82
Contingent expenses, Coast Guard (transfers to Department of Commerce, Bureau of Standards): Act Feb. 23, 1931 Act Apr. IS, 1930
Draft animals Fuel and water
1932 1931
1931
7, 688. 02
1933 1932 1931 Cer tiiied claims
607, 161. 36 329, 805. 53
Mileage, etc
Certified claims
Outfits
1933 1932 1931 Certified clair»a
Outfits, Coast Guard (transfers, act May 21, 1920): To Department of Commerce, Bureau of Standards
To War Department Pay and allowances
500. 00 28. 81
9. 59
1933 1932 1931
Repairs to Coast Guard vessels
1930-31
.
.
1932
No year Ad&iitional vessels Additional vessels, Coast Guard (transfer to tVar Department, sci May 21, 1920) No year
250. 47
1, 807, 260. 73
201, 016. 38 30, 239. 98
66& 486&. 01
$0, 176. 86
168, 341. 73 34& 146. 73
1, 810, 859. 70
4. 00
4. 00
4. 00
» I, 983, 750. 00
1, 621, 445. 46 654, 086. 08
» 9, 59 2, 039. 89
16, 618. 70 2, 039. 89
1, 524, 655. 48 799, 577. 78 21, 628. 03 2, 039. 89
2, 265, 052. 73
2, 347, 901. 1S
107. 50
107. 50
18, 575, 611. 03 169, 661. 76 69, 004. 67 614. 00 104. 88 14. 76 6, 338. 95
17, 947, 516. 54 1, 484, 387. 43 ~ 6, 055. 40 614. 00 104. SS 14. 76 6, 338. 95
18, 403, 160. 30
19, 440. 864. 73
1&
633, 927. 81 42, 059. 77
6, 338. 95
104& 024.
104, 536. 54
107, 476. 84
1, 893. 719. 91 20, 07S. 56
1, 771, 127. 54
8, 550. 00 2, 958. 22
2, 100, 000. 00
183, 148. 73 75, 462. 24 2, 621. 78
198, 837. 82 4, 215. 57
49, 264, 41
» Ital»rue&i to earns objert, un&ier Treasury Department. » [n& fiidcs 813,71&0 transferred from "Pay and allowances,
155, 802. 22
198. 99 2, 253. 64
231. 90
17. 89
17.89
1, 914, 012. 48
1, 982, 439. 46
71. 40
71.40
553, 849. 61
664, 250. 78
48, 482. 00
48, 482. 00
n 782. 41
» 786. 41
See note 13. See note 12. Coast Guard, 1933", act June 30, 1932 (47 Stat,
» Iteiurne&] from seine object under Department of Comtnerce.
140, 469. 12 4, 620. 60
22, 552. 58
339, 751. 96 188, 264. 60
96, 789. 98 22, 850. 03
171, 927. 41
1, 492. 50
637, 474. 88
1, 403, 164. 09 369, 590. 32
628, 094. 49 10, 188. 66
3, 996. 45
10, 971. 42 14, 693. 26
1, 007. 92 7, 560. 00
80, 100. 34
176& 179, 75 163, 070. 17
122, 592. 37 12, 034. 01
257, 404. 84 314. 00 104. 83 14. 76
1&
206, 882. 34 4, 447. 47
400. 00 626, 080. 82
142, 733. 30 659 650 37
359, 982. 39
21
105, 032. 13 208. 99 704. 68
120, 000. 00 14, 902. 25 23, 939. 57
5. 97
»969 » 20 616 250. 00
230, 238. 60 218, 400. 47
1, 666, 791. 61 143, 906. 77 63. 12 98. 20
1, 724, 693. 06
1922
Repairs to Coast Guard vessels (transfer to Department of Commerce, Bureau of Standards, act May 21, 1920) ---.
217. 14
282. 86
7, 688. 02
842, 350. 68 159, 399. 12
1931 1933 1932 1931 1930 1929 1928 Certified claims
1930-61
250. 47
98. 20
1, 600. 00
1933 1932
217. 14
» 68. 81
1, 950, 000. 00
1932
Retired pay, former Life Saving Service
33. 33
24, 644. 15
75, 230. 34 2, 621. 78 17. 89
328, 60
189. 04
Exclusive of $23i750 transferred act June 30, 1932 (47 Stat. i) i) in 1933 accounts Communication lines, Coast Guard Outfits, Coast Guard. Returned from same object under War Department, See note 17 » Returned to same object under Treasury Department. See note 16. 4
"
72, 824i ss
.15&, ioi. 05
f li
510, 000 13, 75&0
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
coksT
GUARD
!
are printed in ffalic]
Amount carried to surplus fund (see p. 7)
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued
Construction and equipment Guard cutters
.
of Coast
.
1932
1931-32 1931 1930-31
Sespianes
No year
Establishing
No year 1931-33 1931-32
Coast Quard stations
Rebuilding and repairing stations, eic. , Coast Guard, emergency construction Rebuilding
in excess of expenditures
Unexpended balances June 30, 1932
Treasury
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—Continued
1r)88
$142 000 00 100, 118.82 2, 370. 21 988. 45
$37, 723. 11 236, 268. 69 3, 662. 69
200. 00
94. 95
53, 500. 00
29, 9?4. 50
1, 000. 00
8, 152. 95
1933 1932 1931-32 1931 Certiffed claims
287, 429. 55 50, 000. 00 5, 851. 45
64, 464. 88 4a, 960. 40 950. 96
37, 975. 65
310, 596. 89
$201. 19 u 53, 500. 00 u 53, 500. 00
150. 00
4, 745, 425, 40
3, 327, 575. 93
$160, 796. 91 39, 683. 57
$5, 033. 25
$6, 032. 90 988. 45
C3
144, 000. 00
520r 000. 00
and repairing stations, ete
.
$13, 892. 95 296, 703. 94
144, 000. 00
1931
Total general fund, Coast Guard
gf 8, 796. 9i 60, 435. 25 3, 669. 69
28, 185, 385. 37
401. 19
O1
496. 14
31, 000. 00
22, 500. 00
31, 000. 00 2, 213. 99
85, 808. 77 60, 396. 80
73, 39?. 95 469. 10 1, 706. 65
27, 760. 51
31, 401. 19
28, 256. 65
559. 05
8, 712. 00
431, 277. 74 227, 032. 75 50, 000. 00 4, 778. 05 150. 00
357, 879. 79 291, 028. 53 98, 253. i5 5, 729. 01 150. 00
713, 238. 54
753, 041. 08
27, 196, 461. 24
29, 230, 039. aa
$2, 913. 49
1, 073. 40
948, 773. 31
Oo
737, 821. 98
$6, 887. 46
4, 040, 866. 78
1, 293, 997. 18
SPECIAL FUNDS COAST GUARD
Building or purchase of vessels for the No year Coast Qusrd, proceeds of sales Rebuilding snd improving Coast Guard No year stations, proceeds of sales
Total special funds, Coast Qusrd
.
17, 749. 46
2, 516. 85
20, 266. 31
23, 820. 69
933. 75
3, 767. 07
28, 521. 51
41, 570. 15
933. 75
6, 283. 92
48, 787. 82
TRUST FUNDS COAST GUA. RD
Coast Quard allotments (transfer to Veterans' Administration, sct Oct. 6, No year 1917) u
Total, Coast Guard.
7, 649. 36
7, 649. 36
4, 794, 644. 91
3, 328, 509. 68
2S, 191, 669. 29
27, 195, 527. 49
29, 230, 039. 99
948, 773. 31
737, 821. 98
6, 887. 46
4, 097, 303. 96
1, 293, 997. 18
QISNIgR8kL FUND RVREdu Ox ENGRdVING
dND PRINTING
Salaries and expenses
1933 1932 1931
461. 10 57, 710. 37
6, 0ST. 63
n 6, 418, 000. 00 113, 938. 00 » 91
5, 481, 133. 05 94, 398. 04 24, 450. 00
5, 390, 991.60 100, 485. 67 24, 450. 00
5, 599, 981.09
5, 515, 927. 27
11, 000. 00 708. 78
10, 850. 35 1, 369. 97
10, 897. 28
12, 220. 32
18. 59
18. 59
18. 59
6, 543, 956. 59
5, 610, 896. 96
5, 528, 166. 18
33, 620. 00
30, 000. 00 60. 88
29, 967. 91 " 4. 50
li.
642, 229. 13
62, 318. 06
232, 319.TT 20, 001. 06
90, 141. 46
808 39
149. 65
33, 549. 28
Salaries and expenses, Bureau of Engraving and Printing (transfer to Department of Commerce, Bureau of Stand-
ards): Act July 5, 1932 Act Eeb. 23, 1931
1933 1932 1931
Act Apr. 18, 1930
of employees
Compensation
n 12, 000. 00 1, 472. 69 288. 91
Certified claims
Total general fund, Bureau of Engraving and Printing
58, 460. 38
7, 560. 32
270. 00 148. 57
65. 32
191.61
102. 72
» 888, 9f
33, 549. 28
642, 420. 73
62, 318, 06
253, 231. 94
90, 291. 10
698. 78 330. 82
32 09
SECRET SERVICE DIVISION
1933 1932 1931
Salaries
2, 921. 22
148. 57 us
Suppressing crimes
and
counterfeiting
1933 1932 1931
and equipment,
29, 972. 41
530, 959. 84 14, 351. 03
858. 68
510, 152. 67 12, 831. 92 58. 83
545, 058. 18
523, 043. 42
104, 750. 00 44. 98
103, 863. 95 500. 00
other
Salaries, White House police
Uniforms police
291 939. 18
1933 1932 1931
n 575, 000. 00
19, 221. 20 11, 197. 74
'I
1, 489. 63 311.52
116, 299. 00 299. 00 1, 271, 62
455. 02
I Dciiit balance.
3, 500. 00 120. 00 156. 27
1, 142. 55
20, 807. 17 29. 48
11, 450, 43
h
9, 294. 22
2, 254. 78 254. 02
104, 794. 98
104, 363. 95
3, 400. 00
2, 631.03
Sl6. 78
526. 76
32, 684. 40
100. 00 735. 79
768. 97
9, 596. 67
22, 523. 76
156. 27
484. 78
same object under the Department of Commerce. See note 13. See note 12. io same object under the Treasury Department. » 'I'ransferre&1 from 1931-32 account, act July 1, 1932 (47 Stat. 539). «& Transfcrrc&l to 1931-33 account. Re& urne&l from
» Returns&l
352, 31 4, 870. 17
1, 271. 62
2, 784. 21
3, 157. 79
682, 576. 55
660, 537, 57
Total general fuml, Secret Service
»
2, 807. 82
White House 1933 1932 1931
Division
40, 880. 03
728, 419. 00
13, 026. 89
53, 095. 47
2, 807. 82
» Represents allotments of Coast Guard pay under the War Risk Insurance Act.
n Exclusive of $12,000 transferred io sauie object under the Department of Commer&'c. See note 22, » Transferred from same object under the Treasury Department. See note lib n Includes $25 000 transferred from "Salaries and expenses, Bureau of Indusiri»l Alcohol, 1933",aci Jun 1932 (47 Stat. 411).
&
30.
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
GENERAL FUND
to appropriations
in excess of expenditures
Expenditures in 1933 (see p, 6)
Funds available in 1933
for which
—
1988 Contiuned are prfnted in ffsffc]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30 1932
balances June 30, 1933
On books of the Treasury
Appropriations On books of TI'easury
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
A vsilable
—Continued
PVBLIC HEALTH SERVICE
Salaries, oflice of Surgeon General
Pay, etc. , commissioned
1933 1932 1931
officers
Pay of acting assistant surgeons.
1933 1932 1931
Pay of other employees
Certifie
and maintenance
Books
Control of biologic products
$300, 088. 62 548. 5$
$298, 795. 25 80. 00
299, 540. 28
298, 715. 25
1, 565, 940. 95 59, 400. 10
1, 465, 089. 58 64, 412. 46
$28, 297. 50
$4, 411.39
$7, 202. 49 1, 787. 67
$1, 293. 37
$1, 760. 35
C5
1933 1932 1931
hospitals
$468. 34
and
pharmacists
Pay of personnel
$340, 000. 00
$1, 239. 33 1, 760. 35
1933 1932 1931 claims
1, 730, 000. 00 77, 881L 94 7, 036. 34
5, 012. 36
4, 887. 86
1, 100, 000. 00
38, 987. 36 11, 333. 72
2, 682. 90
61, 594. 55 18, 486. 84
100, 851. 37
27, 574. 82
5, 161.45
29, 264. 81 35, 939. 87
13, 163. 57
7, 036. 34
389, 984. 00 39, 939. 01 3, 088. 75
99, 781. 60
11, 038. 85 2. 50
1, 625, 341. 05
1, 529, 502. 04
327, 982. 92 3, 999. 14 214. 17
314, 819. 35 8, 887. 00 214. 17
332, 196. 23
323, 920. 52
916, 839. 74 I, 766. 16 5. 27 2. 50
893, 283. 61 9, 286. 69 5. 27 2, 50
915, 095. 35
902, 578. 07
5, 256, 920. 16 139, 658. 02 SO, ?f 6. 87 68. 76 10. SS 232. 37
5, 0?9, 438. 31 420, 434. 74
5, 360, 054. 30
6, 505, 827. 09
500. 00 9. 40
463. 05 52. 13
'tl
2, 874. 58
88, 213. 87
58, 981. 67
35, 964. 72 40. 739. 52
23, 556. 13
336, 303. 12
50, 521. 48
3?, 255. 24 462, 933. 78
177, 481. 85 14, 553. 62
11, 32S. 45
of
1933 1932 1931 1928 1926 .Certified claims
1933 1932 1931
1933 1932 1931
5, 680, 000. 00 602, 591. 80 37, 291. 65
295, 330. 34 42, 477. 92
232, 37
500. 00
61. 53
5, 761. 25 SS. 76 fO. SS 232. 37
10.83
36. 95
9. 40 1. 93
1. 93
46, 000. 00
2 322. 33 959. 94
74, 008. 32 28. 75
2, 718. 25
490. 60
515. 18
42, 202. 14
556. 03
39, 143. 72 3, 274. 28
42, 758. 1?
42, 421. 11
3. 11
3. 11
1, 959. 67 959. 94
1, 838. 19 1, 766. 80
3, 058. 42
Educational exhibits
.
1933 1932 1931
Expenses, division of mental hygiene
1933 1932
Narcotic farms Expenses, division of venereal diseases &'
Field investigations
1931 1933 1932 1931
of public health
1933 1932 1931
110.74 292. 71
38. 37
1, 250. 61 329. 17
1, 350. 89 57. 29
27L 88
90. 22
48, 215. 00
3, 308, 96
1, 842, 80
1, 408. 18
1, 579. 78
44, 122. 50
737. 22
41, 651. 31 2, 580. 02
44, 859. 72
44, 231. 33
79, 910. 75 3, 743. 06 3. 50
76, 616. 80 4, 433. 23 63. 50
83, 657. 31
81, 113.53
373, 815. 38 N, 805. 44
1. 00
349, 541. 68 39, 887. 49 167. 53 1. 00
396, 815. 70
389, 597. 70
400. 00
400. 00
25 076 43 4, 140. 06 L 596'. 88
21, 950. 40 5, 969. 02 72. 63
27, 720. 21
27, 992. 05
32, 796. 91 5, 018. 15 387. 94 3. 75
27, 749. 53 5, 588, 56
37, 430. 87
33, 356. 24
3, 092. 42
3, 092. 42
43 895 55 2, 959. 11 1, 018. 40
40, 083. 89 5, 694. 09 1, 018. 40
47, 873. 06
46, 796, 38
9, 157. 55
800. 29 60. 00
u 399, 600. 00
37, 938. 69 11& 310. 32
846. 82
221. 04
2, 47L 19
2, 571. 74
9, 157. 55
90, 000. 00 14, 635. 04 12, 360. 86
3, 024. 64
16, 824. 20 973. 65
8%. 7$
Certided claims
6, 473. 70
596. 55
3, 020. 00 10, 891.98
3, 293, 95 110.12
19, 855. 47
3, 452. 33
2, 476. 82 14, 133. 25
24, 273. 70
68. 77
12, 854. 80 I, 698. 58
3, 126. 03 306. 59
738. 64
5, 678. 45 1, 361. 45
5, 047. 38 109. 85
12, 357. 36
742. 15
12, 116. 44
Field
investigations of public health (transfer to Interior, Geological Survey, act Apr. 22, 1932)
Freight, transportation,
. .
etc
Hospital construction Interstate quarantine service
..
.
1933 1933 1932 1931
No year 1933 1932 1931
38, 000. 00 5, 838. 64 776. 54
2, 135. 55 1, 568. 91
2, 500. 00
2, 500. 00
39, 214. 00 6, 379. 60 2, 836. 38
2, 272, 82
680. 26 402.
34-
Oertiged claims
3, 75
14. 40 3. 76
3, 224. 32
Laboratory at Hamilton, Mont. (transfer to Public Buildings, act May 21, 1920)
Maintenance, Health
National
Institute
Me&Bc:6 and hospital services.
Preventing
1931-32
81, 017. 79
1933 1932 1931
4, 359. 62
of
.. . .
48, 000. 00 2, 734. 98
1, 749. 03
1921 1919
f07. 47
707. 47
838 $3
N4. 43
288, 216. 61 4, 418. 93
388. 17
259, 091. 99 19, 633. 52 23. 92
292 267 37
278, 749. 43
4, 104. 45 1, 400. 51
3, 811.66
39, 685. 85 118 825 10
29, 124. 62 1, 496. 87
730. 63
107. 47 234. 43
thc spread of epidemic dis1933 1932
eases.
1931
«See also "Narcotic farm, Lexington, Ky. ", p. 281.
»
77, 925. 37
Exclusive
of $400 transferred
350, 000. 00 123, 244. 08 143, 251, 57
to same object under the Department
16, 711.46 392. 09
&4
of the Interior.
See note 26.
Transferred
16, 614, 20
5, 483. 34
143, 619. 74
from same object under Treasury llepart&uent.
See note 25.
Receipts arid expenCktthres, [Debit transfer appropriations
(net) snd repayments
Fiscal year
appropriation was made
to appropriations
in excess of expenditures
are printed in itoffc]
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1888 Continued
Unexpended balances June 30, 1932
Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
GENERAL FUND PURLIG HEALTH
Quarantine
Studies of rural
p. 7)
—continued 1933 1932 1931 1930 1929 1928 1927 and prior Certified claims
sanitatfon.
disbursing officers
Available
—Continued
ssnvIUE
service
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
. .
1933 1932 1931
$420, 000. 00
$268, 404. 34 4, 448. 40
$57, 946. 76 14, 055. 98
165. 00
300, 000. 00 66, 213. 00 13, 941. 47
2, 010. 67
$330, 001. 33 98, 264. 94 8, 808. 41 6. 00 3. 00 6. 00 1$ 78 166. 00
$278, 045. 39 166, 180. 37 5, 268. 57 8. 00 8. 00
419, 607. 13
439, 622. 60
278, 097. 07 62, 000. 42
250, 722. 03 63, 970. 26
8. 00 18, 76 165. 00
$89, 998. 67 170, 139.40
$51, 955. 94 31. 33
$13, 250. 81 3. 00
3. 00
I?J
3. 00 12. 73
M
$10, 619. 81 607. 17
$480. 00
10, 903. 12 2, 605. 41
2'7,
376. 04 40. 73
13, 941. 47 qp
Studies of rural stricken areas
.
sanitation,
340, 097. 49
314, 692. 29
86, 500. 10
109, 220. 78
10, 356, 863. 64
iO, 373, 581. 89
t2
drought-
M
1931-32
100, 789. 67
28, 259. 00
1, 738, 341. 17
509, 669. 28
14, 289. 57
5, 538. 32
1, 319, 972. 39
492, 951.03
g
Total general fund, Public Health Service
11, 021, 817. 62
311, 634. 48
639, 071. 35
132, 616. 93
SPECIAL FUNDS PUBLIC HEALTH SERVICE
National Institute of Health gift fund National Institute of Health conditional gift fund
57. 00
No year
57. 00
No year
788. 06
3, 756. 24
3, B96. 74
3, 696. 74
847. 66
845. 06
3, 75B. 24
3, 696. 74
3, 696. 74
904. 56
25, 874, '74
1, 748, 75
265. 00
265. 00
27, 358. 49
Total special funds, Public Health Service
TRUST FUNDS PUBLIC HEALTH SER'VICE
Moneys snd effects of deceased patients, No year Publlo Health Service Patients' deposits, United States marine No year hospital, Csrvllle, La
Total trust fund, Public Health Service
Total, Publio Health Service.
1, 573. 78
1, 673. 78 27, 448. 62
I, 766, 634. 75
609, 669. 28
1, 748. 75
265. 00
11,027, 322. 61
10, 360, 826. 36
2BB.00 HA
377, 643. 63
28, 932. 27
311, 634. 48
639, 071.36
132, B16.93
1, 349, 809. 22
492, 961.03
6ENEEL~ FUND NINTB AND desdY OFFICES
Salaries, office of Director of the Mint
1938 1932 1931
34, 200. 00
37, 900. 00 2, 160. 00 54. SO
34, mr. 65
322. S6 2, 165. 31
S, 377. 64
6. sf
5. 31
54. 80
34, 194. 69
84, 027. 65
I, 121, 900. 89
1, 068, 726. 51 93, 863. 01
Salaries and expenses, mints and assay 1933 1932 1931
oflices
1, 339, 620. 00 275, 205. 28 208, 781. 20
139& 110.30
46, 8$7. $9
65, 690. 01
50, 447. 89 320, 452. 67
58, 174. 88
2, 102. 50 2, 437. 12
2, 000. 50
297. 24 6, 585. 38
62. 12
208, 781.20
Salaries and wages, mint service, major Certified claims institutions.
..
Contingent
101, 631. 21
1, 076, 653. 60
1, 162, 589. 52
51. 91
51. 91
51. 91
6, 300. 00
4, 197. 50
2, 197. 00
l, F36. 18
1, 913.89
expenses, office of Director of
tbe Mint
1933 1932 1931
Transportation of bullion and coin, mints and assay offices
.
Medals to Ellsworth, Nobile
Amundsen,
1933 1932 1931
1, 202. 00 548. 82
3, 149. 01
548. 82
4, 000. 00
6, 253. 16 6, 917. 79
2, 962. 38
4, 110.89
3, 702. 76
3, 650. 64 23. 12
3, 370. 54
3, 678. 76
355. 34
6, 917. 79
and 1929-31
46. 89
46. 89
Total general fund, mints and assay offices
501, 169. 94
142, 619. 96
11, 528. 13 29, 150. 90
1, 572. 49
1, 387, 921. 91
1, 117, 233. 12
» 750, 743. 33
622, 923. 21
1, 204, 453. 73
216, 349. 50
105, 008. 85
65, 690. 01
384, 810.87
56, 399. 35
60, 040. 80
18, 414. 65
49, 364. G7
2, 585. 97
OFFICE OF SUPERVISINO ARCHITECT
Operallng
expenses of public buildings
Salaries, Office of Supervising
Architect
1933 1932 1931
18. 80
337. 24 19. 43 le. eo
621, 351. 35
620, 337. 87
1, 516, 029. 40 122, 141.33 461. 48 822. 26
1, 143, 178. 77 303, 559. 27 925. 47 822. 26
1, 638, 541. 51
1, 448, 485. 77
I, 668. 06
G20,
13, 081. 19 29, 169. 20
Furniture and repairs of same for public buildings
1933 1932 1931 Certified claims
1, 940, 000. 00 123, 812. 83 3, 559, 21
181, 887. 86 1, 376, 95
» includes $67,863.33 transferred, act June 30, 1932 (47 Stat. 411) from accounts as follows: Sites and construction, public buildings, act May 25, 1926, as amended Emergency construction of public buildings, act July 21, 1932
822. 26
$33, 830. 00 34, 033. 33
11.52 4, 010. 69
423, 959. 08 1, 671. 50
372, 850. 63
469. 92
y
—
f988 Continued
Receipts and expenditures, (Debit transfer appropriations
(net) snd repayments
Fiscal
ation wss made
QFFIGE
Amount
sre printed in itattc] e
srried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
GENERAL FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
year for which appropri-
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of
\
Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued bttttdtnge — Continued
oF BUPERvISING ARctuTEUT
Operating expenses of public
Lands snd other property of the United States
Rent
of temporary buildings 'I
1933 1932 1931
$550. 00
1933 1932 1931
%II
500, 056. 46 265, 462. 63
8. 25
8. 25
1, 065, 000. 00 44, 218. 31
I, 016, 608. 18
1933 1932 1931 Certified claims
pment, etc. , of prebtfc
8, 647, 433. 62 70, 670. 68 14. 37 51. 68
8, 269, 909. 96 193, 787. 36 14. 37
8, 576, 928. 89
8, 463, 763. 27
3, 501, 500. 00
3, 008, 874. 15 24, 585. 94 9, 07L 09
2, 881, 888. 43
249. 66
249. 66
234, 511. 51 777. 78 249. 66
3, 031, 638. 66
3, 117, 427. 38
17, 806, 016. 83
14, 977, 434. 53
14, 805, 775. 95
n 3, 071, 208. 32
2, 586, 243. 58 72, 324. 13 f, sf 4. $8
2, 513, 959. 25 51, 525. 80 148. 25
5. 00
6. 00
12, 56
12. 56
2, 657, 260. 99
2, 565, 640. 86
389, 622. 49 76, 169. 58 lg) gfg. 96 80. 94
350, 606. 24 156, 715. 98
452, 860. 06
507, 399. 94
10, 492, 100. 00
210, 343. 82 2, 848. 87
Total general fund, operating expenses, public buildings
I, 166, 753. 41
264, 358. 04
1, 619, 148. 73
757, 567. 39
162, 375. 70 5, 448. 97
I 20, 541. 52
55, 000. 00 455, 838. 15
$48, 391.82
835, 106. 80 137, 155. 49
377, 523. 66
265, 715. 07
1, 108, 965. 87
51. 58
289, 200. 25 253, 213. 83
139) 145. 23
ggg. 44
Ie
66, 584. 81 75, 624. 72
1, 120, 000, 00
$94, 926. 92 252. 44
Operating supplies for public buildings
$710, 787. 16
$298, 772. 42
75, 610. 35
M
51. 58
ijn
492) 625. 85 264, 614. 31
126, 985. 72 418. 25
255, 284. 92 ~
630, 340. 73
770, 839, 48
317, 187. 07
2, 729, 363. 75
929, 225. 97
211, 165. 36
23, 220. 62
250, 578. 87 90, 05k 57
72, 284. 33
210, 477. 51 17, 667. 64
38, 916. 25 406. 72
beeftdtrege
1933 1932 1931 1929 Certified claims
General expenses of public buildings
Mechanical equipment ings.
$541. 75 404. 96
public
quarters,
1933 1932 1931 Certified claims
egret
$8. 25
$550. 00
Operating force for public buildings
Repairs,
$8. 25
$404. 96 550. 00
1, 462. 53
12. 56
256. 81
6, 763. 25 5. 00
for public build-
1933 1932 1931 claims Certified
600, 000. 00
93, 827. 22 7, 455. 85
80, 953. 12 12, 909, 73
80. 94
s. gg 80. 94
20, 368. 80
co co
Outside professional buildings
services,
public No year
774, 549. 28
16, 165. 95
1933 1932 1931 Certified claims
654, 601. 46 9, 232. 44
81, 906. 27 8, 827. 69
3, 185, 284. 68
2, 920, 681. 81
1, 889, 264. 60
280, 769. 02
317, 994. 97 19?, 251. 19 7, 066. 06 11.30
281, 152. 71 271, 302. 00 1, 805. 83
157, 005. 03 457, 350. 27
36, 842. 26 7, 855. 46
508, 235. 40
554, 271. 64
197, 429, 22 8o, 08 1, 591. 75
273, 456. 7] 6, 311.01
198, 985. 89
281, 359. 47
160, 428. 43 940. 92 649. 34 10. 75
109, 741. 26 78, 960. 21 229. 10 10. 75
161& 130. 76
188, 941. 32
?, 163, 757. 78
7, 018, 294. 84
495. 00 20& 075. 00 275. 00 175. 00 1, 630. 00
495. 00 20, 075. 00 275. 00 175. 00 1, 630. 00
19, 685. 00 5. 00 40, 000. 00 90, 000. 00
19, 885. 00 5. 00 40, 000. 00 90, 000. 00
13, 009. 50 12, 500. 00 46, 745. 00
13, 009. 50 12, 500. 00 46, 745. 00
Rent of temporary quarters, public buildgs sl
Repairs snd preservation of publio buildmgs
Remodeling ings
476, 000. 00
11.30
16, 254. 50
11.30
and enlarging public build1932 1931 Certiffed claims
Vaults and safes for public buildings
1933 1932 1931
225, 000. 00
200. 00
78, 027. 49 6, 346. 09
1, 591. 75
250, 000. 00
1, 913. 21 12, 163. 16
80, 911.17 478. 44
10. 75
Certiffed claims
Total general fund, repairs, equipment, etc. , public buildings
1, 946, 767. 29
8, 697, 915. 62
345, 446. 96
27, 570. 78
235. 08
1, 591. 75
972. 29
50, 687. 17 2, 891. 88
3, 190, 500. 13
490, 909. 90
89& 571. 57
12, 412. 50
56, 039. 13
211, 165. 35
23, 220. 52
]Ststementof public building projects authorised ss of Junegp, 1933, under sec. 301 (a) par. 10, of the "Emergency Relief snd Construction Act of 1932", approved July 21, 1932. In quoting appropriation titles of the following projects, add, "act July 21, 1932", as part of title. ] Posf offfces, courthouses, cusiomhouses,
Emergency construction of public buildings, act July 21, 1932 Abilene, Tex. : Post offfce and courthouse Aiken, S.C. : Courthouse Albert Les, Minn. : Post offfce Aliquipps, Ps. : Post oflice Alhambra, Calif. : Post offfce Alvs, Okla. : Post offfce Ames, Iowa: Post office Anniston, Ala. : Post office Arlington, N, J. : Post offfce Austin, Tex. : Courthouse Bsy Shore, N. Y.: Post offlce Berea, Ohio: Post oiffce Blacksburg, Va. : Post offlce Bristol, Conn. : Post office Bristow, Okla. : Post offfce s
rtc.
No No No No No No No No No No No No No No No
year year year year year year year year year year year year year year year Vo year
»
3, 519, 668. 35
000. 00 21, 000. 00 1, 000, 00 1, 000. 00 2, 000. 00 1, 000. 00 21, 000. 00 1, 000. 00 41, 000. 00 91, 000. 00 16, 000. 00 14, 000. 00 13, 000. 00 47, 500. 00 1, 000. 00 1&
Debit, balance.
s' Heretofore stated under "Repairs, equipment, etc. , of public buf)dinge" chapter. » Includes $56,000 transferred, act June 30, 1932 (47 Stat. 411) from accounts ss follows: $45, 000 Sites and construction, public buildings, sct May 25, 1926, as amended 1p, ppp Emergency construction of public buildings, act July 21, 1932 so Exclusive of $2, 900 transferred to "Salaries, Division of Supply, 1933", sct June 30, 1932 (47 Stat. 411),
.
Exclusive of $12,000 transferred to "General expenses, offlce of Public Buildings and Public Parks of the National Capital, 1933, sct June 30, 1932 (47 Stat. 484) snd includes $343, 208.32 transferred, act June 80, 1932 (47 Stat. 411) from accounts as follows: $79, 000. pp Sites and construction, public buildings, sct May 25, 1926, as amended 264, 208. 32 Emergency construction of public buildings, sct July 21, 1932. » Account stated under "Operating expenses of public buildings" chapter. s&
"
3, 519, 658. 35 505. 00 925. 00 725. 00 826. 00 370. 00 1, 000. 00 1, 315. 00 995. 00 1& 000. 00 1, 000. 00 16, 000. 00 990. 50 500. 00 756. 00 1, 000. 00
e
» This account was credited with $100,000,000 appropriated under act of July 21, 1932 (47 Stat. 718), snd charged with $96,480, 341.65 transferred to accounts as follows: Emergency conservation fund (to Independent offices, p. 120 under act of Mar. 3(, 1933 (48 Stat. 23) $92, 875 200. (3( General expenses of public buildings, 1933 264, 2(S(. 3" Salaries, Offfce of Supervising Architect, 1933 34, 0X(. X( Rent of temporary quarters, public buildings, 1933 10, 0(N. 00 To sundry public building accouats following tbe appropriation account, "Irmergency construct(on of public buildings, act July 21, 1932 ', credits as indicated ia appropriation column of each account, with amounts aggregating 3, 298, 900. 00 96, 480, 341. 65
JM8
Receipts and ezpenditttres, [Debit transfer appropriations
(net) snd repayments to appropriations
Fiscal year
appropriation was made
GENERA. L FUND CRRIVE CR
in excess of expenditures
sre printed in italic)
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—Continued
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury Appropriations
On books of Treasury
Unexpended
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
bursing of5cers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—ccnffnued cortcmhcuccs, etc.— Con.
svREBvlsnlo EBVHITEcr
Post ctffcet, ccarthoasee,
Buffalo, N. Y.: Courthouse Burley, Idaho: Post oifice
No No No No No No
year year year year year year
$1, 000. 00 14, 000. 00 I, 000. 00 12, 000. 00 1, 000. 00 21& 000. 00
house No year Chicopee, Mass. : Post oflice No year Childress, Tex. Post office No year Chillicothe, Ohio: Post office. No year Circlevilie, Ohio: Post office No year Columbia, Mo. Post office No year No year Columbia, S.C. : Courthouse Concord, N. H. : Post oflice No year Corpus Christi, Tex. : Post office and customhouse No year No year Cushing, Okla. : Post office No year Dslhsrt, Tex. : Post oifice No year Dallas, Tex. Parcel-post building No year Darby, Ps. : Post office No year Decatur, Ill. : Post office No year Dedhsm, Mass. : Post office No year East Lansing, Mich. Post office No year East Point, Qa. : Post office Esu Clsire, Wis. : Courthouse snd post No year office No year El Paso, Tex. : Courthouse No year Psyettville„' N. C. : Post office No year Floral Park, N. Y. Post office No year Fon du Lsc, Wis. : Post office Port Scott, Kans. Post office snd courtNo year house No year Franklin, Mass. Post office No year Fremont, Mich. : Post office No year Gsinesville, Qs. : Post of5ce Qslveston, Tex. Post office and customNo year house No year Garden City, N. Y.: Post oi5ce No year Gsstonis, N. C. Post of5ce No year Gloucester City, N. J. Post office No year Qreensburg, Ps. Post office No year Hsgerstown, Md. Post office No year office Hampton, Iowa: Post No year Hancock, Mich. : Post office
1, 050. 00 18, 500. 00 17, 000. 00 I& 000. 00 1, 000. 00 31, 000. 00 I, 000. 00 1, 000. 00
.
Butler, Ps. : Post office Cameron, Mo. : Post office Csrlsbad, N. Mex. Post office Csrthsge, N. Y.: Post office Charleston, W.Va. : Post office snd court-
:
.
.
:
:
:
.. . . . . .
..
:
: :
:
:
:
:
:
.
:
.
$300. 00 13, 752. 00 126. 00 6, 000. 00
$300. 00 13, 752. 00 126. 00 5, 000. 00
2D, 346. 00
20, 345. 00
300. 00 18, 000. 00 16, 885. 00 167. 00
aoo. oo 18, 000. 00 16, 886. 00 157. 00
17. 15 30, 000. 00 136.00 410. 00
17. 15 30, 000. 00 186. 00 410. 00
300. 00 280. 00 13, 576. 00 100. 00 27, 300. 00 $5. 30 18, 000. 00
aoo. Do 280. 00 13, 676. 00 222, 100. 00 27, 300. 00 288. 30 18, 000. 00
9, 800. 00
9, 120. 00
9, 120. 00
I, 000. 00 231, 000. 00 1, 000. 00 19, 000. 00 1, 000. 00
80. 00 230, 300. 00 200. 00 18, 240. 00 486. 00
230, 300. 00 200. 00 18, 240. 00 486. 00
34, 000. 00 1, 000. 00 1, 000. 00 1, 000. 00
33, 250. 00
33, 250. 00
600. 00
600. 00
86, 000. 00 43, 000. 00 36& 000. 00 16, 000. 00 1, 000. 00 118, 000. 00 1, 000. 00 11, 000. 00
84, 000. 00 42, 000, 00 35, 601. 60 14, 215. 00
84, 000. 00 42, 000. 00 36, 601. 50 14, 216. 00
117, 000. 00
117, 000. 00
I, 000. 00 I, 000. 00 14, 000. 00 223, 000. 00 28, 000. 00 I, 000. 00 19, 000. 00 I, 000. 00
I,
$700. 00 248. 00 874. 00 7, 000. 00 1, 000. 00 666. 00
700. 00 600. 00 1, 116.00 843. 00 982. 85 I, 000. 00 866. 00 69D. 00 700. 00 720. 00 426. 00 DOO. OO
700. 00 711.70 I, 000. 00 I, 000. 00 680. 00
80. 00
920. 00 700. 00 800. 00 760. 00 515 00 760. 00 1, 000. 00 1, 000. 00 600. 00
I, 000. 00 000. 00 498. 60 785. 00 I, 000. 00 1, 000, 00 I, 000. 00 11, 000. 00 1&
:
9, 000. 00 16, 000. 00 14, 000. 00 1, 000. 00 236, 000. 00
8, 000. 00 15, 240. 00 13, 776. 00 175. 00 235, 495. 00
8, 000. 00 15, 240. 00 13, 776. 00 175. 00 235, 495. 00
1, 000. 00 760. 00 224. 00 825. 00 505. 00
year year year year
I& 000. 00 14, 000. 00 7, 000. 00 1, 000. 00
200. 00 13, 500. 00 6, 200. 00 150. 00
200. 00 13, 500. 00 6, 200. 00 150. 00
800. 00 500. 00 800. 00 850. 00
No year Indianapolis, Ind. Post office snd courthouse No year Inglewood, Calif. : Post office No year Ithaca, N. Y.: Post office No year Johnson City, N. Y.: Post office No year Kansas City, Mo. : Post office snd courthouse (new) No year Kent, Ohio: Post office No year Kerrville, Tex. Post office No year Ketchiksn, Masks: Post office, courthouse, customhouse, and )ail No year Lamer, Colo. : Post office No year Lancaster, Ohio: Post oflice No year No year Lamed, Kans. : Post office Lexington, Nebr. Post office No year Lodi, Calif, Post office No year Logan, Vtah: Post office No year London, Ohio: Post office No year Lufkin, Tex. : Post office No year No year Lyons, Kans. Post office Msmsroneclr, N. Y.: Post office No year Msesens, N. Y.: Post office No year Msyfield, Ky. : Post office No year Mineola, N. Y. Post office No year Mobile, Ala. Courthouse snd customhouse No year Moline, Ill. : Post office No year Monticello, Ill. : Post oflice No year Monticello, N. Y.: Post oflice No year Montpelier, Vt. : Courthouse and post office No year No year Moorestown, N. J.: Post office No year Mount Kisco, N. Y. Post office No year Natchez, Miss. : Post office No year Neosho, Mo. : Post office New York, N. Y.: Federal office building, No year (Vesey Street. ) No year North Hollywood, Calif. , Post office office. No year North Wilkesboro, N. C. Post No year Ocean City, N. J. Post office office No year Old Hickory, Tenn. :Post No year Osage, Iowa: Post office No Y. : Post office year Oswego, N. Owensboro, Ky. : Post office and courtNo year house - No year Pasadena, Calif. '. Post office No year Pecos, Tex. : Post office and courthouse No year Plant City, Fla. : Post office No year Portage, Wfs. : Postofiice Port Arthur, Tex. : Post office and cusNo year tomhouse N. H. Customhouse and Portsmouth, No year post office No year Port Washington, N. Y.: Post office No year Qufncy, Ill. : Post office and courthouse
1, 000. 00
533. 17
533. 17
1, 000. 00 1, 000. 00 1, 000. 00
612. 00 26, 400. 00 400. 00 7. 00
:
lp 000. 00 31, DDD. 00 14, 000. 00
:
2, 000. 00 11, 000. 00 1, 000. 00 7, 000. 00 6, 000. 00 14, 750. 00 1, 000. 00 9, 000. 00 1, 000. 00 1, 000. 00 37, 000. 00 1, 000. 00 13, 000. 00 32, 500. 00
Hartford City, Ind. Post office IIayward, Calif. Post office Hazard, Ky. : Post office Hollfster, Calif. Post office Holyoke, Mass. : Post office Houlton, Maine: Post office snd custom-
year year year year No year
house Houma, Ls. : Post office Hudson, Mass. : Post office Hudson, N. Y.: Post office Huntsville, Ala. : Courthouse
No No No No
: :
office
No No No No
snd post
:
:
:
.
:
:
:
.
. .
:
:
.
.
.
:
400. 00 7. 00
388. 00 600. 00 600. 00 993. 00
318. 75 30, 000. 00 13, 500. 00
318. 75 30, 000. 00 13, 500. 00
681. 25 1, 000. 00 500. 00
886. 28 9, 689. 00
9, 689. 00
125. 00
125. 00
5, 000. 00 14, 137. 00 393.75 8, 011.33 330. 00
5, 000. 00 14, 137. 00 393. 75 8, 011.33 330. 00
36, 000. 00 545. 00 12, 246. 00 31, 785. 00
36, 000. 00 545. 00 12, 245. 00 31, 785. 00
126, 000. 00 1, 000. 00 1, 000. 00 21, 000. 00
125, 250. 00 275. 00
125, 250. 00 275. 00
20, 000. 00
20, 000. 00
7, 000. 00
5, 875, 00 14, 365 00 475. 00 8. 00 7, 250. 00
5, 875. 00 14, 366. 00 475. 00
5, 260. 00
5, 260. 00
11.50
11.50
85. 00 5, 400. 00 125. 00
5, 400. 00 126, 00
27, 000. 00
1ll, 000. 00
1, 000. 00 1, 000. 00 8, 000. 00 26, 000. 00 1, 000. 30 1, 000. 00 41, 000. 00 1, 000. 00 6, 500. 00
1, 000. 00
612. 00 26, 400. 00 .
8. 00. 7, 250. 00
85. 00
1, 000. 00 1, 000, 00 1, 000. 00 1, 000. 00 1, 000. 00
16. 63 150. 00 3. 00
15, 63 150, 00
190. 00
190. 00
43, 000, 00
42, 760. 00
42, 760. 00
1, 000. 00 20, 000. 00 1, 000. 00
3. 00
300. 00
1, 113.72 1, 311.00 875. 00 7, 000. 00 1, 000. 00 613. 00 606. 25 988. 67 670. 00 1, 000. 00 1, 000. 00 456. 00 755. 00 715. 00
750. 00 725. 00 1, DDD. 00 1, 000. 00
1, 125. 00 636. 00 525. 00 992. 00 750. 00 20, 740. 00 988. 50 1, 000. 00 41, 000. 00 D15. 00 1, 100. 00
875. 00 984. 37 850. 00 997. 00 810. 00 1, 000. 00 260, 00
700. 00 20, 000. 00
190. 00
190. 00
810. 00
Receipts ared expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal
GENERAL FUND
Rapid City, S.Dak. : Post oflice Redwood City, Calif. : Post office Reidsville, N. C. : Post office Roseville, Calli. : Post office Rutherford, N. J.: Post office. Sac City, Iowa: Post otficc = St. Augustine, Fls. : Post office and customhouse St. Louis, Mo. : Post office I Salinas, Calif. : Post office Ssn Gabriel, Calif. : Post oflice Santa Crux, Calif. Post office Scottdsle, Ps. Post oifice Sebring, Ohio: Post office Shelby, N. C.: Post office South Pasadena, Calif. : Post office South Pittsburgh, Tenn. : Post office Spokane, Wash. : Post office Sufiivsn, Ind. : Post office Summit, N. J.: Post oflice Superior, Nebr. : Post oflice Thief River Falls, Mian. : Post office Union City, Ind. : Post ofFice Urbane, Ill. : Post office Villa Park, Ill. : Post office Wskeiield, Mass. : Post office Wakefield, R.I.: Post office Warren, Ohio: Post office Warsaw, N. Y.: Post office West Bend, Wis. : Post office West Frankfort, Ill. : Post oflice Westport, Conn. Post office . Whittier, Calif. : Post office Wffdwood, N. J.: Post offlce Wilmette, Ill. : Post office Del. Post office, courtWilmington, house, snd customhouse Winchester, Va. : Post office
:
:
are printed in i tahe]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasul'y
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
bursing oflicers
Aci June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
Available
ARGHITEGT
house
:
in excess of expenditures
—Continued
Rshwsy, N. J.: Post office. No year Raleigh, N. C. : Post oflice and court-
:
to appropriations
—conilnued cuetorahoaeee, etc.— Con.
osslcE ov svPERVISINO Poet offfcee, courthouses,
—Continued
Expenditures in 1933 (see p. 6)
Funds available in 1933
year for which appropriation was made
JO88
.
625, 000. 00
324, 000. 00
324, 000. 00
31, 000. N
No year No year No year No year No year No year No year
1, 000. 00 1, 000. 00 18, 500. 00 23, 000. 00 9, 000. 00 1, 000. 00 1, 000. 00
479. 00 140. 00 17, 500. 00 22, 500. 00 8, 500. 00 300. 00
479. 00 140. 00 17, 5N. 00 22, 500. 00 8, 500. 00 300. 00
521. 00 860. 00 1, 000. 00 600. 00 600. 00 700. 00 1, 000. 00
No No No No No No No No No No No No No No No No No No No No No No No No No No No No
1, 000. 00 7, 000. 00 35, 000. 00 ly 000. 00 1, 000. 00
429. 00
429. 00
year year year year year year year year year year year year year year year year year year year year year year year year year year year year
No year No year'
17, ON. 00 1, 000. 00 20, 600. 00 1, 000. 00 6, 000. 00 126, 000. 00 8, 750. 00 56, 000. 00 12, 500. 00 1, 000. 00 1, 000. 00 1, 000. 00 1, 000. 00 19, 000. 00 18, 000. 00 61, 000. 00 I, olio. 00 23, 000. 00 Ii 000. 00 36, 000. 00 25, 000. 00
3?, OOO. OO 41, 000. 00 510I No. 00
1, 000. 00
5'll. 00 7, 000. 00
34, 185. 00 370. 00 274. 00 16, 000. 00
34, 185. 00 370. 00 274. 00 16, 000. 00
19, 600. 00 33k 00 5, 515. 00
19, 600. 00 331.00 5, 515. 00
21, 065. 00
21, 065. 00
35, 000. 00 24, 122. 00 36, 000. 00 40, 094. 26
35, 000. 00 24, 122. 00 36, 00(k 00 40, 094. 25
816. 00 630. 00 726. 00 1, 000. 00 I, 000. 00 1, 000. 00 669. OO 485. 00 126, 000. 00 1, 000. 00 1, 000. 00 I, OINk 00 505. 00 690. 00 725. 00 775. 00 1, 000. 00 50L 00 %, 535. N 1, NLOO 935. 00 1, 000. 00 1, OSL 00 8?fk 00 I, OOL 00 905. 75
500, 000. 00 420. 00
500, 000, 00 420. 00
10, 000. 00 580. 00
7, 750. 00 55, 000. 00 11, 500. 00 495. 00 310.00 2?!L 00 225. 00 18, 000. 00 17, 500. 00 465. 00
7, 750. 00 55, 000. 00
11, 500. 00 495. 00 310. 00 275. 00 225. 00 18, 000. 00 17, 500. 00 465. 00
disbursing oflicers
Winona, Bfinn. l Courthouse and post of5ce No year Winston-Salem, N. C.: Post ofuce No year
71(L 00
1, 000. 00 1, 000. 00
920. 00
80. 00
Total general fund, sites and construction, past offices, custom-
etc. , under
houses, courthouses, act of July 21, 1932 ftuarauffue
6, 804, 558. 35
'2,
846, 103. 11
8, 958, 455. 24
2, 846, 103. 11
efafious
(Under sct of July 21, 1932)
Boston, Mass. : Quarantine station Port Townsend, Wash. : Quarantine
No year
1, 000. 00
755. 00
No year
1, 000. 00
1, 000. 00
sta-
tion
Total general fund, sites and construction, quarantine stations, under act of July 21, 1932
245. 00
1, 755. 00
A(a»inc haepifa(»
(Under sct of July 21, 1932)
.
Carv5le, La. : Marine hospital » Fort Stsnton, N. Mex. : Marine hospital
..
Portland, Maine: Marine hospital
5, 000. 00 4, 000. 00 I, 000. 00
969. 59 1, 901. 17 213. 34
969. 59 1, 901. 17 213. 34
4, 030. 41 2, 098. 83 786. 66
10, 000. 00
3, 084. 10
3, 084. 10
6, 915. 90
» 6, 816, 558. 35
2, 849, 432. 21
2, 849, 432. 21
3, 967, 126. 14
No year No year No year
Total general fund, sites and conmarine struction, hospital, under act of July 21, 1932.
Total general fund, sites and construction, post of5ces, customhouses, courthouses, inspection stations stations, quarantine and marine hospitals, under sct of July 21, 1932
.
Post oJJfcee, courthouses, cuefauchoueee, efe. Sites and construction, public buildings. act May 25, 1926, as amended Aberdeen, Miss. : Post oflice and courthouse. Ada, Okla. : Post oi5ce and courthouse Akron, Ohio: Past of5ce Alameda, Cali(. : Post oi5ce .. Albany, N. Y.: Post of5ce, courthouse, and custolnhouse Albcrtviile, Ala. : Post oi5ce Albia, lowe: Post of5ce. N. Mex. : Post of5ce and Albuquerque, courthouse Alexandria, La. : Post ofhce and court-
.
..
.
..
...
..
..
.
. .
No year No No No No
658, 661. 99
ee
37, 847, 062. 99
37, 188, 401. 00
145, 000. 00
33, 795. 37 47, 534. 70
33, 795. 37 47, 534. 70
64, 000. 00
68, 405. 98
68, 405. 98
2, 365. 74 98, 465. 30 3, 007. 60 594. 02
28. 75 16, 638. 10 11, 994. 95
720, 000. 00
8, 000. 00 24, 000. 00
473, 729. 95 19, 731.40 34, 136.46
352, 454. 95 19, 731. 40 34, 136. 46
246, 298. 80 4, 906. 70 1, 858. 49
3, 495. 98
95, 000. 00
fi7, 042. 99
57, 042. 99
41, 452. 99
year year year year
36, 161. 11 1, 000, 00 3, 007. 60 5, 000. 00
No year No year No year No year
No year 150, 000. 00 119, 083. 72 119,083. 72 4, 487. 58 'l See also account on p. 291. " » Of this amount $3, 296, 900 was transferred from "Rmergency construction of public buildings, act July 21, 1932, to the Sundry accounts stated above. » This account was credited with $158,000,000.00 appropriated under the following acts'. $108, 000, 000. 00 Act July 5, 1932 (47 Stat. 50, 000, 000. 00 Act Mar. 3, 1933 (47 Stat. 1502).
35, 403. 86
house
593).
...
Charges by transfers to sundry accounts amounting to $120,811,599 were made as follows: 79, 000. 00 To general expenses of public buildings, 1933 33, 830. 00 To salaries, O(5ce of Supervising Architect, 1933. Unlier aot of May 15, 1930 (46 Stat. 349) and acts supplemental thereto: To sundry ilublic building accounts following the appropriation account, "Sites anil construction, iulblic buildings, act May 25, 1926, as amended", credits as in&lie»ted in approilriation column of each account with amounts 120, 698, 769. 00 af Breasting 120, 811, 599, 00
See note 33.
121, 275, 00
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
made
o1)fees, courthouses,
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations On books of
Unexpended
To credit of dis-
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
.
disbursing offfcers
Available
sncrnTECT
:
.
.
:
.
.
:
Atlanta, Gs. : Post offfce Atlanta, Tex. : Post office .. Atalls, Ala. : Post office Auburn, Ala. : Post offfce Auburn, Ind. Post offlce Aurora, Ill. : Post offfce Aurora, Mo, ; Post ofQce Austin, Minn. : Post offfce Baltimore, Md. : A.pprsisers stores Immigration station
.
:
.
.
.
. Post Offfce Bsrberton, Ohio: Post oflice . Barbour ville, Ky. Post office Bsrtlesville, Okla, : Post office snd court-
:
house
Amount carried to surplus fund (see p. 7)
—Continued
Alexandria, Vs. : Customhouse snd post offfce Allentown, Pa. : Post ofQce Alroa, Mich. Post office Altoona, Pa. : Post oiffce Ambridge, Pa. : Post oflice Americus, Ga. : Post ofQce and courthouse Amsterdam, N. Y.: Post offfce Anaconda, Mont. : Post oflice Andalusia, Als. : Post ofQce Anderson, Ind. : Post ofQce Andover, Mass. : Post offfce Ann Arbor, Mich. Post office Appleton, Wis. Post ofQce Asheville, N. C, Post offfce and courthouse Ashland, Ky. Post offfce Astoria, Oreg. : Post office snd customhouse Athens, Ala. : Post offfce
: :
are printed in ttatic]
—continued cuetomhoueee, etc.— Contd.
OFFrcE OF SUPERvrsrNG
I'set
in excess of expenditures
Unexpended balances June 30, 1932
Treasury
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appl'opl'ration was
—Continued
1f)88
year year year year year
$835. 38 14, 188. 30 3, 350. 00 101, 466. 78 2, 547. 00
$4, 000. 00 300, 000. 00
$3, 723 59 58, 799. 49
$3, 722. 59 58, 799. 49
170, 000, 00 53, 000. 00
261, 102. 10 135. 00
261, 102. 10 135. 00
No No No No No No No No
year year year year year year year year
30, 586. 37 40, 000. 00 21, 172. 50 1, 959. 82 1, 896. 73 27, 676. 47 21, B07. 10 14, 640. 58
45, 000. 00
75, 134. 26
75, 134. 26
85, 000. 00
105, 589. 94
105, 589. 94
17, DOO. 00 33, 000. 00 11, 000. 00
44, 006, 74 45, 880. 10 26, 229. 66
44, 006. 74 45, 880. 10 25, 229. 56
452. 11 40, 000. 00 582. 56 1, 959. 82 1, 895. 73 669. 73 8, 727. 00 411. 02
No year No year
4, 272. 08 9, 852. 50
86, 000. 00
4, 241. 38 80, 453. 14
4, 241. 38 80, 453. 14
30. 70 14, 399. 36
138, 533. 38 25, 004. 23 1, 300, 933. 48 635. 00 12, 156. 75 5O, OSL 96 167. 00 171, 177. 67 666. 90 35, 639. 25
oo
4, 910. 00
32, 500. 00
138, 533. 38 25, 004. 23 1, 283, 109. 88 636. 00 12, 156. 75 50, 957. 19 ]67. 00 171, 177. 67 666. 90 36, 639. 25
No year
148. 26 45, 985. 41 185, 376. 29 3, 072. 00 14t 757. 68
350, 000. 00
4, 140. 00
4, 140. 00
50, 000 00 Bo, ooo. oo 8, 000. 00
177i 033, 62 54i 229. 44 17, 967. 20
177, 033. 62 54, 229. 44 17, 967. 20
87, 619. 60 14, 362. 54
37, 619. 50 14, 352. 54
5, 480. 91
2, 50D. 00 OO
307, 866. 26 141. 5S
307, 866. 26 141. 58
37, 595. 57 152. 77
30, 000. 00 24, 500. 60
112, 541. 71 35, 710. 60
112, 541. 71 35, 710. 60
24, 467. 00
No No No No
year year year year
No year
No year Battle Creek, Mich. : Post offfce Bay City, Mich. Post otQce, courthouse,
:
and customhouse Beatrice, Nebr. : Post office
66, 444. 42
134, 977. 80 3, 265. 00 1B2, 830. 10 3, 089. 74 11, 334. 67 4, 845. 00 36, 499. B3 64, 480. 00 2, 687. 00
No year Bath, N. Y. Post offic. Baton Rouge, Ls, : Post office and court-
house
70, 000. 00 60, 000. 00 1, Boo, 000. 00
year year year year year year year year year year
No No No No No No No No No No
No year
:
$1, 112.79 255, 388. 81 3, 350. 00 10, 364. 6S 55, 412. 00
No No No No No
No year No year
43, 100. 41 12, 070. 89 20, 461. 83 294. 35 106, 998. 71 17, 362. 10
$17, 823. 60
7, 000. 00 68, 000. 00 26, 000. 00 120, 000. 00
325, OOO.
38, 250. 77 479, 720. 22
ccrc
co Co
2, 454. 74
6, 177. 92 21, 887. 81 62, 332. 63 13, 302. 33 2, 020. 10 1, 770. 76
$0, 83
346, 008. 26 45, 985. 41 5'8, 342. 67 8, 841. 73 4, 790. 48
218. 36
Br
151.50
$5. 23
Beaumont, Tex. i Post office snd courthouse Beckley, W.Vs. : Post office Beffefonte, Ps. i Post office Befiows Falls, Vt: Post office Beloit, Wis. Post office Bend, Oreg. : Post office Benton Harbor, Mich. : Post oflice Berkeley, Calif. : Post office Beverly Hills, Calif. : Post offic Big Spring, Tex. : Post office Billings, Mont. : Post office snd courthouse Bingham Canyon, Utah: Post office Binghamton, N. Y.: Post office snd court-
:
house Birmingham, Ala. : Post office and courthouse Bloomfield, iV. J.: Post office. Bloomington, Ill. : Post office Bloomsburg, Pa. : Post oifice Blytheville, Ark. : Post office Bogaluss, La. : Post office Boise, Idaho: Post office snd courthouse Boston, Mass. : Post office snd courthouse Immigrant station Boulder, Colo. : Post office Boyne City, Mich. : Post oflice Bradenton, Fls. : Post oflice Breckenridge, Tex. : Post office Bridgeport, Conn. : Post ofFice Brinkley, Ark. : Post oflice Bristol, Va. : Post oflice Brockton, Mass. : Post oflice Broken Bow, Nebr. : Post oflice Brooklyn, N. Y. : Post office and courthouse Brownsville, Tex. : Courthouse, customhouse, snd post office Brunswick, Maine: Post office Bryn Mawr, Pa. : Post office Bucyrus, Ohio: Post office Buena Vista, Va. : Post office Buffalo, Wyo. : Post office Butte, Mont. : Past, office and courthouse Caldwell, Idaho: Post office Caluinet, Mich. : Post office Ca&abridge, Mass. : Post office Camden, N. J.: Post office and courthouse Canon City, Colo. : Post oflice Canton, Ohio: Post office Cape Charles, Va. : Post oflice Csrbondale, Ill. : Post office Caribou, Msi iie: Post office Carlinville, Ill. : Post Csrrington, V. Dak. : Post oflice Csrrolll. on, Ill. : Post oflice Csruthersville, Mo. : Post office Casper, lyyi&. : Post oflice and courthouse Catskill, V. Y. : Post office Cedar City, Utah: Post oflice Cedar Raf&i&fs, Iowa: Post office and courthouse. .
. . . . . . .
.
. .
..
.
.
office.
. ... .
.
. .
No No No No No No No No No No
114, 944. 66 59, 750. 71 31, 881. 89 1, 638. 25 1, 399. 47 6, 970. 80 196.86 961. 37 79, 4M. 89 21, 803. 36
year year year year year year year year year year
1, 550. 00 5, 000. 00 4, 700. 00 1, 638. 25 24, 617. 10 43, 530. 80 163. 36 46, 921. 00 4, 480. 00 21, 853. 36
No year No year
4, 837. 34 4, 775. 00
4S, 000. 00
26, 736. 26 7, 897. 54
26, 741. 26 7, 897. 54
53, 101.08 41, 877. 46
No year
3, 928. 75
200, 000. 00
51, 161. 65
51, 161.65
152, 767. 10
100, 000. 00 18, 000. 00 46, 000. 00 55, 000. 00
5, 260. 50
7, 200. 00
5, 260. 50 31, 567. 94 45, 225. 00 17, 954. ?8 472. 00 11, 814. 78
31, 567. 94 45, 225. 00 1?, 954. 78 472. 00 11, 814. 78
259, 450. 00 75, 000. 00 70, 000. 00
146, 055. 34 20, 249. 29 42, 818. 11
146, 053. 13
70, 000. 00 60, 000. 00
93, 217. 63 96, 560. 00 466. 50 106, 459. 63 50, 023, 11
93, 217. 61 96, 560. 00
500. 00 60, 500. 00 125, 000. 00
42, 818. 11
466. 50 106, 459. 63 50, 023. 11
50. 00
75, 000. 00
15, 104. 89 95, 274. 50 6, 562. 94 775. 00 46, 795. 22 1, 866. 14 901. 14
No No No No No No No
year year year year year year year
15, 104. 89 535. 00 20& 130. 88
No No No No No No No No No No No
year year year year year year year year year year year
217, 690. 5G 444. 13 31, 426. 35 14, 210. 19 2, 000. 00 1, 225. 00 4, 170. 14 18, 501. 40 4, 615. 00 24, 572. 10 25, 413. 93
2, 500, 000. 00
2, 139& 546. 06
2, 139, 546. 06
41, 000. 00
70, 657. 58 12, 433. 42 600. 00
70, 657. 58 12, 433. 42
400, 000. 00 7, 000. 00 80, 000. 00 140, 000. 00 15, 000. 00
169, 076. 24 19, 801. 09 66, 073. 96 70, 211.27 38, 085. 94
169, 076. 24 19, 801. 09 66, 073. 96 70, 211.27 38, 085. 94
578, 144. 50 414. 13 ]. 7G8. 77 1, 776. 77 1, 400. 00 1, 225. 00 235, 093. 90 5, 700. 31 18, 541. 04 94, 3GO. 83 2, 327. 99
No year
129, 947. 12
125, 000. 00
227, 493. 36
227, 493. 36
27, 453. 76
48, 826. 03 424. 36
165, 000. 00 1, 000. 00 70, 000. 00 72, 000. 00
209, 176. 39 910. 00 24, 223. 94 69, 058. 86 17. 60
208, 501. 39
4, G49. 64 514. 36 50, 631. 06 9, 126&. 14 1, 120. 96
198, 455. 55 978. 12
198, 455. 55 978. 12
309. 54 52, 438. 81 70. 47 20, 000. 00
80. 40
80. 40
1, 419. 60
184, 862. 49 456. 39 240, 950. 76 49, 988. 24 9, 358, 72
184, 862. 49 456. 39 240, 950. 76 49, 988. 24
5, 079. 49
22, 000. 00 50, 000. 00 1, 500. 00 8, 000. 00
41, 785. 93 46, 715. 88 7, 413. 29 21, 321. 26
41, 785. 93 45, 715. 88 7, 413. 29 21, 321. 26
588. 75 35, 526. 81 7, 386. 76 1, 602. 71 619. 14 6, 965, 0? 8, 844. 12 100. 49 881. 29
10, 000. 00 90, 000. 00
63, 102. 06 97. 50 3, 796. 75
92, 797. 25 97. 50 3, 796. 75
9, 762. 94 2, 702. 50 &Pl, 896. 75
160, 000. 00
262, 543. 07
262, 543. 07
4, 665, 4r&
No No No No
9, 750. 00 2, 338. 14 5, 515. 92
No No No No No No
year year year year year year year year year year
4, 855. 00 6, 185. 00 1, 138. 56 309. 54 57, 894. 36 48. 59 20, 000. 00 1, 500. 00
No No No No No No No No No No
year year year year year year year year year year
94, 941. 98 1, 045. 14 G, 477. 57 3, 375. 00 10, 961. 43 619. 14 26, 751. 00 4, 560. 00 6, 013. 78 14, 202. 55
No year No year No year
52, 865. 00 2, 800. 00 4, 693. 50
No year
l07, 208. 53
193, 000. 00 1, 000. 00
95, 000. 00 270, 000. 00 54, 000. 00
39, 695. 19
600. 00
910. 00 24, 223. 94
69, 058. 86
17. 60
9&
358. 72
Receipts Itnd expenCitures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation wss made
GENERAL FUND QFFIGE GF svPERvlsING
to appropriations
are printed in italic]
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1988 Continued
carried to surplus fund (see p. 7)
Amount
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury
Wsrrantstissu ed basis
Appropriations On books of Treasury
Unexpended
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded. salary savings
bursing ofHcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing
Available
oiHcers
—Continued
Aacmxgc
continued
—
Poet cJftcee, courthoueee, euetorshouees, etc. Contd.
Central City, Ky. : Post ofHce No year Centrslia, Mo. : Post of5ce No year Chamberlain, B.Dsk. : Post office No year Charlotte, N. C.: Post office snd courthouse No year Charlottesville, Va. : Post office and courthouse. No year Tenn. : Post ofHce snd Chattanooga, courthouse No year Chehalis, Wash. : Post offfce No year Chersw, 8.C. : Post otHce No year Chester, Ps. : Post oftlce No year Cheyenne, Wyo. : Federal oftice building No year Chicago, Ill. : Appraisers' stores No year Post ottice No year No year Cicero, Ill. Post offfce No year Cincinnati, Ohio: Post ofHce No year Cisco, Tex. Post ofHce. Claremont, N. H. : Post offfce No year W. VS.: Post ofHce snd Clarksburg, No year, courthouse No year Clearffeld, Ps. Post ofiice No year Clearwater, Fls. : Post offfce No year Cleveland, Miss. : Post offfce No year Cleveland, Ohio: Post office No year Cleveland, Tenn. : Post office No year Clovis, N. Mex. : Post oftlce No year Coatesville, Pa. : Post offfce Coeur d'Alene, Idaho: Post office snd No year courthouse No year Coleman, Tex. : Post offfce No year Colfax, Wash. : Post offfce No year Columbia, Miss, : Post oftice Columbus, Os. : Post ottlce snd courtNo year house Cdtumbus, Ohio: Post oftice snd courtNo year house No year Comanche, Tex. : Post ofHce No year Conneaut, Ohio: Post oflice No year Qonnersviffe, Ind. : Post office No year of5ce Conwsy, Ark. Post No year Corinth, Miss. : Post otHce No year Corsicsria, Ten. : Post office No year Corvallis, Oreg. : Post oflice
.
: :
:
.
:
.
$29, 640. 05 8, 440. 16 649. 40
$11, 500. 00
$34, 246. 90 9, 127. 34
$34, 246. 90 9, 127. 34
$6, 893. 15
2, 500. 00
4, 500. 00
250, 000. 00
55, 439. 05
55, 439. 05
199, 060. 95
M
185. 00
185. 00
951. 94
on
850, 000. 00 70, 000. 00 47, 090. 00 467, 000. 00 112, 000. 00
633, 388. 48 22, 077. 18 43, 473. 63 189, 000. 00 41, 543. 87
633, 388. 48 22, 077. 18 43, 473. 63 189, 000. 00 41, 543. 37
700, 000. 00
539, 120. 31 8, 332 808. 73 24, 332. 19 1, 765, 930. 79 34, 422. 70 10, 704. 12
589, 120. 31 9, 554, 690. 08 24, 332. 19 1, 535, 657. 55
110, 000. 00 39, 000. 00 1, 300, 000. 00 53, 000. 00 2, 000. 00 70, 000. 00
45, 468. 51 78, 218. 72 29, 502. 14 1, 441. 14 789, 075. 70 37, 436. 95 7, 465. 28 74, 643. 32
45, 468. 51 78, 218. 72 29, 502. 14
1, 441. 14 789, 075. 70 37, 436. 95 7, 465. 28 74, 643. 32
1, 000. 00 10, 000. 00 52, 000. 00
405. 50 42, 79L 80 33, 233. 52
7, 947. 80 42, 798. 80 33, 233. 52
3, 599. 31 19, 090. 48
1, 450. 00
150, 000. 00
12, 103. 20
12, 103. 20
139, 346. 80
1, 810. 00 2, 573. 29 I, 076. 80 22, 029. 60
900, 000. 00
405, 009. 75 346. 00 404. 38 51, 488. 85
406, 009. 75 346. 00 404. 38 61, 488. 85
493. 00 12, 215. 59
493. 00 12, 215. 59
1, 136. 94 4, 507. 12 392. 00 2, 804. 25 4, 206. 40 3, 768. 00 28, 935. 43 114, 075. 21 3, 960. 37 60, 988. 00 1, 54th 00 7, 237. 43
$1, 696, 660. 14
22, 000. 00 1, 855, 000. 00 65, 000. 00 5, 000. 00
8, 000. 00
39, 554. 80 25, 363. 35 I, 564. 97 1, 000. 00 ]32, 357. 75 3, 600. 00 7, 120. 22 14, 431. 00 4, 540. 56 28. 20 36, 398. 11 324. 00
222. 67 756. 14 5, 594. 16 14, 068. 73
11, 025, 000. 00
55, 000. 00
7, 642. 30
3O, OOO.
OO
1, 812. 82 649. 40
$6. 25
221, 112.39 48, 314. 82 6, 330. 62 282, 206. 40 74, 224. 63
86. 68
2, 806, 179. 80
189, 815. 12 628. 18 150, 057. 21 32, 122. 30 1, 533. 31
$474, 778. 79
I&
34, 422. 70 10, 704. 12
2, 086. 29 2, 144. 63
27. 75
82, 062. 83 38, 558. 86 643, 254. 30 19, 163. 05 1, 654. 94 9, 787. 68 4, 640. 56 622. 70
496, 800. 25
$2, 227. 29
672. 42 640. 75 222. 67 756. 14 5, 101. 16 I, 853. 14
230& 273.
24
g
Council uluilx, l) «a. post offlce courthouse Crete, Nebr. : Post oiflce Crisffeld, Md. : Post offlce Crockett, Tex. . Post office. Culpepper, Va. : Post oflice Cumberland, Md. : Courthouse and post
No year year year year year
4, 731.00 2, 792. 37 325. 00
325. 00
52, DDD. 00 8, 000. 00 55, 000. 00
offlce No year Dallas, Tex. : Post offlce and courthouse No year Dansville, N, Y.: Post offlce No year Danville, Va. : Post oflice and courthouse No year Davenport, Iowa: Post offlce and courthouse No year David City, Nebr. : Post offlce No year Daytona Beach, Fla. : Post offlce No year Decatur, Ind. : Post office No year Delphos, Ohio: Post oflice No year Denver, Colo: Customhouse No year Post oftice No year Derby, Conn. : Post office No year Des Moines, Iowa: Courthouse No year Post offlce No year Detroit, Mich. : Immigrant station No year Post offlce, courthouse, and customhouse No year Dillon, S.C. : Post oftice No year Dodge City, Kans. : Post offlce No year Dover, Del. : Post offlce No year Dover, N. J. : Post oftice No year No year Dover, Ohio: Post offlce Dubuque, Iowa: Post offlce and courthouse No year Duluth, Minn. : Post oflice, courthouse, No year and customhouse No year Duncan, Okla. : Postoffice Dunkirk, N. Y.: Post oftice No year No year Dursngo, Colo. ; Post offlce No year Durham, N. C. : Post oftice. No year East Chicago, Ind. : Post office. No year East Greenwich, R.I.: Post offlce No year Easthampton, Mass. : Post offlce No year East Moline, Ill. : Post office No year Easton, Md. ; Post offic No year East Orange, N. J.: Post oflice No year Estonton, Ga. : Post offlce No year Ebensburg, Pa. : Post office No year Edenton, N. C. : Post office No year El Centro, Calif. : Post office El Dorado, Ark. : Post oflice and courtNo year house No year Elizabethton, Tenn. : Post offlce No year Elizabethtown, Ky. : Post offlce Elkins, yV. Va. : Post offlce and courtNo year house. No year Elko, Nev. : Post oflice No year El Paso, Tex. : Federal office building Elmira, N. Y.: Post otflce and courthouse No year No year El!wood City, Pa. ; Post oflice No year Ely, Nev. : Post offlce No year Endicott, N. Y.: Post, offlce No year Englewood, N. J. : Post oflice No year Erie, I' s. : Post oiflce No year Exeter, N. H. : Post ottlce
65, 990. 80 16, 095. 81 1, 505. 03 2, 000. 00
95, 368. 20 370. 00 1, 041. 00 1, 091. 61 714. 00
..
.
No No No No
28, 742. 26 310. 04 10, 821. 53
28, 742. 26 310. 04 10, 821. 53
60, 988. 74
8, 617. 88 33, 587. 66
8, 617. 88 33, 587. 66
1, 659. 92 21, 737, 34
207, 000. 00 2, 000. 00 76, 000. 00 228, 000. 00
249, 041. 54 9, 381. 27 65, 661. 68 103, 921. 23
249, 041. 54 9, 381. 27 65, 651. 68 103, 921. 23
23, 949. 26 8, 714. 54 10, M3. 35 126, 078. 77
300, 000. 00 20, 000. 00 105, 000. 00
300, 4?5. 46
300, 475. 46
29, 931, 90
29, 931.90 727. 22
94, 892. 74 20, 370. 00 76, 103. 10 384. 39 31, 884. 14
85, OOO. 00
-41, 503. 47
40, 000. 00
727. 22 8, 826. 11
20, 000. 00
25, 471. 43
25, 471. 43
1, 854. 58
1, 102. 46 25. 00
1, 102. 46 25. 00
10, 021. 74 3, 775. 00
3. 75
8, 826. 11
4, 649. 45
4, 849. 45
500. 00
50. 00
7, 326. 01
11) 124. 20 3, 800. 00
450. 00
. 75
8, 004. 20
66, 000. 00
39, 692. 93
39, 692. 93
681, 892. 78 8, 408. 31 10, 157. 14 4, 770. 20 2, 000. 00 4, 840. 00
2, 300, 000. 00
2, 060, 321. 16
2, 060, 320. 28
921, 567. 04
58, 000. 00
65. 00 14, 370. 15 49, 804. 42 365. 00 60, 813. 48
65. 00 14, 370. 15 49, 804. 42 385. 00 60, 813. 48
8, 343. 31 2, 786. 99 26, 965. 78 1, 835. 00 2, 026. 52
4, 525. 00
280, 000. 00
156, 400. 03
155, 400. 03
129, 124. 97
4, 809. 06
5, 000. 00 55, 000. 00
3, 407. 44 15, 815. 83
3, 407. 44 15, 815. 83
180, 000. 00
102, 094. 96 465. 00 3, 574, 80 30, 369. 17 40, 763. 50 20, 200. 00
102, 094. 98 485. 00 3, 574. 80 30, 369. 17 40, 763. 50 20, 200. 00
6, 401. 82 40, 434. 17 4, 222. 18 -", 150. 00 78, 253. 64
7, 000. 00 72, 000. 00
1, 250. 00 4, 222. 16 2, 160. 00
350. 00 843. 86 4, 750. 00 24, 900. 00 1, 760. 00
20. 00 30, 000. 00 70, 000. 00 21, 000. 00
2, 486. 11 4, 183. 98 260. 00 6, 534. 85 4, 666. 00
9, 000. 00 65, 000. 00
2, 687. 75 13, 647. 00 23, 747. 6D
46, 000. 00 12, 000. 00
32, 109. 00 4, 850. 00 36, 000. 00 58, 756. 62 4, 625. 00 4, 676. 00 4, 700. 00 3, 000, 00
32, 000. 00 95, 000. 00
36, 683. 89 21, 629. 68
75, 000. 00 26, 000. 00
378. 80 31, 175. 20 44, 630. 83 30, 996. 50 800. 00
42, 398. 21
14, 647. 79 42, 398. 21
2, 480, 11 143. 98 250. 00 987. 06 27, 186. 79
383. 84 50, 763. 65
383. 84 50, 753. 66
35, 188. 09
36, 188. 09
2, 303. 91 8, 793. 36
62, 625. 6i 66, 080. 99
62, 625. 61
66, 080. 99
1, 678. 38 31, 125. 10 10, 750. 00
31, 126. 10 10, 750. 00
546. 74 107, 745. 02 45, 113.91
646. 74 107, 745. 02 45, 113.91
4, 040. 00
65, 000. 00 10, 000. 00 30, 000. 00
1. 50
33, 310. 52
14, 647. 79
1, 678. 38
559. 41
1, 483. 39 43, 769. 01 36, 000. 00 57, 078. 24 38, 499. 90 3, 925. 00 34, 700, 00 2, 454. 28 3, 938. 87 2, 515. 67
J r)88
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
sppropri. stion was made
sre printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Treasury
GENERAL FUND
ln excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
—Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
bursing officers
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued custom)rouses, etc.— Coutd.
osvrcz ov surzavrsrx 0 xacrrrrzcr
Paste+res, courtfrouses,
Fairbanks, Alaska: Post office and courthouse. No year Fsirfield, Iowa: Post office No year ' Fallon, Nev. . Post office No year FaH River, Mass. : Customhouse snd post oflice No year Falmouth, Ky. : Post oifice No year Fargo, N. Dsk. Post oflice snd courthouse No year Farmington, Mo. : Post office No year Fergus Falls, Minn. ; Courthouse and post office No year Findlay, Ohio: Post office No year Fitchburg, Mass. : Post office No year Flint, Mich. : Post office No year Flushina, N. Y.: Post oflice. No year Forrest City, Ark. : Post oflice No year Fort Fairffeld, Me. : Post office snd cusNo year tomhouse No year Fort Lauderdale, Fla. : Post office No year Fort Myers, Fla. : Post office No year Fort Plain, N. Y.: Post office No year Fort Vsney, Ga. : Post office Fort Wayne, Ind. : Post office and courtNo year house Fort Worth, Tex. : No year Courthouse 1932-33 Narcotic farm rr No year Post office No year Fostoria, Ohio; Post office No year Framingham, Mass. Post oifice No year Frederick, Okla. : Post office No year Freehold, N. J. : Post ofhce No year Freemont, Ohio: Post office No year Freeport, Ill. : Post office No year Freeport, N. Y.: Post office No year French Lick, Ind. : Post office No year Qalion, Ohio: Post office No year Gsfiup, N. Mex. : Post office Galveston, Tex. : No year Immigrant station No year Post office and customhouse No year Georgetown, Del. : Post offiee No year office Georgetown, Tex. : Post No year Glen Cove, N. Y.: Poet office
.
.
:
.
:
.
..
$148, 325 00 369. 25 346. 09
$260, 000. 00 500. 00
$361, 623. 18 435. 00
$361, 623. 18 435. 00
$46, 701. 82 434. 25 346. 09
45, 665. 80 587. 13
10, 000. 00 7, 000. 00
53, 367. 16 6, 403. 79
53, 367. 16 6, 403. 79
2, 298. 64
794. 48 15, 247. 94
4, 000. 00
3, 768. 61
8, 768, 61 14, 553. 79
I, 025. 87
14, 553. 79
4, 495. 00 58, 105. 00 1.046. 79 I& 402. 38 4, 250. 00 21, 667. 48
133, 000. 00 110, 000. 00
71, 679. Zf& 148, 339. 63
71, 679. 76 148, 339. 63
5, 399. 00 340, 000. 00 13, 000. 00
4, 494. 99 202, 704. 20 27, 175. 20
4, 494. 99 202, 704. 20 27, 175. 20
65, 815. xr 19, 766. 37 I, 046. 79 2, 306. 39 141, 545. 80 7, 492, 2S
1. 50
1. 50
2, 098. 21
94, 591. 45 7, 349. 56 27, 766. 01
94, 691. 45 7, 349. 56 27, 766. 01
74, 946. 55
22, 114.80
221, 369. 20
221, 369. 20
2, 745. 60
5, 000. 00 164, 780. 00 142, 077. 70 4, 704. 00 12, 741. 94 765. 65 4, 375. 00 13, 640. 23 66, 680. 90 4, 350. 00 641. 00
25, 620. 83 160, 766. 00 552, 774. 16 56, 919. 32 14, 317. 18 362. 48 38, 500. 00 19, 273. 50 34, 551. 17 77, 917. 81 7, 948. 25 28, 890. 06 4, 191.66
279, 379. 17 4, 014. 00 74, 303. 54 47, 784. 68 424. 76 I, 393. 17 4, 375. 00 I, 266. 73 32, 129. 73 18, 432. 19 37, 692. 75 56, 959. 94 80, 603. 34
240, 698. 62
2, 099. 71
965. 00 4, 538. 00 7, 041. 41 5, 570. 'Zl
I, 183. 34 694. 15
965. 00 165, 000. 00 400. 00 23, 000, 00
850. 00 4, 795. 00
85, 000. 00 80, 000 00
25, 620. 83 160, 766. 00 552, 774. 16 56, 919.32 14, 317. 18 362. 48 38, 500. 00 19, 273. 50 34, 551. 17 77, 917. 81 7, 948. 25 28, 890. 06 4, 191.66
160, 360. 00 16, 000, 00 10, 983. 30 5, 736. 61
145, rgra 00
240, 698. 62
485, 000. 00 100, 000. 00 2, 000. 00 I, 000. 00 38, 500. 00 7, 000. 00 92, 000. 00 45, 000. 00
91.85 804. 70
54, 661. 3S
$15, 000. 00 19, 000. 00
31, 000. 00 110.000. 00
28, 625. 27 35, 697. 44 83, 224. 75
28, 525. 27 35, 697. 44 83, 224. 76
1, 458. 03 1, 039. 17 26, 775. 26
Glendale, Calif. : Post oflice Gloucester, Mass. : Post office Goldfield, Nev. Post office Grafton, N. Dsk. : Post offiee Grand Island, Nebr. : Post office snd courthouse Greeley, Colo. : Post office Greenfield, Ind. : Post office Green River, Wyo. : Post office Greensburg, Ind. : Post office Greenville, Ala. : Post office Greenville, Ps. Post office Greensboro N. C. : Post office snd courthouse Greenwood, Miss. : Post oflice Grove City, Pa. : P t office Hagerstown, Ind. : Post office Hsllowell, Maine: Post office Hamilton, Ohio: Post oflice Hammond, Ind. : Post oflice and courthouse Hanover, N. H. ; Post office Harlan, Ky. : Post office. Harlingen, Tex. : Post office Earrodsburg, Ky. : Post office . Hartford, Conn. : Post oifice snd courthouse Hartsville, S.C. : Post oflice Harvey, Ill. : Post office Hattiesburg, Miss. : Post office Havana, Ill. : Post office Haverhill, Mass. : Post office Havre, Mont. : Post office snd court. house Helena, Mont. : Federal oflice building Hempstead, N. Y.: Post office Herkimer, N. Y. : Post office Hibbing, Minn. : Post office Highlarid, Ill. : Post office High Point, N. C. : Post office Eillsboro, Ill. : Post olfice Hobart, Okla. Post office Hoboken, N. J.: Post oflice Holton, Kans. : Post oflice Immigrant station Post office, courthouse, snd customhouse Honolulu, Hawaii: Hopkins, Minn. : Post oflice Hoquiam, Wash. : Post office Hot Springs, Ark. : Post office Hot Springs, S.Dak. : Post office Houston, Tex. : Post office snd courthouse Huntingdon, Tenn. : Post office W. Vs. : Post office and Huntington, courthouse Hunl. sville, Tex. : Post oflice Iowa City, Iowa: Post oflice Iron Mountain, Mich. : Post oflice Ironwood, Mich. : Post office Jackson, Ohio: Post office Jackson, Mich. ; Post office Jackson, Miss. : Post office and courthouse
No No No No
year year year year
37. 00 34, 777. 55 75, 000. 00
225, 00K 00 218, 000. 00
150, 692. 3g 174, 400. 01
150, 692. 39 174, 400. 01
8, 881.00
39, cplx 00
40, 010.55
40, 010. 55
No No No No No No No
year year year year year year year
482. 00 4, 982. 64 11, 236. 13 1, 255. 76 25, 732. 00 1, 578. 00 4, 795. 70
2, 000. 00 15, 000. 00 4, 000. 00
1, 093. 74 8, 420. 40 14, 625. 80
1, 093. 74 8, 420. 40 14, 625. 80
1, 388. 26 11, 562. 24
15, 000. 00 16, 000. 00 75, 000. 00
39, 928. 77 17, 095. 11 7, 757. 34
39, 928. 77 1?, 095. 11 7, 757. 34
8IN. 23
482. 89 72, D38. 36
No No No No No No
year year year year year year
92, 922. 72 28, 351. 37 4, 750. 00 2, 087. 00 15, 299. 81 159, 417. 57
420, 000. 00
471& 762. 51
471, 762. 51 662. 00 48, 077. 62 32, 959. 67 14, 689. 06 171, 164. 66
41, 160. 21 27, 689. 37 16, 672. 38 18, 627. 33 610. 75 31, 252. 91
No No No No No
year year year year year
2, 408. 43
:
:
.
.
.
:
.
.
.
.
sr
See also
.
No No No No No
year year year year year No year No No No No No No No No No
596. 48 18, 437. 70 825. 00 li, 512. 96 257, 634. 59 1, 066. 21 2, 617. 00
900. 00 5, 335. 88 4, 78L 43
year year year year year year year year year No year No year No year
19, 666. 69 85, 545. 33 19, 420. 00 35, 525, 00 1, 000. 00 13, 985. 23 4, 974. 77 2, 800. 00 14, 359. 51 69, 464. 8p 825. 00 1, 450. 00
No year
2, 654. 33
No No No No
60, 000. 00 49, 500. 00 43, 000. 00
10, 000. 00 50, 000. 00 2, 000. 00
662. 00 48, 077. 62 959. 67 32, 14, 689. 06 171, 164. 66
334. 00 2?, 895 46
679, 390. 55
65, 000. 00 76, 000. 00 7, 000. 00
69, 104. 39 6, 940. 00 7, 413. 57 3, 359. 90
9, 000. 00 167, 000. 00 95, 000. 00 50, 000. 00 28, 000. 00 15, 000. 00 2M, 000. 00 30, 000. 00 7, 000. 00 30, 000. 00 69, 000. 00 200, 000. 00
610. 33 1, 255. 76
2, 408. 43 262. 48 542. 24 27, 599. 16 689. 57
334. 00 27, 895. 46 23, 225. 84
23, 225. 84 12, 823. 39
445, 000. 00
74, 344. 61 78, 377. 54 67, 500. 00 7, 870. 45
12, 823. 39
678, 073. 25
244. Pt 1, 066. 21
23&
104. 39
3, 359. 90
8, 512. 61 69, 960. 00 4, 922. 31 1, 425. 53
39, 213. 00
25, 760. 95 212, 542. 21 89, 963. 43 44, 287. 89 28, 650. 00 27& 405. 56 186, 213. 60 1, 637. 96 19, 433, 73 68, 774, 29 38, 622. 20 39, 213. 00
2, 905. 74 40, 003. 12 24, 456, 57 41, 237. 11 350. 00 1, 579, 68 53, 761. 27 31, 162. 04 ], 925. 78 30 680 51 31, 202. 80 162, 237. 00
2, 216. 31
2, 216. 31
59&
6, 940. 00 7& 413. 57
25, 760. 95 212, 542. 21 89, 963. 43 44, 287. 89 28, 650. 00 27, 405, 55 186, 213. 50 1, 637. 96 19, 433. 73 68, 774. 29 38, 622. 20
438. 02
year year year year
30, 890. 95 3, 192. 13 425. 00
10, 000. 00
38, 320. 35
38, 320. 35
62, 000. OD
26, 863. 42
26, 863. 42
14, 485. 00 2, 570. 60 3, 192. 13 35, 561. 58
No year No year
49, 976. 37 4, 336. 67
300, 000. 00 4, 000. 00
838, 509. 16 7, 226. 29
338, 509. 16 7, 226. 29
11, 467. 21 1, 110. 38
year year year year year year year
5, 000. 00 1, 538. 24 12, 630. 87
500. 00 39, 000. 00 64, 000. 00
1, 303. 90 12, 671. 57 38, 600. 00 68, 627. 04 7, 338. 66
325 000 00
242, 097. 33
1, 303. 90 12, 671. 67 38, 600. 00 68, 627. 04 7, 338. 66 242, 097. 33
5 ppp pp 234. 34 459. 30 1, 331. 95 1, 258. 08 1, 218. 82 86, 202. 95
250, 000. 00
121, 947, 54
No No No No No No No
No year
Narcottc farm at Lextngton
Ky
14, 485. 00
931.95 5, 885. 12 8, 557. 48 3, 306. 95
59, 135. 00
p 281 and
Narcotic farm
under Pubhc Health Service p 265
I
121, 947. 64
$6. 67
is?, 187. 46
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
GENERA. L FUND GPFlcn oF SUPERvlsING
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933 Fiscal year for which appropriation was made
Continued l 988— are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury
Appropriations On books of TIeasur v
Unexpended
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reset ve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
sacnlxEcr
PcstoJffces, courthouses, customhouses,
—con'tinued etc.— Contd.
Jackson, Tenn. : Post office snd courtNo year house Jacksonville, Fls. : Courthouse No year Parcel-post building. No year No year Jacksonville, Tex. : Post office No year Jamaica, N. Y.: Post office 1930-31 Janesville, Wis. : Post office No year Jeannette, Pa. : Post oflice Jefferson City, Mo. : Post office and No year courthouse. No year Jersey City, N. J. : Post oflice No year Joliet, Ill. : Post oflice . No year Jonesborn Arkc Post office office No year Junction City, Kans. : Post Juneau, Alaska: Post oflice and customNo year house No year Kansas City, Mo. : Post office No year Kenosha, Wis. : Post office , Key West, Fls. : Post office, courthouse, No year and customhouse No year Kingsport, Tenn. : Post oflice No year Kissimmee, Fla. : Post office No year Kittanning, Ps. : Post oflice No year Klamsth Falls, Oreg. : Post office Knoxville, Tenn. : Post oflice snd courtNo year house No year Kokomo, Ind. : Post office No year Kosciusko, Miss. : Post office La Crosse, Wis. : Post office and courtNo year house No year Lafayette, Ind. Post Office No year Lake City, Fla. : Post office No year Lake Forest, Ill. : Post oflice No year Lakeland, Fls. : Post office No year Lamer, Mo. : Post office No year Lancaster, Pa. : Post office Lsnett, Ala. (See West Point, Ga. ) No year Lsnsdale, Ps. : Post office No year Lansing, Mich. : Post office No year Lapser, Mich. : Post ofBce Lss Vegas, Nev. : Post office and courtNo year house No year Lawrence, Kans. : Post oflice No year Lawrence, Mass. : Post office
. . ..
.
. .
.
.
:
$394. 88
$83, 403. 08
$83, 403. 08
$136, 991. 80 572, 992, 49
4, 778. 11 37, 400. 19 1, 705. 00 7, 600. 00 3, 500. 00 1, 594. 00
1, 290, 000. 00 180, 000. 00 80, 000. 00 400, 000. 00
721, 785. 62 213, 863. 25 62, 418 16 160, 599. 35
721, 785. e2 213, 863. 25 62, 418. 16 180, 599. 35
90, 000. 00
10, 081. 14
10& 081. 14
81, 512. 86
4, 875. 00 2, 660. 00
285, 090. 00 130, 000. 00 105, 000. 00 40, 000. 00
154, 569. 07 11, 770. Co 76, 304. 11 10. 096. 43
154, 569. 07 11, 770. 00 76, 304. 11 10, 096. 43
135, 106. 93 120, 890. 00 30& 783. 89 31, 768. 57 29. 82
2, 000. 00 1, 450, 000. 00 105, 000. 00
2& 812. 92 1, 802, 470. 00 115, 953. 90
3, 186. 12
1, 807. 69
1, 802, 470. 00 115, 953. 90
337& 519. 68
54, 805. 15
1, 100. 00
54, 805. 16 1, 488. 60 762. 92
11, 488. 84 1, 349. 13 439. 42 2& 409. 28 954. 41
3, 536. 94 19, 286. 84 247, 000. 65
$3, 500. 00
2, 088. 00
1, 885. 00
29. 82 2, 620. 61 689, 989. 68 59, 652. 50
66, 293. 99 2, 787. 73 92. 34 2, 789. 61 3, 247. 97
$372. 20
48, 698. 60
380. 33 2, 293. 56
1, 438. 60 752. 92 380. 33 2, 293. 56
950, 000. 00
608, 461. 44 7, 932. 12
608, 45L 44 7, 982. 12
17, 220. 70 69, 694. 26 62, 624. 92 4, 750. 00 897. 16 9, 308. 13 57, 386. 82
122, 600. 00 40, 000. 00
129, 530. 33 98, 166. 25 55, 016. 17 35, 606. 62
129, 530. 33 98, 165. 25 56, 015. 17 36, 605. 52
89. OO 6, 686. 97
89. 00 6, 586. 97
941. 50 7ee. oo 11, 740. 00
36, 000. 00 250, 000. 00 47, 000. 00
13, 269. 32 88, 983. 49 52& 1'75. 42
13, 269. 32 88, 988. 49 52, 176. 42
161& 781. 51
140& 767. 78
110, 000. 00
187, 428. 41
137, 428. 41
113,329. 87
942. 78 44, 799. 02
46, 000. 00
71, 049. 36
71, 049. 36
942. 73 18, 749. 67
38, 201. 61 8, 664. 31
963. 08
5, 000. 00
70, 000. 00
$1. 67
379, 748. 50 732. 19 963. 08
10, 290. 37 1, 52. 01 2, 60!L 75 39, 144. 48 808. 16 2, 721. 16 57, 385. 32 22, 672. 18
6, 564. 58
Lawrencevilie, Ills Post offfce Lebanon, Ind. r Post offiee Lebanon, Mo. : Post offfce Lenoir, N. Cu Post offfce
No No No No No
LeRoy, N. Y.( Post offfce Lewisburg, Pau Post offfce snd courthouse Lewistown, Mont. : Post offfce Lexington, Kyu Narcotic farm» Post offfce and courthouse Lima, Ohio: Post oflice Linton, Indu Post offfce Little Rock, Arku Post oflice snd courthouse Littleton, N. Hu Post office and courthouse Lockport, N, Yu Cost offfce Long Ileach, Calif. : Post office Long Island City, N, Y.: Post offfce Longview, Wash. : Post offfce Louisville, Kyu Post oflice, courthouse, snd customhouse Los Angeles, Calif. : Post offfce and courthouse Lowell, Massa Post offfce I.ubbock, Texu Post oiffce Ludington, Mich. : Post offfce Lumberton, Miss. : Post office Lumberton, N. C. ( Post offi Lynchburg, Va. : Post oflice and courthouse Lynn, Massu Post office Lyons, N. Yu Post office McAffen, Texu Post ofBce McKeesport, Pau Post office 1VIcMinnviffe, Tenn. : Post oflice. Macon, Gsu Post office and courthouse Madison, Gau Post offfce Madison, Wisu Post office and courthouse. iVIadisonville, Kyu Post office hlalone, N. Yu Post office Mausssas, Vsu Post office Manchester, Conn. : Post oiffce Manchester, N. H 3 Post ofB ce Manhattan, Kans. : Post office hfsnf(sro, Minn. : Post office snd courthouse Mausfield, Lsu Post oiffce Marengo, lowe: Post oflice I feral(all, Mich. : Post office hiiir. hffield, Oreg. : Poet offfce Marsbfleld, Wis, Post offfce :(1irrxsville, Calif. : Post oflice yfasou ('iry, iowa: I'ost oflice and courthou. e
il!.. I oer
office-. Post office
M&rywi&(lth
Medius, N. Y: &terri(&lrie, Tenno ('us(oruhouse,
courthouse,
office sub
i iieet
ivfeurl&hi. &vferr;&aha,
,
oflice
Tezu Post iiiffee Wisu l'osr offfce
» See also "Nurcoiic p. 265.
la(un
pear year year year year
10, 719. 91 152. 22 1, 825. 00
No year No year
13, 550. 00 857. 80
No No No No
46, OS4. 59
46, 084. 59
7, 000. 00
1T, 224. 45
17, 2&. 46
776. 41 3, 473. 10 495. 46 1M. 22 1, 8M. OO
170, 000. 00 2, 000. 00
146, 485. 00 I, 862. 40
145, 485. 00 1, 862. 40
38, 066. 00 995. 40
I, 300, 000. 00
4(N, 945. 08
409& 945. 08
360, 000. 00 3, 000. 00
I, 000. 00
151, 2SO. 09 5, 349. 23 6, 384. 74
151, 280. 09 5, 349. 23 6, 384. 74
1, MO. 00
9&
3, 473. 10
2, 310, 984. 41 212, 199.46 799. 89 863. 16
year year year year
1, 420, 929. 49 3, 480. 30 3, 149. 12 6, 247. 90
No year
164, 009. 83
300, 000. 00
451, 215. 87
451, 215. 87
12, 793. 96
No No No No No
year year year year year
52A 00 4, 605. 00 273, 702. 00
45, 104. 83 52, 427. 15
312, 313.89 I, 094. 00 56, 061, 16
45, 104. 83 52, 427. 15 312, 313.89
2, 724. 90
139, 000. 00 58, 000. 00 165, 000. 00 200. 00 175, 000. 00
56, 06L 16
94, 420. IT 10, 177. 85 126, 388. 11 25. 50 121, 663. 74
No year
501, 335. 57
225, 000. 00
722, 731. 83
722, 575. 99
3, 603. 74
6, 000. 00 3, 300. 00 15, 000. 00 40, 000. 00
8, 200. 00 2, 012. 06 25, 025. 25 57, 642. 73 356. 00 34& 841. 72
8, 200. 00 2, 426. 61 25, 025. 25 57, 642. 73
930. 00 2, 407. 69 4, 478. 44 584. 37
356. 00 34, 841. 72
3, 188. 93 804. 39
281, 328. 25 106, 387. 35 I, 456. 80 16, 500. 00 71, 715. 00 12. 75 55, 921. 24 16, 955. 81
281, 32S. 25 106, 387. 35 I, 456. 80 16, 500. 00 71, 715. 00 12. 75 55. 921. 24 955. 81 16,
88, 350. 78 80, 498. 40 255. 84 365. 00 16, 290. 00 495 56 199, 078. 76 496. 85
31. 60 6, 733. 40
31.60 6, 733. 40
550. 08 82, 624. 87 86, 234. 61 33, 762. 65
550. 08 82, 624. 87 86, 234. 61 33, 762. 65
17, 323. 70 7, 008. 4(l 3, 572. 25 242. 55
168, 799. 73 158. 28
1, 000. 00 70, 000. 00
168, 799. 73 158. 28 5, 818. 20 28, 861. S5
1, 000. 00 1, 000. 00 100, 000. 00
685. 00 490. 00 73, 408. 56
685. 00 490. 00 73, 408. 56
80, 000. 00 41, 500. 00 22, 000. 00
102, 338. 60
63, 413. 18 38, 876. 14
102, 339. 91 63, 404. 32 38, 875i. 14
000. 00
9, 31G. 65 I, 119.00 30, 261. 83
9, 31G. 65 I& 119.00 30, 261. 83
57, 054. 47
57, 054. 47
rrr
919.50
No No No No No No
year year year year year year
3, 130. 00 1, 119.75 14, 503. 69 18, 227. 10 3, 544. 93 9, 646. 11
No No No No No No No No
year year year year year year year year
4, 679. 03 1, 885. 75 I, 712. 64 16, 865. 00 4, 505. 00 8. 31 5, 000. 00 452. 66 2,
No No No No No No No
year year year year year year year
17, 355. 30 13, 741. 86 3, 572. 25 292. 63 34, 931. 00 610. 00 4, 415. 00
No No No No No No No
year year year year year year year
15, 419. 25 1& 893. 49 4, 96S. 91 630. 00 550. 00 80. 60 2, 255. 00
No year No year No year
24, 480. 99 23, 066. 50 17, 459. 55
No No No No
7, iM. 04 37, 913.24 10, 630. 00 10, 106. 50
414. 55
26, 000. 00
365, 000. 00 185, 000. 00
83, 500. 00 500. 00 250, 000. 00 15, 000. 00
500. 00 48, 000. 00 200, 000. 00 42, 000. 00
175, 000. 00
1. 31
.75
I, 094. 00
5, 818. 20 28, 861. 85
306. 13 114, 375. 39 12, 652. 35
1. 60
21, (il9. 52 1, 735. 21 150. 71 41, 766. 65 865. 00 59. 60 28, 846. 44 2, (42. 39 1, 153. 32 5&84,
41
snd post year year year year
3&
20, 000. 00 58, 000. 00
st Fort Wor th, Tex. , ' 'p. 278and "Nsr cotic farms, "und er Public Health Service,
n Act Mar. 3, 1933 (47 Stat. 1602L
817. 39 36, 794. 24 368. 1? I I, 052. 03
—
1088 Continued
Receipts and expeftditures, [Debit transfer appropriations
(net) and repayments
Fiscal year appropriation was made
crrfca or sUPERvisnrc Post offices, courthouses,
are printed in ftaffc)
Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Treasury
GENERAL FUND
in excess of expenditures
Expenditures
Funds available in 1933
for which
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
bursing officers
Impounded salary savings
To credit Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—continued custorahoueee, efc. — Contd. ARGHITEGT
.
ihfe&i&lots, Ill. : Post office No year No year Merced, Calif. : Post office Meridian, Miss. : Post office and courtNo year house No year Mexia, Tex. : Post office Miami, Fla. : Post office, courthouse, and No year customhouse . Miaini, Okla. : Post office and courtNo year house No year Middleboro, Mass. : Post ofFice iNo year Middlebury, Vt. : Post office No year Milbank, S.Dak. : Post office No year Milford, ( onn. : Post office No year Millersburr, Ohio: Post oflice No year ivfilton, Pa. : Post office Milwaukee, Wis. : Post ofFice, courthouse, No year and custonihouse. . No year IVfinneapolis, Minn. Post office Missouls, Mont: Post cffice and courtNo year house No year Modesto, Calif. : Post office No year Monroe, Gs. : Post offic Monroe, I.a. : Post office and courtNo year house No year Monroe, W». : Post office No year Monterey, Calif. : Post oflice. No year Montevideo, Minn. : Post office No year Monte Vista, Colo. : Post office Montgomery, Aff). : Post office and court-
.
.
.
.
.
.
house Montrose, Colo. : Post office Morgan City, La. : Post office Morgantown, W. Va. : Past office Morris, Ill. : Post oifice Mountain Grove, Mo. : Post office Mount Airy, N. C. : Post office Mount Olive, N. C. : Postoffice Mount Vernon, Ind. : Post office Mount Vernon, Ohio: Post office Muncie, Ind. : Post office Murray, Ky. : Post office Mystic, Conn. : Post office Nampa, Idaho: Post office Nantieoke, Pa. i Post office Napa, Calif. : Post office
year year year year year year Nc year No year No year No year No year No year Nc year No year No year No year
No No No No No No
.
. .
$5, 124. 81 4, 620. 00
$1. 24
$2, 000. 00 100, 000. 00
$6, 800. 37 52, 438. 84
$6, 801, 61 52, 438. 84
$324. 44 52 181 16
5, 550. 00 115. 31
350 000 00
220, 391.76 44. 29
220, 391.76 44. 29
135, 158. 24 71. 02
251, 815. 88
585, 000. 00
707, 983. 43
707,
&JSS 43
128, 832. 45
15, 775. 00 40, 013. 50 4, 570. 00
1 33,
'7, 834. 11 10, 478. 43 20, 408. 93 35, 800. 00
150, 000. 00 32, 000. 00 66, 500. 00 13, 000. 00 2, 000. 00 2, 000. 00 50, 000. 00
413. 07 71, 073. 52 29, 189. 60 15, 166. 71 10, 465. 18 22, 153. 28 43, 004. 26
133, 413. 07 71, 073. 52 29, 189. 60 15, 166. 71 10, 465. 18 22, 153. 28 43, 004. 26
32, 361. 93 939. 98 41, 880. 40 5, 66?. 40 2, 013. 25 255. 65 42, 795. 74
90, 841. 36 23, 555. 'J9
i, 100, 000. 00
81, 928. 19 297, 301. 65
a 1, 928. 19 297, 301. 65
8, 913. 17 826, %3. 44
000. 00 2, 000. 00
65, 571. 26 6, 950. 97
65, 571. 26 6, 950. 97
IQ&143 74
225, 000. 00 37, 100. 00 115, 000. 00
128, 391. 50 60, 964. 37 106, 580. 70
128, 391. 50 60, 964. 37 106, 580. 70
I00, OQS. 75
26, 472. 00
72, 000. 00
96, 831. 75
96, 831. 75
1, 640. 25
206, 726. 38 47, 596. 61 8, 019. 31 4S9. 27 1& 780. 00 15, 900. 70 625. 00 20, 226. 86 13, 978. 15 4, 710. 00 18, 564. 31
520, 000. 00 40, 000. 00
674, 038. 37 82, 836. 31 15, 722. 08
52, 688. 01
9, 000. 00
674, 038, 37 82, 836. 31 15, 722, 08
75, 000. 00 25, 625. 00 108& 000. 00 12, 000. 00 13, 000. 00 91, 000. 00 7, 000. 00 1, 000. 00
43, 377. 12 41, 470. 43 101, 863. 48 22, 903. 83 26, 174. 11 63, 920. 84 24, 305. 71 7, 751. 60
43, 377. 12 41, 470. 43 101, 863. 48 22, 903. 83 26, 174. 11 63, 920. 84 24, 305. 71 7, 751. 60
18, 600. 00 60, 000. 00
1, 094. 12 19, 297. 66 29, 365. 54
1, 094. 12 19, 297. 66 29, 365. 54
16 88 4, 71o. 00 5, 608. 35
3, 485. 25 23, 890. 00 4, 825. 00
14, 88 SO,
657. 38
1&3,
395. 95
395. 95
7, 588. 90
3, 578. 45 1, 561. 18 3, 075. 00 4, 856. 00
25. 63 244. 30
4, 760. 30 1, 297. 23 489. 27 33, 402. 88 55. 27 6, (61. 52 9, 323. 03 804. 04 31, 789. 16 1, 258. 60
837. 30 $3, 57S. 45 467. 06 2& 277. 34 35, 489. 46
i
ol'
Napoleon, Ohio: Post offioc Nashville, Tenn. : Post oflice Nephi, Utah: Post office Newark, Del. : Post office Newark, N. J.: Post oifice and courthouse. New Bern, N. C. :Post office, courthouse, and customhouse New Britain, Conn. : Post oflice Newburgh, N. Y. Post office New Castle, Pa. : Post office Newcastle, Wyo. : Post office New Kensington, Pa. Post office New London, Conn. : Post oflice New Martinsville, W. Va. : Post office New Philadelphia, Ohio: Post office New York, N. Y.: Appraisers' stores lold) Assay office Courthouse Customhouse building Parcel-post building Post office annex Post office and courthouse Niagara Falls, N, Y. : Customhouse Post ofB.ce Niles, Ohio: Post office Noblesvifie, Ind. : Post oflice Norfolk, Nebr. : Post office and courthouse Norfolk, Va. : Post office and courthouse Norman, Okla. ; Post office Norristown, Pa. : Post office Northfield, Minn. : Post office North Little Rock, Ark. : Post office Norwalk, Conn. : Post office and courthouse Norwalk, Ohio: Post office Norwich, N. Y. : Post office Norwood, Mass. : Post office Nyack, N. Y.: Post oflice Oakland, Calif. : Post office and customhouse Oak Park, Ill. : Post oflice Oberlin, Ohio: Post oflice Oelwein, Iowa: Post oflice Ogden, Utah: Forest Service Building Post office and courthouse Oklahoma City, Okla. : Post oflice and courthouse Okmulgee, Okla. : Post oflice and courthouse Olyphant, Pa. : Post, office Omaha, Nebr. : Federal office building Oneida, N. Y. : Post oflice Opelousas, La. : Courthouse and post office. Orange, N. J.: Post oifice Oregon City, Oreg. : Post oifice Orono, Maine: Post oflice. Orovifie, Calif. ; Post office Oshkosh, Wis. : Post office Ottawa, Ill. : Post office Painesvilie, Ohio: Post office Paintsville, Ky. : Post office
:
:
.
.
.
.
. .
..
No year No year No year No year
4, 945. 05 24, 877. 05 8, 448. 65
No year
11,956. 95
No No No No No No
29, 550. 00 8, 428. 72 28, 425. 18 2, 367. 00 5, 000. 00 14, 446. 92 5, 000. 00 1, 653. 56 71. 60
year year year year year year No year No year No year
No No No No No No No
1 ear
7. ?GS. 91
449, 074. 79 44, 922. 71 142. 10
7, 932. 05 449, 074. 79 44, 922. 71 142. 10
836. 86 365, 870. 26 6, 704. 34 3, 306. 55
1, 422, 000. 00
618, 564. 73
618, 564 73
815, 392. 22
7, 450. 00 73, 000. 00 100, 000. 00 52, 200. 00 120, 000. 00 100, 000. 00 20, 500. 00
35, 750. 55 59, 045. 00 2?, 9?2. 21 38, 555. 73 50, 907. 22 109, 963. 01 16, 453. 63 21, 757. 74
35, 750. 55 59, 045. 00 27, 972. 21 38, 555. 73 50, 907. 22 109, 963. 01 16, 453. 63 21, 757. 74
1, 249. 45 22, 378. 72 452. 97 63, 803. 02 Gr 292. TS 24, 483. 91 88, 546. 3T 395. 82 71. 60
2, 000. 00 165, 000. 00 2, 600, 000. 00
10, 690. 03
10, 690. 03
255, 362. 75 631, 103. 06
255, 362. 75 631, 103. 06
1, 000. 00 810, 000. 00 26, 750. 00
T, 932. 05
$8. 25
40. 71 16, 224. 73 1, 980, 351. 69
year year year year year year
8, 730. 74 106, 587. 48 11, 454. 75 5, 040. 00 522, 419. 29 200, SS2. 80 3, 000. 00
3, 500, 000. 00 1, 725, 000. 00 135, 000. 00
3, 083, 546. 99 1, 848, 680. 15
3, 083, 546. 99 1, 848, 680. 15
No year No year No year No year
10, 254. 90 4, 255. 00 3, 652. 11 14, 346. 86
120, 000. 00 54, 000. 00 9, 000. 00
107, 916. 10 56, 143. 94 20, 377. 13
107, 916. 10 56, 143. 94 20, 377. 13
No No No No No No
year year year year year year
28, 390. 74 26, 055. 55 32, 726. 50 3, 266. 84
5, 000. 00 650, 000. 00 50, 000. 00 185, 000. 00
31, 996. 34 589, 278. 27 80, 533. 12 114, 549 09
31, 996. 34 421, 225. 17 80, 533. 12 114, 549. 09
35, 000. 00
38, 316. 87
38, 316. 87
No No No No No
year year year year year
30, 021. 64 62, 834. 72 16, 647. 78 87, 570. 64
30, 021. 64 62, 834. 72 16, 647. 78 87, 570. 64
972. 36 10, 265. 28 31, 251. 97 10 v28 65
No No No No
162, 129. 14 58, 888. 74 1, 667. 13 697. 22
161, 468. 14 888 74 1, 667. 13 697. 22
4, 324. 31 145, Tl 1. 2G 35, 828. 87 106. 72
58, 633. 73 45, 434. 17
58, 633. 73 45, 434. 17
45, 861. 37 I, 059. 97
99, (YA. 41
136, 331.41
14, 192. 51
205, 036. 11
205, 036. 11
128, 664. 12 3, 843. 99
128, 664. 12 3, 843. 99
i, 248. 49 1, 598. 22 75, 485. 88 2, 280. 04
23, 040. 88
23, 040. 88
450. 00 17, 550. 00 19, 064. 44 89, 916. 55 1, 030. 00 87. 28 57, 940. 02 33, 588. 66
450. 00 17, 550. 00 19, 064. 44 89, 916. 55 1, 030. 00 87. 28 57, 940. 02 33, 588. 66
5, 040. 00
G50. 00
6, 037. 00
2, 350. 00 2, 899. 75
76, 000. 00 24, 500. 00 70, 750. 00 45, 000. 00
799. 29
97, 000. 00
year year year year
31, 453. 45 4, 600. 00
185, 000. 00
2, 496. 00,
35, 000. 00
No year No year
4, 495. 10 30, 494. 14
No year
73, 216. 92
6, 494. 00
303. 94 100, 000. 00 16, 000. 00 37, 307. 00
No No No No
year year year year
109, 284. 60 1, 598. 22 4, 150. 00 3, 124. 03
9?, 000. 00
No No No No No No No No No
year year year year year year year year year
14, 815. 44
9, 000. 00 151, 000. 00 50, 000. 00 55, 000. 00 100, 000. 00 1, 000. 00
2, 455. 00 9, 842. 15 4, 775. 00 14, 384. 29 2SS. 16 4, 050. 00 24, 452. 21
100, 000. 00 16, 000. 00
938, 872. 30 77, 202. 65 138, 000. 00 10, 254. 90 16, 338. 90 1, 508. 17 2, 969. 73
1. 50
1, 394. 40 86, 775. 78 2, 193.38 73, 717. 75 650. 00 2, 720. 13 75, 000. 00
58~
774. 56 150, 550. 00 34, 905. 00 45, 777. 71 14, 858. 45 14, 354. 29 200. 88 46, 109. 98 6, 863. 55
$168, 053. 10
—
1988 Continued
Receipts and expenditures, ]Debit transfer appropriations
(net) snd repayments
for which appropriation was made
in 1933 (see p. 6)
are printed in ftatte]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of
GENERAL FUND
in excess of expenditures
Expenditures
Funds available in 1933 Fiscal year
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oilioers
Available
—Continued
oFFIcE QF SUFERFISIHo ARGHITEC1
continued
—
Past offices, courthouses, caste»)houses etc. Contd Palm Beach, Fla. : Post office Palmer, Mass. : Post office Palo Alto, Calif. : Post office Pampa, Tex. : Post office Paris, Tenn. : Post office Paris, Tex. : Post oifice and courthouse Parkersburg, W. Va. : Post office Pasco, Wash. : Post office Passaic, N. J.: Post oflice Patchogue, N. Y.: Post office Paterson N. J.: Post office Pawtucket, R.I.: Post office Paxton, Ill. : Post office Peekskill, N, Y.: Post office Pekin, Ill. : Post office Pembina, N. Dak, : Customhouse Peoria, Ill. : Post office and courthouse Peru, Ill. : Post office. Petaluma, Calif. : Post office Philadelphia, Ps. : Customhouse snd appraiser's stores
.
.
.
.
Post office Phillipsburg, N. J.: Post oi5ce Phoenix, Ariz. : Post office Pikevifie, Ky. : Post oi5ce Pine Bluff, Ark. : Post office Pipestone, Minn. : Post office. Pittsburgh, Ps. : Post of5ce and courthouse
Pittsburg, Kans. : Post office Pittstield, Maes. : Post office Plainview, Tex. : Post office N. Y.: Customhouse snd Plsttsburg, post office Plymouth, Ind. : Post office Pocatello, Idaho: Post office snd courthouse. Pomona, Calif. : Post office. ponce City, Okla. : Post office Ponce, Puerto Rico: Post office and courthouse pontiac, Mich. : Post of5ee Port Angeles, Wash. : Post office port Chester, N. Y.: Post of5ce Porterviiie, Calif. : Post office
No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year )Vo year
32, 136. 00 11,900. 00
No No No No No No No
year year year year year year year
817. 50 19, 026. 63 315. 00 9, 156. 50 9, 975. 28 4, 740. 00 365. 00
2, 189. 000. 00 1, 840, 000. 00
No No No No
year year year year
708, 482. 22 6, 620. 05 I, 593. 04 4, 650. 00
No year No year
222. 04 800. 00
No year No year No year
58, 765. 25 2, 740. 22 4, 525. 00
110, 000, 00 I, 500. 00 100, 000. 00
135, 787. 41 3, 647. 36 53, 3IF3. 52
135, 7S7. 41 3, 647. 36 53, 393. 52
32, 977. 84 592. 86 51, 131.48
IVo year No year No year No year No year
39, 015. 07 19, 983. 21 37, 510. 00 5, 000. 00 2, 250. OO
115, 000. 00
122, 475. 62 42. 75 93& 038. 34 147, 930. 54 36, 212. 36
122, 475. 62
31, 589. 45
42. 75 93, 03S 34 147, 930. 54 35, 212, 36
19, 940. 46 14, 471. 66 62, 069. 46 87, 037. 64
$4, 700. 00 19, 902. 46
$300. 00 $26, 000. 00 108, 000. 00 75, 000. 00
1, 894. 00
I, 800. 00 8, 356. 24 5, 114. 08 I, 959. 78 22, 473. 67 13, 150. S9 700. 00 2, 435. 00 58, 612. 34 616. 20 2, 870. 85 24 3, 035. 15
.
14, 000. 00 3, 000. 00 97, 000. 00 415, 000. 00 80, 000. 00
22, 574. 14 76, 495. 27
3, 636. 90 25). 70 1, 413. 18 30, 045. 68 14, 116. 68 62, 050. 28, 304, 303. 46 128, 495. 34
$300. 00 22, 574. 14 76, 495. 27 3, 636. 90 25. 70 1, 413. 18 30, 045. 68 14, 116. 68 62, 050. 28 304, 303. 46 128, 495. 34
391. 90 315. 00 3, 641. 64
11, 363, 58 315. 00 3, 641. 64
47. 728. 32 86, 209. 62
47, 728. 32 86, 209, 62
1, 341, 600. 49
55, 000. 00 25, 000. 00 2, 000. 00 40, 000. 00 15, 000. 00
1, 341, 600. 49 1& 227, 735, 71 21, 093. 73 21, 670. 00 10, 694. 90 11, 216. 65 14, 950. 00
3, 200. 000. 00 1, 500. 00 I, 000, 00 92, 000. 00
3, 095, 810. 94 8, 042. 42 1, 328. 07 90, 764. 26
3, 095, 810. 94 8, 042. 42
$10 972 58 500. 00 2, 000. 00 80, 000. 00 30, 000. 00 86, 000. 00
$4, 400. 00 23, 328. 32 33, 398. 73 73, 163. 10 8, 356. 24 5, 088. 38 546. 60 6, 427. 99 2, 034. 21 35, 649. 72 113, 131. 54 10, 117. 00 616. 20 2, 479. 85 185. 24
1, 393. 51 80, 000. 00 14, 407. 68 11,690. 38 $34. 50
I, 227, 735. 71 21, 093. 73 21, 670, 00 10, 694, 90 11, 216. 65 14, 950. 00
I, 328. 07 90, 764. 26&
848, 182. 51 631, 290. 92 34, 221. 27 12, 486. 50 1, 280. 38 33, 523. 35
415. 00 10. 41
812, 660. 87 77. 63
1, 264. 97 5, 885. 74 222. 04
800. 00
70, 000. 00 205, 000. 00 90, 000. 00
Port Huron, p
&
Mich. : Customhouse
and
offioe
No year
Portland, Maine: Courthouse Post office Portland, Oreg. : Courthouse Portsmouth, Ohio: Post oflice Portsmouth, Vs. Post office and custom-
49, 073. 06
49, 078. 06
36, 427. 94
year year year year
62, GfC. 57 11, 949. 38 480, 617. 19
28, 000. 00 355, 000. 00 665, 000. 00 135, 000. 00
63, 103. 81 181, 082. 61 899, 711.15 130, 210. 57
63, 103. 81 181, 082. 61 899, 711. 15 130, 210. 67
27, 888. 76 185, 866. 77 245, 906. 04 4, 789. 43
No year Potsdam, N. Y.: Post office No year Pottsvflle, Ps. Post office No year Pratt, Kans. : Post office No year Prescott, Ariz. : Post office snd courthouse No year Presque Isle, Maine: Post oflice No year Prestonsburg, Ky. i Post office No year Price, Utah: Post office No year Princeton, N. J.: Post oflice No year Princeton, W. Vs. : Post office No year Provfncetown, Mass. : Post office No year Pufimaa, Wash. : Post office No year Putnam, Conn. : Post office No year Quincy, Mass. : Post office No year Racine, Wis. : Post ofBce No year Rsvenna, Ohio: Post office No year Red Bank, N. J.: Post office No year Redlands, Calif. : Post office No year Reno, Nev. : Post oflice No year Richmond, Vs. : Parcel post building No year Post oflice, courthouse, and customhouse No year Roanoke, Va. : Post office and courthouse No year Rochester, Mian. : Post office. No year Rochester, N. Y.: Post office No year Rochester, Pa. : Post oflice No year Rockford, IB.: Post office. No year Rock Hill, S.C. : Post office and courthouse No year Rockingham, N. C. : Post oflice No year No year Rockland, Mass. : Post office No year Rogersvilie, Tean. Post oflice Rossville, Ga. : Post office No year Rushvifie, Ind. : Post oflice No year Rutherfordton, N. C. : Post ofBce No year Rutland, Vt. : Post office and courthouse No year No year St. Johns, Oreg. : Post office St. Louis, Mo. : Courthouse and customhouse No year No year Post oflice St. Paul, Minn. : Post oflice and customNo year house Sacramento, Calif. : Post oflice and courtNo year house No year Salem, Ind. : Post office No year Salem, Mass. : Post office No year Salem, &N. J.: Post office Salish»ry, N. C. : Post office and courtNo year house Salt Lake City, Utah. : Post office and No year courthouse San Angelo, Tex. : Post office and courtNo year house No year San Benito, Tex. : Post office. No year San Bernardino Calif. : Post office No year Sandersvflle, Ga. : Post office
1, 519. 29 34, 374. 50
2, 000. 00 57, 000. 00 126, 000. 00
1, 481. 79 80, 867. 36
1& 481. 79 80, 867. 36
2, 03'I. 50 10, 507. 14 125, 000. 00
838. 43 17, 252. 89 8, 758. 28 482. 13 17, 621. 10 19, 453. 88 38, 153. 66 137. 50 73, 082. 94 29, 885. 30 39. 00 20, 502. 60 13, 425. 86 31, 108. 55 140, 103. 31
1, 714. 28 37, 348. 55 2, 039. 30 500. 78 41, 893. 90 9, 847. 12 41, 846. 34 176. 87 6, 890. 81 53, 170. 20
65, 000. 00 175, 000. 00
838. 43 17, 252. 89 8, 758. 28 432. 13 17, 621. 10 19, 453. 88 38, 153. 66 137. 60 73, 082. 94 29, 885. 30 39. 00 20, 502. 60 13, 425. 86 31, 10S. 55 140, 103. 31
291, 000. 00
485. 00
485. 00
290, 516. 00
15, 000. 00
40, 402. 97
40, 402. 97
2, 163. 44
893. 14
12, 538. 36 81, 204. 95 304, 762. 81
:
house
:
.
:
.
.
No No No No
23. 50
23. 50
2, 552. 71 14, 601. 44 1, 797. 58 932. 91
40, 000. 00 9, 000. 00
4, 515. 00
65, 000. 00 20, 000. 00
9, 301. 00
80, 000. 00
314. 37 28, 973. 75 3, 055. 50 2, 321. 04 4, 803. 00 13, 902. 19 25, 810. 00 9, 527. 50
51, 000. 00 80, 000. 00
80, 000. 00
2, 282. 04 64, 300. 40 476. 33 59, 701. 45 44& 424. 19 B&f
2'T,
566. 41
$0, 27
13, 431. 50 4, 550. 00 3, 302. 17 ii, 35i. 94 7, 310. 00 29, 075. 08
1, 625. 00 1, 800. 00 16, 993. 71
14. 59
190, 000. 00 600, 000. 00 3, 000. 00 540, 000. 00
113, 345. 05 298, 539. 36 13, 812. 64 392, 754. 08
893. 14 113, 345. 05 298, 539. 36 13, 812. 64 392, 754. 08
34, 000. 00
61, 294. 29
61, 308. 88
2, 705. 89
40, 000. 00 26, 000. 00 9, 000. 00
573. 00 13, 048. 29 110, 163. 57 4, 385. 00
7, 000. 00 75, 000. 00 45, 000. 00
29, 317. 68 1, 293. 50
539. 30 154, 555. 92
9, 806. 35 1, 93 11, 978. 89 141, 156. 35 32, 393. 84
1, 400, 000. 00 49, 000. 00
290, 959. 10
290, 959. 10
f50, 755. Is
f50, 755. 19
1, 138, 358. 58 201, 048. 69
969. 30
590, 000. 00
159, 743. 55
159, 743. 55
500, 225. 75
295, 710. 00 2, 775. 00 6, 343. 50 28, 049. 32
600, 000. 00 42, 000. 00
629, 723. 43 39, 509. 68 148, 431. 88 32, 707. 89
629, 723. 43 39, 509. 68 148, 431. SS 32, 707. 89
265, 986. 57 5, 265. 32 47, 911.62,
16, 529. 91
16, 529. 91
159. 37
19, 735. 65
190„000.00 11,000. 00
16, 689. 28 109, 921. 48
240, 000. 00
330, 185. 83
330, 185. 83
5, 370. 05 27, 141. 00
120, 000. 00 64, 000. 00
87, 249. 81 80, 567. 23
403. 65 3, 842. 80
6, 500. 00
87, 249. 81 80, 567. 23 25. 29 9, 725. 62
9, 725. 62
hfi
1, 730. 79
1, 625. 00 22, 516. 08
19, 283. 92 42, 673. 37 9, 80G. 35 1. 93 11, 978. 89 141, 156. 35 32, 393. 84
G9,
19, 283. 92 42, 673. 37
Cl
320. 34 1, 899. 54 571. 07 8, 069. 40 44, 007. 22 16, 991. 16
(k
341. 4:1
38, 120. 24 10, 573. 77 378. 36 617. 18,
.
Receipts and experIChtures, [Debit transfer appropriations
(net) snd repayments to appropriations
Fiscal for which
tionn wss InaIie
GENERAL PUND oFFIGE oF svPERvISING
—Continued in excess of expenditures sre printed in ffofic] Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds avsffsble in 1933
year appropria-
IM8
Unexpended balances June 30, 1932
balances June 30, 1933
On books of the Treasury
Appropriations
On books of Treasury
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing oiffcers
—Continued
ARGHITEcr
—continued
—
Post otffces, courthouses, cusforahouses, efc. Contd.
Bsn Diego, Calif. : Post oflice Bandpoint, Idaho: Post offfce Banford, Me. : Post offfce Bsn Francisco, Calif. : Federal offfce building Post of5ce snd courthouse San Jose, Calif. : Post ofQce San Pedro, Calif. : Post offfce snd custom-
No year No year No year
$2, 000. 00 3, 686. 00
No year No year No year
2, 700. 00
year year year year year
160, 000. 00 6, 486. 16 27, 951. 23 18, 853. 13 4, 900, 00
No year bouse No year Sayre, Pa. : Post office No year Schenectady, N. Y. : Post offfce No year Scottsbluff, Nebr. : Post oflice Scranton, Pa. ; Post offfce snd courtNo year house Seattle, Wash. : No year Federal of5ce building No year Immigrant station and assay office No year Sedalis, Mo. : Post offfce No year Seguin, Tex. : Post oflice No year Seneca Falls, N. Y.: Post oflice No year Sheboygan, Wis. : Post office No year Shefiield, Ala. : Post of5ce No year Shelby, Ohio: Post office Shreveport, Ls. : Post oflice snd courtNo year house No year Sidney, Nebr. , Post office No year Sikeston, Mo. : Post offfce No year Silver City, N. Mex. : Post ofQce Sioux City, Iowa: Post offfce snd court.
49, 258. 06 1, 632. 47 4, 351. 00 543. 88
.
house
Santa Ana, Calif. : Post offfce Santa Fe, N. Mex. : Courthouse Bspulps, Okla. : Post offfce Sarasota, leis. : Post office Savannah, Gs. : Post offfce snd court-
No No No No No
.
:
:
.
South Haven, Mich. : Post olffce. South Milwaukee, Wis. c Past ofnce
$415. 00
$63, BOO. OO
55 855. 43
67, 855. 43
$1, 585. 00 171.90 9, 330. 57
1, 015, 000. 00 250, 000. 00 100, 000. 00
17, 361. 09 66, 508. 53 6, 790. 00
17, 361.09 56, 608. 63 6, 790. 00
1, 000, 338. 91 197, 081. 47 97, 957. 00
37, 000. 00 70, 000. 00
5, 373. 07 1, 967. 57 54, 664. 35 267. 33
6, 373. 07 1, 967. 57 64, 654. 35 267. 33
160, 000. 00 1, 113, 08 25, 983. 66 1, 198. 78 74, 632. 67
20, 000. 00
68, 453. 38
68, 463. 38
170, 000. 00
155, 500. 00 509. 66
155, 500. 00 509. 66
804. 68 1, 632, 47 18, 851. 00 34. 22
IT, 661. 53
17, 163 23
1, 148. 90
445, 000. 00 3, 500. 00
863, 307. 25 4, 593. 63
852, 146, 09 4, 693. 63
74, 000. 00 125, 000, 00
246. 67 48, 076. 68 81, 883. 05
246. 67 48, 075. 68 SI, SSB. OB
55, 000. 00
47, 746. 91
47, 746. 91
74, 000. 00 40, 000. 00 1, 000. 00
81, 448. 23 8, 460. 37 4, 401. 42
81, 448, 23 8, 460. 3T 4, 401. 42
tui
Q
.
house Bioux Falls, S.Dak. Post offfce snd courthouse Bomersworth N. H. : Post office Bomervffle, N. J. Post offfce Bouth Bend, Ind. : Post offfce snd court house Bouthbridge, Mass. : Post offfce
$416. 00
171.90
3, 590. 00 4, 747. 00
18, 810. 43 425, 636. 04
5, 003. 00 1, 301. 68 2, 000. 00 960. 00 3, 276. 00 2, 052. 46 1, 29B. 00 g, 118.30 2, 116.00
4, 122. 89 1, 774. 00
$0. 60
17& 32L
79 3, 909. 47 1, 301. 68 1, 753. 33 26, 874. 32 46, 391.96 2, 052. 46 8, 549. 09
~
3, 315. 00
525, 000. 00
863, 359. 64
363, 357. 17
No year No year No year
2g, 497. 20
5, 000. 00
8, 342. 00 1, 761.00
3, 000. 00 40, 000. 00
28, 414. 11 10, 287. 73
28, 414. 11 10, 287. 73
3, 960. 00
3, 960. 00
6, 083. 09 1, 064. 27 S7, 801. 00
350, 164. 67
160, 000. 00
459, 186. 04
45T, 086. 04
60, 968. 63
171.06 4, 895. 00 21, 976. 16
55, 000. 00 14, 000. 00
26, 810.43 36, 264. 90
26, 810. 43 35, 264. 90
year year year year
W
$50L 80 1, 162. 66
os
1, 870. 07 33, 654. 63 721. 47 1, 774. 00
No year
No No No No
06 M
$1. 77
164, 958. 69
171.06 34, 084. 57 TI I. 26
2, 100. 00
:
Soatb Bt. Paul, Minn. Post office No year Bpartaaburg, S.C.: Post offfce snd courthouse No year Speacer, Iowa: Post offfce No year Springfield, Ill. : Post of5ce snd courthouse No year Springfield, Mass. Post of5ce snd courthouse No year Sprlngffeld, Ohio: Post oflice No year Springfield, Vt. : Post offfce No year Spring Valley, IU. : Post offlce No year Ststea Island, N. Y. Post offfce No year Stephenville, Tex. : Post offfce No year Sterling, Colo. Post offfce and courthouse No year StiHwater, Okla. : Post offfce No year Stockton, Calif. : Post offfce No year Stroudsburg, Ps. : Post oflice No year Sturgis, Mich. : Post oflice No year Stuttgart, Ark. : Post offfce No year Sweetwster, Tex. : Post office No year Sylacauga, Ala. : Post oi5ce No year Syracuse, N. Y.: Post oflice No year Tsmsqua, Ps. : Post office No year Tampa, Fls. : Courthouse, post office, and customhouse No year Tauaton, Mass. : Post office No year Taylor, Tex. : Post of5ce No year Terre Haute, !nd. : Post offfce and courthouse No year Texarkana, Ark. -Tex. : Post oiffce snd courthouse No year Texas City, Tex. : Post offlce No year Thermopolis, Wyo. : Post offlce No year Thomastoa, Ga. : Post office No year Thomson, Gs. : Post of5ce No year Toccos, Ga. : Post oflice No year Toledo, Ohio: Courthouse snd customhouse No year Tooele, Utah: Post of5ce No year Topeka, Kans. Post offfce and courthouse No year Torrington, Wyo. : Post offlce No year Trenton, Mo. : Post offlce No year Trenton, N. J.: Post office and courthouse No year No year Troy, Ohio: Post offlce Tucson, Ariz. : Post oflice and courtNo year house Tulsa, Okla. : Post office and courtNo year bouse No year Twc Rivers, Wie. : Post offic No year Tyler, Tex. : Post office and courthouse No year Tyrone, Pa. : Post offlce No year Union City, N, J.: Post offfce No year Union Springs, Ala. : Post offfce. No year Uniontown, Pa. ; Post oflice No year Uaionville, Mo. : Post offlce No year Urbane, Ohio: Post oi5ce Utica, N. Y.: Post office, courthouse, and No year customhouse No year Vallejn, Calif. : Post office No year Vermilion, S.Dak. : Post offlce No year Veatura, Calif. : Post oflice -- No year Vincennes, Ind, : Post oflice No year Vfzalia, Calif, : Post oflice No year Waco, Tex. : Post office
.
:
:
:
.
..
:
.
.. .
.
.
5, 069. 88
21, 334. 53 2, 150. 00
75, 500. 00
4, 128. 26
2, 937. 50 69, 239. 34
2, 937. 60 69, 239. 34
1, 979. 74
1, 979. 74
18, SST. 03 8, 410. 66 2, 148. 52
192, 547. 93 3, 781. 20 3, 250. 00 3, 553. 21 92, 760. 51 750. 00
85, 000. 00 210, 000. 00
125, 537. 00 41, 404. 61
125, 537. 00 41, 404. 61
5, 000. 00
7, 295. 43 110, 69f. 83
7, 295. 43 110, 691. 83 50. 00
102, 010. 93 172, S76. 59 3, 260. 00 1, 257. 78 2, 068. 68 700. 00
1, 267. 52 2, 005. 00 144, 724. 70 852. 00 16, 708. 20 8, 149. 86 92. 62 18, 439. 99 8, 972. 75 66, 531. 91
5, 000. 00
1, 72S. 74 19, 948. 50 346, 583. 04 45, 973. 44 44, 483. 90 10, 428. 69 656. 50 18, 628. 06 108. 35 56, 255. 11
1, 728. 74 19, 948. 50 346, 583. 04 45, 973. 44 44, 483. 90 10, 428. 69 8, 911.22 18, 628. 06 108. 35 56, 255. 11
4, 538. 78 47, 056. 50 3, 141.66 29, 878. 56 1, 224. 30 721. 17 436. 12 5, 811.93 8, 864. 40 10, 276. 80
6, 000. 00
902. 55 54, 878. 88
902. 55 64, 878. 88
12, 019. 74 4, 046. 73 299. 03
52, 330. 00
425, 000. 00
237, 052. 32
237, 052. 32
240, 273. 10
189, 564. 25 27, 760. 49 6, 249. 00 6, 864. 00 1, 030. 50 9, 729. 25
400, 000. 00 17, 500. 00 57, 000. 00 45, 000. 00
398, 463. 4T 44, 870. 35 53, 464. 12 16, 061. 35 9, 576. 27 10, 134. 24
398, 463. 47 44, 870. 35 53, 464. 12 16, 061. 35 9, 576. 27 10, 134. 24
191, 100. 78 390. 14 9, 784. 88 35, 802. 65
6, 372. 62 3, 750. 00
20, 000. 00 45, 000. 00
16, 089. 29
I?„150.00
16, OS9. 29 12, 150. 00
10, 283. 33 36, 600. 00
237, 426. 54 2, 325. 00 3, 050. 00
350, 000. 00 57, 000. 00 58, 000. 00
276, 305. 84 52, 627. 34 42, 880. 97
276, 305. 84 52, 627. 34 42, 880. 9T
311, 120. 70
173, 077. 38 32, 849. 50
240, 000. 00 38, 500. 00
391, 176. 32 63, 208. 25
391, 176. 32 63, 208. 25
21, 901. 06 8, 141. 25
1, 679. 00
1, 679. 00
1, 088. 78
20, 000. 00 1, 500. 00 67, 000. 00
30, 115. 54 37, 319. 70 58, 878. 50 170. 00 2, 300. 50 125. 00 84, 059. 00 5, 332. 72 29, 582. 85
30, 115. 54 37, 319. 70 58, 878. 50 170. 00 2, 300. 50 125. 00 84, 059. 00 5, 332. 72 29, 582. 85
4, 033. 00 29, 070. 30 101, 796. 50 110.63 926. 55 1, 605. 81 12, 893. 52 1, 543. 00 46, 967. 15
100, 000. 00
1, 749. 90 62, 085. 35 480. 04 510, 00
1, 749. 90 62, 085. 35 430. 04 510. 00
5, 331.06
5, 331.06
38, 900. 27 41, 414. 65 1, 617. 58 2, 165, 00 2, 875. 00 5ix 408. 04 135, 000. 00
12, 922. 29 52, 925. 61
20, 000. 00
8, 264. 72
75, 000. 00 30, 000. 00 7, 000. 00 1, 000. 00 6, 000. 00
299. 03
9, 000. 00 5, 000. 00
2, 767. 78
!
48. 54 1, 390. 00 675. 00 280. 63 2, 227. 05 1, 730. 81 76, 952. 52 5 375 72 9, 550. 00
&9.
40, 650. 17 3, 500. 00 2, 047. 62
2, 675. 00 2, 875. 00 1, 740. 00
16, 000. 0t 65, 000. 00 160, 000. 00
1, 000. 00
60, 000. 00 135, 000. 00
34, 000. 00
454. 23 4, 595. 01
6, 697. 66 18, 169. 03
—Continued
Receipts and expenCit urea) 1988 [Debit transfer appropriations
(net) snd repayments
for which appropriation wss made
OTI&lcE
OI&
svPERVIsINO
are printed in ffoffr]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasury
GENERAL PUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
Fiscal year
to appropriations
To credit of dis-
Warrants-issued basis
Cheeks-issued basis
bursfng offfcers
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
ancHITEcT~ontinued
—
Poet oisces, courthouses, cosforshoascr, cfc. Contd. Wadesboro, N. C.: Post offlce Wslthsm, Mass. : Post oflice Warren, Pa. : Post oflice Warren, R.I.: Post oflice Warsaw, Iud. : Post office Waterbury, Conn. : Post office Watrrtown, N. Y.: Post oflice Watertown, S.Dak. : Post office Wsukegan, Ill. : Post office Waupun, Wis. : Post offlce Wausau, Wis. : Post offlce Waynesboro, Ga. : Post oflice Waynesboro, Pa. : Post office Waynesburg, Ps. : Post office Weiser, Idaho: Post oflice Wellsboro, Pa. : Post office Wellsville, N. Y.: Post oflice Westminister, Md. : Post oflice West New York, N. J.: Post ofllce Westplains, Mo. : Post oflice West Point, Qs. (Lanett, Als. ): Post
.
.. .
.
office
West Point, Vs. : Post ofiico Weston, W. Va. : Post office West Warwick, R.I.: Post office . Wheaton, Ill. : Post office White Plains, N. Y.: Post office White River Junction, Vt. : Post office Whiting, Ind. : Post offlce Wichita, Kans. : Post office snd courthouse Wichita Falls, Tox. : Post oflice snd courthouse Wilkes-Bsrre, Pa. : Post oflice Wflifamsport, Ps. : Courthcuse snd post
.
.
office
Willismstown, Mass. : Post office Wilmington, Ohio: Post offfce . Wilson, N. C.: Post office Winchester, Iud. : Post offiCe Winner, S.Dak. post oflice Winona, Miss. : Post oflice. Winthrop, Mass. : Post office Wisconsin Rapids, Wis. Post office Woodstock, Hl. Post ofnce ) woodstook, va. post oslce
:
: :
:
.
No year year year year year year year year No year No year No year No year No year No year No year No year No year No year No year No year
$3, 600. 00 68& 091. 63 6, 908. 42 6, 463. 28 8, 336. 11 73, 255. 30 1, 421. 01 3, 419. 00 4, 975. 00 7, 613. 00 4, 650. 00 6, 036. 96 4, 700. 00 1, 363, 68
$55, 0oh 00 5, 000. 00 10, 000. 00 2, 000. 00
842, 00 5, 099. 62 12, 403, 00 31, 950. 00 4, 005. 00 816. 55
No No No No No No No No
1S, 194. 10 6, 940. 58 4, 525. 00
No No No No No No No
$35, 547. 13 72, 000. 00 12, 483. 54 7, 559. 05 674. 16 256, 776. 10 1, 112. 00 35, 633. 41 96, 649. 61 44, 326. 63 84, 125. 00 7) 518. 00 75. 00
$35, 547. 13 72, 000. 00 12, 483. 54 7, 559. 05 674. 16 256) 776. 10 1, 112.00 35, 633. 41 96, 649. 51 44, 326. 63 84, 125. 00 7, 518. 00 75. 00
55, 000. 00 3, 500. 00 75, 000. 00 44, 000. 00 130, 000. 00 1, 000. 00
1, 853. 61 7, 779. 22 84, 811. 58 51, 416. 09 130, 020. 00 1, 612. 42
1, 853. 61 7, 779. 22 84, 811. 58 51, 416. 09 130, 020. 00 1, 612. 42
7, 000. 00
24, 455. 95
24, 455. 96
95, 000. 00 5, 000. 00 81, 000. 00 2, 000, 00 15, 000. 00 35, 000. 00
3, 615. 03 57, 144. 90 8, 901. 77 46, 732. 91 1, 732. 29 16, 000. 00 53, 957. 86
3, 615. 03 57, 144. 90 8, 901. 77 46, 732. 91 I, 732. 29 16, 000. 00 53, 957. 86
12, 000. 00
9, 578. 18
185, 000. 00 65, 000. 00 155, 000. 00 42, 000. 00 183, 000. 00 3& 000. 00
year year year year year year year year
28, 300. 00
No year
6, 605. 00
No year No year
118, 182. 96 I, 530. 00
195, 000. 00 200, 000. 00
273, 057. 59 17, 696. 92
4, 666. 82
100, 000. 00 78, 000, 00
81, 687. 48
No year No year No year No year No year No year No year No year No year No year No year
11, 921. 74 5, 100. 00 1, 321. S9 16, 000. 00
$18, 272. 19
4, 600. 00 1, 861. 23 5, 082. 32 15, 042. 00 33, 632. 47 10, 500. 00 17, 725. 98 36, 420. 60 65. 46 4, 209. 67
7, 045. 91
35, 000. 00 28, 000. 00 43, 000. 00 I, 500. 00 46, 000. 00 I, 609. 00 2, 000. 00
27
85&
037
273& 057.
$23, 052. 87 1, 091. 53 4, 424, 88 904, 23 7, 661, 95 1, 479. 20 309. 01 32, 785. 59 63, 325. 49 5, 286. 37 103, 625. 00 1, 518. 96 4, 625. 00 1, 363. 68 53, 988. a9 820. 40 2, 591. 42 24, 633. 91 3, 986. 00 204. 18 738. 14 2, 325. 55 42, 380. 10
8, 019. 97 39, 367. 09 1, 589. 60 15, 000. 00 9, 342. 14 9, 026. S2
59 17, 696. 92
40, 125. 37 183, 833. 08
66, 386. 78
81, 687. 48 56, 386. 78
662. 16 42, 986. 27 60, 716. 36 46, 960. 46 12, a65. 50 81, 671. 27 886. 78 5, 506. 27
662. 16 42, 926. 83 60, 716. 36 46, 960. 46 12, 365. 60 81, 571. 27 7, 932. 69 5, sce. 27
22, 979. 34 26, 113.22 1, 861. 23 4, 420. 16 7, 055. 73
916. 11 6, 539. 64 6, 860. 48 849. 23 178. 68 703. 40
I
: :
1
.
Woonsocket, R.I. Post ofhce No year Wooster, Ohio: Post office No year Worcester, Mass. Post ofhce and courthouse No year Ohio: Post ofhce and Youngstown, courthouse No year Yuma, Ariz. : Post office No year Zanesville, Ohio: Post oflice No year
50. 96
563. 74
5, 645. 00
15, 264. 95
s, 440. 69
9, 874. 56
215, 000. 00 70, 000. 00 52, 000. 00
308, 259. 00 36, 073. 78 70, 744. 12
308, 259. 00 36, 073. 78 70, 744. 12
131,315, 425, 00
73, 768, 084. 74
74, 624, 814. 43
924, 747. 41
924, 747. 41
2, 725, 948. 33
2, 841, 547. 05
.
138, 344. 68 14, 815. 50 30, 657. 00
fund„exclusive of sites and construction under act of July 21, 1932
19, 922, 011. 34
1, 039. 65
614. 70
1, SOS. 39 4, 430. 37
4, 430. 37 !&,
086. 39
1, 95& 00
45, 085. 68 48, 741. V2 11, 912. 88
Total general
Washington, D. C.: Acquisition of triangle properties No Landscape work, Triangle at FifAve. teenth and Pennsylvania No NW Agricultural Department buildings No No Apex Commission Building Archives Building No Central heating plant for public buildings No Connecting wing, Labor-Interstate Commerce Commission Building No Department of Commerce Building No No Department of Justice Building Department of Labor Building No Department of State Building No Government Printing Office BuildNo ing Internal Revenue Building No Interstate Commerce Commission No Building
National ing
Institute
of Health
year
1, 192, 47'?. 25
year year year year
11,644. 50 584, 700. 32 3, 855. 20 789, 913. 80
year
2, 602, 000. 00
$209. 69
77, 428, 246. 17
1, 002, 989, 24
267, 729. 84
8. 34
11,644. 50 360, 743. 65 3, 841. 25 874, 399. 71
226, 90?. 90
448, 980. 30
250, 844. 73 105& 249.
53, 014. 15
13.95
13.95
24, 309. 01
1, 500, 000. 00
1, 415& 514. 09
1, 212, 915. 20
816, 976. 78
75, 000. 00
1, 400, 000. 00
1& 767& 995
73
1, 592, 151.00
year year year year year
68. 96 39, 527. 48 125, 060. 20 14, 640. 00 9, 205. 00
456. 05 69, 008. 41 120, 735. 90 16, 688. 44
1, 100, 000. 00 300, 000. 00 5, 600, 000. 00 2, 600, 000. 00 «9, $06. 00
1, 022, 177. 54 191,898. 27 4, 675, 595. 37 2, 395, 200. 15
917, 384. 46 173, 191.87 4, 678, 269. 57 2, 248, 895. 59
77, 89L 42 147, 629. 21 949, 464. 83 219, 439. 85
year year
16, 508. 36 388, 488. 59
50 107. 81
«NO, 000. 00
3f, SN. 6$
13, 414. 19
16, 508. 36 170, 29& 21
4, 886. 00
year
587. 88
573. 62
3, 300, 000. 00
3, 140, 809. 02
2, 958, 564. 80
159, 778. 86
184, 817. 84
u 689, 953. 65 u $89, 95& 65
233, 224. 63 10, 046. 35
233, 224. 63 10, 046. 35
456, 729. 02
243, 270. 98
243, 270. 98
5, 524, 970. 60 347, 617. 22
5, 273, 746. 57 431, 861. 34
28, 356. 49
28, 356. 49
215. 00
215. 00
1, 232, 492. 98
1, 232, 492. 98
6. 00 1, 867, 507. 02
7, 08& 56
3, 471. 56
60, 581. 87
24, 437. 17
No year 1931-32
. No year
2&
300, 000. 00
No year
137, 048, 03 239, 615. 75
No year No year
1, 226, 038. 81 642. 90
No year ing, site No year Washington, D. C. : Post oQice Water mains and other utilities, No year Washington, D. C fund,
168, 612. 87
$40 895 74
.75
13 87, 714. 81 118,061. 70 162, 993. 00
Build-
Post Once Department Building Public Health Service Building Treasury Building, construction of vault Treasury Building, new roof, etc United States Supreme Court Build-
Total general
1, 859, 718. 93
97, 76& 63 95, 088. 48
5, 900, 000. 00 110, 000. 00
31. 98
u 600, 000. 00
348, 989. 66 10, 844. 36
1, 197, 682. 32 427. 90
6. 00 2, 500, 000. 00
512 045 45 1, 998. 53
53, 493. 32
34, 997. 28
8, 450, 499. 13
755, 343. 50
24, 952, 795. 00
25, 597, 926. 96
24, 7?4, 510. 01
427. 90
41. 07
7, 804, 898. 20
1, 578, 760. 45
28, 372, 510. 47
2, 615, 062. 43
156, 268, 220. 00
99, 366, 011.70
99, 399, 324. 44
41& 323. 64
250. 76
85, 233, 144. 37
2, sab 749, 69
Washington,
D. C Total general fund, sites, construction, and rent, post offices, customhouses, courthouses, ctc. , exclusive of sites, etc. , under act o( July 21, 1932
«Returned to "Sites and construction, public buildings, act May 25, 1926, as amended ", act July 3, 1930 Stat. 891). u Includes appropriation of $400, 000, act Mar. 3, 1933 (47 Stat. 1502), and $289, 953.65 transferred from 1931-32 account Act July 1, 1932 (47 Stat. 540). (46
«Transferred to "No year" account. See note 41. u Aet of Mar. 3, 1933 (47 Stat. 1502).
—
I988 Continued
Receipts and expenditures, (Debit transfer appropriations
(net) snd repayments
Fiscal year
or
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
On books of the Treasury Appropriations
To credit of dis-
Treasury
OPFIcE
are printed in itstfci
Unexpended balances June 30, 1932
On books of
GENERAL FUND
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which appropriation was made
to appropriations
Warrants-issued basis
Checks-issued basis
bursing officers
Act June 20 1874
Impounded salary savings
To credit of Reserve for impounded salary savrngs (see p. 7)
disbursing officers
Available
—Continued
suPERVISING ARGHITEcT
—contnlued
Irtspcctfort stations
.
Alburg, Vt. : Inspection station Ambrose, N. Dak. : Inspection station Babb-Piegsn, Mont. : Inspection station Beecher Falls, Vt. : Inspection station Blsine, Wash. : Inspection stations Calexico, Calif. : Inspection station Canaan, Vt. : Inspection station Champlain, N. Y.: Inspection station Chatesugsy, N. Y. Inspection station Derby Line, Vt. : Inspection station Douglas, Ariz. : Inspection station East Riehford, Vt. : Inspection station Eustis, Maine: Inspection station Fort Covington, N. Y.: Inspection station Fort Fairfield, Maine: Inspection station Highgate Springs, Vt. : Inspection station Houlton, Maine: Inspection station Limestone, Maine: Inspection station Metaline Falls, Wash. : Inspection station Moores, N. Y.: Inspection station Norton Mills, Vt. : Inspection station Noyes, Minn. : Inspection station Orovfffe, Wash. : Inspection station Portal, N. Dak. : Inspection station Richford, Vt. Inspection station Roosville, Mont. : Inspection station . Rouses Point, N. Y, : Inspection stations St. Johns, N. Dak. Inspection station Ssn Luis, Ariz. : Inspection station Ssn Ysidro, Calif. : Inspection station Sumas, Wash. : Inspection station Sweet Qrass, Mont. : Inspection station Tecate, Calif. : Inspection station Trout River, N. Y.: Inspection station West Berkshire, Vt. : Inspection station
:
.
:
:
No No No No No No No No No No No No No
year year year year year year year year year year year year year
$4, 900. 00 6, 837. 00 18, 264. 42 8, 786. 60 371. 21 4, 900. 00 600. 00 21, 414. 70 2, 741. 00 15, 548. 97 24, 725. 00 657. 00 6, 618. 91
No year No year
No year No year No year
I, 500. 00
No No No No No No No No No No No No No No No No No
year year year year year year year year year year year year year year year year year
50, 000. 00 3, 500. 00 15, 000. 00 36, 500. 00 6, 500. 00 27, 000. 00
$6, 228. 60 15, 157. 70 13, 283. 50 43, 185. 90 119.00 31, 842. 74 2, 900. 00 35, 091. 82 31, 556. 04 21, 854. 92 43, 167. 05
11, 000. 00
296. 64 9, 447. 12
1, 000. 00 1, 750. 00
30, 000. 00 27, 500. 00
5, 644. 76
707. 20
15, 000. 00 39, 500. 00 22, 000. 00
1, 598. 43 2, 767. 70
4, 424. 13
17, 165. 90 4, 405. 00 4, 725. 00 1, 867. 66
10, 900. 00 8, 030. 18 330. 00 3, 980. 00 8, 259. 35 3, 504. 73 6, 473. 80 13, 980. 50 7, 514. 00 4, 988. 00 4, 616. 00 17, 459. 91 4, 825. 00
$35, 000. 00 9, 200. 00
37, 500. 00
~
1, 155, 00
5. 75
28, 299. 05 26, 319. 83 2, 500. 00 6, 105. 41
$6, 228. 50 15, 157. 70 13, 283. 50 43, 185. 90 119.00 31, 842. 74 2, 900. 00 35, 091. 82 31, 556. 04 21, 854. 92 43, 167. 05 296. 54 9, 447. 12
$33, 671. 50 879. 30 4, 980. 92 3, 100. 70
1, 155. 00 5, 644. 76
29, 845. 00 23, 605. 24
6. 75 1, 598. 43
39 401 57
2, 767. 70
23, 656. 43
28, 299. 05 26, 319.83
252. 21 23, 057. 26 1, 200. 00 I, 322. 88 I. 684. 96 194. 05 8, 557. 95 360. 46 8, 171. 79
15, 701, 45
3, 200. 00 29, 000. 00 25, 000. 00 55, 000. 00 3, 700. 00 6, 000. 00 72, 000. 00 17, 000. 00
36, 982. 98 11, 101. 52 20, 165. 26 7, 006. 47 36, 601. 99 6, 777. 25 10, 386. 30 83, 932. 10 24, 483. 93
2, 500. 00 5, 105. 41 36, 932. 98 11, 101. 52 20, 165, 25 7, 006. 47 36, 601. 99 6, 777. 25 10, 386. 30 83, 932. 10 24, 483. 93
14, 600. 00
24, 821. 04
24, 821. 04
800. 00
800. 00
5, 866. 85 13, 085. 17 2, 225. 00 512. 25 4, 967. 02 128. 66 9, 164. 75 21, 978. 53 26, 657, 36 427. 48 1, 087. 60 2, 048. 40 30. 07 4, 988. 00 4, 616. 00 7, 138. 87 4, 025. 00
590, 535. 59
590, 636. 59
334, 584. 58
17, 000. 00 35, 000. 00
3, 760. 00 31, 000. 00
Total general fund, inspection stations, exclusive of sites, etc. , under sct of July 21, 1932
247, 770. 17
677, 350. 00
Quarantine
stations
Fort Monroe, Va. : Quarantine station
:
1932
55, 000. 00
$55, 000. 00
Los Angeles, Calif. Quarantine station Miami, Fla. : Quarantine station MoMe, Ala. : Quarantine station
No year No year No year 1931-32
New Orleans, La. : Quarantine station Reedy Island, Delaware River: Quarantine station Sabine Pass, Tex. : Quarantine station Texas quarantine stations
No year
9, 555. 00 I, 000. 58 15, 370. 96 3, 458. 25
No year No year No year
1, 416. 87 29, 290. 00 11, 505. 00
13, 100. 00
126, 596. 66
81. 600. 00
99, 695. 59
98, 768. 65
14, 480. 00 1. 06
825, 000. 00
499, 549. 09
499, 543. 91
2, 000. 00
$537. 00
I, 004. 80
I& 004. 80
53, 500. 00
62, 478. 61
62, 478. 61
13, 000. 00
8, 903. 95 12, 975. 27
8, 903. 95 18, 612. 27
13, 056. 96 1, 276. 00
11, 593. 02 1, 276. 00
995. 20 576. 39 I, 000. 58 6, 467. 01
3, 482. 98 1, 459. 91 28, 014. 00
$1, 463. 94
35, 529. OG
I, 463. 94
339, 930. 91
5. 18
11& 505. 00
Total general fund, sites and construction, quarantine stations, exclusive of sites, etc. , under act of July 21, 1932
72, 972. 01
Marine hospitals
«No
Baltimore, Md. : Marine hospital Carville, La. : Marine hospital
No year year Certified claims Chicago, Ill. : Marine hospital No year Detroit, Mich. : Marine hospital No year Evansville, Ind. : Marine hospital No year G'alveston, Tex. : Marine hospital No year Key West, Fla. : Marine hospital No year Louisville, Ky. : Marine hospital No year Memphis, Tenn. : Marine hospital No year Mobile, Ala. : Marine hospital No year New Orleans, La. : Marine hospital No year New York, N. Y.: Marine hospital No year Norfolk, Va. : Marine hospital No year San Francisco, Calif. : Marine hospital No year Savannah, Oa. Marine hospital No year Seattle, Wash. : Marine hospital No year
:
1. 06 419. 20 460, 000. 00 390, 000. 00 53, 000. 00 50, 000. 00
4, 635. 76 36, 138. 61 36, OS6. 30 28, 287. 15 2, 550. 53 24, 550. 00 4, 530. 00
270, 000. 00
1, 845. 11 268, 335, 02 2, 905. 66 12, 150. 00 29, 578. 21 1S, 000. 00 165, 029. 27
250, 000. 00
325, 000. 00 92, 000. 00
419. 20 273, 215. 61 382, 445. 61 76, 284. 67 73, 038, 30 2, 549. 30 199, 666. 02
419. 20 273, 214. 07 381, 445. 61 76, 284. 67 73, 038. 30 2, 549. 30 199, 666. 02
246, 377. 49 162, 597. 33
246, 377. 49 162, 597. 33
1, 569. 18 194, 415. 30 96, 049. 76
1, 569. 18 194, 415. 30 96, 049. 76
191, 420. 15 43, 693. 00 12, SOL 63 5, 248. 85
l. 23 94, 883. 98 4, 530. 00 5, 4G7. 62 105, 737. 69
1, 800. 00 453, 910. 00
453, 910.00
2, 662, 086. 86
2, 661. 080. 14
3, 146. 50
10, 788. 54
2, 665, 233. 36
2, 671, 868. 68
l. 54 1, 000. 00
1, 336. 48 142, 734. 70 25, 528. 45 16, 200. 00
Cl
111,119. 27
Total
general fund, sites and construction, marine hospitals, exclusive of sites, etc. , under act of July 21, 1932
.
649, 102. 68
3, 115, 419, 20
1, 801. 06
1, 100, 633. 9G
1, 006. 72
104, 463. 66
2, 649. 72
I, 215, 097. 62
3, G56. 44
SPECIAL IPUNDS OPPICE OP SUPERVISING ARCHITECT
Marine hospitals Cleveland, Ohio: Marine hospital (new)
Total, marine hospitals, exclusive of sites, etc. , under act of July 21, 1932.
«See also account, p.
273,
No year
107, 610. 16
10, 291. 76
756, 712. 84
10, 29L 76
3, 115, 419. 20
1, 801. 06
Receipts and expenditures, iDebit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
to appropriations
—Continued in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
le)88
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing offfcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
A.vailsble
QENERttAL FUND Veterans' hospital
Hospital facilities, etc. , for war patients
No year
$2, 581. 76
$2, 581. 76
Total, sites and construction buildings,
for public under Oiffce of Supervising
Architect: General fund Special funds
Summary, Offfce of Supervising Architect, including public buffdings, hospitals, etc. : General fund Special funds
Total
29, 398, 561. 74 107, 610. 16
$2, 615, 599. 43 10, 291. 76
$160, 142, 589. 20
$102, 7 18, 329. 74 3, 146. 50
$102, 749, 708. 82 10, 788. 54
118, 678. 47
$250. 76
$86, 703, 891. 97 104, 463. 66
$2, 584, 220. 35 2, 649. 72
29, 506, 171.90
2, 625, 891. 19
160, 142, 589. 20
102, 721, 476. 24
102, 760, 497. 36
118, 67S. 47
250. 76
86, 808, 355. 63
2, 586, 860. 07
32, 964, 477. 76 107, 610. 16
3, 718, 613. 78 10, 291. 76
186, 646, 521. 65
124, 859, 522. 05 3, 146. 50
124, 573, 779. 61 10, 788. 54
805, 058. 33
982, 255. 59
$340, 407. 59
92, 623, 755. 85 104, 463. 66
4, 004, 356. 22 2, 649. 72
33, 072, 087. 92
3, 728, 905. 54
186, 646, 521. 65
124, 862, 668. 55
124, 584, 568. 15
805, 058. 33
982, 255. 59
340, 407. 59
92, 728, 219. 51
4, 007, 005. 94
g
TREASURT& MIBCELLANEOUS
Claims
allowed
under
Bowman
and
No year Claims for damages, act Dec. 28, 1922, No year Treasury Department Judgments, Court of Claims, Treasury No year Department Judgments, United States courts, TreasNo year ury Department Interest on amounts withheld from claimants by the Comptroller General of the United States, sct Mar. 3, 1875 (S.Doc. 198 snd H. Doc. 507, 72d No year Cong. ) No year Payment of French spoliation claims No year Reimbursement to Blanks &k Norton Relief of: No year Hilda Bernard No year Mildred B. Crawford No year Samuel C. Davis No year John L. Dunn No year E. H. Flagg No year Gertie Foes, widow of Olaf Foss No year Letitia W. Garrison No year William L. Gilbert Clock Co. David Gordon Building &fe ConstrucNo year Same Qiacalone and Same Ingrande No year
Tucker Acts
162. 00
162. 00 604. 80
3, 25B. 86
2, 546. 97
2, 546. 97
1, 314. 69
292. 00
619, 469. 28
619, 562. 2S
619, 562. 2S
199.00
846. 66
24, 212. 12
19, 634. 56
19, 634. 56
5, 424. 22
29, 428. 59
29&
428. 59
64, 237. 57
64, 237. 57
35. 00
35. 00 1, 386. 80 2, 500. 00 4, 725. 32 2, 000. 00
1, 386. 80 2, 500. 00 4, 725. 32 2, 000. 00
1, 000. 00 1, 170. 00 375. 00 416. 92
1, 000. 00
1, 116. 60
1, 116. 60 469. 66
1, 386. 80 2, 500. 00 4, 725. 32 2, 000. 00 1, 000. 00 1, 170. 00 375. 00 41B. 92
416. 92 459. 55
1&
116.60 459. 65
ec&
CO t&s
Estate of Jacob D. Hsnson George T. Johnson 61 Sons William Knourek Lehde 6r Schoenhut L. Lyons 4t Co National Ben Frsnkhn Fire Insurance Co William Powell Lillie B. RsndelL Quet J. Schweitzer Elsie M. Sears Mary Byrkett Sinks Robert Spaugh J. H. Wallace Samuel Weinstein Westinghouse Electric 6r Manufacturing Co ewis O. Wick Withycombe Post No. 11, American Legion Increase of compensation, Treasury De) psrtment To promote the education of the blind « Permanent and indefinite: Increase of compensation, Treasury
I.
I.
No No No No No
year year year year year
No No No No No No No No No
year year year year year year year year year
No year No year
5, 000. 00 180. 00
421. 00 739. 25 3, 793. 07
83. 00
180. 00 421. 00 739. 25 3, 793. 07
5, 000. 00 180. 00 421. 00 739. 25 8, 793. 07
406. 29 83. 00
975. 00 100. 00
975. 00 100. 00 25. 00
175. 00
25. 00 176. 00
25. 00 175. 00
250. 00
250. 00 3, 000. 00
750. 00
750. 00
250. 00 3, 000. 00
999. 00
3, 000. 00
999. 00 500. 00
500. 00
No year
957. 78
957. 78
957. 78
66. 69
1923 1933
Department.
5, 000. ri0
65, 000. 00
47. 80 61. 50 84. 00 7. 88 313. 75
47. 80 51. 50 84. 00 7. 88 313. 75
183. 72
183. 72
10, 000. 00
10, 000. 00
10, 000. 00
2, 616. 31
2, 615. 31
2, 615. 31 1, 388, 068. 64
I. 00
603, 060. 18
197. 62
1922
1921 1920 1919 Cert(Bed claims
66. 59
65, 000. 00
313. 75
47. 20 61. 50 24. 00 7. 33
To promote
the education of the No year blind, interest « Refunding moneys erroneously reNo year ceived and covered (Treasury) Special deposit accounts
«9, 803, 349. 45
'tl 1 1 185i
418 g9
Total general fund, Treasury, mis78i 41g 16
cellaneous
gi 803i 349 45
775, 560. 36
779, 039. 42
74, 742. 48
11, 185, 418. 99
t3
TRUST PUNDB TEEASUEY, susCELLANEOUS
Matured obligations of the District of Columbia Outsian&ling liabilities Spanish indemnity, interest Spanish indemnity, principsL To promote the education of the blind, principal Trust-fund interest for support of free schools in South Carolina Unclaimed, condemnation awards, Treasury Department Unclaimed moneys of individuals whose whereabouts are unknown (Treasury) Special deposits accounts
No No No No
year year year year
110, 383. 95 8, 224, 742. 74 6, 452. 06 2, 778. 25
No year
250, 000, 00
250, 000. 00
No year
1, 489. 64
1, 489. 64
864, 016.80
No year
No year
305. 00
6L 11
8, 013.83
Total trust funds, Treasury, miscel8, 604, 164. 97
laneous. '1'otah Treasury, miscellaneous
«See interest account «See note 45.
following.
110, 383. 95 8, 488, 757. 94 6, 452. 06 2, 778. 25
864, 016, 80
8, 682, 584. 13
9, 803, 349. 45
20. 00 384, 888. 88
8, 054. 44
8, 868, 221. 28
324 983. 32
8 942 963 76
11 610 402 31
61. 11
868, 896. 80
688, 878. 68
775, 621I 47
515, 044. 22
I, 188, 008. 64
324, 983. 32
197. 62
«Exclusive of $169,789.35 transferred fund, special deposit account.
and stated under
"Farm Credit Administration",
p. 9, ss s special CO
Receipts antj egpenditures, [Debit transfer appropriations
(net) snd repayments
—
7988 Cofltinued
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre printed in italic!
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year
for which
appropriation was mails
Unexpended balances June 30, 1932
On books of the Treasury
Appropriations On books of Treasul'y
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing off)cars
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
GENERAL FUND srpclst
AccouNTs
.
payment of Cape Cod Canal bonds . Purchase of obligatiens of foreign governments 'Claims of Austnan and Hungarian nstionals against the United States (awards and expenses of administration, war claims arbiter), under sec. 6 of settlement of War Claims Act of 1928, approved Mar. 10, 1928 Claims of Qermsn nationale against the United States (awards and expenses, war claims arbiter), under sec. 3 of settlement of War Claims Act of 1928, approved Mar. 10, 1928 Subscriptions to paid-in surplus, Federal land banks Subscriptions to capital stock, Federal land banks Subscriptions to capital stock, Federal intermediate credit banks Subscriptions to preferred shares, Federal
No year
$3, 865. 03
$3, 8Ci5. 03
No year
26, 424, 629. 05
26, 424, 629. 05
No year
$23, 272. 43
$23, 272, 43
$23, 272, 43
No year
113, 624. 20
113, 624, 20
113, 624. 20
No year
50, 000, 000. 00
No year 28, 000, 000. GO
No year
fund,
Special
848, 545. 00
848, 545. 00
28, 000, 000. 00
28, 000, 000. 00
242 545 00
50, 000, 000. 00
50, 000, 000. 00',
No year savings and loan associations Subscriptions to capital stock, Federal No year Deposit Insurance Corporation
Total general
50, 000, 000. 00
150, 000, 000. 00
150, 000, 000. 00
ac26, 428, 494. 08
counts Summary, Treasury Department: Qeneral fund Special funds Trust funds
Total
278, 136, 896. 63
27, 894, 351. 63
27, 894, 351. 63
276, 671, 039. 08
90, 939, 389. 62 758, 425. 70 S, 978, 430. 27
$31, 947, 690. 56 71, 665. 83
637, 236, 610. 83 2, 706, 791. 06 1, 809, 86
329, 496, 064 27 2, 475, 849. 52 864, 486. 48
333, 719, 399. 90 2, 629, 417. 92 558, 473. 74
$4, 520, 928. 93 4, 626. 69
$7, 847, 194. 76
$1, 614, 153.89
384, 697, 658. 60 984, 740. 55 9, 214, 735. 55
$27, 724, 354. 93 18, 097. 48 324, 983: 32
100, 676, 245. 59
32, 019, 356. 39
639, 946, 211. 75
331, 737, 418. 37
335, 689, 339. 08
4, 525, 555. 62
7, 847, 194. 'JB
1, 614, 153. 89
394, 897, 134. 70
28, 067, 435. 68
295, 060. 00
248, 360. 62
247, 642, 02
27, 069. 54
15, 042. 48
6B4. 99
861. 66
3. 33
4, 687. 36 2, 451. 0?
718. BO
1, 789. 41 375. 83
WAR DEPARTMENT MtLTTART Acvtvivtzs SADARIESi WAR DEPARTMENT
Salaries: Office of Secretary of Wsr
1933 1932 1931
375. 83 247, 698. 96
247, 645. 35
Ofhce of Chief of 8tafr
1933 1932 1931
Adjutant General's Oflice
1933 1932
Oflice of Inspector General
Oflice of Judge Advocate U. S. Army
1933 1932 1931
201, 064. 41
201, 259. 68
201, 064. 41
1, 265, 062. 77
1, 262, 105. 91
fee. 7S
127. 50
1, 264, 863. 05
1, 262, 233. 41
23, 390. 00
23, 384. 23
20, 864. 93
6, 489. 16
3, 179.92 3, 492. 74
129, 245. 02
42, 104. 00
24, 990. 21
1, 641. 93
461, 402. 00
1&
215. 80
201, 500. 00 S40. SS
240. 32
327. 22
28, 345. 00
415. 52
2, 365. 10
2, 262. 12
327. 78 5. 20
7, 625, 91
1, 267. 80
1, 036. 41
5. SO 316. 14
316. 14 23, 384. 80
23, 384. 23
74, 271. 88
74&
General, 1933 1932 1931
Oflice of Chief of Finance
Office of Quartermaster
282, 034. 00
8, 252. 42 1, 641. 93
1933 1932 1931
GeneraL
1933 1932 1931
&
82. 81 1, 510. 33
203. 42
84, 202. 00
832. 65
.
74, 068. 46
74, 213. 61
382, 400. 00 SSS. 66
331& 849. 98
33, 606. 45
8, 892. 03
7, 922. 52 5, 699. 17
73, 296. 17
12& 653. 62
20, 476. 21 3, 434. 61
3, 473. 90
830, 825. 00 3, 260. 45 28
68. 37
286. 23
1, 510, 33
382, 720. 00
6, 366. 62 3, 473. 90
213. 51
sos. Js
i
332, 067. 35
331, 849. 98
724, 400. 00
723, 303. 23
174. 06
f74. 06
. 28
'tl
Signal Office
1938 1932 1931
Office of Chief of Air Corps
.
Ofhce of Surgeon General
Bureau of Insular Affsirs
Offjcc of Chief of Engineers
1933 1932 1931
1933 1932 1931
.
1933 1932 1931
.
1933 1932
724, 225. 94
723, 303. 23
95, 500. 00 188. Ss
95, 143. 36
106, 620. 00
525. 77 1, 431. 84
133.42
. 95, 366. 58
95, 143. 35
204, 800. 00
204, 292. 21
355. 25
109. 52
90. 60
90. 60
204, 535. 36
204, 382. 81
246, 946. 27 1Oe. 5S
246, 660. 66
246, 836. 75
246, 660. 65
75, 400. 00 Sf 8. 7S
74, 971. 35
216. 72
606. 52 625. 11
507. 79
6&
016.43
25, 354. 32
6&
725. 57
3, 462. 84 2, 680. 18
285. 62
1, 040. 00
1, 337. 76
428. 66
2&
3, 176. 94
7, 685. 24
484. 31
97. 26
r 126, 766. 00
546. 39
356. 66
642. 56
85, 413. 00
267. 59 97. 26
2, 749. 01 659. 19
20, 683. 05
eek 96
282, 489. 00
2, 470. 66 642. 56
130. 00
1, 431. 84
234, 105. 00
269. 86 3, 266. 54
8, 240. 99
254. 36
75, 183. 28
74, 971. 35
112, 950. 00 S64. 88
112, 704. 22
112, 6N. 64
112, 704. 22
t Includes $30 transferred from "Special services, Ofhce of Judge Advocate General, U. S. Army, 1933", act Jul14, 1932 (47 Stat. 665).
r
Includes $2, 240 transferred
sct June 30,
1932 (47
Stat. 411).
11, 205. 08
from "Maintenance
1, 050. 00
snd improvement
1, 560. 92 800. 75
245. 78
of existing river and hsrhor ar worjrs or s ~ ',
—
1888 Continued
Receipts and expenditures, (Debit transfer appropriations
(net) snd repayments
Fiscal year
appropriation was Insde
Unexpended
Amount carried to surplus fund (see p. 7)
balances
Appropriations
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
June 80, 1932
On books of
'AENERZLL FUND
are printed in ftsffcj
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
MIII TART AcIIvITIES — Continued 'EAI ARIES, wAR
DEPARTMEN~ontiDued
Sa)erie~Continued. Office of Chief of Ordnance
1933 1932 1931
$446, 618. 00
$36. 75
$392, 800. 00 36. 76
$5, 986. 28 36. 75
$979. 04
4, 750. 97
728. 03 709. 70
60. 56
2, 405. 34
324. 66 40. 12
36. 64
I, 801. 13
33. 53
$39, 253. 90
$391, 820. 96
$8, 577. 82
$2, 066. 47
$2, 066. 47 392, 763. 25
391, 820. 96
46, 800. 00
46, 739. 44
Office of Chief of Chemical Warfare
Service
1933 )032 1931
52, 279. 00
503. 00
206. 70
206. 70
2, 313.45
2, 313. 45
46, 593. 30
Oflice of Chief of Coast Artillery
Militia Bureau
1933 1932 1931
1933 1932 1931
22, 953. 36
25, 720. 00
50. Je
40, 12
296. 95
296. 95
149, 804. 00
468. 36 312. 59
269. 16
22, 949. 88
22, 953. 36
132, 974. 5?
132, 941.04
259. 16
10.00
ment. CommisExpenses, War Department sion for adjustment of British patent claims
Military personnel records of the World War
1930-31
12. 94
1931-32
16, 022. 61
I fs, ?75. 98
727. 52
132, 951.04
246. 63
246. 63
15, 775. 98
13, 619. 78
13, 619. 78
689. 12
250, 000. 00
196, 698. 80 1, 500. 80
193, 630. 01 2, 827. 41
20, 031. 32
'
211.63
1, 375. 00
12. 94
1933
1933 1932 1931
co 13, 653. 30
312. 59 132, 715. 41
expenses, World Wsr Administrative adjusted compensation sct, Wsr Department Expenses of administration of settlement of wsr claims sct of 1928, Wsr Depart-
46, 739. 44
4, 327. 61
245. 42
245. 42 195, 198. 60
196, 457. 42
I, 467. 08 12, 080. 33
21, 189. 65 1, 711.83
3, 068. 79
8pecial cervices, Ofnce of Judge Advocate Qenerab V.B. Army.
Indefinite: Increase of compensation, partment
1983 1932 1931
25, 489. 32
187. 5'8
3, 068. 85 4, 008. 70
1, 186. 35 3, 251. 44
2, 416. 33
25, 220. 82 55. 79 4, 008. 70
25, 301. 73
25, 276. 61
8. 18 18. 87 4. 50 M. 41 18, 817. 61
8. 18 fy. 67 4. 60 M. 44 18, 817. 61
18, 756. 84
18, '156. 84
5, 122, 797. 61
4, 450, 811.26
4, 446, 858. 58
144, 750. 00
133, 512. 77 7, 591. 36
132, 229. 91 18, 452. 95
Wsr DeCertified claims
Increase of compensation, Establishment
480. 00
1921 1920
1919 1918 Certified claims
Total general fund, salaries, War Department
18, 823. 61
1, 288. 96
61, 619. 22
8, 140. 85
11,958, 25
10, 861. 59
8. 16 12. 67 4. 50 35. 44 6. 00
21, 989. 30
1, 288. 96
450, 291. 08
125, 705. 35
135, 619. 84
12, 093. 53
11, 203. 16 4, 366. 89
1, 282. 86
180, 657. 13 24, 142. 57
35, 928. 50
oxrrcE or sgcRETARY op wka Contingent expenses, War Department
Printing and binding, Wsr Department
Stationery, Wsr Department Contingencies of the Army
1933 1932 1931
1933 1932 1931
1931 1933 1932 1931
Total general fund, QfBce, of Secretary of War CENERAL
Army Wsr College
srsrr
783, 24
783. 24
500, 000. 00
206, 961. 10 22, 030. 84
26, 193.41
21, 949. 01
4, 999. 09
141, 104. 13
150, 682. 86
319, 342. 87 182, 818. 53 27, 260. 82
283, 414. 37 209, 011.94 32, 259. 91
529, 422. 22
524, 686. 22
3, 707. 97 686. 12
3, 707. 97 686. 12
16, 719. 03
533. 79
533. 79
9, 500. 00 8, 912. 03 5, 005. 09
251, 184. 34
34. 07
5, 792. 03 3, 225. 91 5, 005. 09
42, 054. 09
4, 394. 09
4, 394. 09
676, 199.01
674, 920. 44
679, 763. 17
76, 880. 00
67 425 33 3, 620. 16
67, 425. 33 3, 620. 16
23, 041. 15
34. 07
229, 387. 69
6, 395. 51
4, 059. 16
37, 211.36
coRps
.
1933 1932 1931
Contingencies, Military Intelligence vision, General Staff Corps
&
3, 893. 61 202. 16
273. 45 202. 16
71, 045. 49
71, 045. 49
47, 000. 00
37, 661. 56 5, 790. 85
1, 233. 16
1, 233. 16
37, 661. 56 5, 'l90. 85 216. 00 1, 233. 16
44, 901. 57
44, 901. 57
Di-
1933 1932 1931 Certified claims
14, 300. 45 6, 586. 43
216. 00
15. 89
9, 323. 05 8, 509. 60
5, 410. 90
22, 165. 26
6, 370. 43
Total general fund, General Staff Corps
23, 982. 65
125, 113. 16
115, 947. 06
115, 947. 06
5, 572. 59
~
Transferred to "Expenses, War Department Commission for adjustment of British patent claims, 1933", sct July 1, 1932 (47 Stat. 540). Transferred from "Expenses of administration of settlement of war claims act of 1928, War Department, 1931-32. See note 3. &
&
"
«Exclusive of $30 transferred to "Salaries, oflice of Judge Advocate General, V.B. Army, 1933", act July 14, 1932 (47 St@t. 665). & Includes $6,880 transferred from "Regular supplies of the Army, 1933", act June 30, 1932 (47 Stat. 411),
JM8
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
MILITABT ACTIvITIEs li
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
GENERAL FUND
are printed in ifalic)
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
—Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing ofiicers
To credit of Reserve for impounded salary savrngs (see p. 7)
disbursing officers
Available
—Continued —Continued
DJUTANT GENEBXL 6 DEPABTNENT
Contingencies, departments,
headquarters
of military
etc
Welfare of enlisted men, Army
Registration service
1931
$50. 83
1933 1932 1931
17, 750. 69 1, 292. 75
$20. 00 $70, 365. 00
56, 436. 81 13, 668. 60
$30. 83
11.00
56, 436. 81 13, 668. 60 11.00
70, 094. 41
70, 094. 41
16.38 8. 05
lb. 68 S. 06
472. 70
472. 70
454. 37
454. 37
32, 780. 43 762. 40
32, '180. 43 762. 40
$2, 996. 16
$1, 219. 39
$9, 712. 65 4, 082. 09
I, 303. 75
and selection for military 1920
1919 Certfded claims
Command snd General Stafi School, Fort Leavenworth, Kans
1933 1932
1931
389. 39
40, 000. 00
822. 40 59. 70
Total general fund, Adjutant Gen20, 365. 76
eral's Department
472. 70
15. 28
3. 05 389. 39
I, 472. 74
6, 746. 83
60. 00
59. 70 83& 542. 83
33, 542. 83
110, 837. 70
104, 111.61
104, 111.61
255, 600. 00
255, 500. 00
266, 500. 00
I, 126, 290. 00
974, 856. 62 7, 009. 18
974, 866. 62 7, 009. 18
I, 412. 61
4, 468. 89
I, 219. 39
19, 990. 96
84, 257. 46
26, 069. 60
41, 106. 32 10& 505. 46
4, 842& 85(L 00
2, 883. 34
8, 315, 224. 89
JUDGE SDVOCATE GENEBAL'6 DEPABTNENT
Payment
of patent
claims
of British No year
nationale PINANCE DEPABTMENT
Finance Service
Psy of the Army
.
1933 1932 1981
1938 1932 1931 1930 1929 1926
17, 614. 63 6, 817. 72
2, 495, 761. 41 71, 640. 89
5, 817. 72
136, 242, 204. 00 I, 900, 000. 00
981, 885. 80
981, 865. 80
123, 081, 237. 77 4, 366, 812. 79 11, 389. 19 1, 975. 16 e05. 66 Sl8. 60
123, 081, 237, 77 4, 365& 812. 79
11,389. 19 1, 975, 16 80b; 63 618.60
29, 948. 62 60, 151. 70
I, 976. 16 605. 62 218. 60
192?
e, 488. 51 814. 84
1926 1925 1924 and prior Certifled claims
Psy, etc. , of the Army
59, 957. 45
1922 1921 1920
1919 1918 1917 snd prior Certified claims
748. ?e 454. 49 59, 957. 45
59, 957. 45
127, 512, 320. 10
127, 512, 320. 10
468. 71 750. 88 8, 408. 06 648. 44 848. 85 205, 865. 87
468. ?f eo. 84 ?eo. ee 8, 408. oe 548. 44 843. 86 205, 865. 87
201, 418. 24
201, 418. 24
215. 68
215. 68
eo. s4
2 827 73
&
206, 247. 07
8, 486. 8} el 4. 84 f48. 78
2, 466. 31 214. 24
142. 78 454. 49
462. 71 29. 34 750. 83 2, 408. 06 648. 44 248. 25
2. 327 73
381.20
Psy, etc. , of the Army Qongevity act,
.
Certified claims Jsn. 29, 1927) Psy, etc., of the Army, wsr with Spain
2, 335. 04
Certifled claims
.
Mileage of the Army
1933 1932 1931 1930 1929 1928 Certifled claims
of deserters, etc
1933 1932 1931 1930 1927 Certifie claims
1933 1932 1931
Expenses of courts-martial
10. 48 153. 23
303, 315. 62 39, 838. 00 163. 98 ee. eo eef. 50 eee. 48
131.25
303, 315. 62 39, 838. 00 Lee. oe ee. 50 eef. 60 eee. 48 131.25
342, 430. 46
342, 430. 46
158. 33
158. 33
158. 33
30, 000. 00
18, 675. 76 4, o?e. ee 1, 869. 88 48, ee 5?. oe 58. 32
18, 675. 76 4, o?e. ee 1, eeo. ee 46. 68
12, 421. 80
12, 421. 80
29, 065. 00 1, 609. 55
29, 065. 00 1, 609. 55
506, 250. 00
99, 264. 25 49, 871. 56
131.25
Mileage to offlcers snd contract surgeons Certifled claims Apprehension
10.48 153. 23
10. 48 153. 23
Certified claims
60, 193.01 46, 081. 87
58. 32
58, 925. 00
27, 287. 04 24, 077. 76
Claims of offlcers, enlisted men, snd nurses of tbe Army for destruction of No year 100. 00 13, 920. 08 private property Claims for damages to and loss of private No year 18, 303. 20 property Claims for damges, sct Dec. 28, 1922, War No year 115.07 7, 033. 32 Department. r 2 925 037 08 No year 35, 856. 63 Judgments, Court of Claims, War 797, 730. 17 1, 318. 21 Judgments, United States courts, War No year index $54 16 transferred from 'General sPProPrfst}one, Quartermaster CorPs (certifled claims) } Exclusive of $227, 239.53 transferred to "Judgments, Court of C}sfms, Veterans' Administration",
.
.
2, 335. 04
463. 53
463. 53
Psy and traveling snd general expenses Certifie claims of the Army Anesrs of psy, bounty, etc
215. 68
87. 06 58. 32
202, 934. 38 59, 426. 25
60, 026. 49 82. 50 331.50 286. 48
11,324. 24 65, 165. 2I} 47, 341. 19
43. 6287. 06
1, 878. 87
27, 981. 13 25, 67r. 49
24, 077. 76
30 674 55
30, 674. 55
12, 238. 48
12, 238. 48
1, 781. ero
8, 425. 95
8, 425. 95
9, 977. 25
?, 033. 32
033. 32 2, 184, 856. 40 769i358. 18
776, 037. 31 29, 690. 20
2, 184, 856. 40 769, 358. 18
7&
sct Msy 29 1933 (48 Stat ' ) sct Mar. 4, 1933 (47 Stat. 1616)
~
115.07
—
1988 Continued
Receipts and espenditIAres, (Debit transfer appropriations
(net) and repayments
Expenditures
Funds available in 1933
Fiscal year
for which
appropristion was mails
(see
are printed in italic)
in excess of expenditures
Amount carried to surplus fund (see p. 7)
in 1933
p. 6)
Unexpended balances June 30, 1932
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury Appropriations
On books of
6 ENERGY. L
to appropriations
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oflicers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
FUND
MUITART Acrivrnns FINANcz DEPARTiuzNT
—Continued —continued
Award of National War Labor Board in favor of certain employees of Bethlehem Steel Co Permanent snd indefinite: Claims of offfcers and men of the Army for destruction of private property Extra pay, Regular Army, war with Spain Extra pay to volunteers, war with Spain
No year
$168, 179. 62
$168, 179. 62
No year
$1, 132. 35
$1, 132. 35
$1, 132. 35
No year
225. 17
225. 17
225. 17
No year
2, 137. 24
2, 106. 04
2, 106. 04
$31.20
143, 864, 559. 67
132, 067, 508. 09
132, 067, 508. 09
199, 132. 15
Total general fund, Finance Depart3, 139, 765. 72
ment ACCOUNTINO
Permanent working funds: (See Army account of advances. No year note. ) No year Working fund, War Department
Total general Funds
funds,
$4, 928, 994. 33
$28, 952. 94
9 779 737 88
FUNDS
Accounting
' 9, 610, 960. 45
' 9, 610, 960. 46
$9, 235, 810, 22
9, 235, 810. 22
' 20, 122, 905. 63
18 88, 866. 67
830, 149. 11 98, 666. 67
5, 434, 82
93, 220. 75
10, 513, 289. 61
988, 804. 88
5, 434. 82
I 20, 029, 684. 88
10& 611, 945.
$20, 677, 904. 51
9I 20, 677. 904. 51
SPECIAL DEPOSITS is 241, 462. 87
Specird deposit accounts
189, 049. 92
52&
QUARTERMASTER CORPS
Army participation, Yorktown centennial celebration
Sesqui-
Army transportation
1933-34 1933 1932 1931-32 1931 1930-31 1980 1929-30 1929 1928 and prior Certified claims
1932
144. 29 250, 000. 00 12, 078, 734. 00
2, 619, 962. 54 59, 927. 65 295, 785. 95 10, 911.07 ii
319. 80
9, 558. 42
28. 78
28. 78
633. 70 10, 168, 333. 21 2, 319, 644. 64 45, 305. 95 34, 308. 69
633. 70 10, 168, 333. 21 2, 319, 644. 64 45, 305. 95 34, 308. 69
878. 09
878. 08
1J&e. 41
14&. J&1
J&80. 81
307. 84 9, 568. 42
480. 81 807. 84 9, 668. 48
12, 576, 037. 96
12, 576, 037. 96
115.51 249, 366, 30 222, 334. 69
260, 110. 67 10, 911.07
1, 191.89 146. 41 420. 21 307. 94
4, 961. 78 168. 86 1, 366. 59
102, 377. 68
1, 585, 688. 42 295, 356. 12 14, 452. 84
412. 95
Barracks and quarters, other buiLdings snd utilities
1930-31 1930 1929
1933-34 1933 1932 1931-32 1931 1928
19, 680. 18 1, 192. 99
17, 724. 59
17, 724. 59
17, 724. 59
488. 66
46A 66
56, 656. 78 12, 408, 604. 59 1, 363, 689. 52 713& 659. 97 3, 115.68
56, 856. 78 12, 408, 604. 59 1, 363, 689. 52 713, 659. 97 3, 115.68
8. 10 648. 68 6o. 61
A 10 468. 46
&&
Certified claims
Barracks snd quarters
1, 192. 99
19, 680. 16 1, 192. 99
2, 500, 000. 00 13, 595, 017. 00
1, 446& 263. 38 761, 965. 38 66, 290. 25
1927
1918 Certified claims
Barracks and quarters, Philippine Islands No year Clothing snd equipage
86. 61 915.50
14, 546, 165. 90
14, 546, 165. 90
8, 316. 6'7
8, 316. 67 2, 684. 58 5, 927, 602. 01 1, 428, 212. 34
u 2. 60
2, 684. 58 927, 602. 01 1, 428, 212, 34 11, 8L'&. 91 250, 510. 62 2, 035. 67 78. 81 68. 86
354. 10
17. 16 354. 10
354. 10
7, 623, 078. 64
7, 623, 078, 64
6. 70 108. 89 963. 88 15, 151. 09
6. 70 108. 89 868. 98 15, 151.09
14, 104. 54
14, 104. 54
189, 057. 52 16, 923. 74
189, 057. 62 15, 923. 74
204, 981.26
204, 981. 26
649. 30 8. 80
649. 30 8. 80
658. 10
658. 10
32, 751. 92
1933-34 1933
60, 000. 00 6, 300, 000. 00
1932
2, 155, 343. 85
1931-32 1931 1930-31 1930
14, 700. 39 274, 840. 57 7, 300. 66
1929 1928 snd prior Certified claims
General appropriations, Corps
915. 50
915. 50
5&
11, 805. 91 250, 510. 62 2, 035. 6? 78. 61
86. 8$ 17. 14
3, 223. 82 19, 380. 13
63, 173. 98 2. 10 448. 43 25. 61
299, 709. 48 933. 87 63. 34 59
64, 816. 49
2, 443, 343. 22 821, 886. 44
81, 639. 97 48, 242. 07
.
24, 435. 25
63, 709. 42 31, 107. 21
14, 319.60 5, 164. 57 73. 21 38. 84 17. 14
42, 403. 86
57, 315. 42 2ii6, 284. 71
696, 024. 30 2, 894. 48
10, 010. 35 100. 42
Quartermaster 1921 1920
1919 Certified claims
General appropriations, Quartermaster Corps, sct Feb. 28, 1920 Horses, draft snd pack animals
No year 1933 1932
784. 94
» 15, 151.09
3. 70 108. 89 933. 96 784. 94
245. 89
245. 89 202, 600. 00
20, 068. 68
1, 984. 36
fiscalyear
65. 35
11, 392. 77 4, 144. 94
Horses for Cavalry, Artillery, Engineers, 1931 Certified claims
etc
—
42, 214. 39
8. 80
Novg. "Army Account of Advances" is an accounting fund established as a means of handling Army appropriations pursuant to the provisions contained in tbe sct of June 5, 1920 (41 Stat. 975). Advances of funds are made to disbursing officers and agents of the Army, under this fund, not to exceed the total appropriations for the Army, tbe amounts so advanced to be exclusively used to pay obligations lawfully payable under The amounts advanced are subsequently charged to the proper appropriations the respective appropriations. and returned to "Army Account of Advances" by pay and counter warrants, based upon settlements of accounts by the Comptroller General of the United States, the said charge, however, to particular appropriations being limited to the amount appropriated to each. This account stands charged with the sum of $9, 510,960.45
41, 585. 09
at the beginning of the 193 and $2012290563 at the close of the year which amounts represent tbe unadjusted disbursements on a warrants-issued basis and affect the total balances, War Department. r Debit balance. 9 Includes $774. 735.66 heretofore stated as a special deposit account. (See note 10.) » Exclusive of $774, 735.66 stated under "Army Account of Advances. (See note 9,) » Reestablisbed from surplus fund, act Mar. 3, 1875 (18 Stat. 418i sec. 5). » Exc)usive of $54. 16 transferred to "Psy, etc. , of the Army" (certified claims), act May 29, 1933 (48 Stat. 103),
"
IM8
Receipts and expenChtures, [Debit transfer appropriations
(net) and repayments to appropriations
Fiscal year
appropriation was made
GENERA. L FUND
are printed in italic]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—Continued
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants?issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oflicers
Available
—Continued
—Continued continued Costa —
Mrtnszv Acrfvrrrzs uuszvzzMSS2ZZ
Incidental expenses of the Army
1933 1932 1931 Certified claims
u $3, 697, 001. 00 I' 85 82 u 893. 01 100. 00
$144, 348. 4S 16, 795. 57
$3, 137, 480. 08 118, 987. 68 624. 60 100. 00
$3, 137, 480. 08 118, 987. 68 624. 60 100. 00
257, 192. 36
3, 257, 192. 36
1, 807. 65 86. 86
1, 471. 57 48. 27
1, 721. 83
1, 519. 84
9, 500. 00 241, 04
9, 118. 79 1, 063. 00
9, 741. 04
10, 181. 79
» 6. 30
1. 74
1. 74
t 3&898, 046. 00
3, 269, 965. 74 1, 077, 315, 00 7, 032. 34 6, 142. 79 149. 67 108. 86 186. 06 64. 00 941. 65
3, 269, 965. 74 1, 077, 315. 00 7, 032. 34 6, 142. 79 149. 67
4, 360& QZQ. 21
4, 360, 929. 21
3&
Inoidentsl expenses of the Army (transfers to Department of Agriculture): 1933 1932
A, ct July 14, 1932 Act Feb. 23, 1931
Incidental expenses of the Army (transfers to Department of Commerce, Bureau of Standards): Act July 1, 1932 Act Feb. 23, 1931 Act Apr. IS, 1930
1933 1932 1931
$134. 09
u 10, 000. 00
500. 00 893. 01
Inland and port storage and shipping No year facilities Regular supplies of the Army.
.
1933 1932 1931
1930-31 1930
Shooting galleries and ranges Vocational training of soldiers Subsistence of the Army
.
Corps
.
1931 1981 1920 1933 1932 1931
32k 96
u 41. 41
941. 65
8, 126. 64 167. 06
8, 907, 234. 91 '22, 832. 41
$111,118.27
$200& 024. 87
25, 377. 57
$17, 063. 98
442. 35
$33L 08
600. 00 258. 96
881. 21
» 896. 01
1, 863, 229. 30 152& 954. 40 150 310 39
1929 1928 1924 Certified claims
Rent of buBdings, tlusrtermsster
u 2, 250. 00 » 86. 86
$248, 377. 78 69. 05
11, 815, 498. 00 u 7, 496& 671. 16
108. 89 186. 06 64. 00 941. 65
4. 56
145, 304, 22 144, 16?. 60
1, 933. 50
608, 843. 29 783, 437. 29 161.70
17& 001. 67
1, 408. 05
33, 210. 76 224, 536. 84
149. 37 150. 30 186. 05 24. 00
60. 00
60. 00
8, 126. 64 167. 05 60. 00
11,763, 879. 62 1, 188, 834. 40
11, 783 879 62 1, 13S, 634, 40 re& 166. 68
34, 795. QQ
16, 186. 68
17, 303. 47 2& 477. 01 456. 14
92, 52
1930 1929 1928 1927 Certified claims
Supplies,
8, 431. 98
188. 04 IOI. 50 48 85 114.93
12, 940, 110.83
12, 940, 110. 83
7, o47. 74 77. 46 8, 316. 19
7, 547. 74 77. 48 8, 316. 19
691. 03
691. 03
114.93
services, snd transportation, Corps
(jusrtermsster
.
.
Acquisition of land: Belling Field, Washington,
1918 1916 Certified claims
D.C
Camp Bullis, Tex
9, 144. 21
.
Maxwell Field, Als Acquisition of land for ordnance depot, Pedricktown, N. J Acquisitioa of land for target range, Fort Ethsn Allen, Vt Construction of buildings, utilities, snd appurtenances at military posts, emergency construction Construction of buildings, utilities, and appurtenances at military posts, emergency construction, act July 21, 1932.
7, 547. 74 77. 42
9, 144. 21
1, 000. 85
» 42, 000. 00
31, 667. 66
31, 667. 66
11, 333. 19
No year
14, 700. 00
876. 97 6, 400. 00
15, 576. 97 6, 323. 60
15, 576. 97 6, 323, 60
76. 40
21, 900. 57
21, 900. 57
230. 52
230. Ii2
11, 383. 00
11, 383. 00
1933 1930-32 No year
250. 00
2, 826. 00 11, 683. 30
19. 48 2, 826. 00 300. 30 332. 48
No year
2, 057. 00
724. 52
724. 52
No year
7, 500. 00
6, 774. 32
6, 774. 32
2, 548. 72
2, 548. 72
537. 80
15, 164, 000. 00
4, 743, 183. 56
4, 743, 183. 56
24. 300. 10
» 2, 296, 304. 28
6, 425, 079. 74 359. 80 445, 919. 62 1, 491. 32
6, 425, 079. 74 359. 80 445, 919. 62 1, 491. 32
27, 993. 89
6, 872, 850. 48
6, 872, 850. 48
30
IOB. 30
138. 59
506. 38
506. 38
12. 00
550, 000. 00
457, 473. 80 88, 735. 39
457, 473. 80 88, 735. 39
24. 00
24. 00
24. 00
546, 233. 19
546, 233. 19
31. 02
31. 02
No year
3, 441. 21
No year
Construction of buildings, utilities, snd appurtenances at military posts No year 1931-32 1929-32 Certified claims
Construction of officers' quarters, Fort No year Riley, Kans Construction and repair of hospitals, No year emergency construction
.
Construction
8, 316. 19
8, 452. 13 188. 04 101.50 44. 85
No year
1933
Fort Knox, Ky Fort Lewis, Wash
SO. 15
XO. 15 188. 04 101.60 44. 85 114.93
8, 204, 526. 29 359. 80 516, 531. 27
1, 491. 32
36. 29
IOA
518. 38
aad repair of hospitals
1933 1932 1931 Certified claims
» 48, 804. 88
91, 145. 36 I, 337. 15
facilities, of additional Constructioa Walter Reed General Hospita). DisNo year 2, 386. 46 trict of Columbia 13. 46 1931 Repair of docks, Fort Screven, Os » Reestablished from surplus fund, sct Mar. 3, 1875 (18 Stat. 418, see. 5). » Exclusive of $12,250 transferred, act July 14, 1932 (47 Stat. 671), to departments Department of Agriculture Department of Commerce See note 17. u Returned from same object under Department of Agriculture. » Returned from same object under Department of Commerce. See note 17. See note 13. » Transferred from same object under War Department.
1, 000. 00
725. 68
354. 69
52. 50
10, 396, 463. 84
4, 047, 756. 94
24, 307. 37
19, 337. 64
579. 34
72, 609. 22 2, 409. 97
1, 337. 15
2, 352. 62
13. 46
ss follows: $2, 250 10, 000
'I Returned to same object under War Department. See note 14. » Exclusive of $6,880 transferred to "Army War College, 1933", sct June 30, 1932 (4'I Stat. 411). » Transferred to "Replacing subsistence of the Army, 1932-33", sct Apr. 27, 1914 (38 Stoat. 361). » Transferred from "Air Corps, Army", act July 15, 1932 (47 Stat. 700). » Includes $46, 304.28 transferred from 1929-32 account, act July 14, 1932 (47 Stat. 673), » Transferred to "No year" account. See note 21.
—
1988 Continued
Receipts and expenditures, (Debit transfer appropriations
(net) and repayments
to appropriations
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ifafi"]
Unexpended
balances June 30, 1933
Fiscal year for which
sppIopriation was made
Unexpended balances June 30, 1932
Appropriations On books of
TIeasuIy
GENERAL PUND Mrrsrasx Acrrvrrms Quanrnnxrasggn
On books of the Treasury
To credit of dis-
cORPs
1874
Impounded salary savings
bursing ofhcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oincers
Available
—continued
Replacing barracks and quarters
1933-34 1932-33 1931-32 1930-31
1933-34 1932-33
1933-34 1932-33 1931-32 1930-31 1929-30 Certided claims
$625. 12 82, 784. 75
$525. 12 59, 724. 95 $25, 000. 00 16, 866. 00
347, 128. 71 102, 008. 23 8, 356 03
supplies
$23, 059. 80
$57. 20 15, 273. 41
$57. 20 15, 273. 41
$883. 82
24, 942. 80 708. 77
888, 709, 35 244, 177. 13 67, 393. 71
388, 709. 86 244, 177. 13 67, 393. 71
457. 04 1, 138.62
288, 709. 35 102, 494. 54 33, 475. 90
23. 44
162, 464. 44 6, 269. 22
8, 356. 03
152, 754. 87
Replacing clothing snd equipage
1, 582, 295. 90
320, 643. 26 6, 201. 71
47. 43
22, 861 49
22, 861. 49
fee, 464. 44 146, 462. 21
166, 464. 44 146, 462. 21
16, 006. 63
16, OOE 88
1, 841, 86o. Og 291, 189. 92 292, 159. 42
1, 34f, 835. Og 291, 18g. 92
862. 85 17. 18 47. 43
12. 36
292, 15g. 42 862. 85
5, 338. 86
17. 16
17. 16
3, 729. 35 2, 861.95
1, 341, 822. 73 1, 287, 376. 63 25, 631. Sg
1, 822. 93 3. 83
382, 349. 01 102, 835. 37 21, 923. 58
47. 43
757, 6gg 63
757, 69A 63
ses, 349. 01 329, 995. 38 180, 342. 52
386, 849. Df 329, 995. 38 180, 342. 52
es. 41
ss. 41
127, 965. 72
127, 965. 72
n 7, 493, 971. 15
7, 493, 971. 15
7, 493, 971. 15
72, 530, 807. 09
74, 667, 713, 09
74, 667, 951. 85
of the
Replacing subsistence of the Army
Total general fund, flusrtermaster Corps
Act June 20,
—Continued
Indefinite: Replacing Army trsnsportstfon
regular
Cheeks-issued basis
—Continued
1931 Revetment wsB, Fort Moultrie, S.C Bites for military purposes No year Sewage disposal plant, Fort Slocum, 1933-34 N. Y 1933 Bewersge system, Fort Monroe, Vs
Replacing Army
Warrants-issued basis
1933-34 1932-33 1931-32 1930-31 1929-30
434, 653. 68 202, 269. 93 7, 438. 36
. 24
1932-33
31, 195, 060. 32
$956. 05
7, 438. 12 23. 41
871, 942. 96
1, 005, 324. 09
$324, 763. 04
26, 865, 634. 23
$717. 29
BP'E C ZSX FUNDS Military post construction fund Replacing subsistence of the Army
No year
Total special funds, Quartermaster Corps
Total, Quartermaster
1, 944, f 66. (&8
I, t&44, Isa. 98
766, 059. 40 1, 944, 126. 98
287, 07(t 82
I, 644) I66. 98
I, 944, 166. 98
2, 710, 1S(i. 38
72, 817, 377. 91
72, 723, 586. 11
72, 723, 824. 87
871, 942. 96
781. 66
781. 66
781. 35
781. 56
781. 66
287, 070. 82
478, 988. GS
1933—34
478, 98S. 58
Corps
31, 674, 048. 90
956. 05
1, 005, 324. 09
324, 753. 04
29, 565, 820. 61
717. 29
GENERAL FUND
SI
slo»sn coRps Increase for aviation, Signal Corps
1918 Certided claims
Seacoast defenses, Signal. e' Seacoast defenses, insular departments, Signal. re Seacoast defenses, Panama Canal, Signal os Signal Service of the Army
1933-34 1933 1932-33 1932
1931-32 1931 1930 1929 Certified claims
150, 000. 00 2, 394, 275. 00
83, 516. 68 821, 294. 96 2, 718. 29 48, 208. 08
)e
32. 02
230. 00
80, 770. 40 1, 909, 685. 39 79, 538. 42 777, 803. 94 2, 315. 57 17, 523. 31 16. 40 p. 96 230. 00
203. 48 68, 943. 40 1, 073. 41 96. 94
80, 770. 40
1, 909, 685. 39 79, 538. 42 777, 803. 94 2, 315. 57 17, 523. 31 f6. 40 P. 96 230. 00
2, 867, 848. 71
2, 867, 848. 71
40, 816. 08 78, 337. 40 20, 639. 52
4o, 816. oe 78, 337. 40 20, 639. 52
1, 461. 43
69; 026. 12 414, 184. 78 2, 904. 85 43, 394. 08 402. 72
30, 716. 79 15. 40 2. 92
Signal Service of the Army (transfers to Department of Commerce, Bureau of
Standards): Act Apr. 18. 1930 Indefinite: Replacing Signai Corps supplies and equipment.
.
..
Total general fund, Signal Corps Ais
1'931
32. 02
1933-34 1932-33 1931-32 1930-31
148, 282. 58 23, 429. 91 1, 962. 27
.
Air Corps, Army
No year 1933
1, 942, 214. 65
1932 1931 1930-32
9, 315, 257. 42 1, 969, 851. 03 335, 721. 14
re rr
2, 790. 39
2, 544, 505. 00
58, 161. 84
58, 161. 84
2, 925, 229. 20
2, 925, 229. 20
102, 878. 39
102, 878. 39
33, 478. 73
70, 317. 23
1, 461. 43
643, 904. 20
CORPS
No year
r&
40, 815. 08 69, 945. 18
1, 962. 27,
1, 129, 885. 79
Air Corps, Anny, emergencyconstruction
re
» 66. 06
128. 743. 98
ee
» 6, 649. 38 25, 430, 131.00 re
716. 47
» 48, 649. 68
Returned from same object under Department of Commerce. See note 16. Returned to same object under vyar Department. Transferred from "Subsistence of the Army, 1932", act Apr. 27, 1914 (38 Stat. 361). "Seacoast Defenses", under chapter, stated Account p. 313 for Budget purposes.
918. 43
24, 947. 16)
1, 037, 66)9. 54 1, 569. 33 909, G25. 06 1, 037, 669. 54 11, 863, 307. 92 353, 898. 66 11, 863, 307. 92 55, 524. 06 13, 157, 400. 36 144. 89 G, 924, 170. 91 6, 924, 170. 91 2, 390, 941. 62 989, 752. 86) 955, 814. 64 989, 752. 86 2li, 000. 00 254, 211. 76 254, 211. 76 32, 860. 00 n Includes $48, 649.38 transferred from 1930-32 ncconnt, act July 14, 1932 (47 Stat. . (i73), nnri nxclnrlen $42, 000 transferred to "Acquisition of land, Boiling Field, Pfnshinston, D. ('. ", Sct July 15, 1932 (17 Stilt. 70(l). re Exclusive of $9.000 transferred to same object under Dcl&nrtrnent of Commerce, Sce note '&8 » Transferred to "No year" account. See note 25.
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
—
1988 Continued
to appropriations
Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
Expenditures
Funds available in 1933
sre printed in italic]
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year appropriafor which
Unexpended balances June 30, 1932
tionn was made
Appropriations On books of
Treasury
GENERAL FUND MrLrTART Acrrvrrras
arR coRps
On books of the Treasury
To credit of dis-
WVarrsntsf issued
basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oflicers
To credit of Reserve for impounded salary savings
disbursing officers
Available
(see p. 7)
—Continued —Continued
—continued
Air Corps, Army
1930 1929 Certified claims
$68, 560. 82 134, 988. 20 806. 54
$68, 560. 82 134, 988. 20 806. 54
21, 273, 468. 55
21, 273, 468. 55
187. 64
437. 58
187. 64
437. 58
8, 924. 27
8, 924. 27
541, 350. 47 3, 049. 55
541, 350. 47 3, 049. 55
544, 400. 02
544, 400. 02
25, 397, 937. 54
21' 929i S58 87
21, 930, 108. 81
8, 500. 00
8, 098. 51 783. 20
8, 098. 51 783. 20
$97, 563. 24 180, 837. 10
$806. 54
$29, 002. 42 45, 848. 90
Air Corps, Army (transfers to Department of Commerce, Bureau of Stand-
ards): Act Feb. 23, 1931 Act Apr. 18, 1930
Air Corps, Army (transfers to Department of Commerce, Bureau of Mines under "Helium production" ): Act July 1932
Technical construction, Air Corps, Army
1932 1931
500. 00
$249. 94 rr
716. 47
"9,000. 00
1933
No year 1931-32
1, 113, 494. 62 3, 252. 79
15, OSS, 152. 34
Total general fund, Air Corps
249. 94
$312. 36
718. 47
75. 73 568, 276. 63 203. 24
$3, 867. 52
1, 030, 665. 96
360, 398. 83
$55, 524. 06
17, 109, 642. 1B
lrRDrcAL DEPARTMENT
Army Medical Museum
Hospital care, Canal Zone garrisons
Library, Surgeon Qenerai's Office
edical and Hospital Department
1933 1932 1931
816. 96 83. 60
/
1933 1932 1931
33. 76
8, 881. 71
8, 881. 71
40, 000. 00
33 333 33
33 333 33
6, 666. 67
19, 500. 00
13, 052. 04 5, 656. 09 20. 66
13, 052. 04
6, 447. 96
18, 728. 79
18, '728. 79
1, 094, 166. 84 312, 424. 93 rse. 98
1, 094, 166. 84 312, 424. 93 rse. rre
6, 610. 48 354. 70
rr
816, 533. 40 1, BSB. 81
382. 21
83. 60
1933 1933 1932 1931
19. 28
1, 288, 660. 00 rr 68, 45
954. 39
5, 65B, OO
20. 66
334. 04
29, 574. 76 2, 025. 79
10, 747. 65
154, 170. 85 4, 166. 92
1930 1928
8. 00
1919 1918 Certified claims
ISS. 89 IB. 68
Medical snd Hospital Department (transfers to Department of Agriculture): Act Ju!y 14, 1932 Act Feb. 23, 1931 Act Msy 21, 1920
lndefinite: Replacing medical supplies
I. 00
191.25
1933 1932 1932
1933—34 1932-33
1931-32 1930-31
6. 00
1.00
1. 00 122. 89 16. 63 24. 00
JSS. 80 18. 68
167. 25
167. 25
1, 406, 465. 52
1, 406, 465. 52
1, 276. 50 17.SS 4h SS
1, 218. 59 32. 40
1, 218. 05
1, 250. 99
63$, 680. 61 545, 834. 48 102, 724. 41 127. 75
684, 880. 61 545, 834. 48 102, 724. 41 127. 75
63, 996. 13
63, 996. 13
1, 532, 623. 53
1, 532, 656. 47
4, 554. 98
29, 671. 81
532, 623. 53
1, 532, 056. 47
4, 554. 98
29, 671. 81
II 1, 350. 00
49. 62 41. 23
8. 00
» 17. SS » 61. SB
681, 061. 74 103, 097. 79 2, 068. 78
73. 50
857, 91
584, 690. 51 135, 222. 99
373. 38 1, 941. 03
Total general fund, Medical Department
1, 112, 516, 26
SPECI~
90. 85
1, 358, 191.25
10, 747. 55
893, 109. 64
57. 91
FUNDS
MEDICAL DEPARTSIENT
Bequest of William F. Edgar, museum snd library, Office of Surgeon Qeneral of the Army No year
.
Total Medical Department
18, 309. 00
I, 112, 516. 26
90. 85
1, 376, 500. 25
18, 309. 00 I&
10, 747. 55
911, 418. 64
GENERAL FUND 1933 1932 1931
Engineer School
1933 1932 1931
90, 000. 00 4, 735. 68 1, 685. 22
79, 784. 81 4, 335. 96
79, 784. 81 4, 335. 96
4, 424. 13
332. 50
5, 458. 56 399. 70
1, 685. 22
20, 900. 00
3, 418. 18
93. 74
84, 120. 77
84, 120. 77
16, 431. 67 3, 265. 01 89. 92
16, 431. 67 3, 265. 01 89. 92
19, 786. 60
19, 786. 60
169, 101. 58 72, 391. 78
169, 101. 58 72, 391. 78
241, 493. 36
241, 493. 36
149, 428. 98 14, 708. 28 6, 444. 09
149, 428. 98 14, 708. 28 6, 444. 09
7. 93
7. 93
170, 589. 28
170, 589. 28
877. 08
3, 591. 25 153 17
3, 218. 49 27. 00
12, 679. 93 8, 053. 94
3. 82 i
Eogineer equipment
of troops
Engineer operations in the fiejd
57. 91
g
CORPS OP ENGINEERS
Engineer depots
th
1933 1932 1931
1933 1932 1931-Dec. 31, 1932 1931
» Returned to same object under War Department.
185, 000. 00
80, 472. 72 250. 25
250. 25
175, 010. 00
15, 328. 53 13, 303. 77 3, 285. 74
See note 30. See note 26. of Agriculture.
u 842. 87
M
» Transferred from same object under War Department.
» Exclusive of $1,350 transferred to same object under Department
Returned from same object under Department
2, 908. 17
of Agriculture.
Transferred from same object under War Depari, ment. See » Returned from same object under Department of the Interior.note 29. M
See note 31.
3, 191.69
17, 723. 61 10. 00 2, 586. 08 86. 12
5, 549. 24 6IG 25 5, 116. 49
Receipts and expenditures, iDebit transfer appropriations
(net) snd repayments
Fiscal year
appropriation was made
sre printed in fts/ic]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury Appropriations
On books of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds avarlable rn 1933
for which
—
1988 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oificers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
Mrrnssv Acrrvrrrxs
—Continued
coRPs or ENGINEERs
—continued
Engineer operations in the field (transfer to Department of the Interior, Geological Survey: Act Feb. 14, 1931 1931-Dec. 31, 1932
$453. 85
$699. 83
» 8868 87
8989. 09
$310. 81
Military surveys and maps: 1930-Dec. 31, 1931 1929-Dec. 31, 1930
$113.08
113.08 62. 96
$62. 96
Seacoast defenses, engineers, emergency construction. Seacoast defenses, engineers. rr Seacoast defenses, insular departments,
"
engineers
rr
Soacosst defenses, insular possessions, engineers. Seacoast defenses, Panama Canal, engi-
"
neersxs
Indefinite: Replacing Engineer efiuipment troops, sct July 9, 1918
of
1933-34 1932—33 1931-32 1930-31
Replacing Engineer operations in the iield, sct July 9, 1918
Replacing Engineer depots, sct July 9, 1918
Replacing seacoast defenses, neers, July 9, 1918
1933-34 1932-33 1931-32 1930-31
1933-34 1932-33 1931-32 1930-31
99.08 41, 165. 84 35, 235. 65 137. 36
86, 989. 08 41, 165. 84 35, 235. 65 137. 36
41, 599. 77
41, 599. 77
98, 1Of. 68 f6, 677. 96
98, 101.68 f6, 677. 86
Sf&,
49, 769. 40 36, 456. 68 1, 246. 64
338. 49 7. 28 63. 70
3, 823. 33 874. 37 472. 19
$17. 88
34, 939. 08 8, 585&. 68 1, 221. 03
1, 109. 28
. 45
28, 101.53 16, 016. 34 6. 83
63. 70 48, 779. 88
IjS& 779. 58
9, 849. 06 2, 324. 89
9, 649, 05 2, 324. 89 527, 05
527. 05
18. 15
2, 649. 04 1, 480. 29 347. 32
472. 19 202. 90
202. 90
1, 213. 96
1, 218. 96
engi-
1931-32
1, 227. 53
13. 57
Total general fund, Corps of Engineers
217, 483. 31
47t, tuO 00
s14 SSS 24
515, 538. 07
5, 844, 891. 89 3, 387, 271. 40 860, 428. 89 1, 030. 69 16'4. 33 193.20
5, 844, 891. 89 3, 387, 271. '0 860, 428. 89 1, 030. 69 164. 33 193. 20
10, 093, 651. 74
10, 093, 651. 74
6A 96
137. 47
28, 988. 97
6, 839. 11
~
OBDNLNCB DEPBBT»ENT
Ordnance service snd supplies, Army
1933 1932 1931 1930-32 1930 Certified claims
Ordnance service snd supplies, Army (transfers to Department of Commerce, Bureau of Standards): Act Feb. 23, 1931 Act Apr. 18, 1930
1932 1931
9, 832, 715. 00 4, 264, 692. 44 930, 886. 45 3, 179. 56 1, 646. 82
((10.48 Ir 1, 646. 82
» 1, 646. 82 193.20
5. 00
190. 43
276, 834. 25 161, 481. 15 45, 473. 44 23. 61
11,261. 93
3(6 340. 52 16, 829. 58
2, 066. 30
3) 674, 648. 34
699, 110.31 11, 665. 37 3, 772. 08
164. 33
57. 96
»10. &S
10. 48
137. 47
Certified claims
Ordnance stores snd supplies 15, 1917)
Ordnance stores, ammunition
Ammunition
48. 03 1, 836. 00
48. 03 1, 836. 00
1, 78(. 97
1, 787. 97
4, 956. 77
4, 956. 77
4, 956. 77
u 2, 600. 00 (I 2, 600. 00 1, 477. 34
2, 600. 00 2, 600. 00
1, 477. 34
2, 600. 00 2, 600. 00 1, 477. 34
6, 677. 34
6, 677. 34
54, 784. 21 19, 252. 20
54, 784. 21 19, 252. 20
43, 366. 50 166. 81 .M
43, 366. 50 166. 31
117, 235. 68
117, 235. 68
74, 800. 00
44, 975. 66 27, 167. 87
44, 975. 66 27) 167. 87
(I 66. 43
5)88. 35
588. 35
72, 731. 88
72, 731. 88
13k 57
37. 97
138. 57
37. 97
1921
Ordnance service
1, 836. 00
48. 03
(sct June Certified claims 1928-29 1927-28 Certified claims
storage facilities, Army
Gauges, dies, and jigs for manufacture
1931-32 1929-31 1929-30 1928-31 1928-30 1928-29
» 12, 396. 85
1932 1931
» 3, 412. 48
»6, 071. 15 »341. 35
341. 35
34, 808. 11 673. 75
100. 00 66. 43
11. 95
411. 20 1, 167. 86
333. 15 216. 94
3, 495. 11
71. 15
3, 214. 24 190. 49 25. 56
26, 610. 10 7, 449. 75
» 1 2, 396. 85
14)33
1932 1931
Gauges, dies, and jigs for manufacture (transfers to Department of Commerce, Bureau of Standards): Act Feb. 23, 1931 Act Apr. 18, 1930
55, 528. 56 8, 252. 10 12, 396. 85 66, 118.46 3, 071. 13
177. 54
n Reestablished from surplus fund, act Msr. 3, 1875 (18 Stat. . 418, sec. 5). u Returned from same object under Department of Commerce. See note 17.
» Returned to same object under Wsr Department. » Account stated under "Seacoast Defenses", chapter, p, 313, for budget purposes, » Transferred from 1930 account, act Feb. 23, 1931 (46 Stat. 1293). » Transferred to 1930-32 account. See note 33.
.M
22, 598. 18 166. 31 . 92
126. 27
239. 57
» 66. 43
» Transferred from 1929-30 account, sct May
» Transferred to
1929-31 account.
28, 1930 (46
Stat. 448),
See note 35.
» Includes $3,071.13 transferred from 1928—30 account snd $341.35 from 1928-29 account, act Msy Stat. 448). » Transferred to 1928-31 account. See note 37.
28, 1930 (45
Receipts and expenditures, (Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation wss Insde
DEPART»ENT
of arms
Unexpended
balances June 30, 1933
To credit of dis-
Warrants Issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oiiicers
To credIt of Reserve-for impounded salary savings (see p. 7)
disbursing ofiicers
Available
—Continued
MILITARP AOTIPITIEs
Manufacture
Amount carried to surplus fund (see p. 7)
On books of the Treasury
Appropriations
Treasury
oRDNANGE
are printed in ffalfc]
in excess of expenditures
Unexpended balances June 30, 1932
On books of
GENERA. L FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1088 Continued
Continued
—continued 1929-30 Certified claims
Nitrate plants »
No year
888. 98
388. 98
5, 489. 21
5, 489. 21
5, 450. 28
5, 450. 28
5. 00
5. 00
5, 936. 35 47, 000. 61
5, 936. 35 47, 000. 61
52, 936. 96
52, 936. 96
13. 33
13. 33
13. 33
674. 49
674. 49
674. 49
98. 19
99. 18
I' 1, 179. 27 95. 62
1, 179. 27 95. 62
1, 179. 27
1, 175. 70
1, 175. 70
104. 14 638. 32
104. 14 638. 32
742. 46
742. 46
30, 831. 15 6, 556, 50 497. 72
30, 831. 15 6, 556. 50 497. 72
37, Sss. 37
37, 886. 37
139, 972. 86
139, 972. 86
$5, 489. 21
$41, 094..50
Seacoast defenses, ordnance. Ii Seacoast defenses, insular departments, ordnance. Seacoast defenses, insular possessions, ordnance. » Seacoast defenses, Panama Canal, ordnance. » No year Armament of fortifications Certified claims
$38. 93
$41, 089. 50
"
Armament 1917 Armament sessions
of fortifications,
act June 15,
of fortifications,
Certified claims insular posCertified claims
.
--
Field artillery, armament
Proving grounds, Army
ii 5, 957. 20 47, 000. 61
1929 1926 Certified claims
'I 104. 14 638. 32
1929
Certified claims
torpedoes (transfer to Radiodynamic Navy Department, act Msy 21, 1920) No year 1933 Rock Island bridge, Rock Island, Ill. 1932
1931
Moline-Rock Island bridge
1930-31
5, 044. 46
47, 000. 00
0, 56(t 82 499. Ss
197, 296. 36
20. 85
99. 19
95. 62
$2, 444. 73
2. 14
57. 258. 07
69. 42
5, 044. 46 13, 724. 12 32
.
Repairs of arsenals, emergency constr»etio» No year
12, 302. 19
229. 86
639, 316. 72 171, 465. 76 385. 57 7, 939. 54 8. 92
639, 316. 72 171, 465. 76 385. 57 7, 939. 54 8. 92
35, 287. 94 1, 863. 75
819, 116. 51
819, 116. 51
896. 06
896. 06
5, 324. 49
5, 324. 49
6, 885, 559. 48 313, 048. 53 774, 541. 60 346, 042. 13 1, 084. 59 5, 018. 63 1, 417. 67 g. 56 I, GOO. 00 11, 090. 92
8, 835, 569. 48 313, 048. 53 774, 541. 60 346, 042. 13 1, 084. 59 5, 018. 53 1, 417. 67
22, 422. 08
A 5'5
2. 55
1, 397, 154. 44
1, 597, 159. 44
10, 855, 236. 24
9, 976, 185. 11
9, 976, 553. 08
7, 180. 64
38, 729. 29
38, 729. 29
10, 862. 416. 88
10, 014, 914. 40
10, 015, 282. 37
10, 033. 10
10, 033. 10
183. 70
5, 210. 72 885. 549. 12 321, 921. 97 9, 814. 22 6, 4G8. 98 SS. 59 63. 97
5, 210. 72 885, 549. 12 321, 921. 97 9) 814. 22 6, 408. 98 53. 59
312. 95 49, 811.63 17, 318. 00 244. 64 673. 55
1, 228, 807. 75
1, 228, 807. 75
1, 238, 840. 85
1, 238, 840. 85
12, SO2. 19
15, 096. 12
2, 564. 07
~
Repairs of arsenals
1933 1932
1931-32 1931
807, 881. 00 «471. 87 o 471. 87
187, 353. 49 987. 69 8, 957. 76
8. 92
Certified claims
Rehabilitation of Picatinny Arsenal, N. J No year Terminal storage and shipping buildings Certified claims Permanent and indefinite: Replacing ordnance and stores
68, 028. 34 5, 324. 49
979. 1(
$1, 165. 07
132, 111.27 14, 495. 85 130. 25 16. 90
14, 512. 86
52, 578. 51
22. 21
40. 91
ordnance
1933-34 1932-33 1931-32 1930-31 1929-30 1927-28 1926-27 1925-26
1, 563, 482. 31 975, 359. 95 389, 572. 14 'I 418. 74
«181. 67 » 1, 000. 00 11, 090. 92
1924—25
Certified claims
1, 059. 46 49, 470. 32 22, 939. 40 19, 058. 22
75. 00
2, 834, 300. 02 1, 197, 897. 46 170, 690. 42 1, 974. 71
81, 243. 86
8, 890, 792. 58
3. 066. 00 7, 188. 53
1, 503. 33 5, 200. 00 1, 417. 67
1, 000. 00 11, 090. 92
Total general fund, Ordnance De8, 841, 105. 28
partment
5367. 97
123, 316. 84
624, 803. 13
SPECIAL FUND ORDNANCE
material,
Ordnance
DEPARTMENT
proceeds
of sales,
No year
War
Total, Ordnance Department
286, 840. 95
9, 127, 946. 23
367. 97
2, 897. 27
123, 316. 84
627, 700. 40
252, 395. 03
81, 243. 86
9, 143, 187, 61
GENERAL FVND CIIEMICAL IVARFARE SERVKE
Chemical Warefare Service, Army, emerNo year gency construction
10, 249. 04
No year
5, 706. 59
Chemical Warfare Service, Army
1933 1932 1931-32 1931 1930 1929
Total
(und, general Warfare Service
1, 222, 000. 00
367, 446. 07 10, 228. 53 14, 062. 05
63. 97
6, 817. 93 33. 29 63. 97
32. 24
] G, 904. 45 1, 319, 04
182. 92 269, 734. 80 26, 887. 06
169. G7 I('1. 59
Chemical 407, 692. 28
» Reestablished from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5). N Account stated under "Seacoast Defenses", chapter, p. 313, for Budget purposes. » See also "Nitrate plants, plan of disposition", p. 118.
I, 222, 000. 00
M
6, 915. 19
68, 544. 47
18, 223. 49
Transferred from 1931-32 account, act Feb. 23, 1931 (46 Stat. 1293). to 1932 account. See note 40.
«Transferred
297, 168. 28
Receipts and espenCkfthres, [Iyebit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
are printed in ifsficl
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
On books of the Treasurv
Appropriations
Treasury
MILITARY AcTIvlTIEs
in excess of expenditures
Unexpended balances June 30, 1932
On boolrs of
GENERAL FUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1M8 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing oiiicers
Available
—Continued —Continued
CHIEF OF INFANTRY
Infantry School, Fort Benning, Ga
1933 1932 1931
Tank Service
Total
1933 1932 1931
general
fund,
$40, 000. 00
$2, 969. 69 59. 58
$37, 532. 49 2, 850. 90
$37, 532. 49 2, 850. 90
$2, 034. 62
$432. 89 118.79
1, 768. 00
6, 463. 34 306. 41
3, 802. 62
7, 321. 43
$59. 58
27, 610. 00
538, 15 199.94
40, 383. 39
40, 383. 39
19, 378. 66 231. 74
19, 378. 66 231. 74
199. 94 19, 610. 40
19, 610. 40
67, 610. 00
59, 993: 79
59, 993. 79
21, 000. 00
18, 086. 32 83. 12
18, 086. 32 83. 12
of
Chief
3, 767. 36
Infantry
259, 52
CHIEF OF CAVALRY
Cavalry School, Port Riley, Kans
Total general Cavalry
fund,
Chief
1933 1932 1931
120. 78 585. 66
1, 391.48
$150. 00
11372. 20 37. 66
1, 391.48
150. 00
1, 409. 86
585. 66
of 21, 000. 00
18, 169. 44
18, 169. 44
25, 000. 00
23, 987. 33 897. 92
23, 987. 33
585. 66
CHIEF OF FIELD ARTILLERY
Field Artillery School, Fort Sill, Okla Instruction in Field Artillery activities
1931 1933 1932 1931
300. 20
915.20 73. 29
Total general fund, Chief of Field 1, 288. 69
Artillery
868. 67
144. 00 17. 28
868. 67
161.28
599. 85
21 012. 45
897. 92 73. 29
25, 000. 00
24, 885. 25
24, 885. 25
28, 000. 00
25, 387. 70 1, 499. 42
25, 387. 70 1, 499. 42
373. 49
CHIEF OF COAST ARTILLERY
Coast Artillery School, Fort Monroe, Va
"
Seacoast defenses. Seacoast defenses, Coast Artillery. u Seacoast defenses, insular departments. Seacoast defenses, insular departments, Coast'Artinery. II Seacoast defenses, Panama Canal. ri Total general fund, Chief of Coast Artillery
1933 1932 1931
2, 524. 89 341. 94
1, 025. 47
341. 94
" 2, 866. 83
28, 000. 00
26, 887. 12
26, 887. 12
341. 94
599. 85
3, 037. 92
sxacoasn nnrns&eas United Stares
8escosst defenses
&s
.
1933 1932 1931%2
8eacosst defenses, Coast Artillery.
1931 1930
Seacoast defenses, engineers; emergency construction. No year Seacoast defenses, engineers 1931
.. . .
.
.
Seacoast defenses, ordnance
Seacoast defenses, Signal
1931 Certified claims
.
1931
236, 9S1.S2 42, 803. 49
3, 078. 14
726, 687. 00 207, 091. 57 42, 712. 63
725, 687. 00 207, 091. 67 42, 712. 63
975, 491. 20
975, 491. 20
1, 416. 36 6. 40
1, 415. 36
1, 408. 96
1, 408. 96
8. 40
30, 260. 83 3, 181.S2 83. 16
1, 659. 02 6. 40
3, 410. 21
238& 627. 96
26, 7$L 43
7. 71
3. 76
142. 16
142. 16 836. 21
736. 21
100. 00
17, M4. 07 260. 21
16, 794. 59 250. 21
15, 794. 59 25D. 21
16, 044. 80
16, 044. 80
733. 66
115.52
910. 41
1, 732. 53
1, 732, 63
Insular departments
8escoast defenses, insular departments
„1933 1932
1931-32
Seacoast defenses, insular departments, Coast artillery Seacoast defenses, insular departments,
.. . ..
1931
engineers
Seacoast
defenses,
engineers
..
insular
450, 898. 65 261, 800. 47
752. 139. 42
752, 139. 42
22, S50. 96
21, 617. 81
21, 617. 81
774. 65
332. 58
193. 29
193. 29
139. 29
140. 00
140. 00
39, 241. 59
39, 241. 59
..
Seacoast defenses, insular ordnance Seacoast defenses, Signal
possessions, Certified claims departments, 1931
insular
12, 952. 28 9, 505. 29 22. 29
450, 898. 65 261, 800. 47 39, 440. 30
669, 708. 00
323, 912. 34 39, 465. 63
140. 00
41, 576. 14
39, 440. 30
279. 42
5, 876. 14
1, 589. 52
198, 980, 93 51, 017. 06 3. 09
358. 60
1, 653. 56
401. 67
3, 089. 16
3, 022. 38 62. 11
297, 505. 85 28, 807. 53 8. 86
812. 16
244. 23
departments, 1931
2, 869. 87
1933 1932
217& 657. 49
1931-32
29, 219. 36
2, 869. 87
Panama Canal Seacoast defenses, Panama Canal
Seacoast defenses, Panama Canal, Coast. Artillery Seacoast defenses, Panama Canal, engineers.
Seacoast defenses, nance
Panama
670, 442. 00
369, 845. 99 186, 827. 58 29, 148. 39
369, 846. 99 185, 827. 58 29, 148. 39
584, 822. 96
584, 822. 96
1931
14, 794. 51
13, 964. 14
13, 964. 14
830. 37
1931
145. 74
100. 00
10D. 00
46. 74
1931 1929 Certtfied claims
15, 481. 42
14, 374. 02 253. 02 85. 50
14, 374. 02 253. 02 85. 50
51. 01
14, 712. 54
14, 712. 64
Canal, ord-
» 253. 02 85. 50
» Reestab]ished from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. 5). Account. stated under "Seacoast Defenses", chapter, p. 313, for budget, purposes. stated under this ohapter for budget purposes, «Accounts tn this chapter were heretofore stated under sundry chapters of War (see note 24), but sre now
s&
—
I988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
in excess of expenditures
are printed in ilallci
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933 Fiscal year forwhich appropriation was made
to appropriations
Unexpended balances June 30, 1932
Treasury
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Wsrrsntccissued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing offlcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
GENERAL FUND
—Continued con'tinued 8EAcoAsT DEYENSES — E'arIaraa Canal — Continued
MlzlTARY AOTIvrrlss
1931 Seacoast defenses, Panama Canal, signal Panama Armament of fortifications, 1926 Canal Certified claims
Pire control, Panama Canal
. Certifie
1928-33 1928 1926 claims
$3, 024. 98
$3, 024. 98
$1, 935. 63
.
Total general fenses, etc
.
fund,
1928-33 1928
$1, 178. 87 1, 935. 63
756. 36
756. 36
I, 179. 27
II 1, 700. 00
5, 684. 41
$1, 700. 00
« I, 700. 00 808. 07 560. 00
Maintenance of fir-control installations, Certifled claims Panama Canal Searchlights and electrical installations, Panama Canal
$1, 178. 87 1, 935. 63
908. 07
5, 272. 26
u 5, 200. 00 5 800 00
1, 024, 215. 96
2, 342, 268. 43
56o. oo
808. 07 560. 00
348. 07
348. 07
908. 07
908. 07
3, 984. 41 908. 07
5, 200. 00
"
72. 26
seacoast de2, 421, 193.07
2, 421, 193. 07
79, 471. 28
79, 471. 28
4, 577. 66 1, 072, 214. 74 166, 312. 96 64. 88 8, 85 48. 36
4, 677. 56 1, 072, 214. 74 166, 312. 96 54. 88 8. 85 48. 36
I, 243, 199, 55
I, 243, 199. 55
3. 71
3. 71
19, 027. 05
$65, 917. 50
$11, 875. 87
848, 470. 90
RECITARY ACADEAIY
United States Military Maintenance, No year Academy, emergency construction
Maintenance, Academy
torse. co
United
States
New cadet barracks, United States Milt-
tary
Academy,
.
668. 98
1, 939. 39
43, 018. 65
1, 001, 12 39, 356. 61 1, 248. 74
Military No year 1933
I, 001. 12
1932
167, 561. 70 6, 684. 98 8, 165. 35
1931 1930 Certified claims
'.
82, 079, 65
No year
4, 577. 56 1, 154, 589. 00
48. 36
3. 71
6, 630. 10 3, 164. 30
New cadet mess hall snd drawing academy, t?nited Otstee Military Academy No year
Psy of Military Academy
1933 1932 1931 1930
. 10
2, 134. 00 1, 247, 526. 00
33, 181. 23
2, 134. 00
1, 184, 733. 26 6, 395. 99
1, 184, 733. 25 6, 395. 99
53, 344. 21
3, 985. 00
5, 463 54 26, 785. 24
97, 031. 84
3, 985. 00
75, 79S. 74
331, 919.06
403. 75
2, 126, 013. 63 3, 682, 619. 28
5, 011. 82 13, 403. 99
5, 011.82 13, 403. 99
1, 191, 129. 24
1, 191, 129. 24
2, 408, 874. 92
2, 515, 93?. 78
2, 515, 937. 78
2, 200, 000. 00 31, 263, 565. 00
73, 986. 37 27, 248, 622. 91
73, 9S6. 37 27, 248, 622. 91
27, 322, 609. 28
27, 322, 609. 28
2, 486, 145. 47 1, 238. 96 498. 70 1 f6. 14 37. 44 66. 83 1 60. 06 95. 16 1, 604. 45
2, 486, 145. 47
2, 488, 020. 56
2, 488, 020. 56
1, 803, 16
48. 20
48. 20
6, 698. 13
4, 952. 69
4, 952. 69
12. 68
1, 732. 76
495, 000. 00
912, 830, 52
912, 830. 52
15, 79
511, 461. 59 146. 91
5, 900. 52
5, 212, 30 487. 96 435. 82 f 6'. 60 488. 6I 44 54 5, 900. 52
5, 212, 30 487. 96 43k 88 18. 60 488. 6f 44. 54 5, 900. 52
922, 530. 41
922, 530. 41
916. 28
916. 28
Total, general fund, Military Academy
. 10
2, 134. 00
312, 083. 65
28, 210. 21
MILITIA BUBBAU
National Guard
1933-34 1933
(«)
Pay of National Guard for armory drills
1933 1932 1931 1930 1929 1928 1927-Dec. 31, 1927 1926-Dec. 31, 1926
830, 145. 86 16, 182. 05
&
r
1, 705, 000. 00
1925
1, 604. 45
Certified claims
Psy of Hawaiian National Guard
37. 44 66. 83 f60. 05 96. f8
49, 000. 39
14, 943. 09 492. 70 116. 14 37. 44 66. 83 160. 05 95. 16
1, 604. 45
for 1924
No year and 1925 Arming, equipping, and training the NaNo year tional Guard, emergency construction Arming, equipping, tional Guard
1, 238. 96 498. 70 116.14
1, 754. 96
snd training the Na1933 1932 1931-32 1931 1930 1929
(u) 929, 307. 90 146. 91 150, 926. 48
r
1928
1926-Dec. 31, 1926 1924 snd prior Cer t ifie d claims
4, 449. 03
Arming, equipping, and training the National Guard, act Msy 22, 1928 Certified claims
916. 28
«Transferred from 1928 account, act July I, 1932 (47 Stat. 541). «Transferred to 1928-33 account. See note 43. rr provided for in 1933 under "National Guard, 1933.
"
145, 668. 08 427. 96 435. 22
46. 10
16. 60 4SS. 61 44. 54 4, 449. 03
« Iucludes $155,000 transferred from "Arming, equipping, and training the National Guard, 1932", sct Feb. 23, 1931 (46 Stat. 1296). «Exclusive of $155,000 transferred to "Pay of National Guard for armory drills, 1932. See note 46.
"
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
appropriation was made
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations On books of Treasi1ry
GENERhL PUND
to appropriations
Expenditures in 1933 (see p, 6)
Funds available in 1933
for which
—
1888 Continued
To credit of dis-
Warrantsf issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of disbursing officers
Reserve for impounded salary savings (see p. 7)
Available
—Continued
—Continued BUREAU — continued
MILITANT AcrivrrIEs IIILITIA
Arms, uniforms, equipment, service, National Guard
etc. , for field 1933 1932-33 1932 1931-32 1931 1930-31 1929 1928 Certified claims
$71, 821. 04 2, 026, 187. 40 84, 298. 64 347, 470. 43
$96, 280. 39 2, 125, 121.84
89, 641. 82 410, 546. 97 8, 791. 62 'i $6. 45
. 75
8. 66 6. 45
. 75
2, 529, 778. 26
Equipment
of Coast Artillery,
Organized
Militia
Indefinite: National Ouard, Defense Act.
.
Total general
armories, -
No year
84, 298. 64 347, 470. 43 5'. 46
$39, 300. 13 8, 791. 62 6. 45
$24, 317. 39 80, 773. 21 5, 335. 71
$141. 96 18, 161. 23 7. 47 22, 931. 40
845. 01
6. 45
. 75 2, 529, 778. 26
170. 20
170. 20
sec. 87, National
.
fund,
1933— 34
Militia
4, 670, 212. 36 ORGANIZED
98, 978. 96
98, Sfe. 96
35, 671, 993. 45
33, 169, 936. 73
33, 169, 936. 73
6, 354, 348. 00
5, 267, 825. 97 472, 139. 70 5, 987. 41
410. 58
5, 267, ,825. 97 472, 139. 70 5, 987. 41 88. 81 8. 87 410. 58
6, 354, 758. 58
5, 746, 332. 48
5, 746, 332. 48
2, 603, 624. 00
2, 205, 088. 37
139.60
337, 372. 97 S. 86 139. 60
2, 205, 088. 37 337, 372. 97 S. 86 139. 60
2, 542, 597. 71
2 542 597 71
16. 03
16. 03
278. 20
98, 640. 75
Bu-
reau
Organized
$71, 821. 04 2, 02G, 187. 40
211, 090. 62
373, 513. 89
$403. 75
6, 587, 260. 82
3, 005. 01
868, 604. 13 290, 008. 97
195& 077.
214, 912. 89 12, 489. 69 26. 53
227, 429. 11
3, 005. 01
1, 158, 650. 60
16, 943. 94 2, 012. 95
1, 680. 00
379r 911.69
RESERVES
Reserves
1933 1932 1931 1930-Dec. 31, 1930 1928 Certified claims
774, 63S. 36 201, 128. 71 44, 598. 29
Total general fund, Organized Re1, 020, 365. 36
serves
88. 81 8. 97 410. 58
27 44, 626. 50
37. 50
2. 97
239, 70G. 74
CITIZENS' MILITARY TRAINING
Citizens' military training camps
1933 1932 1931 Certified claims
Civilian military training camps. Certifleii claims,
545, 505. 09 52, 251. 19
16. 03
52, 254. 42
206, 119. 17
Military
supplies and schools and colleges
equipment
for 1933 1932 1931
1933—34 1933 1932
Reserve Officers' Training Corps
1931-32 1931 1930-31 1930 1929-Dec. 31, 1929 1928-Dec. 31, 1928 1927-Dec. 31, 1927 Certified claims
Total general fund, citizens' military training
4, 261. 55 3, 843. 18 282. 24
4, 261. 55 3, S43. 18 282. 24
8, 386. 97
8, 386. 97
3, 335, 139. 32 549, 644. 05 21& 169. 26 2, 006. 90
3, 335, 139. 32
86. 00 74. 70 It. 80 8I. 80 739. 03
86. 00 74. 70 It. 80 81. 80 739. 03
3, 908, 545. 36
3, 908, 545. 36
6, 459, 546. 07
6, 459, 546. 07
84, 654. 54
74, 317. 80
74, 317. 80
115. 10
Ik 07
19.07
74, 298. 73
74, 298. 73
168. 32 562 50
1, 562. 50
1, 730. 82
1, 730. 82
93, 631. 84 61, 114.92
93, 631. 84 61, 114.92
8, 900. 00 4, 066. 12 955. 14
400, 000. 00 4, 079, 484. 00
632, 256. 33 50, 687. 72 58, 036. 70 5, 007. 74 u 3. 00 u 19. 80
739. 03
1, 348, 766. 03
7, 092, 925. 46
549, 644. 05 21, 169. 26 2, 006. 90
4, 59L 66 222. 62
39. 79
. 32
672. 90
56, 029. 10 5, 007. 74 38. 00 94. 50 12. 30 31. 20
114, 140. 16
22, 431. 54 6, 245. 58 180. 54 70
I, 193. 50
47, 855. 36
2, 945. 62
72. 12
400, 000. 00 720, 719. 64 76, 294. 58
29, 337. 92
1, 817, 204. 28
NATIONAL BOARD POR PROMOTION OP RIPLE PRACTICE
National matches
1932 1931
National trophy and medals for rifie contests
Ordnance equipment civilian instruction
1933 1932 1931
1933 1932 1931
.
1933 1932
Rifie ranges for civilian instruction
Total general fund, Board for Promotion Practice Summary, military activities: General fund: Regular accounts Accounting funds Special deposit accounts
Total. Total
1&
5, 331. 68 3, 075. 69
168. 32 144. 56
for rifie ranges for
Quartermaster supplies and services for No year rifle ranges for civilian instruction
Special funds
5, 500. 00 4, 638. 19 144. 56
10, 252. 90
83. 84 134. 17
No year
100, 000. 00 64, 242, 00 2, 011.32
4, 399. 14
33, 650. 00
3, 807. 93
72. 42
T2. 42
154, 819. 18
154, 819. 18
8. 00
8. 00
26, 611. 51 236. 29
26, 611. 51 236. 29
26, 844. 80
26, 844. 80
5, 811.88 3, 002. 61
556. 28 124. 47
1, 938. 90
402. 14 5, 079. 26 3, 571. 64 4&
1, 955. 56
3. 67
4, 137.04
4, 137. 04
National of Rifie 168, 149. S2
70, 041, 235. 77 I 9& 510, 960. 45
$52, 559. 58 I 9, 235, 810. 22 I&
139, 150. 00
257, 693. 53
257, 693. 53
2, 217. 63
2, 720. 15
3. 67
44, 6G4. 84
318, 686. 275. 11
301, 154, 662. 61 10, 513, 289. Gi
301, 157, 142. 10 888, 804. 68 189, 049. 92
2, 944, 814 59
8, 398, 378. 27 5, 434. 82
673, 440. 70
75, 556, 214. 71 I 20, 029, 684 88
318, 686, 275. 11 312, 560, 46
311, 667, 952. 22 I, 906, 897. 68
300, 417, 387. 34
2, 944, 814. 59
8, 403, 813. 09 2, 897. 27
673, 440. 70
55, 526, 529, 83 2, 980, 890. 41
20, 780, 397. 55
318, 998, 835. 57
309, 762, 554. 53
298, 511, 989. 65
2, 944, 814. 59
8, 406, 710. 36
673, 440. 70
58 507 420 24
20, 780, 397. 55
241, 462. 87
60, 530, 275. 32 765, 829. 53
9, 529, 832. 67
61, 296, 104. 85
9, 529, 832. 67
I Debit balance. I inc]udes $774, 735.66 heretofore stated under special deposit accounts. See note 10. Io Exclusive of $774, 735.66 stated under "Army account of advances" (accounting funds).
I, Ã6, 89'1. 69
u Reestablished
Bee note 9.
from surplus fund, act Mar. 3, 1875 (18 Stat. 418, sec. u Provided for in 1933 under "National Guard, 1933.
"
5).
$50, 080. 09 20, 677, 904, 51 52, 412, 95
—
1988 Continued
Receipts and expenditures, (Debit transfer appropriations
(net) and repayments
to appropriations Expenditures
Funds available in 1933
(see
in excess of expenditures in 1933
sre printed in italic]
Amount carried to surplus fund (see p. 7)
p. 6)
Unexpended
balances June 30, 1933
Fiscal year for which appropri-
Unexpended balances June 30, 1932
ation wss made
Appropriations
Oa books of Treasury
GENERAL FUND NDNEILITARY
On books of the Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oilioers
To credit of Reserve for impounded salary savings (see p. 7)
Available
—Continued
AOTIVITIES
UNDER QUSRTERXISSTER CORPS J&Jafiorsat cemeteries
Antietsm Batt)edeld, preservation, emergency construction No year Antietara Battlefield, preservation
Cemeterisl expenses, Wsr Department, emergency construction Cemeterisl expenses, War Department
1933 1932
No year
1932
Disposition of remains of officers, solCertified claims diers, and civil employees Disposition of remains of soldiers buried No year in Russia and Alaska Headstones for graves of soldiers Certiiied claims Headstones for graves of American solNo year diers in Europe 1933 Monuments or tablets in Cuba snd Chins Certified claims National cemeteries No year Restoration of Lee Mansioa No year Tomb of the Unknown Soldier
32, 590. 24 36, 057. 00
1&
423. 29
5, 544. 25 1, 393. 29
32&
590. 24
5&
544. 25
6, 937. 54
9, 079. 73
9, 079. 73
2, 450. 00 762, 213. 80 14, 519. 82 102, 589. 03 23, 847. 97 271. 06
2, 450. 00
762, 213. 80 14, 519., 82 102, 589. 03 23, 847. 97 271. 06
905, 891. 68
905, 891. 68
10. 00
10. 00
10. 00
223. 95
223. 95
223. 95
127. 60 742. 13
127. 60 741. 13 65. 07 3, 894. 24
30, 000. 00 847, 862. 00 15, 000. 00
115, 077. 78 23, 973. 81 43, 770. 16
3338. 41
8174. 34 30. 00
299. 07
199. 43
I, 393. 29
6, 937. 54
9, 578. 23
1933-34 1933 1932—33
1931-32 1931
Total''general teries
82, 590. 24
18, 866. 94 231. 61
.
35, 485. 01
343, 499. 10
27, 550. 00 61, 296. 25 248. 57 12, 488. 75 125. 84
1. 68
82, 620. 14
32&
5, 237. 38 770. 00 65. 07 17& 613. 15
65. 07 3, 894. 24
620. 14
5, 109. 78 9. 87
18. 00
13, 718. 91 50. 00
50. 00
fund, national ceme-
J&Jaf ferret
251, 935. 86
899, 988. 02
929, 562. 18
929&
562. 18
43, 500. 78
19, 754. 03
5, 485. 01
153, 621. 88
mffifarfr parks
Chiclrsmsuga snd Chattanooga National Military Park, Teaa. and Gs
No year 1933 1932 1931-32
708. 91 59& 880. 00
3, 492. 47 5M. 77
7. 60 63, 250. 87 1S2. 75 3, 182 74
7. SO 63, 250. 87 3, 182. 75 132 74
716. 81
I, 784. 97
4, 844. 16 309. 72
36S. 03
disbursing officers
103.04 622. 35
106. 04 622. 35
1931 1930—31
56, 608. 46
56, 608. 46
B, 229. 75
Fort Donelson National Military Park,
Fredericksburg snd Spottsylvania ty Battlefields Memorial, Va
6. 35 711.34
1933 1932
2, 486. 44
6, 117.49
8, 767. 83
14, 925. 00
13, 615. 04 106. 68 3, 594. 60
12, 677. 97 18, 203. 73 22, 617. 12
200. 25
200. 25
200. 25
17, 303. 21
53, 699. 07
42. 56
253. 74
1, 099. 46
6. 35 802. 41
1. 35
65. 75
'2, 787. 82 53, 044. 62 2, 466. 85 2, 709. 42
211.87 2, 805. 92
2, 466. 85 7, 530. 38
2, 787. 82 53, 044. 62 2, 466. 85 2, 709. 42
119.31
119.31
119.31
61, 128. 02
61, 128. 02
6, 971. 95 291. 33
6, 971. 95
5, 273. 50
1933 1932 1931-32 1931
42. 56
18, 310. 41 19, 022. 52
219. 69
211. 18
60, 102. 00
3, 641. 67
1933 1932 1931
7, 982. 00
325. 24 773. 49
169. 90
National monuments, War Department, emergency construction
..
Wsr Department
No year 1933 1932 1931-32 1931
264. 31
773. 49
4, 725. 00
1, 309, 46 l4. 46
7, 263. 28
7, 263. 28
4, 157. 78 1, 299. 24
4, 157. 78 1, 299. 24
118. 30
448. 92 10. 22
74. 46
1, 105. 39
37, 984. 00 2, 957. 12 29, 277. 02 648. 50
585. 84
33. 91
291. 33
Military Park, 1933 1932 1931
2, 273. 81 609. 79 4, 820. 96
Military
Park, N. C
National monuments,
3f. 07
1, 099. 46
3, 594. 60 219. 89
Gettysburg National Military Park, Pa No year
Moores Creek National N. C
2, 577. 51
948. 12 21. 19
196. 13
347. 61 2, 868. 32
7ei. e4
1, 156. 56
National
6, 229. 75 51. 64
962. 35
2,
Fredericksburg and Spottsylvania County Battlefields Memorial, Va. (transfers to Department of the Interior Geo. logical Survey): ' 1931-32 Act Feb. 14, 1931 Gettysburg National Military Park, Pa. , No year 'emergency construction
Courthouse
31. 19
Coun-
1931-32 1930-31 f928-2!}
Guilford
$72. 83
7, 374. 00
1933 1932 1931 1929-32
Tenn
5, 457. 02
5, 457. 02
260. 00
260. 00
34, 776. 55 2, 769. 89 28, 144. 76
34, 776. 55 2, 769. 89 28, 144. 76
65, 691. 20
65, 691. 20
845. 39
I, 105. 50
2, 101.95 187. 23 1, 132. 26
$937. 07
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
sre printed in f!alic]
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations On books of
Treasury
GENERA. L PUND
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
—
1988 Continued
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
—Continued UNDER QU5RTRRMssTRR coRPs — con'tinued National military parks — Continued NUNMILITARY
Monument, N. C
ACTIVITIzs
Kill Devil HSI, Kitty Hawk,
.
1931-32
$744. 25
» $12, 303. 29
193~3 1930-32 Certfded claims
Petersburg National Military Park, Va No year
»ISSN
64, 262. 33
89
I, 500. 00
272. 88
50, 608. 66 1, 500. 00
64, 219. 41
64, 219. 41
222. 27
$5, 922. 06
$744. 25
C5
11, 366. 50
$205. 15
$731. 64 1, 350. 38
40. 65
6, 104. 30 4, 323. 12 608. 40
637. 12
11, 035. 82
» 200. OO
34, 205. 28
34, 205. 28
86. 71
310. 57
39, 968. 00
36, 488. 85 5, 308. 64
36, 488. 86 5, 308. 64
I, 023. 17
2, 455. 98
175. 81
175. 81
41, 973. 30
41, 973. 30
7. 42 4, 475. 59
2, 125. 66 4, 475. 59 87. 26
4, 937. 00
1933 1932
$744. 25 11, 366. 50 50, 608. 66 1, 500. 00
4, 455. 50
649. 05
50. 61 123. 08 40. 65
358. 42
M
$40. 03 132. 38 'Tl
t4 4p
Shiloh National Military Park, Tennessee, emergency construction No year
t3' 34, 402. 56
Shiloh National Military Park, Tenn
1933 1932 1931 Certified claims
Stones River National
Military
5, 310. 45 287. 13
n 800. 00
175. 81
Park,
Tenn=
No year 1933 1932 1931
12. 83
2, 118.24
5, 775. 00
18. 14
99. 40 16. 81
. .
Survey of battlefield, Saratoga, N. Y
1932 1931 1930-33 1930-32
1931-33 1931-32
192. 50 5. 23
3, 914. 05
I&
5. 41 184. 41 12. 14
6, 688. 51
8. 60 'I 3, 914. 05 » 8, 814, 05
» 3r 881. 12 3, SSI. 12
115.00
16. 81 4, 470. 87
Survey ol battledelds
L 81 $87. 13
» 8, 881. 18
3, 414. 69
3, 414, 69
3, 411. 19
3, 411. 19
8, 241. 39
3, 241. 39
3, 241. 39
3, 241. SS
196.00 365. 86
133.50
190. 00
449. 73
Vicksburg National Military Park, Miss
19SS 1932
1931—32 1931 1930-31 Certdied claims
23, 432. 22 1, 966. 21 315. 00
1, 994. 32 315. 01 145. 65 560. 62
600. 63
23, 432. 22
$367. 50
2, 488. 66
26. 11
1, 968. 21 315.00
.01
145. 65 560. 62
1. 31
1. 31
1. 31
25, 716. 74
25, 716. 74
402, 846. 00
450, 719. 72
Total general fund, National Military Parks
182, 153. 74
48, 983. 20
272, 418. 37
3, 268. 32
10, 291. 23
4, 595. 01
33, 671. 55
Miscellaneous
Expenses, Army Band, Confederate Veterans' Reunion, Montgomery, Als 1931-32 Expenses, Army Band, Qrand Army National Encampment, Des Moines, 1932 Iowa Historical Museum, Fort Defiance, Ohio 1929-1931 1933 Lincoln Birthplace Memorial 1932 1931
Marker atNo year Monocacy, Md 1930-31 New Echots, Qa Marker or tablet to1931-32 Sgt. William Jasper. Monument: Cowpens Battle Qround, Ezell, S.C No year
.
Monument to First Permanent Settlement of the West, Hsrrodsburg, Ky 1931-1933 1931-32
.
1931-32 Tablet at Fort Sumter, S.C 1928-1931 Paving LaFsyette Extension Road 1928-1932 Paving Ringgold Road Paving Missionary Ridge Crest Road,
..
1931-32 Tennessee Paving Government road across Fort Sill Military Reservation, Okla. Pilgrimage of Gold Star Mothers and 1930-Dec. 31, 1933 World Wsr widows
«1931-32
Restoration
Old Fort Niagara, N. Y.»
No year 1931 1930
2, 008. 26
815. 14
815. 14
25, 000. 00
25, 000. 00 5, 819. 00
346. 61 . 36
«See note 50.
5, 213. 68 336. 76
5, 550. 44
5, 550. 44
538. 68 9. 85
4, 973. 92
6. 25
21 440. 00
1, 890. 00
1, 890. 00
550. 00
190. 86
30. 00
30. 00
160. 86
2, 294. 57 45, 830. 16
2, 294. 57 45, 830. 16
48, 124. 73
48, 124. 73
2, 487. 12
2, 487. 12
90, 606. 41
» 2, 594. 75 » 8, 694. 76
2, 487. 12 241. 17
237. 94
62. 24 42, 181 50
241, 17
117, 000. 00
117, 000. 00
198. 05
164. 69
164. 69
1, 063, 382. 42
528, 296. 53
528, 296. 53
4, 494. 42 . 20
4, 494. 42 . 20 . 04
4, 494. 42
4, 494. 58
4, 494. 58
591, 038. 09
591, 038. 09
33. 36
11, 766. 86
1, 325, 958. 35
11, 766. 86
5, 819.00
» Transferred from 1930-32 account, act July 1, 1932 (47 Stat. 541). «Transferred «Transferred
5, 213. 68 336. 76
4, 973. 92 6. 25
Total general fund, (quartermaster Corps, miscellaneous
2, 008. 26
to 1930-33 account. See note 48. from "Shiloh national military park, Tenne. see, 1931",sct Feb. 6, 1931 (46 Stat, 1075).
» Transferred from 1931-32 account, sct July 1, 1932 (47 Stat, 541).
. 20 . 04
7, 215. 16
2, 314. 01
. 30 . 04
25, 247, 82
7,
519. 74
2, 314, 01
» See note 52. «Trsnsfened from 1931-32 account, act July 1, 1932 (47 Stat. 641). » Transferred to 1931-33 account. See note 54.
«See
525, 556. 72
also special fund account, following.
705, 657 69
Continued I 988—
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Furids available in 1933
are printed in ffatic]
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal year for which
appropriation was made
Unexpended balances June 30. 1932
On books of the Treasury
Appropriations On 'books of
Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oihcers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing ofiicers
Available
SPECIAL FUNDS Nov»rnrvxav
ACTrvrvras
—Continued
UNDER OUARTERMJISTER CORPS
Miscellaneous
Preservation, birthplace of Abraham Lincoln Paving Dry Valley Road, Rossville, Ga. , contributions Paving Qovernment road across Fort Sill Military Reservation, Okla. , contributions rr Restoration of Old Fort Niagara, N. Y., donations»
.
$199. 68
$6, 919.89
$199. 68
$5, 079. 57
No year
14. 86
No year
23, 971. 09
» 23, 971. 09
» 23, 971. 09
No year
. 09
. 04
. 04
. 05
6, 934. 80
Total special funds, Quartermaster Corps, miscellaneous
Total, t)rrartermaster
$2, 040. 00
No year
14. 86
29, 065. 61
2, 040. 00
24, 170. 81
24, 170. 81
1, 355, 023. 96
7, 859. 00
615, 208. 90
615, 208. 90
161, 285. 00
139, 373. 89 54, 779. 29 124. 50
139, 373. 89 54, 779. 29 124. 60
Corps, mis-
cellaneous
$25, 247. 82
$7, 519. 74
$2, 314. 01
712, 592. 49
GENERAL FUND UNDER SIGNAL CORPS
Washington-Alaska telegraph system
military
.
cable and 1933-34 1932-33 1931-32 1930-31
54, 921. 41 I, 849. 64 171. 45
3, 826. 09
18, 085. 02 142. 12 1, 725. 14
3, 826. 09
19, 962. 28
171. 45
Total general fund, Signal Corps, 161, 285. 00
66, 942. 50
nonmilitary
194, 277. 68
194, 277. 68
171. 45
67. 07
120. 00
UNDER CORPS OP ENGINEERS
Corps of Engineers, miscellaneous
Construction and maintenance of roads, bridges, and trails, Alaska. » Expenses, CaliforniaDebris Commission.
1933 1932
120. 00
$67, 07
67. 07
-No year Interoceanic canals Preservation and repair of historical forti1932 fications, San Juan, P.R
26, 319. 08
15, 202. 64
1, 624. 48
3, 214. 47
3, 986. 84
22, 104. 61
ra, ara. 46
ra, 213. 46
1, 989. 18
$Nia. 11
Protective works snd measures, I ake of 1928-34 the Woods snd Rainy River, Minn. '4 1928-30
4'
149, 768. 55
51, 237. 69
44
201, 006. 24 SOI, 088. 84
45, 177. 10
45, 177. 10
SI, 887. 89
ss, 838. 40
8, 080. 59
18, 59. 70
Total general fund, Corps of En„ineers, miscellaneous
120. 00
961. 92
IM, 867. 22
26, 586. 40
961. 92
178, 961. 01
27, 439. 51
190, 410. 27
52, 919. 24
10, 367. 34
35, 847. 07
4S, 831. 10
6, 686. 32
22, 062. 70
11, 320. 99
201. 97
26, 56. 43
17, 428. 03
48, 831. 10
6, 686. 32
22, 062. 70
11, 320. 99
201. 97
26, 566. 43
17, 428. 03
239, 241. 37
59, 605. 56
32, 430. 04
47, 168. 06
1, 163. 89
205, 527. 44
44, 867. 54
30, 000. 00
5, 000. 00
4, 905. 85
25, 000. 00 23, 304. 85
94. 15
30, 000. 00
5, 000. 00
4, 905, 85
48, 304. 85
94. 15
SPECIAL FUNDS Corps of Engineers, miscellaneous
Protective works snd measures, Lake of No year the Woods and Rainy River, Minn. Wagon roads, bridges, and trails, Alaska fund. 44 Funds contributed for improvement of roads, bridges, snd trails, Alaska. «
"
Total special funds, Corps of Engineers, miscellaneous
Total, Corps of Engineers, miscellaneous
120. 00
GENERAL FUND RIVERS AND HARBORS
Improving harbor: Dredging channel, Fort Pierce Har-- No year bor, Fls. No year St. Lucie Inlet, Fla
23, 304. 85 23, 304. 85
Total general fund, harbors
SPECIAL FUNDS
g
RIVERS AND HARBORS
Improving harbors: Funds contributed for improvement af of shore erosion, Investigation Ko New Hampshire East Rockaway (Debs) Inlet, No N. Y No Monroe Harbor, Mich. No Biloxi Harbor, Miss. Na Brszos Island Harbor, Tex No Freeport Harbor, Tex No Nome Harbor, Alaska No Ponce Harbor, P. R Funds advanced for improvetuent, act Mar. 3, 1925, of: Inland waterway from Norfolk, No Va. , to Beaufort Inlet, N. C
.
"d
82. 24
year
year year year year year year year
20, 638. 33 5, 000. 00
4, 336. 69 11, 787. 22
100, 000. 00 50, 000. 00 5, 200. 00 265, 000. 00
44
2, 500. 00
1, 126. 95
48, 831. 82
year
82. 24
250. 00
60, 000. 00
59, 998. 82
40, 000. 00 50, 000. 00
1. 18
5, 200, 00 147, 000. 00 5, 000. 00 2, 500. 00 1, 126. 95
5, 200. 00 110, 482. 94 44 16, 787. 22 2, 500. 00 1, 126. 95
138, 638. 33
40, 853. 75
88. 71
48, 745. 11
86. 71
220, 740. 24
244, 923. 28
228, 975. 04
225, 740
249, 829. 13
250. 00
Total special funds, harbors
25, 638. 33
65 037 97
424, 076. 95
Total harbors.
48, 943. 18
65, 037. 97
454, 076. 95 ~
Includes $11, 766. 85 returned to contributors, act Mar. 4, 1915 (38 Stat. 1053). Sce also general fund account, p. 321. 44 Account transferred and provided for under tbe Department af the Interior, p. 157, sct June 30 lg32 (47 Sist„446). Transactions under this account for both the $Var and Interior Departments are stated on p. 157, 1933, as one account for budget purposes for the fisca year 44 provided iar under "Maintenance snd improvement of existing river and harbor works, in 1933. 44'
4
"
«See
also special fund account izelow. Transferred from 1928-30 account, sct July 1, 1932 (47 stat. 542). 44 Transferred to 1928-34 account, See note 61. n See also general fund account above. 44 Inc)udes $12,000 returned to contributors, sct Mar. 4, 1915 (38 Stat. 1053). « Includes $16,697.21 returned to contributors, act Msr. 4, 1915 (38 Stat. 1053).
44
'
40 Ss,i g3
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
to appropriations
in excess of expenditures
Expenditures in 1933 (see p, 6)
Funds available in 1933
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
Fiscal year for which appro priation was Inade
Unexpended balances June 30, 1932
On books of the Treasury
Appropriations On books of
Treasury
To credit or dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savcngs (see p. 7)
disbursing officers
Available
GENERAL PUND NQNMILITARY
AcTIYITIEs
—Continued
RIVERS XRD MXRRORS
Improving rivers: Santee, Wateree, and Congaree, S.C No year Maintenance and operation, Dam No. 2, Muscle Shoals, Als 1933-34 1933 1931-32 1930-31
Dam No. 2, Muscle Shoals, Ala No year Columbia, at Three Mile Itapids, Oreg. and Wash IVo year Snohomish, Wash No year. Mississippi, between St. Paul and Minneapolis and Brainerd and Grand Rapids; Mississippi and Leech Rivers, and reservoirs at headwaters of Mississippi River No year Experimental towboats for MissisNo year sippi River and tr!butaries Reservoirs at headwaters of MissisNo year sippi River Examinations, surveys, and contingencies of rivers and harbors No year Maintenance and improvement of No year existing river and harbor works Maintenance and improvement of existing river and harbor works (transfers to Department of Commerce, act May 21, 1920): To Bureau of Foreign and DoNo year mestic Commerce No year To Coast and Geodetic Survey
Maintenance and improvement of existing river and harbor works (transfers to Department of the Interior, Geological Survey): Act Apr. 22, 1932 Act Feb. 14, 1931 Act May 14, 1930. Act Mar. 4, 1929
No No No No
year year year year
$12, 249. 66
$330. 97
760. 02 26, 742. 29
7, 225. 61
$225, 484. 00 245, 184. 00
26, 830. 03
$203, 152. 98
$330. 97
$15, 563. 99
225, 484. 00 9, 155, 36 7, 654. 62
17, 311.67
817. 53
1, 043. 72
13, 934. 41
331. 01
C3
$26, 742. 29
2, 560. 12
«SS. JO 486. 58
$220, 464. 65 6, 894. 60
$12, 249. 66
213, 570. 05
203, 483. 99
24, 968. 78
13, 594, 49
ss. 40
8$ 40 1, 747. 34
419. 86
1, 327. 48
!
66. 72
t7
20, 361. 82
20, 361. 82
60, 605. 93
567. 99
15, 000. 00
805. 32
2, 004, 55
2, 746. 11
11, 966, 902. 8(j
8, 090, 372. 83
2, 068. 72
2, 006. 40 1, 102. 26
2, 500. 00
II 90, 367, 635. 33
w
88, 71 27. 30 52. 86
12, 355. 94
25, 650. 00
Ie 7, Sl 3. SS
58, 601. 38
1, 770. 07
55. 00
15, 000. 00
750. 32
45, 359, 397, 63
6, 160, 728. 49
28
214. 92 28. 68
395. 95
39. 30
610. 70
3, 718. 86
2, 535, 91
2, 535. 91
210. 20
II 55, 372, 466. 84
57, 302, 111.18
1, 357, 036. 61
1, 694. 00 2, 255. 04
3, 700. 40 2, 961. 35
25, 000. 00 7, SS5. SS
21, 281, 14 4, 617. 71
159. 80 21CL
$245, 637. 11
513. 01 27. 30 52. 86
17, 774. 78
CJI
802. 47
25, 898. 85
oo
Maintenance and improvement of existing river and harbor works, emergency construction, act July No = 21, 1932 Flood relief and control: » Flood control, emergency construoNo tion sct July 21, 1932 No Flood control, Mississippi River River snd Flood control, Mississippi No tributaries
year year
638. 02
year
15, 701, 675. 26
2, 668, 089. 15
Flood control, Mississippi River snd tributaries (transfers to Department of the Interior, Geological Survey): Act Feb. 14, 1931 Act May 14, 1930 Act Mar. 4, 1929 Act Msr. 7, 1928.
year year year year
46, 931.26 44. 48 21. 96 20. 48
19, 521. 60
No No No No
year
30, 000, 000. 00
15, 500. 000. 00
» 51, S57, 441. 00
»
&&,
15, 025, 186. 75
12, 261, 420. 20
37, 834. 07
071. 42 S. 51
5, 988, 995. 04 S. 31
39, 172. 57
32, 655, 025. 25
32, 333, 009. 68
454, 482. 66
41, 49, . 54
59, 353. 05
1, 318.53
6& 734,
017. 00
1, 721. 50
27, 543. 45
14, 935, 257. GS
2, 763, 766. 55
8, 726, 756. 01 640. 33
795, 076. 38
34, 222, 064. 93
2, 990, 104. 72
98. 19
1&
666. 09
44. 48 21. 96 '20. 48
41, 497. 54
59, 353. 05
2, 496. 34
6, 063. 69
361. 50
2. 70
663. 65
460, 001. 73
337, 304. 53
3, 530. 74
559, 082. 61
195, 853. 87
Flood control, Mississippi River and (transfers to Departtributaries ment of Agriculture, act May 21, 1920)
Emergency fund for flood control on tributaries of Mississippi River Flood control, Missouri River st Niobrara, Nebr Flood control, Missouri River st Yankton, S.Dak Flood control, Sacramento River, Calif
Flood control, Lowell Creek, Alaska
Permanent and indefinite: Examinations and surveys st South Pass, Mississippi River
.
waters of the Mississippi River and its tributaries
No year
2, 860. 54
4, 231. 00
No year
274, 615. 08
?3, 156. 67
No year
85, 000. 00
85, 000. 00
No year
85, 000. 00
85, 000. 00
No year
218, 943. 56
No year 1933—34
000. 00
1, 768, 480. 00
977, 022. 41
30, 109. 46
310. OO
310. 00
3. 50
103. 71 21, 000. 00
310. 00
310. 00
9, 500. 00
9, 356. 24 955. 39
26. 50
473. 50
143. 7G
9, 50. 00
10, 311.63
9, 041. 20
9, 025. 53
61 25
497. 55 150. 00
15. 67
9, 041. 20
9, 025. 53
21, 000. 00
10, 000. 00
955. 39
Gauging
9, 600. 00 150. 00 150. 00
Transferred to "Maintenance and improvement of existing river snd harbor works", act Hept. 22, 1922 1042, sec. 6). Tl»s account w» «ed&ted wiil $82 40 transferred from "Columbia River at Three Mlle Rapids Oreg under the Department of the Interior, under act of Feb. 14, an&i Wash. ", $7, 313.93 returned from same abject 890, transferred io accounts as follows: 1931 (46 Stat. 1148), per note 65 snd charged with $9, 027, $9 000 000 00 Flnergency conservation fund, p. 120(act Mar 31, 1933, 48 Stat. 22) 25 650 00 Survey (act Apr. 22, 1932, pe& nate 67) Geological To Department of the Interior, 2, 240. 00 1933 Engineers, Chiefof &)trice of Salaries, for advance of funds, aci of Mar. 3, 1925, for llnplove. )»&les f1, 129,067. 14 repayments to contributors
Stat.
"
"
In&
l»en& of:
Inland &rater«ay from Norfolk, Va. , to Beaufort Inlet, N. C F;»&i&or& Iiarhor, Ohio &)&&vega ilarl;ar, N Y I ianaiui» If l&rbar, Il a&vaii As)&land ll arbor, AVis
Sarinaw liar)&ar, IVIich
4, 213. 35
150. 00
l&
(42
I, 001, GS3. 27
951, 417. 48
417. 21
1933 1932
1933 1932 1931
236, 707. 87
748&
$100, 000. 00 339, 607, 14 100, 000. 00 350, 000. 00 40, 000. 00 200, 000. 00
w 'o
Transferred from same object under War Department. See note 67. Returned to same object under War Department. See note 67. » For additional fiood reliefs, see p. 327, snd Department of Agriculture, pp. 127, 128. » Includes $4, 017 returned fram same object under Department of thc Interior. See note 73, l Returned to same object under War Department. See note 72.
211, 102. 94
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Expenditures
Funds available in 1933
Fiscal year
On books of
Treasury
Unexpended
balances June 30, 1933
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit bf Reserve for impounded salary savings (see p. 7)
disbursing officers Available
—Continued
—Continued xNn trxRsoRs — continued indefinite — Continued.
Notttnmrxnv
Acvtvmas
Perinanent and Maintenance of channel, South Pass, Mississippi River
.
$100, 000. 00
1933 1932 1931
$10, 000. 00 3, 262. 39
$22, 920. 58
25, 000. 00
1933 1932 1931 Certified claims
3, 597. 45 rO
$99, 800. 00 6, 737. 58
106, 537. 58
127, 799. 00
14, 447. 74
3, 300. fc
12, 208. 27 1, 297. 20
3. M
3. 55
12, 151. 13
13, 509. 11
49, 900. 00
41, 211. 49
snag boats on the Ohio
Operating snd care of canals other works of navigation
'3,
$60. 73 262. 42
$1, 659. 16 M
10, 548. 92 2, 300. 16
3. 34
2, 239. 47
10, 922. 65
922. 65 3 55
50, 000. 00
1933 1932 1931
$139. 27
$98, 140. 84 29, 658. 16
$3, 262. 39
Operating snag snd dredge boats on Mississippi, Illinois, snd Minnesota Rivers
Operating River
Amount carried to surplus fund (see p. 7)
in 1933
p. 6)
On books of the Treasury
Appropriations
made
RivERs
(see
are printed in ifaffc]
in excess of expenditures
Unexpended balances June 30, 1932
for which appi'opriation was
GENERAL FUND
to appropriations
'tl
96. 39
3. Gl
8, 688. 51
2, 543. 62
2, 543. 62
1, 768. 11
1, 768. 11 49, 900. 00
43, 755. 11
7, 048, 274. 16
6, 635, 721. 38
6, 546, 727. 75
3, 000. 00
1, 602. 62 817. 06
1, M6. 84 1, 084. 71
2, 419. 68
2, 641. 55
76, 707. 32 1, 572. 94
71, 265. 85 Sr 394. 18
and
CommisPermanent International sion of Congresses of iVavigation
Removing obstructions in Mississippi, Atchafalaya, and Old Rivers
69i, 030. 09
No year
1933 1932 1931
1933 1932 1931
Removing sunken vessels or craft obstructing or endangering naviNo year gation
~
1, 000. 00 127. 69
267. 65
$87, 675. 65
780r 023 72
1, 397. 38 1S2. 94
45. 78
19, D43. 70 6, 146. 95
5, 441. 47
127. 59
100, 000. 00
7, 719, 89
324, 877. 13
6, 82I. 24
3, 348. 98 43, 498. 43
43, 498. 43
85. 997. 49
122, 481. 06
778, 280. 26
79, 660. 03
120, 597. 11
195, 134. 72
1, 152. 55
731. 40
11, 459. 98
Working fund, Wsr Department and harbors) Special-deposit accounts
(rivers
No year 56, 808. 44
Total general fund, rivers
28, 632, 189. 80
11, 991, 303. 16
198, 015, 819. 77
I
45, 032. 28
95
116, 531, 570. 66
172, 836. 87
172, 836. 87
30, 000. 00
45, 594. 66
494. 60
494. 60
118, 528,
9, 060. 92 11, 776. 16
I9, SI0. 99 87, 624. 01
2, 270, 114.94
366 791 06
105 394, 969 61
13, 988, 242. 46
SPECIAL PVNDS RIVERS AND NARBORS
Improving rivers: Maintenance snd operation of dame snd other improvements of navigable waters No year Funds contributed for itnprovement
184, 041. 70
183, 924. 40
184, 966. 10
10, 163. 13
of-
Btg Timber Creek, N. J Washington Canal and
No year
30, 000. 00
15, 594. GG
South
River, N. J Missouri River below Kansas City, Mo Caloosshstchee River and Lake Okeechobee drainage areas, Fla Mississippi River, Yazoo, Miss. , Deltfi Levee District, Miss Mississippi River, Lower Yazoo Levee District Columbia snd Lower Willamette Rivers below Vancouver, Wash. , and Portland, Oreg San JOaquin River and Stockton Channel, Calif Yuba River, Ca!If Flood control: » Flood control, Mississippi
No year
44
No year No year
85, 000. 00
No year
44, 800. 56
25, 000. 00
50, 000. 00
52, 640. 39
I, 258. 93
7, 800. 00
7, 800. 00
4, 505. 33
1, 960. 00
I, 530. 00
11.88
No year
No year
472. 80
No year No year
124, 9GO. 74 4, 828. 96
River. No year Flood control, Mississippi River, its outlets and tribuNo year taries. Flood control, Sacramento No year River, Calif
Summary, Rivers and Harbors; General fund Special funds
Total
60, 000. 00
42, 160. 17 4, 553. 60
430. 00
1, 518. 12
10, 000. 00
5, 000. 00
I, 385. 97
248, 157. 00
40, 414. 46
11, 554. 50
4472. 80
116, 000. 00 15, 000. 00
I, 725. 21
116, 000. 00 5, 000. 00
235, 960. 74
&41, 725. 21
I, 725. 21
9, 828. 96
112. 01
60, 529. 97
116, 633. 33
»473, 202. 37
493, 317. 88
45, 806. 27
32, 250. 23
354, 867. 04
14400&
492 62
312, 595. 81
180. 69
120, 147. 04
507, 733. 79
213, 793. 39
60G,
952, 685. 19
284, 696. 85
825, 684. 77
I, 259, 081. 67
I, 329, 985. 13
29, 584, 874. 99
12, 276, 000. 01
198, 841, 504. 54
119, 787, 591. 62
117, 861, 555. 79
87, 624. 01
2, 281, 669. 44
366, 791. OG
105, 902, 703. 40
14, 2&OZ,
0;&Gi. !&4
28, G55, 494. 65 978; 323. 52
11, 991, 303. 16
198, 045, 819. 77 I, 249, 761. 72
118, 533, 509. 95 I, 479, 821. 91
116, 53G, 476. 51 I, 574, 908. 41
87, 624. 01
2, 270, 114. 94 11 554 50
366, 791. OG
105, 443, 274. 46
13, 04&8,
X&tz (io
349, 734. 82
'&5&4,
644«. ;2&
29, 633, 818. 17
12, 341, 037. 98
199, 295, 581. 49
120, 013, 331. 86
118, 111, 384. 92
87, 624. 01
2, 281, GGO. 44
366, 791. 06
Total special funds, rivers
Total rivers
4, 000. 00
4, 000. 00
736&,
7O8.
I«:
106, 179, 983. 'Zo
14, 242, 984. I&'&
GENERAL FVND NONMILITARP
ACTIVITIES
INLAND WATERWAYS CORPORATION
IN
Capital stock, I»lan&1 Waterways poration
.
CorNo year
14
3, 000, 000. 00
For additional flood reliefs, see p. 325, and Department Of Agriculture, pp. 127, 128. ii Inc&»&les $129.87 returned to contributors, act Mar. 4, 1915 (38 Stat. 1053). &4 Returned to contributors, sct Mar. 4, 1915 (38 Stat. 1053). to contributors, sct Mar. 4, 1915 (38 Stat. 1053). 14 i»et»&les $&, 40,&. 05 returned » Iliclu&les $139,459.88 returned to contributors, act Mar. 4, 1915 (38 Stat. 1053). ii
3, 000, O(to oo Includes $942.50 returned to contributors, act Mar. 4, 19&5 (38 Stat. 1053). » The sct of Feb. 28, 1929 (45 Stat. 1380), Provided that of the $7, 500, 000 aPPronriate&l duri» ~ I lic 0;&el i y&s« 1930, $2 500 000 should be available immediately, and of the balance not more tlnm f 1 500 000 ala&u I&I &&e iv i i ti. drawn from the Treasury during the fiscal year 1930, not more than $3,000, 000 during the fiscal vciir i!i&&, ill&&i not more than $3,000, 000 during the fiscal year 1932. &I
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ffefic]
Amount carried to surplus fund (see p. 7)
Unexpended
bslanoes June 30, 1933
Fiscal year
for which
appropriation wss made
Unexpended balances June 30, 1932
On books of the Treasury A ppropriations
To credit of dis-
On books of
Treasury
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
bursing officers
Impounded salary savings
To credit of Reserve for impounded salary savings
disbursing ofiicers
Available
(see p. 7)
GENERAL FUND NQNMILITARY
—Continued
AOTIYITIEs
—Continued
wAR CLAIMS ARD RELIES ACTS
Claims under War Claims ginia,
reported 'by the Court of Claims Bowman and Tucker Acts, etc. , Nn year
$7, 125. 09
$27. 60
$57. 60
to property in Virwar with Spain. No year
$7, 152. 59
347. 00
27. 50
27. 50
319. 50
4, 562. 87
4, 562. 87
for damages
Interest on amounts withheld from claimants by the Comptroller General of the United States, act Mar. 3, 1875 (War) No year Payment of volunteers, Cayuse Indian War of 1847 and 1848 in Oregon No year Payment for damages to private property by guniiring No year Payment toClsimsnts, airplane accident st Lsngin Field, Moundsville, W. VS No year Claimants under section 2, Private Act h o. 524, Mar. 2, 1929 No year Heirs, etc. , of persons killed on Mexican border No year Relief ofEmily Addison No year Allegheny Forging Co No year Anton Anderson No year Edward Bedwell No year Bethel Cemetery Co No year No year Edward Bodeck Booth Fisheries Co No year No year Joseph E. Bourrie Co No year Herman H. Bradford Alex Bremer No year No year E. C. Buckson No year C. A. Cates Certain former enlisted men of the Army for Libery bonds never No year received Certain newspapers snd publishing No year companies Certain officers snd former officers, No year Army Claimants for damages due to erosion No year of dam on Allegheny River No year Crew of transport Antilles No year Estate of Annie L. Davis No year Heirs of Theodore Dehon
.
$4, 562. 87
1, 108. 83
1, 108. 83
56. 72
56. 72
431. 33
431. 33 113. 69
113. 69
113. 69
1, 500. 00 914. 55
Ii 500. 00
1, 500. 00
3, 000. 00
914. 55
170. 00
$170. 00 87. 58 964. 29 63. 75 1, 055. 70 337. 00 700. 00
87. 58 !)64. 29 3, 500. 00 63. 75 1, 055. 70 337. 00 700. 00
87. 58 964. 29 3, 500. 00 63. 75 1, 055. 70 337. 00 700. 00
1, 000. 00
1, 000. 00
1, 000. 00
3, 500. 00
100. 00
100. 00
100. 00
100. 00
189. 01 '
189. 01
266. 00, '
50. 00 1, 556. SS
731. 10 500. 00
500. 00
500. Oo 500. 00
731. 10 500. 00 500. OO
50. 00 SSSL
72
Joseph Anton Diets C he -ter J. Dick Claude E. Dove Sarah E. Fuge Thomas N. Emley Emma E. Fosrd Mrs. Jo!)nnie Schley Gatewood Rose Gillespie Ids E. Godfrey W, Stanley Gorsuch Kenneth G. Gould Oscar It. Hahnel Noble J. Hall Herbert C. Hnnnigan Amy Harding William J. Howard Johnson and Ilig ins Philip Hudspeth Louis Jones, for injuries Mrs. W. M. Kittle. D. M. Leypoldt Co Rachel A. Loveless John I. Lowe Mary L. McIntire Howard McKce Florence Mnhoney NI ills Brothers George 5]organ William R. Nolan John A. Pearce. Persons on account of fire in 1917, Lawton, Okla. Persons sutlerfng damage due to con&lernnntion of land for Camp Ber-
..
.
m]ng,
Gs. .
Lizzie Pittman Anno Pokorny Presbyterian Church, ( ifv, Irf&] Frank It. Scoff De&i&] J. Seacord Emma Shelly
an&i
]). Worsh;&rn gener;fl
fund,
ltelici Acts
45. Oo
186. 17 300. 00 350. 00 64. 48
43. 33 40. 25 115. 12
!4.30 64o. oo 000. 00 5, 420. 00 750. 00 125. 00 3, 000. 00 3. 72 750. 00 45. 00 ]BG. 17 300. 00 350. 00 64. 48 43. 33 40. 25
14. 30 640. 00 5, 000. 00 420. 00 750. 00 125. 00 3, 000. 00
3. 72 750. 00 45. 00 186. ]7 300. 00 350. 00 64. 48 43. 33 40. 25 115. 12
134. 00
134. 00 61. 50
61. 50 30. 63
332. 25
No year No year No year
1, 530. 00
No
.
T&, tal
125. 00 3, 000. 00 3. 72 750. 00
No year
No No No No
Sisters of Saint Baisl Leis B. Smith Edwnnl Sfnf&p Hnrol&l S. Sfubbs Sufferers from fn&nine in China Sun Shipbuil&ling k, Dry Dock Co Katherine It. The!&crge Char]es Thomas I]airs of Jacob Thomas. Willi;&m B. Thompson kal]&h R. Wn!ton Itnlph E. Williamson Wf i)not Cnstle Co Menue] ]t] Wizen&nn, trustee of estate of Louis Wisemnn. Raymoml ]). Woo&is
L.
14. 30 640. 00 000, 00 5, 420. 00 750. 00
367. 56 966. 39 96. 76 I& 000 00 68. 25 915. 00 I, 000. 00 600. 00 27. 72 350. 00 2, 000. 00
3G7. 56
966. 39 96. 76 I, OOO. 00 68. 25
9]5, OO I, 000. 00 600. Oo 27. 72 350. 00 2,
OOO. OO
367. 56 39 96. 76 I, 000. 00 68. 25 915. 00 1, 000. 00 GOO. 00 27. 72 350. 00 2, 000. 00 96&6.
332. 25
I, 530. OO 350. 00 5, 000. 00
370. OO 5, 000. 00
350. OO 5, 000. 00
141. 28
141. 28
750. 00 47. 50 300. 00
7'0. 00
141. 28 750. 00 47. 50
Chesapeake
J. G. She]ton. ..
Mf&j.
No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year No year
No No No No No No No No No No No
No No
year year year year year year year year year year year year year year year year year year
37. 50
47. 50 300. GO 37. 50
300. 00 37. 50
687. 57
G87. 57
GS7. 57
I, 181. 22
I, 181. 22
I, 181. 22
105. 89 175 45
105. 89 175 45
]05 S9 175. 45
1]0.00
110. 00
I, 284. 14
], 284. 14 3, 500. 00 ]86. 48
562. 80
5&62. 80
262. 10
238. 70 565. 00 262. 10
1, 284. 14 3, 500. 00 186. 48 562 80 238. 70 565. OO 2!i". 10
90. 33 480. 47 11 500. 00
90. 33 480. 47 I, 500. 00
90. 33 480. 47 I, 500. OO
43, 86S. 90
52, 296. 34
52, 296, 34
5, 563. 1 i
110.00 3, 500. 00
497. 28 238. 70 565. 00
No year No year No year
c, Gfi3. 11
310. 80
War Claims 31, ]58. 47
65. 63
385. 12
2'&,
34,i,
9i
~eceipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
to appropriations
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
Expemlitures in 1933 (see p. 6)
Funds available in 1933
for which
—Continued
Jf)88
Unexpended balances June 30, 1932
Treasury
To credit of dis-
tVarrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
GENERA. L FUND NoNMILITARY
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
p.
dlsburslng officers
Available
7)
—Continued
AcTIVITIEs
—Continued
MISCELLANEOCS NONMILITARY
Statement of receipts and expenditures in Cuba and the Philippine Islands No year Permanent and indefinite: Refunding moneys erroneously received and covered (War) No year Soldiers' Home, interest account No year
Total general
Miscellaneous
fund,
$99. 39
$99. 39
$2. 99
$2. 99
$2. 99
26, 446. 84
102, 992. 93
104, 382. 11
104, 382. 11
25, 057. 66
26, 546. 23
102, 995. 92
104, 385&. 10
104, 385. 10
25, 157. 05
903, 877. 81 36B& 643. 56
1, 338. 27 849, 169. 47 559, 498. 48,
2, 332. 05 849, 169. 47 521, 872. 41
109, 918. 70 2, 264, 234. 33 3, 330, 697. 11
14, 555. 58 12, 921. 84 2, 994. 75 443. 70
]4, 555. 58
32, 253. 77 21, 788. 62 21, 114. 03
30, 915. 87
30, 915. 87
56. 33
56. 33
Non-
military
TRUST FUNDS NONMILITARY
ACTIVITIES
Army allotlnents (transfer to Veterans' No year Bureau, act Oct. 6, 1917) No year Pay of the Army, deposit fund Soldiers' Home permanent fund No year
"
Estates of deceased States Army
Estates
of deceased
soldiers,
Summary, Nonmilitary Qenersl fund Special funds Trust funds
Total
3, 523, 552. 03
15, 205. 60
e'
$52, 831. 67
46, 809. 35 7, 366. 91 130. 75
27, 343. 55 23, 978. 03 20, 712. 53
» 20, 288. 83
12, 921. 84 2, 994. 75 443. 70
(ee) (ee) (ee)
War
No year Department No year Recreation fund, Army Unclaimed moneys of individuals whose No year whereabouts sre unknown (War) Corps, savings Civilian Conservation No year fund
Total trust funds, War.
$993. 78
United 1933 1932 1931 1930 1928 1927 1923
personnel,
111,256. 97 2, 209, 525. 99
1, 595. 61
111.62 807, 394. 90
3, 996. 85
4. 34
1, 650. 90 807, 394. 90 4, 001. 19
7, 554. 20
694. 00
694. 00
6, 860. 20
1, 405, 040. 13
6, 699& 913. 75
52, 831. 67
5, 921, 961. 56
16, 199. 38
2, 119, 624. 61
I, 441, 672. 42
33, 720, 600. 07 1, 056, 220. 23 5, 921, QB1. 56
12, 093, 271. 23 356, 421. 14 16, 199. 38
199, 532, 194. 98 I, 251, 801. 72 2, 119, 624. 61
120, 818. 282. 68 1, 526, 055. 42 1, 441, 672. 42
118, 894, 602. 69 I, 610, 400. 21 1, 405, 040. 13
$160, 317. 50
$2, 312, 467. 95 11, 756. 47
$379, 185. 09
109, 582, 541. 83 770, 21 0. 06 6& 599, 913. 75
14, 016, 951. 22 272, 076. 35 52, 831. 67
40. 698, 78L 86
12, 465; 891. 75
202, 903, 621. 31
123, 786, 010. 52
121, 910, 043. 03
160, 317. 50
2, 324, 224. 42
379, 185. 09
116,952, 665. 64
14, 341& 869. 24
Activities:
SUMMARY
(War Department,
excluding Panama Canal)
General fund: Regular accounts Accounting funds Special deposit accounts
103, 761, 835. 84 I 9, 510, 980. 45
12, 089, 022. 37 9, 235, 810. 22 298, 271. 31
518, 218, 470. 09
421, 972, 945. 29 10, 513, 289. 61
420, 006, 712. 51 998, 804. 68 234, 082. 20
3, 105, 132. 09
10, 710, 846. 22 5, 434. 82
I, 052, 625. 79
185, 138, 756. 54 I 20, 029, 684. 88
14, 065& 255. 15 20, 677, 904. 51 64, 189. 11
94, 250& 875. 39 1, 822, 049. 76 5, 921, 961. 56
21, 623, 103. 90 356, 421. 14 16, 199. 38
518, 218, 470. 09 I, 564, 362. 18 2, 119, 624. 61
432, 486, 234. 90 379& 34A 97 1, 441, 672, 42
419, 311, 990. 03 PW„997. 48 I, 405, 040. 13
3, 105& 132. 09
10, 716, 281. 04 14, 653. 74
1, 052, 625. 79
165, 109& 071. 66 3, 751, 100. 47 6, 599, 913.75
34, 797, 348. 77 272, 078. 35 52, 831. 67
101, 994, 886. 71
21, 995, 724. 42
521, 902, 456. 88
433, 548, 565. 05
420, 422, 032. 68
3, 105, 132. 09
10, 730, 934. 78
I, 052, 625. 79
175, 460, 085. 88
35, 122, 256. 79
No year
177, 497, 38
61, 909. 98
1, 300, 000. 00
1, 204, 678. 74
1, 194, 532. 82
26 348 73
161.458. 65
'(2, 055. 90
No year
23. 33
No year No year
5, 669, 943. 87 46, 763. 86
206, 277. 28 18, 747. 51
4, 312, 125. 83 43, 988. 12
I, 420, 352. 92
Total Special funds Trust funds
Total
GENERAL FUND PANAMA iIAINTENANCE
CANAL
ss
AND OPERATION
Civil government, Panama Canal and Canal Zone Canal connecting the Altantic and Pacific Oceans Maintenance and operation, Panama Canal Sanitation, Canal Zone, Panama Canal Special deposit accounts
Total general fund, Panama Canal maintenance and operation»
5, 894, 228. 44
85&011 26
r
23. 33 1, 198, 706. 19 85, 406, 76 639, 784. 32
9, 091, 011. 00
1, 985, 807. 25
11, 146, 661. 00
755, 650. 00
9, 645, 649. 34 679, 811. 13
11, 530, 139. 21
9, 424, 002. 61 662, 114. 40 137, 108. 01
596, 902. 42 59, 867. 10
11, 417, 757. 84
741, 780. 78
103, 103. 49 502, 876. 31
251, 373. 52
2, 098 188. 62
4, 517, 572. 60
SPECIAL FUNDS PANAMA
CANAL
Maintenance and operation, Panama Canal, dividends, Panama Railroad Co No year
Total, Panama Canal maintenance and operation
"
2, 800, 000. 00
2, 800, 000. 00
13, 946, 661. 00
11, 530, 139. 21
11, 417, 757. 84
47. 71
689, 243, 011.82 425, 665, 838. 60
689, 243, 011. 82 425, 660, 300. 00
689, 243, 011. 82 425, 660, 300. 00
5 384 31
47. 71
I, 114, 908, 648. 42
1, 114, 903, 311.82
1, 114, 903, 311. 82
5, 384. 31
743. 17
35, 944, 111.'77
35, 944, 500. 00
500 00
3. 4. !rt
5, rl94, 228. 44
1, 985, 807. 25
23. 33
741 780. 78
251, 373. 52
2, 098, 18E r2
7, 317, 572. 80
GENERAL FUND PUBLIC DEBT Permanent and indefinite: Interest on the public debt. Sinking fur«i
No year No year
SPECIAL FUNDS I'I;BLIc
Drcr Exr ENOITI. REs
AGAINST
ORDINART
CHARGEABLE
RECEIP'Is
(For dct;iils see p. 402) anil indefinite: Pui&lic rlci&t irrinciirirf.
Permanent
No year
Debit balance. Represents alloiincnts of Army pay under War Risk Insurance Act. ii Incluiles (20, 388.57 transferred from the following accounts: "Estates of deceased soldiers, United States Army "; 1930, (20, 30s. 73; 1928, $9.76; 1927, $69.18; and 1923, $0.90, act Mar. 3, 1883 (22 stat. 565). » Transferred to "Soldiers' Home permanent fund", less net receipts of $39.90. I
rrr
35& 944&
» Appropriation
" " "
of $9.76 transferred to "Soldiers' Home permanent fund. of $69.18 transferred to "Soldiers' Home permanent fun&i » Appropriation of $0.90 transferred to "Soldiers' Homo permanent fund ie For "Fortifications, etc. , Panama Canal", and "Payment to Governrucnt Nov. 18, 1903", see pp. 249, 313. ii Appropriation
o( itin iiii
i
un&lcr
rrcati of
C4 CA)
Receipts and expenditures, (Debit transfer appropriations
(net) snd repayments
—Continued
l988
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
Unexpended
balances June 30, 1938
Fiscal year
for which
Unexpended balances June 30, 1932
approprb ation wss made
On books of the Treasury
Appropriations On books of
Treasury
To credit of dis-
Warrants-issued basis
Checks issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see
p.
disbursing officers
Available
7)
TRUST FUNDS DISTRICT OF COLUMBIA [See note]
Executive ofnce, District of Columbia
Expenses, George Washington tennial Commission, District lumbia '.
1933 1932 1931
1931-33 1931-32
Collector's ofnce
.
271, 585. 81
266, 565. 38
22, 199. 77
570. 14
22, 199, 77 1, 488. 02
21, 629. 53
23, 6S7. 79
250. 00 222, 000. 00
250. 00 380, 000. 00
137, 780. 00
125, 000. 00 1, 639. 30
$25, 218. 48
$10, 480. 48
$10, 53S. 87 8, 177. 88
$5, 405. 45
$5, 393. 78
1933 1932 1931-32 1931
.
1932 1981
.
s
50, 000. 00
2, 058. 16
1933
No year 1933 1932 1931
.
x
$266, 535'. 05 30. 33
cJ
Bicen-
Care of District Building
License bureau
$271, 940. 50 354. 69
$318, 178. 33
$385. 02
of Co-
National Conference of Commissioners on Uniform State Laws Municipal Center.
Assessor's oQIce
1
$7, 823. 19 5, 393. 78
1933 1932 1931
1, 250, 781. 77
187, 520. 71
3, 081. 31 860. 39
5, 0(J4. 94
4
49, 477. 73 49, 477. 78
42. 34
250. 00 557, 336. 36
54. 18
1, 092, 727. 59
10, 184. 35
117, 591. 18
8, 396, 68
1, 096. 82
7, 408. 82
3, 286. 50
1, 442. 01
6, 734. 24
126, 639. 30
124, 325, 42
205, 823. 67 4E 34
196, 998. 20
57. 90
57. 90
205, 839. 23
197, 056. 10
1, 089. 00
I, 089. 00
20, 766. 93
1, 491. 92
5, 567. 48 272. 34
8, 826. 47
2. 00
1, 517. 54 199. 01
247. 42
428. 54
199.01
49, 790. 00 1, 355. 13 452. 42
26, 061. 42 1, 092. 41
860. 39
233, 650. 00
230. 00 2. 00 305. 32
1, 216. 54
101.70
1, 089. 00
1, 089. 00
42, 000. 00 1os. 84
41, 286. 84 8. 14
4, 02L 94
41, 284. 70
1, 773. 06
1, 458. 97 452. 42
41, 896. 16
1, 995. 00
713. 16
Auditor's office
1933 1932 1931
OfSce of corporation counsel
1933 1931
Coroner's office
1933 1932 1931 1930 1929 1928 1926
Ofhce of superintendent ures, snd markets
129, 720. 00 789. 96 689. 86
333. 98
115, 000. 00 sas. 66
109, 602. 42
114, 674. 35
1.09,
789. 85 1, 116.61
2 618. 26
689. 86
s
90, 595 00
81, 000. 00
610. 75
81, 02k 33
188. 90
3, 814. 85 1, 218. 80 1, 036. 40 98. 00 85. 60 1. 25
11 361 90
8. 33
8, 261. 66
1, 333. 34
890. 96
3, 266. 68 1, 212. 26
r
21. 33
188. 90
684. 97
16, 140. 00 695. 00
12. 28 90. 00
1. 25
81, 000. 00
81, 021. 33
11, 982. 46 3, 297. 59
11, 619. 32 3, 982. 56
91. 64
91. 64
12. 28 54. 00 1. 25
12, 28 54. 00
98. 00 121.60
1. 25
1. 25
15, 439. 22
15, 761. 05
54, 000. 00
51, 806. 22 1, 073. 40 438. 47
363. 14
1, 127. 16 1, 036. 40
of weights, meas-
1933 1932 1931-32 1931
58, 570. 00
3, 880. 00 534. 69 1, 034. 91
Site snd sheds, Farmers' Produce Market No year Trees and parkings 1933
.
Salaries, trees and parking department
Expenses, trees and parkings
&
Office of chief clerk, engineer department
Central garage
r
1932
112. 89 889. 11
55, 136. 10
53, 318. 09
4, 66k 00 124, 936. 09
118, 287. 91
195. 66 3, 182, 37 96. 22
744. 00
4, 662. 00 4, 438. 19
11, 605. 72
2, 193.78
6, 648. 18
50. 34
888. 63
4, 857. 26
999. 11
3, 971. 04
889. 11
30, 660. 00
886. 33
3, 971. 04
27, 000. 00
26, 769. 82
2, 629. 96
330. 00
. 13
12
30. 05
700. 04 . 12
230. 18
6. 10
194. 18
30. 05
5, 340. 00
26, 999. 88
26, 769. 82
5, 000. 00
4, 805. 82
5, 000. 00
4, 805. 82
333. 90
—
Norm. Appropriations made for the District of Columbia sre payable from the revenues of the District, supplemented by a contribution from the Treasury of the United States in the sum of $7, 775, 000 for ihe service of the flscsl year 1933, a similar provision for $9, 500, 000 having been made for each of the years 1931 and 1932, and the amount of $9, 000, 000 having been contributed for each of the years 1925 to 1930. Appropriations prior to 1925 were payable on a percentage basis, the United states contributing 40 percent for the years 1921-24, and 50 percent for prior years. continuous (no-year) appropriations are governed by the provisions made for 1925 and subsequent years unless otherwise indicated. For summary of distribution of accounts between the United States and the District cf Columbia, see p. 352. ~ Includes $815 transferred from "Public schools, District of Columbia, 1933", act June 30, 1932 (47 Si a( Includes $3,858.33, indeflnite appropriation, act June 29, 1932 (47 Stat. 343). ' See also appropriations for "Oeorge Washington Bicentennial Commission" under "Independent 411, sec. 317). r Debit balance. Offlces, p. 118. r Provided for under "Trees and psrkings, District of Columbia, 1933. r Transferred from 1931-32 account, act June 29, 1932 (47 Stat. 347). ~ Transferred to 1931-33 account. See note 3. 4 Provided for under "Assessor's oflice, District of Columbia, 1933", snd "Department of Vehicles snd Trailic, District of Columbia, 1933. ~
"
"
C}
0
1, 190. 68
22. 22
50. 34
. 66
3, 630. 35
1, 034. 91
140, 980. 00
1, 168. 46
1933 1931
697. 63 438. 47
4, 662. 00
1932 1931
1933 1932 1931
375. 77
—Continued
Receipts and expenditures, IDebit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
Unexpended
or
Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
balances
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
DrsTRIGT
are printed in ifoficl
in excess of expenditures
June 30, 1932
On books of
TRUST FUNDS
to appropriations Expenditures
Funds available in 1933
for which
7988
To credit of dis-
Warrants-issued ba, sis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oificers
To credit o Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
coLDMBI&
—continued
Municipal archil, ect's office, construction services
Municipal architect's office
No year 1933 1932 1931
$1, 733. 97
$5, 192. 71
15, 533. 87 . 21
8, 279. 66
I $65,
607. 95
$46, 681. 07
$49, 108. 28
$5, 088. Sl
74, 160. 00
64, 724. 49
64, 257. 11
6, 140. 51
$3, 041. 10
11, 557. 99
19, 837. 65
253. 90 3, 975. 88
8, 857. 00
6, 741. 61
2, 480. 16 5, 191.62
$15, 572. 04
$2, 765. 50
$0. 21 76, 282. 48
84, 094. 76
85, 811. 23 7, 801. 68 10. 75 4. 50
84, 310. 80 212. 75 10. 75 4. 50
84, 024. 86
84, 538. 80
433. 08
433. 08
fry
Public Utilities ('ommission
Board of examiners, steam engineers
Department
1933 1932 1931 1927
1933 1932
1933 1932 1931
of insurance
103, 390. 00 3, 390. 00 5, 957. 18
2, 014. 37
4. 50
450. 00
1, 500. 43
5, 946. 43
'Tl
11.28
5. 64
6. 25
6. 25
20, 880. 00
433. 08
433. 08
18, 590. 42 JA 88
18, 590. 42 40. 80
181.75
2, 029. 54
260. 04 41. 23
181.75
os
1933 1932 1931
Surveyor's office
Employees' compensation
fund
No year 1931
expenses, compensation Administrative to injured employees in the District of Columbia Civil service retirement and disability fund, liability of District of Columbia
Department
of vehicles snd traific
88 190. 00
690. 00 646. 22
353. 72
1, 138. 68 737. 06
2, 018. 52 744. 87
18, 549. 19
18, 550. 22
79, 863. 36 868. 78
77, 598. 29
1, 500. 00
200. 46
2, 265, 07
I, 043. 72
32, 000. 00
79, 509. 64
77, 598. 29
33, 138. 68 764. 87
35, 146. 77
32, 393. 81
35, 146. 77
63, 000. 00
"63,000. 00
63, 000. 00
1933
150, 000. 00
" 150, 000. 00
150, 000. 00
1933 1932
191, 380. 00
170, 000. 00 14, S35. 36
150, 348. 37 18, 349. 26
184, 835. 36
168, 697. 63
8, 513. 90
10. 43 1, 481. 93
1933
29, 523. 22
6, 626. 18 646. 22
9, 941. 86
3, 017, 88
8, 420, 26 14, 687, 86
19, 651. 63
Office of director or traffic
1931 1933
Free Public Library Salaries, Free Public Library»
1932 1931
Expenses, Free Public Library»
1932 1931
Building, Northeastern Branch Library No year Grading and plans, Georgetown Branch 1931-32 Library Retaining walls, Georgetown Branch Library
08lce of register of wills
1933 1932 1931
1933 1932 1931
OfBce of recorder of deeds
Contingent
and miscellaneous
expenses
L 11s. 70 370, 000. 00
374, 741. 56
14, 157. 79
48. 18
14, 109. 61
Pl. 78
14, 109. 61
8, 801. 17 84. 39
8, 474. 57 09
13, 299. 55 09
8, 474. 66
13, 299. 64
4, 645. 0)
2, 344. 26
14, 544. 10
6, 719. 98
10. 94
17, 219. 92
4, 824. 98
10, 001. 09
6, 887. 27
16, 000. 00
6, 730. 86
.
» o, 500. 00 &&
1933 1932 1931
75, 779. 62
480. )8
4L 18
326. 60 84. 30
75, 451. 08 2, 591. 13
136, 500. 00
75, 299. 44
78, 042. 21
122, 375. 00
120, 126. 04
596. 49
596. 49
7, 545. 74
1, 224. 00
170. 64 480. 18
328. 54
11, 486. 64
927. 73
1, 710. 63 596. 49
2, 248. 96
12, 082. 00 4, 869. 48 3 458 25
6, 040. 21
373. 13
373. 13 121, 778. 51
119, 529. 55
79, 988. 00 5, 221. 59 9, 060. 36
73, 947. 79 13, 942. 59 10, 895. 41
29L 74
309. 74
28. 80 1. 75 1. 25
28. 80 1. 75 l. 25
» 92, 070. 00 8, ?21. 00 1, 835. 05
9, 360. 44 10, 970. 27
18. 00
320. 54 28. 80
1, 500. 00
1. 75 1. 25
1, 440. 12 1. 22
1. 60 12. 00
12. 00
2. 00
136, 746. 30
28, 607. 31
17, 081. 24 1, 423. 09
3, 312. 52
70, 000. 00
2. 00
2. 00
94, 595. 49
99, 129. 33
)0, 000. 00
70, 667. 3f
146, 746. 30
29, 264. 62
44, 882. 71 12, 176. 40
43, 149. 66 15, 488. 92
25, 117. 29 4, 904. 84
1, 733. 05
1, 42'J. 09
57, 059. 11
r
4, 741. 56
1, 053. 33
Certified claims
Printing and binding
.
1, 053. 33
l. 60
&
5, 500. 00
84, 720. 00
1927 1926 1923
21, 915.98
1, 105. 35
5, 500. 00
3, 071. 31
730 63 1, 548. 34 1, 500. 00 1, 411. 32 1. 22
29, 218. 67
55. 89
55. 89
1933 1932 1931 1930—31 1930 1929 1928
Purchase of construction materials (reimNo year bursable) (50-50)
1, 112.70
I, 112.70
58, 638. 58
This amount wss credited in accordance with act June 29, 1932 (47 Stat. 346), by repay warrant to "Civil Service retirement snd disability appropriated fund" under "Veterans' Administration" (see table 12, note 1, p. 42o). » Provided for under "Free Public Library, District of Columbia, 1933. » Transferred to "Retaining walls, Georgetown Branch Library, District of Columbia, 1933", act June 29, 1932 (47 Stat. 347). Transferred from "Grading and Plans, Georgetown Branch Library, District of Columbia, 1931-32»» See note 13 » Includes $4, 770 transferred from "Public schools, District of Columbia, 1933",act Juno 30, 1932 (4& St;&t. 411, sec. 317). &~
Debit balance.
Transferred, under act June 29, 1932 (47 Stat. 345), from accounts as follows: $42, 705. 00 Buildings and grounds, public schools, District of Columbia (no year) 3, 522. 50 Buildings and grounds, public schools, District of Columbia, 1933 7, 200, 00 Buildings, children's tuberculosis sanatorium, District of Columbia 7, 425. 00 Buildings, Gsllinger Municipal Hospital, District of Columbia 2, 225. 45 Improvement of grounds, public schools, District of Columbia, 1933 2, 530. 00 Public schools, District of Columbia, 1933 «This amount was credited in accordance with act June 29, 1932 (47 Stat. 346), by repay warrant to accounts "Salaries and expenses, 1933", $60,000; under "Fmployees' Compensation Commission", p. 97, as follows: "Printing and binding, 1933", $3, 000, &
.
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Bslsriee, highways department
»
1962 1921
6, 397. 46
60. 32
6, 679. 14 1, 642. 62
1, 643. 63
1923 1922
Widening of Constitution Avenue, 8$ Northwest Widening of B Street, Northwest Small parks
Repair and maintenance
of bridges
45, 00(t 00
32, 301. 66 2, 391.49
1931-32
No year No year
Sewers
44, 979. 15
40, 893. 70
4, 085. 45
87, 500. 00
66, 658. 03 17, 187. 54
64, 037. 32 19, 296. 25
. 75
. 75
76
83, 846. 32
83, 334. 32
No year No year
4, 536. 13
983. 33
45, 259. 15
300, 000. 00 40, 000. 00 5, 733. 92 130, 000. 00
2, 620. 71
.04
. 04 5, 000. 00
15, 322. 51 15, 114. 12
2, 391.49
1933
1931
public convenience
&4
2, 108. 71
1, 427. 15
3. 69 120, 038. 83 37, 118.00
607. 06 500. 81
f86. 62 60, 000. 00
87, 349. 03
564. 16
5, 920. 54 69, 435. 84
787. 62
3, 426. 02 1, 427. 15 960. 47
94. 57
405. 43
1, 073. 98
5, 000. 00
4, 500. 00
" 2, 000. 00
960. 47
» 2 000 50
2, 822. 49
1933
50, 255. 46 169, 392. 94
46, 856. 46 130, 000. 00 39, 499. 19
186. 62 28, 136. 55
1931-33
Maintenance, tions
5. 30
60. 00
1933 1932
Demolition of public convenience station no. 4
5. 30
54, 781. 04
1933
of wharves
3. 10
54, 781. 04
1928
Repair and maintenance
3. 10
1926
1931-82 1931
Repair of New York Avenue Bridge Reconstruction of viaduct or bridge, Monroe Street NE le»ning Bridge over Anacostia River Calvert Street Bridge Connecticut Avenue Bridge over Klingle Val!ey Subway, vicinity of Chestnut Street
32. 00 2. 20
2. 20 3. 10
1933
1931-32
Js. st
9, 961. 17 2, 381. 19
1, 039. 53 822. 49
5, 460. 47
6, 813. 64
» 2, 640. 00
104. 93
104. 93
» 14, 909. 00
14, 000. 00 944. 72
13, 222. 37
2, 535, 07
sta1933 1932 1931
6, 049. 41 869. 97
1, 427. 22
1932
14, 944. 72
15, 594. 31
928, 393. 88 15, 000. 00 253, 354. 47 50, 156. 03 1, 409, 17 20. 80 8. 09 17. 92
885, 502. 02 14, 470. 05 277, 628. 78 58, 440. 45 4, 286. 65 20. 80
1, 245, 625, 84
1, 240, 358. 58
» 1, 492, 071. 00
»
285, 257. 11 50, 933. 19 602. 86 73, 422. 40
146. 05
777. 63
5, 104. 69
869. 97
1933 1932-33
1931-32 1931 1930-31
762. 95
2, 371. 94
24, 274. 31 8, 284. 42 5, 695. 82
25, 971. 30
» 65, 971. 30
1930 1926-27
17.92
» Exclusive of $3, 375 transferred to "Garfield Hospital, isolating ward, District of Colurobia, 1933", sct June 30, 1932 (47 Stat. 411, sec. 317). » provided for under "Street and road improvement snd repair, District of Columbia, 1933. » Exclusive of $20, 000 chargeable to "Arlington Memorial Bridge (no year)" (general fund), under "Independent Offices", p. 94, in accordance with act June 29, 1932 (47 Stat. 354), snd credited by repay warrant to "Widening of Constitution Avenue, Northwest, District of Columbia, 1933. » Transferred from 1931 account, act July 1, 1932 (47 Stat. 628). » Transferred to 1931-33 account. See note 19. » Exclusive of $360 transferred to "Maintenance, public convenienoe stations, District of Columbia, lg33, sct June 30, 1932 (47 Stat. 411, sec. 317).
"
"
"
e. og
61, 836. 94
1, 579. 99
500, 250. 19 10 971 30 ii, 931. 34 777. IG
42, 891. 86 62I}, 95
2, 012. 03 73, 401. 60 8. 09
17. 92
» Includes $ggg transferred, under act June 30, 1932 (47 Stat. 411, sec. 317), from accounts as follows: "Domo lition of public convenience station no. 4, District of Columbia, 1933", $360; "Sewers, Dixirict of (.'ulurnbia, 1933", $549. » Exclusive of $549 transferred to "Maintenance, public convenience stations, District, of I'olunibia, I@is", sct June 30, 1932 (47 Stat. 411, sec. 317). » Transferred from "Sewers, District of Columbia, 1932", act June 29, 1932 (47 Stat. . 356). » Transferred to Sewers, Drat»ct of Colurnbra, 1932-33, act June 29, 1932 (47 Stat. 356). See uote 21.
—
1988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Expenditures
Funds available in 1933 Fiscal year
for which
appropriation was made
DI8TRIGT
Amount serried to surplus fund (see p. 7)
in 1933
p. 6)
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
or conumnls
Bslsries, sewer department
(see
sre printed in ttottc]
in excess of expenditures
Unexpended balances June 30, 1932
Treasury
TRUST PUNDS
to appropriations
—continued
n
1932 1931
$521. 47
t(63L 47
$521. 47
$1, 324. 08
$1, 324. 08
63t. 47 Bewage&isposal system
Mosquito controL
..
1933 1932 1931 1930-31
.. .
1933 1932 1931
1932 1931
Mosquito control, public parks
$50, 000. 00
20, 000. 00 633. 80 5, 674. 61
6, 650. 00 17, 164. 92
2, 350. 00 4, 879, 70
5, 694. 10
&
438. 32
th
270. 08 19, 940, 17 629. 60 440. 40
$4, 683. 28 25, 634. 27 629. 60 440. 40
21, 280. 25
81, 287. 65
22, 100, 00 1, 675, 36
16, 874. 36 1, 237. 04
49, 729. 92
r $4, 313.20
59. 83
4. 20 5, 234. 21
e, 995. 7e
$904. 24
6, 225. 64
4, 9't4. 64 17, 164. 92
516. 33
23, 776. 36
18, 111.40
604. 57
11.76
M 2, 854. 67 4, 879. 70
504. 57
11.76 cD
Mosquito control, Public Health Bervice in District of Columbia
1933 1932 1931 1928 1927
COHection snd disposal of refuse
Construction,
No year
incinerstors for refuse
Bites snd construction, refuse
incinerstors
ce 1933 1932 1931
1, 300, 00
53. 71
» 1, 771, 020. 00 178, 440. 99 1, 681. 95
58, 652. 57 7, 731. 77
& 72, 600. 00
79. 84 300. 00
12. 60
I, 743. 65
t, 704. 28
1, 373, 481. 77 82, 685. 81 7, 715. 19 79. 34 312. 60
1, 310, 719. 99
1, 448, 844. 33
1, 447, 366. 89
136, 238. 38 16. 58 79. 34 312 60
210, 000. 00
46, 002. 33
205, 000. 00
247, 885. 53
160, 000. 00 89, 854. 66
21, 310.96
149, 841. 60
169, 062. 38
for
1930-33 1930-31
443, 65
746. 33 457. 85
3, 463. 3f 301. 78 457. 85
316. 47
169, 05K 88
1, 163.91
275, 099. 27 23, 265. 18
62, 761. 78
636. 71
118, 637. 71
$3, 801. 26
9, 297. 14
3, 116.80
2, 100. 18
89, 854. 66 149, 841. 60
984. 53 643. 55
O'
Plspgrounds
19SS 1932 1931
179, 953. 72 3, 084. 66
195, 820. 00
4, 345. 65 3, 411.04
2, BQL 92 1, 260. 97
12, 804. 36
174, ess. 82 6, 682. 95 3, 411.04
181, 311.77
Electrical department
1933 1932
1931-32 1931 1930
Study of power needs»
1932 1931-32
» 1, 208, 495. 00 122, 447. 31 5, 196. 80
1, 231. 84
13, 278. 87 2, 975. 19 7, 146. 43
1, 043, 510. 97 98, 697. 18 2, 555. 96 7, 106. 88 80. 00
947. 057. 31 111,976. 05 5, 531. 15 39. 55 80. 00
1, 137, 737. 23
1, 064, 684. 06
1928 1926-27
.
28 5, 904. 07
» 61, 000. 00 87, 843. 39 28, 012. 44 101, 350. 33 200, 163. 01 35, 490. 67
fund
Education of deaf, dumb, and blind
Buildings
and grounds,
1933 1932 1931
1933 1932 1931
63, 840. 00 63, 491. 00 10, 003, 410. 00
1, 667. 88 230, 805. 11 11, 254. 91 17, 243. 84 13, 945. 27
73. 85
'23. 60 26. 25
114.00 26. 33
9, 000. 00
17, 646. 76
229. 40 73. 85 23. 60 26. 25
58. 86 987. os
8, 951, 586. 31
8, 878, 222. 60
230, 000. 00 73. 48
226, 576. 16 17, 720. 24
117.30
117.30
230, 190. 78
244, 413. 70
39, 250. 00 875. 00
39, 250. 00 8, 250. 00
» 230&()QQ 00 » 8, $48. 75
" 117.30
7, 375. 00
753, 470. 91
3. 95
98, 624. 18
42, 491. 00 201, 742. 41
21, 000. 00 227, 869. 23 22, 012. 44 24, 180. 84
10, 000. 00 9, 004. 44 327, 642, 11 I, 596. 88
37. 39
212, 195. 52 35, 261. 27
172. 85 413. 86
3, 423. 84 483. 77
538. 42
8, 211. 58 1, 000. 00
750. 00
No year
1 Debit balance. » Provided for under "Sewers, District of Columbia, 1933. » Includes $72, 600 transferred from "Collection snd disposal of refuse, District of Columbia, 1932", act June 29, 1932 (47 Stat, 356).
"
» See note 27.
transferred
to "Hospital for the insane, District of Columbia, 1933", sct June 30,
Stat. 411, sec. 317). » provided for under "Electrical department,
1932 (47
53, 840. 00
11, 995. 56 8, 621, 930. 39 40, 071. 00 90, 775. 32 17, 217. 52 94, 413. 33 1, 912. 76
40, 125. 00
47, 500. 00
If J. 00
If J. 00
public schools
(60/40)
» Exclusive of $3,225
$09. 39
10, 000. 00 21, 000. 00 8, 949, 672. 50 40, 000. 00 I 40, 039. 79 6, 000. 00 77, 169. 49 I8, 033. 61 229. 40 73. 85 23. 50 26. 25 68. 86 987. 63
48, 000. 00
1, 875, 00 750. 00
140, 047. 18 23, 750. 13 2, 640. 84
8, 338. 72
4, 4$. 32
1926 and prior
Teachers' retirement appropriated
7, 826. 00
.
28 1, 494. 75
/j,
1933-35 1933-34 1933 1932-33 1932 1931-33 1931-32 1931 1929-31 1929 1928-29
Public schools
17, 111.86
"
District of Colmnbis, 1933. » Exclusive of $2, 530 transferred to "Municipal architect's offlce, construction services, District of Colum", sct June 29, 1932 (47 Stat. 345); and $76, 799 transferred, under act June 30, 1932 (47 Stat. 411, sec bia (no year) 317), to accounts as follows: Office of corporation counsel, District of Columbia, 1933 Contingent snd miscellaneous expenses, District of Columbia, 1933 4, 77Q Repairs snd improvements, courthouse, District of Columbia, 1933 1933 Columbia, insane, District of for the 775 68, Hospital Tuberculosis Iiospiial, District of Columbia, 1933 1, 314
114.00
Teache~s reurement fund Governmeutreserves D~strlctof Coin 728, sec. 7). » Transferred to "Teachers' retirement fund, Government reserves, District of Colund&ia" (trust fund), act June 11, 1926 (44 Stat. 728, see. 7). » Transferred from "Teachers' retirement fund, Government reserves, District of Columbia" (trust fund), act June 11, 1926 (44 Stat. 728, sec. 7).
bis" (trust fund), act June 11, 1926 (44 Stat.
O
Receipts [Debit transfer appropriations
an&t
expenrhtures,
(net) and repayments
Fiscal year
appropriation was made
nrem&or
or
corns&are
Amount carried to surplus fund (see p. 7)
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit of dis-
Wsrrantsf issued basis
Act June 20,
Cheeks-issued basis
1874
Impounded salary savings
bursing officers
To credit of disbursing officers
Reserve for impounded salary savings (see p. 7)
Available
—continued No year 1933 1931—32
of grounds, public schools
School building and playground
sites
1933 1931-32 1931
No year 1933 1931 1929-31 1927-31
Metropolitan police
1933 1932 1931
1930-31
$1, 323, 056. 69
$80, 807. 22
4'
$1, 144, 859. 69 44
25, 000. 00
To maintain public order
1933
Policemen snd ffremen's relief fund
1933 1932 1931 1929
1933 1932 1931 1930 1929 1928
122, 477. 60
2, 466. 69
» 32, 769. 86 3, 233. 66
$1, 253, 000. 00 120, 000. 00 8, 46$. 94
$1, 286, 758. 99 87, 639. 13
1, 370, 537. 06
1, 374, 401. 87
82 000. 00 J, 591. 78
80, 481. 61 1, 641. 78
78, 127. 69
19, 112. 17
95, 000. 00
» 75, 000. 00
» 3, 447, 324. 00 29, 434. 74 23, 165, 40
3. 75
80, 408. 22
82, 123. 39
50, 000. 00
44, 119.10
1, 875. 00
1, 875. 00
51, 875. 00
45, 994. 10
3, 099, 694. 62 11, 543. 86 33, 165. 40
3, 054, 157. 46 34, 978. 60
$47, 048. 23 32, 360. 87
709. 86 1, 591. 7S
1, 618.39
123, 127. 69 75, 000. 00
24, 993. 07
26, 653. 55 65, 612. 39
45, 587. 16 6, ON. 00
¹
¹31
2. 00 126. 00
2. 00 126. 00
2. 00 125. 00
8, 088, 226. 64
8, 089, 289. 62
. 25
&4
63. 33
810, 279. 18
» 8, f87. 74 » 25. 00 &4
4. 62
» 2, S66. 120. 00 1, 322. 99 7, 968. 69
$42, 63L 70
81
.
21, 802. 82
810, 279. 16 6, f87. 74 25. 00 4. 62
810, 279. 16 72, 468. 65 SS. 33 4. 62
808, 121. 04
882, 840. 76
2, 150, 000. 00 74, 717. 43 7) 656. 48
4, 50
2. 56 10. 80
278, 887. 13
. 25
25, 000. 00
74, 658. 89
'2. 56
10. 80 2, 216, 790. 81
[46
68. 64 3. 38 1. 20
23, 943. 40 51. 34
26. Sl
.25
109, 967. 81 1, 123. 78
2, 378. 02 27, 462. 94
$49. 94
68. 64 1, 878. 38 1.20
77, 156. 25 778. 00 61. 84
$1, 214, 003. 36
$913.02 99. 48
49. 94
1928 1927 1923 1921
Fire department
are printed in itagc]
—Continued
Buildings snd grounds, public schools
Improvement
in excess of expenditures
Unexpended balances June 30, 1932
Treasury
TRUST FUNDS
to appropriations
Expenditures in 1933 (See p. 6)
Funds available in 1933
for which
—
1988 Contiuned
2&
071, 963. 10 76, 040. 42 33. 11 4. 50 2. 56 10. 80
2r 148r 045
49
3, 197. 18
190, 872, 77
9, 059. 25 4. 60
4, 279. 92
20, 967. 31 35, 250. 38
78, NO. 90
g
Bundings
fire «fe«re&neat------
No year
H cai th department
1933 1932 1931 1930-31 1930 1929 1928
Child welfare snd hygiene service
1933 1932 1931
Garfield Hospital, isolating ward
Providence Hospital, isolating ward. Courts Juvenile court
Municipal
115,OWL OO
119,24a 20
845, 00&L OO 346. 10 14, 655. 59
821, 492. 06 3, 458. 25 92. 08
179, 217. SS )
382, S10. 00
8, 071. 31 22. 79 1, 698. 00
8, 803. 35 14, 647. 67
1.65
9. 75
50. 00
50. 00
9. 75 60. 00
330, 157. 51
325, 100. 59
48, 000. 00 906. 36
45, 406. 37 I, 504. 73
62, IMO. 00
I, 609. 50
598. 37
» 27, 875. 00 10, 304. 10
48, 906. 36
46, 911.10
24, 500. 00 10, 304. 10
24, 500. 00 10, 304. 10
34, 804. 10
84, 804. 10
1932 1923
.
1933 1932 1931
court
1933 1932 1931
1, 872. 60 8, 41L 41
23, 507. 94
105. 00 703. 14
2, 593. 63
14, 5VS. 38 I, 598. 00 1. 56
2, 694. 99
1, 200. 01
8, 376. 00
2, 820. 00 I? 00
71. 50 65& 310. 00
814. 64 204. 61
19, VISL 13
731.47
731. 47
1933 1932
.
1.55 9. V6
30, 382. 15
64, '217. 53
728. 23
85, 610. 00
1, 776. 49
60, 000. 00 806. N
57, 208. 08 521. 91
59, 793. 68
57, 729. 99
76, 000. 00 267. 94
73, 742. 85 1, 617. 55
75, 742. 06
76, 260. 40
117, 000. 00 8, 838. 60 21. 75
115, 622. 41 3, 306. 74 21. 75
114, 733. 15
118, 950. 90
129, 520. 34
129, 377. 98
605. 58
4, V04. 47
I, 020. 86
6, 820. 47
2, 783. 87 257. 94
2, 267. 15
865. 19
865. 19
O
1933 1932 1931
Police court
Salaries, Supreme Columbia
Court,
District
.
6, 270. 00 91&1 45
5, 695. 34
145, 450. 00 243. 00
1933 1932 1931-32 1931
133, 700. 00
3, 169. 37
202. 48
19, 326. 99 7, 801. 60
I, 377. 59
898. 90 3, 159. 37
142. 36 858. 43
888. 70
3, 780. 76
858. 43
282. 54
282. 54
3, 285. 44
3, 285. 44
Expenses of commission, Supreme Court, 1931 1, 773. 65 District of Columbia under sct June 29, 1932 (47 Stat. 345, 361, 363), to accounts as follows; ee Exclusive of $328, 640. 31 transferred, $126, 000. 00 Buildings snd grounds, public schools, District of Columbia, 1933 84, 935. 31 Improvement of grounds, public schools, District of Columbia, 1933 75, 000, 00 School building and playground sites, District of Columbia, 1933 42, 705. OO Municipal architect's office, construction services, District of Columbia (no year) » Includes $126,000 transferred from "Buildings snd grounds, public schools, District of Columbia (no under act June 29, 1932 (47 Stat. 361) and is exclusive of $3, 522. 50 transferred to "Municipal architect's year) „gjce, construction services, District of Columbia (no year) ", under act June 29, 1932 (47 Stat. 345). &7 Includes $84, 935.31 transferred from "Buildings snd grounds, public schools, District of Columbia (no "Municipal architect's ear) ", under sct June 29, 1932 (47 Stat. 361); and is exclusive of $2, 225.45 transferred to ", under act June 29, 1932 (4'I Stat. 345). afiice, construction services, District of Columbia (no year) &
8, 920. 53
of
129, 520. 34
",
Ct
129, 377. 98
1, 773. 66
» Transferred 1932 (47
fram "Buildings snd grounds, public schools, District of Columbia (no year)
Stat. 363).
", act June
29,
» Exclusive of $17,000 transferred to "Hospital for the insane, District of Columbia, 1933",act June 30, 1932 (47 Stat. 411, sec. 317). «Transferred from "Policemen and firemen's relief fund, District of Columbia" (&rust fun&i) . &I Returned to "Policemen snd firemen's relief fund, District of Columbia" (trust fund). u Exclusive of $13,000 transferred to "Hospital for tbe insane, District of Columbia, 1933", sci, June 30, 1932 (47 Stat. 411, sec. 317). &I Includes $3,376 transferred from "Street and road improvement and repair, District a[ Columbia, 1033", aet June 30, 1932 (47 Stat. 411, sec. 317).
M
Receipts and expenditures, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was made
or
Amount carried to surplus fund (see p. 7)
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Treasury
rusrRICT
are printed in italic]
in excess of expenditures
Unexpended balances June 30, 1932
On books of
TRUST FUNDS
to appropriations
Expenditures in 1933 (see p. 6)
Funds available in 1933
for whicn
—
f988 Continued
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing of5cers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
COLU«sIA
—continued
Fees of jurors snd witnesses, Court, District of Columbia
Supreme $125. 000. 00
1933
Fees of witnesses, Supreme Court, District of Columbia «
.
1932 1931 1928
$10, 000. 00 11, 083. 53 10. 00
$47. 29 1, 065. 03
$91, 000. 00
$89, 959. 09
1, 116. 66 9, 988. 00
1, 163. 95 8, 999. 97
$34, 000. 00
$1 040 91
n
$21, 071. 53
12. 00 8, 871. 3/)
.
(n
7, 759. 03
Fees of lurors, Supreme Court, District of Columbia «
1932 1931
Miscellaneous expenses, Supreme Court, District of Columbia
Pay of bailiffs, etc. , Supreme Court, Die; trict of Columbia
1933 1932 1931 1930 1929 1927 1925
2, 000. 00 15, 612. 00
89. 96 4, 436, 58 124. 48
13, 402. 67 27. 49
65, 000. 00 14, 000. 00 15, 080. 31
i, 684. 65 252, 52 39. 48
55, 500. 00
1933 1932
1931-32
2, 804. 00 604. 00
124. 68
1, 430. 45 124. 68
1931
Printing and binding, District of Columbia
Supreme
Court, 1933 1932 1931
6, 200. 00 128; 31
1, 593. 98 128: 31
9, /)OA 09 A 993. 00
400. 00 4, 388. 00
7. 396. 00
3, 988. 00
61, 000. 00 1, 218. 95 15, 170. 27 19. 34 1, 684. 65 223. 00
54, 808. 76 14, 621. 62
4, 00(L 00 12, 781. 05
6) 191. 24
wR
15, 197. 76
19. 8/)
4, 448. 82
1, 684. 65 223. 00
79, 284. 63
86, 523. 55
51, 200. 00 1, 390. 46
47, 477. 24
1, 833. 39
40. 00 124. 68 1) 639. 39
48, 177. 16
46, 009. 53
5, 500. 00 eoA ss
5, 500. 00 939. 35
128. 31 4, 845. 37
4, 404. 00 20, 604. 00
6, 567. 66
124. 48 29. 52 39; 48
$2, 996. 78
1, 632. 39
128. 31
1, 303. 22 1, 390. 45 124. 68
I
CO
oo oo
3, 722. 76
Probation system, Supreme Court, District of Columbia
Salaries and expenses, Court of Appeals, District of Columbia
.
Care of Court of Appeals Building
1933 1932
11,860. OO
IOS. 64
1931-32
77. 08
1931 1927
16T. 92
1933 1932 1931
1933 1932 1931
11, 000. CO
5. 02
ass. 22
10, 897. 86
10, 737. 3T
94, 788. 03 9A 78
93, 456. Sa 12. 65
9, 120. 00
94, 695. 25
93, 469. 54
8, 200. 00
8, 082. 31 76. 21
15S. 92
Repairs and improvements,
courthouse
Writs of lunacy.
...
..
$447. 76
1, 081.89
1, 331.14 84a. 79
726. 57
193.43 90. 01
117.89 82. 71
8, 158. 52
1924
Tl. 60
of 1932 1933 1932 1931 1922
1. 41
1.41 38, 330. 00
382. 84
33, 550. 00 38A 84
1933 1932 1931 1930
1933 1932 1931 1930 1929
r4
8, 625. 00
459. 60 56. 07
14. 92
I
33, 563. 08
990. 13 14. 83
40. 42
I, 005. 06
40. 42
S, 125. 00
4, 950. 23 459. 60 38. 40
17. 67
8 990. 13 14. 92 C5
0 251. 02
248. 98
3, 174. 72
17. 67 72. 81
72. 81
75, 000. 00
18, 089. 59 12, 566. 17
132. 54 4, 657. 40 612. 79
214. 89 260. 09 5. 68
2, 161.24 382. 84
134. 60
990. 13 55. 34
1933 1932
2, 618. 76
33, 535. 08
134. 50
1932 1931-32
1931-32 1931
Support of convicts u
3, 112.32
419. 26
33, 195. 16
Mterations and equipment, courthouse
82K 13
21, 604. 65
21, 60A 65
90. 01 419. 26
1L 30 103. 64 77. 08 167. 92
8, 200. 00
Court of Appeals reports Repairs and improvements, Court Appeals Building Sa!aries of employees, courthouse
10, 173. 87 562. 00
12, 000. 00 2, 19&, 19 I, 029. 29
8, 107. 33
5, 448. 28
52, 660. 32 18, 080. 38 12, 666. 17
50, 203. 80 18, 080. 38 12, 566. 17
83, 306, 87
80, 850. 35
11, 500. 00 2, 096. 30 1, 268. 75
11, 106. 96 1, 953. 00 1, 268. 75
14, 865. 05
«Provided for under "Fee of jurors and witnesses, Supreme Court, District of Columbia, 1933,« « Includes $1,125 transferred from "Public schools, District of Columbia, 1933",sct June 30, 1932 (47 Stat. 411, se«. 317).
498. 50
6. 68 16. 79
16. 79
22, 339. 68 141. 75
2, 456. 52
1. 60 101.89
393. 04 358. 19
4, 567. 40 612. 79
20. 63
14, 328. 71
This appropriation is largely expended for the cost of the care and custody of District of Col un in Federal pusons such amounts being deposited in the Treasury as mfsceilaue neous race pts D~p~~t Justice «Reimbursement for maintenance of District of Columbia inmates inn Federal e ers penal pe I andd correctional under actof kpr 29, 1926(44 Stat 347) Seep 47 Instrtuuons
g
—Continued
1 t)88
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
sppropri ation wss made
Unexpended
Drsraicr
OF
erne care for
dependent
On books of the Treasury
Appropriations On books of
balances June 30, 1933
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of disbursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—continued
Salaries, Board of Public Welfare
If
balances
Unexpended
—Continued
cotusiBIA
Division of child welfare
Amount carried to surplus fund (see p. 7)
June 30, 1932
Treasury
TRUST FUNDS
sre printed in ilslici
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
1933 1932 1931
.
1933 1932 1931
1933 1932 1931
children
o $114, 600. 00 $143. 08
$102, 737. 75 1$8. 08
$453. 50
$1, 008. 09
$5, 080. 78
143. 08
$1, 371. 29
$1, 371. 29
n 262, 750. 00
I, 037. 32 619. 51
$10, 400. 66
$97, 656. 97
23, 500. 00
2, 069. 25
102, 594. 67
97, 656. 97
231, 668. 30 21, 130. 86
227, 007. 74 23, 200, 11
349. 00
30, 732. 70 3, 406. 46
4, 660. 56
I, 171.64
6, 108. 36 801. 02
6, 886. 03
t'4
M
619. 51
163, MO. 00
252, 799. 16
250, 207. 85
156, 000. 00
149, 113.97 5, 416. 70
80l. 08
6, 217. 72
301. 17
301. 17
tC
1933 1932 1931
Reception and detention of children
Jaifi
..
1933 1932
.
Su p port of prisoners
1931 1930
1933 1932
Workhouse and reformatory.
Genera) administration, reformatory
Workhouse
.
workhouse
38
3, 360. 00 666. 02
34, 728. 78
127, 500. 00 9, 346. 57
130, 135. 94 14, 256. 69
136, 846. 57
144, 392. 63
252. 25
8. 88
252. 25 8. 58
248. 67
248. 67
576, 781. 93 57, 871. 03
576, 501. 47 81, 239. 66
634, 652. 96
657, 741. 13
13. 22
13. 22
9. 00
9. 00
9. 00
2. 38
2. 38 1. 04
2. 38 1.04
12. 42
12. 42
4, 910. 12
w
657 280. 00
snd
1930 1929 1928 1922
3, 443. 60
32, 134. 23 2, 594. 55
33, 386. 55
150, 054. 68
4, 65o. o5
34, 500. 00
I, 921. 76
726. 56
851. 68
2, 365. 77
4, 473. 45
666. 02
2, 175. 32 3, 680. 11
I I
154, 530. 67
I, I ls. 45
3, 708. 00
147, 370. 00
12, 270. 00
155, 198. 98
I, 920. 83
11, 011.87 2, 923. 43
i 2, 636. 94
29, 197, 95
9, 532. 46
41, 767. 66 92, 183. 65
280. 46
I, 923. 07 3, 683. 69
4, 636. 83
3, 443. 60
I. 04
6, 937. 30
Buildings, workhouse
No year
12. 82
1282
18. 72
~
Reformatory
1930 1928
Buildings, reformatory Buildings, workhouse and reformatory
No year No year 1933-34 1931-32
Buildings 2nd equipment, workhouse and reformatory Land for workhouse and reformatory Working-capital fund, reformatory 44.
workhouse
1930-31
24. 61 189, 676. 90 35, 350. 18
3, 227. 92
65, 000. 00 90, 000. 00
L 494. 28
16, 207. 28
194, 648. 50 414. 62 23, 701. 56
228, 207. 28
218, 764. 68
205, 000. 00 2, 000. 00
24. 61 44, 438. 33 88, 000. 00 19, 142. 90
5, 23L 57
13, 5?9. 42 1, 686. 38
14. 83
14. 83
44. 99
44. 99
1932
snd 1933 1932 1931
National Training School for Boys, coatract »
National Training School for Girls
3, 670. 47
8, 570. 47
.
1933 1932 1931
1933 1932 1931
50, ODO. 00
19, 102. 09 26, 767. 36
44
41, 500. 00 6, 500. 00
32, 623. 32 4, 79/p, 29 656. 13
12, 769. 00 4, 570. 20 656. 13
28, 545. 22
17, 995. 33
38, 500. 00 6, 500. 00
33, 990. 84 6, 500. 00
5, 412. 84
26,
450. 22
12, 695. 42 23, 836. 32
19, 854. 32
3, 000. 00
4, 609. 16
2, 119. 19
3, 763. 94
111.23
5, 412. 84
» 66 650 00 4, 934. 71 826. 85
4, 231. 04
7, 507. 05 1, 511. 55
45, 000. 00
40, 490. 84
60, 106. 59 3, 740. 60
56, 342. 65 11, 247. 65
1, 5ff. 55'
4, 084. 22
350. 00
1, 194. 11
P46
2, 338. 40
62, 335. 64
67, 590. 30
118, 250. 00 33, 765. 85 5, 192. 70
112, 177. 16 34, 485. 16 5, 192. 70
H Medical charities
Maintenance, for Women
etc. , Columbia
1933 1932 1931 1930
719. 31 2, 982. 30
u 131, 000. 00 34, 188. 85 5, 192. 70
1933 1932 1931
15, 000. 00
4, 713. 10
157, 208. 55
151, 855. 02
14, 800. 00 962. 64
10, 965. 73 4, 350. 46
699. 82
4
to "Hospital for the insane, District of Columbia, 1933", sct June 30, 1932
Includes $33,750 transferred from "Workhouse 2nd reformatory, District of Columbia, 1933",sct June 30, Stat. 411, sec. 317). » Exclusive of $49,750 transferred, under act June 30, 1932 (4? Stat. 411, sec. 317), to accounts as follows: $33, 750 Division of child welfare, District of Columbia, 1933. 6, OGD Aiedical charities, District of Columbia, 1933 10, 000 Hospital for the insane, District of Columbia, 1933 Receipts of $20, 921.03 from sales of surplus products 44 This is s revolving fund for the f)seal year indicated. and services to departments and institutions of the District and Federal Governments were credited by repay covering warrants during 1932 against gross expenditures of $49, 466.25 on 8 warrant-issued basis, for purchase of machinery and raw materia)s 2nd payment to inmates or their dependents of pecuniary earnings. 44
1932 (47
423. 00 2, 982. 30
Hospital
balance. "Debit Exclusive, of $1,700 transferred
Stat. 411, sec. 317) .
6, 072. 84
8, 239. 85
3, 239. 85
17. 13
182. 87 362. 64
3, 834. 27
699. 82 14, 43?. 35
(47
12, 750. 00
15, 316. 19
44 This appropriation is expended for the care and maintenance of inmates who have been committed to this school by courts of the District of Columbia, such amounts being deposited in the Treasury as raiseellaneous receipts, Departmeat of Justice, "Reimbursement for maintenance of District of Columbia iamates in Foderal penal and correctional institutions", under act of Apr. 29, 1926 (44 Stat. 347). For sppropriatioa for the maintenance of this school, under the Department of Justice, see p. 209. » Includes $3,000 transferred from "Home for Aged snd Infirm, 1933", aot June 30, 1932 (47 Stat. 411). » Exclusive of $2, 900 traasferred to 7 Hospital for the insane, District of Columbia, 1933", act June 30, 1932 (47 Stat. 411. sec. 317). 44 Includes $12,750 transferred, under sct June 30, 1932 (47 Stat. 411, sec. ,'417), from accounts as follows: Home for Aged and Infirm, District of Columbia, . $4, 500 Workhouse and reformatory, District of Columbia, 1933 4;, 0444) District Training Scbool, District of Columbia, 1933
1933.
. ..
—
1988 Continued
Receipts artd expenditures, [Debit transfer appropriations
(net) snd repayments
Fiscal year
appropriation was made
Freedmen's Hospital
balances June 30, 1933
On books of the Treasury
Appropriations On books of
Unexpended
To credit ofdis. bursing officer
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—continued
1931-32 1931 Certiffed claims
Os)linger Municipal Hospital
«$146, 740. 00
1933 1932-33 1932
1933 1932 1931
$105, 576. 93 1, 430, 19 6, 480. 93
12, 319. 70 3, 234. 28
26, 196. 69
519, 991. 00 15, 097. 77
493, 794. 31 46, 580. 26
535, 088. 77
540, 374. 57
4, 863. 50
4, 863. 50
2, 793. 58
2, 793. 58
248, 925. 17
1, 057. 33
478. 50
578. 83
478. 50
2, 385. 55
4, 089. 96
614. 45
131,000. 00 6, 693. 13
131, 126. 88 11, 783. 76
565, 670. 00
31, 482. 49
104. 51
10. 00
$6, 836. 18
32, 812. 80
446. 60
2, 116. 60
6, 909. 11
3, 000. 00
1933 1932 1931
8, 581. 00 2, 074. 16
5, 0o0 63
»
9, 143. 76
242, 675. 00
«151, 134.00
2, 045. 61
9, 259. 00
23. 33
10, 851. 67 1, 887. 87
I IR. 88
777. 36
4S, 193. 79
2, 074, 16
Buildings, Children's Tuberculosis SanaNo year torium 1981-32 Children's Tuberculosis Sanatorium
238, 977. 35 1, 420. 00
16, 245. 14
1933 1932 1931-32 1931 1930-31 1929
69, 480. 00 5, 000. 00 1, 423. 84 500. 00 . 33
14, 278. 23 8, 708. 12 8, 015. 23
u 232, 800. 00
137, 693, 13
142, 910. 64
395, 000. 00
365, 051. 35
76&
1&420 00
»
3, 674. 03
' $1, 796. 5S
234, 852. 77
» 75, 058. 59
»
95, 000. 00
$10, 874. 77 146. 98 7, 40S. 47 137. 94
223, 701. 32
$6, 840. 87 2, 534. 00
1, 704. 41
No year Buildings, District Training School Bite snd buildings, District Training No year School
$382. 52
$126, 763. 58 74, 747. 21 29, 854. 23 3, 826. 25 366. 86 26. 75
26. 75
18, 332. 05 2, 116, 60
$10, 515. 71 148. 40
$124, 967. 00 74, 757. 21 23, 013. 36 1, 292. 25 365. 36 26. 75
«75, 052. 59
1931 Maintenance of public crematorium Buildings, Gallinger Municipal HosNo year pital Nurses' home, Gallinger Municipal HosNo year pital Furniture and equipment, nurses' home, 1932 Oaf)inger Municipal Hospital
District Training School
Amount carried to surplus fund (see p. 7)
—Continued
DIsTRICT OF COLUIxBLL
Tuberculosis Hospitah
sre printed in ftaffc]
Unexpended balances June 30, 1932
Treasury
TRUST FUNDS
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
for which
to appropriations
184, 255. 00
23. 13
17, 381. 71
160, 000. 00 48, 232. 76 3, 644, 67 3, fgg 56
151, 036. 56 62, 510. 99 63. 45 f07. Se
23. 13
23. 13
201, 488. 67
213, 526. 81
70, 000. 00
82, 236. 84
7&
954. 03
1, 849. 45
14, 451. 52 21, 247, 24 8, 644. 67
8, 963. 44
4, 546. 39 500. 00
. 33 26, 000. 00
3, 674. 03
5, 144. 87
c&s c&s
I»du'tria) Home schooL
45, ooo. 00
44, 68). 49
768. 52 1, sss. 47
3, 407. 40 . 32
44, 405. 05
48, 089. 21
60, 000. 00 4, 325. 94 I, )60. 88 67. 26
60, 219.49 6, 310.58 5. 48 67. 26
63, 262. 92
66 602 81
7, 278. 26
36, 570. 00
120, 000. 00 10, 447. 04 5, 803. 84 23. 75
114, 541. 19 9, 562. 10 3, 627. 25 23. 75
126, 666. 95
127, 754. 29
11, 250. 00
11, 337. 27
9, 757. 78
8, 000. 00
7, 000. 00 475. 82
6, 555. 73 920. 19
54, soi). 00
less 1932 1931
2, 500. 00 882. 57
'
2, 638. 8S 1, 863. 79
Industrial Home School for Colored Chil1933 1932 1931 1928
drtta
Bdildings, Industrial Colored Children
74, 260. 00
6, 020. 00 995. 75
1, 984. 64 1, 185. 76
67. 26
647. 01
5, 859. 71 1, 781. 48
30L 59
10, 455. 47 li 694. 06
2, 196. 04
3, 502. 94
Home for Aged and Infirm
1933 1932 1931 1929
No year
Buildiags, Home for Aged and Infirm Municipal lodging bouse
1933 1932 1931
16, 000. 00
29, 29L 74
17, 978. 08 1, 957. 51
t 884. 94 7, 431. 09
u 125, 150. 00
23. 75
87. 27
940. 00 272. 77
444. 37
7&
War veterans' service oifice
Columbia Polytechnic Institute
. .
1933 1932
.
1933 1932
16 io0 00
225. ?5 231. 73
8&
4,
986. 57
3. 50
721. 74
159. 93 7, 531.04
5, 458. Sl
5, 761. 35.
I, 579. 49 388. 74
611. 26
444. 27
464. 18
1, 096. 85
15. 82
13, 563. 50 I, 112.67
14, 015. 82
14, 676. 17
5, 666. 40
5, 399, 70
5, 666. 40
5, 399. 70
3, 000. 00
2, 750. 00
14, 000. 00
H
475. 92
Temporary home for former soldiers snd 1933 1932 1931
2)9. 49
272. 77 7, 475. 82
sailors
r
2, 126. 03
Home School for
No year
818. 51
509. 66
1 680 34
436. 50
0
209. 93
333. 60
266. 70
542. 00
3, 000. 00
250. 00
250. 00
3, 000. 00
Florence Crittenton Home
1933
' Debit, balance. Fxclusive of $146,740 chargeable to "Freedtuen's Hospital, 1933" (general fund), under "Department of made for this object t he Interior, p. 159, being share of the United States (50 percent) in appropriation of $293,480 expenditures under "District of in i)rl&:irtment of the Interior act Apr. 22, 1932 (47 Stat. 131). The warrant Columbia' include $500 transferred from this appropriation to "Contiagent expenses, Department of the transferred Interior, 1933" (general fund), p. 150, under the same act (47 Stat. 92), sn equal amount having been 1933" (general fund under Department of the Interior). to the lit ter appropriation from" Freedmen's Hospital, it Tr, in&ferr«l from 1932 account, act July 1, 1932 (47 Stat. 535). )t Transferred to 193)-32 account, Sce note 56. 't Exclusive of $2, 000 transferred to "Hospital for the insane, District of Colutnbis, 1933", act June 30, it
1932 (47 Stat. 411, sec. 317). » Exclusive of $?,425 transferred to "Municipal architect's otllce, coastruction services, Dist«et of Colutnhis (ao year) ", act June 29, 1932 (47 Stat. 345).
6, 000. 00
6, 000. 00
« Includes $1,314 transferred from "Public schools, District of Columbia, 1933", snd is exclusive of $1,400 transferred to "Hospital for the insane, District of Columbia, 1933", said transfers being made under act June 30, 1932 (47 Stat. 411, sec. 317). u Exclusive of $7, 200 transferred to "Municipal architect. 's office, construction services, District of Colutnbis (no year) ", act June 29, 1932 (47 Stat. 345), u Exclusive of f4, 425 transferred, under sct June 30, 1932 (47 Stat. 411, sec. 317), to accounts ss follows: E&, 250 Medical charities, District of Columbia, 1933 Hospital for the insane, District of Columbia, 1933 750 Relief of the poor, District of Columbia, 1933 676 Transportation of indigent persons, District of Columbia, 1933 750 «Exclusive of $7, 500 transferred, under sct June 30, 1932 (47 Stat. 411, sec. 317), to accounts as follows: National Training School for Boys, contract, District of Columbia, 1933. Medical charities, District of Columbia, 1933 I, .it)l) C)5
wl
—
1888 Continued
Receipts arid expenditules, [Debit transfer appropriations
(net) and repayments
Fiscal year
appropriation was
Unexpended
Treasury
«1933
National Library for the Blind
Emergency relief of residents
Southern Relief Society
Relief of the poor
Burial of indigent soldiers of indigent persons
On books of the Treasury
To credit of dis-
Warrants-issued basis
Checks-issued basis
Act June 20. 1874
bursing officers
«$1, 935, 583. 00 $71, 656. 18
$17. 42
1933 1932 1931
1933 1932 1931 1933
176, 000. 00 975, 000. 00
10, 000. 00
1, 191.42
$1, 780, 094. 13 148, 147. 36 4, 902. 63
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
2, 016, 619. 97
1, 933, 144. 12
3, 750. 00
3, 750. 00 1, 250. 00
3, 750. 00
5, 000. 00
175, 000. 00 974, 648. 85
63, 444. 68 969, 276. 30
1, 149, 648. 85
1, 032, 720. 98
9, 400. 00 JOE 75
8, 514. 98 788. 67
$456. 84 118.78 627. 98
$155, 032. 03
M
351. 16
111,565. 32 6, 372. 55
q 885. 02 402. 76
$189. 54
189. 64
«19, 500. 00 2, 600. 00
984. 88 449. 30
8, 997. 26
9, 303. 65
18, 825. 00 2, 381. 65 26. 50
18, 002, 76 3, 366. 53 26. 50
21, 233. 15
21, 395. 78
6, 000. 00
5, 219. 08 131.24
576. 00 118.36 422. 80
225. 00 136.00
136.00 44
8, 750. 00
16. 67
151.61
1932
1933 1931
$1, 935, 126. 16 76, 591. 18 4, 902. 63
1, 250. 00
1933-34 1933
1983 1932 1931
76, 709. 96 5, 513. 19
5, 000. 00
1933 1932
1931
Vocational rehabilitation
balances June 30, 1933
—continued
1932 1931
Transportation
Unexpended
—Continued
oF coLvIIRIA
Hospital for the Insane
balances
Appropriations On books of
DIsTRIGT
Amount carried to surplus fund (see p. 7)
June 30, 1932
RIMle
TRUST FUNDS
are printed in italic]
in excess of expenditures
Expenditures in 1933 (sce p, 6)
Funds available in 1933
for which
to appropriations
816. 26
316. 26
15, 000. 00
6, 979. 73
5, 350. 32
15, 000. 00 4, 109.13
15, 000. 00 4, 109. 23
10, 890. 77
10, 890. 77
44
4, 109. 23
co Co
1988 1932 1931 1930
1, lotx 00 389. 24 121. 54
52, 000. OO 934. 83
52, acti 00 984. 63
13. 15
13. 15
52, 997. 98
«1933
Reclamation of Anacostia River Flats Salaries, public parks
No year
1932 1931
General expenses, public parlrs
43, 144. 13
150. 80 625. 01
90. 82
Salaries, park police
1933 1932 1931
park police
1933 1932 1931 1930
Salaries and expenses, National Capital Park and Planning Commission
1933 1932
24, 410. 56 3& 029. 24
17, 661. 61 1, 218. 49 25, 003. 53 3, 416. 07 362. 10
910.25
180, 885. 00 585. 00 1, 437. 29
873. 09
181, 16a 76
7, 689 89
24, 162. 44
10, 740. 40 3, 173.35
4, 375. 35
17, 107. 49
61, 509. 50 1, 000. 00
85, 289. 44 5, 164. 07 1, 020. 15 3, 085. 18
3&
334& 864. 86
S, SSf. 78
336, 217. 66
331, 933. 13
421, 383. 01 4, 000. 00 23, 470. 16 22, 795. 66 935. 92 368. 10 910. 25
386, 093. 57 16, 497. 54 23, 668. 50 44, 714. 01 4, 351. 99
473, 132. 90
476, 235. 86
163, 039. 42 840. 98
159, 644. 62 32. 16
4, 264. 03
1, 614. 90 2, 093. 32 362. 10
910. 25
11, 085. 59
894. 03
5, 865. 95 1, 425. 93
3, 394. 80
I
1, 437. 29
12, 500. 00
1, 168. 46 33. 22
837. 53
52, 997. 98
625. 01
500, 000. 00 5, 000. 00 27, 734. 19
339, 240. 21 8, 088. 66
4, 528. 81 115.17
376. 09 121. 54
85, 472. 40
179, 520. 00 400& 000. 00
1933
1932-33 1932 1931-32 1931 1930 Certified claims
Uniforms snd equipment,
16, 461. 95
2, 031. 69
4, 662. 08 24. 31 1. 80
159, 676. 78
11, 938. 26
9, 873. 33 4, 796. 22
296. 08 84. Sf f. 80
47, 185. 00
1. 07
162, 198. 49
M
561. 74 872. 38
2, 064. 93 161.94
57. 53 1.80
12, 208. 23
14, 669. 55
43, 088. 59 SSO. 70
41, 896. 37 658. SS
42, 757. 89
41, 566. 74
tsf
cz
0
3, 090. 18
48. 00
958. 23 330. 70
1, 192. 22
National Capital Park and Planning No year Commission 12, 938. 90 107. 25 4, 201. 38 6, 777. 46 2, 412. 28 9, 871. 55 4, 749. 20 National Capital Park and Planning Commission, reimbursement to United 1933 States by District of Columbia 1, 000, 000. Oo 1, 000, 000. 00 1, 000, 000. 00 between Rock Connecting parkway Potomac Parks, surplus Creek and 1927-31 10, 320. 29 revenue fund 10, 320. 29 « Includes $675 transferred from "District Training School, District of Columbia, 1933", sct June 30, 1932 «Expenditures under thi~ appropriation are made for the support of indigent insane of the District of Columbia, such amounts being credited by repay covering warrants to appropriations for "St. Elizabeths (47 Stat. 411, sec. 317). w Includes $750 transferred from "District Training School, District of Columbia, 1933", act June 30, 1932 Hospital, 1933", under Department of the Interior (see p. 159); expenditures are also made for the deportation of nonresident insane persons. (47 Stat. 411, sec. 317). « Includes $120,750 transferred, under act June 30, 1932 (47 Stat. 411, sec. 317), frozn accounts ss follows: «This amount represents the unobligated remainder of the combined appropriations, "Vocational ltohabilitation, District of Columbia, 1931", and "Cooperative Vocational Rehabilitstiou, Resi&tents of the $3, 225 Electrical department, District of Columbia, 1933 District of Columbia, 1931"(seep: 100, under "Federal 13oard for Vocational Education" ), mnouat log t» $30 ooo 68, 775 Public schools, District of Columbia, 1933 the excess repayments of $4, 109.23 being credited to the District of Columbia and to the general fun&l of tbo 17, 000 Metropolitan police, District of Columbia, 1933 Treasury in equal parts under decision of the Comptroller General, dated May 8, 1929 (A-Z6860). 13, 000 Fire department, District of Columbia, 1933 «See also appropriations for "Office of Public Buildings and Public Parks of thc Notional Capital", 1, 700 Salaries, 13osrd of Public Welfare, District of Columbia, 1933 under "Independent Ofiices", p 105. 10, 000 Workhouse and reformatory, District of Columbia, 1933 2, 900 National Training School for Girls, District of Columbia, 1933 1, 400 Tuberculosis Hospital, District of Columbia, 1933 2, 000 (lallinger lefunicipal lfopPita, District of Columbia, 1933 750 District '1'raining School, District of Columbia, 1933
.
.
.
,
Pt
Receipts and expenditures, [1)ebit transfer appropriations
(net) snd repayments
IM8
—Continued
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 .(see p. 6)
Funds available in 1933
are printed in italic]
in excess of expenditures
Unexpended
balances June 30, 1933
Fiscal
appropriayear for which
tionn was made
DISTBIcT oF cotUMBIA
Building
On books of the Treasury
Appropriations On books of
To credit of dis-
Treasury
bursing officers
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
TRUST FUNDS National Zoological Park
Unexpended balances June 30, 1932
—continued
.
for birds, National
$228, 880. 00
1933 1932
$2, 064. 51
1931-32 1931
15. 19 511. 41
$5, 663. 62
$199, 986. 25 2, 016. 86
$9, 786. 21
$195, 982. 52 7, 680. 48
$10, 924. 02
$8, 183. 52 47. 65 15. 19
$4, 003. 73
$511. 41 202, 003. 11
203, 663. 00
1I 065. 00
1, 065. 00
Zoological
Park
No year 1931
1, 117. 30 55. 08
I, 065. 00 for reptiles, etc. , National No year Zoological Park Plans, building for smail mammals, Na1931-32 tional Zoological Park No year Judgments 1933-34 Refund of assessments No year Settlement of claims and suits No year Relief of Ada B. (Gould) Gollsn No year Increasing water supply Water main snd addition to Rene ReserNo year voir, general fund» Permanent snd indefinite: No year Alleys
Building
Extension, etc. , of streets and avenues
Refunding taxes Special funds: Escheated estates relief fund Industrial Home School fund New site snd buildings, Industrial Home SchooL MBitis fund from fines G, aaoline tax road and street fund
3, 4S5. 92
109, 181. 32 217, 399, 70 275, 724. 58 576. 41
1, 188. 25 3, 112. 23
1, 065. 00
1, 862. 76
1, 86A 75
1, 862. 75
8, 488. 68 109, 178, 29 217, 399, 70 275, 724. 58 576. 41
3. 24 109, 067. 34 86, 545. 42 262, 245. 97 576. 41
11, 500. 00
110.95
3, 112.23
130, 854. 28 13, 478. 61
13, 651. 94
6, 161. 84
2, 151.94
49, 465. 27
91, 451. 28 9, 089. 26
6fk 48
619. 49
49, 465. 27 68, 463. 43 8, 808. 66
49, 169. 13 22, 017. 85 180. 70
69 433 43 8, 908. 66
88, 876. 78
71, 367. 68
No year
1, 862. 31
50, 457. 92
501 457. 92
52, 310. 23
No year No year
38. 47
107. 62 5. 40
I I&. 76
23. 71
7, 916. 76 121.78 619, 219. 90
3, 492. 68 1, 191.28
7, 000. 00
7, 000. 00
1933 1932 1931
No year No year No year
52. 30 65. 08
n 376, 596. 69
296. 14
107. 62 20. 16 7, 916. 76 121.78 S94, 816. 59
44asolfne
tax road
and
street
» 1, 3M, 66?. 66
1933 1931-82 1931
improvements
a 416, 155.66 rt 5. 00
1, 335, 000. 00 415, 769. 15 6. 00
1, 245, 994. 27 421, 569. 49 6. 00
1, 750, 774. 15
1, 667, 568. 76
15, 557. 66 386. 61
Payments to tenants excess rentals recovered by Rent Commission
Water fund Booster pumping carlia Reservoir Washington
--
plant,
No year No year
rr
2, 958. 09 918, 406. 51
190, 028. 06
Dale-
Aqueduct
Water department
Mains, water department Water main and addition to Reno Reservoir, water fund rt Refunding water rents, etc Reservoir, Fort Stantoa Park, water fund Trust funds: Inmates' fuads, workhouse and reformatory detrust-fund Miscellaneous posits Outstanding liabilities Permit fund Policemen and firemen's relief fund
2, 958. 09 728, 378. 45
"13,269. 93
No year 1933 1932
r
1933-34 1933 1932 1931-32 1931 1929
rr
27, 541. 52 8, 790. 42 4, 914. 76
No year
29, 971. 58
No year No year
747. 34 179. 29
No year
14& 778. 84
8, 219. 24
269. 93
422, 398. 54 10, 366. 02
880, 971. 74 38, 643. 09
19, 498. 19
4, 401. 67
41, 426. 80
432, 764. 56
419, 614. 83
10, 000. 00 1, 071, 501. 21 6, 088. 76 11, 489. 38 9, 317.27
930, 551. 75 23, 457. 76 8, 648. 96 14, 232. 02
73, 849. 68
10, 254. 00
140, 949, 46
6. 42
5. 42
1, 075, 306. 76
965, 603. 99
170, 000. 00
175, 486. 67
24, 484. 91
3, 700. 00
2, 659. 40
1, 219. 89
15, 668. 15
14, 668. 16
216. 69
446, 298. 40
«10, 366. 02
28, 277. 07
rr 10, 000. 00 1, 155, 604. 89 "4,089. 78 rr ff, 598, 98 rr 9, 317. 27 a 5. 42
" 170, 000. 00 84 "3, 747. 700. 00
I Q
CJ
No year
9, 092. 92
4, 202. 76
67, 577. 25
60, 000. 00
59, 725. 85
6, 670. 17
4, 476. Qi
No year No year No year
216, 878. 89 7, 080. 65 16, 480. 64
46, 116.94
1, 076, 238. 28
794 397 84 685. 09 20, 000. 00
637, 339. 96 665. 09 24, 257. 05
498, 719. 33 7, 745. 74 10, 956. 73
203, 174. 82
6, 089. 04
No year
14, 476. 09 rr
"
Transferred from "Gasoline tax road and street fund, District of Columbia. See note 71. » This account was credited with $1,977, 763.36 receipts into the fund (see p. 72), and with $30, 826.63 returned (see note 74) from appropriations ss follows: Water department, District of Columbia: $11, 433. 38 Fiscal year 1931-32 4, 083. 76 Fiscal year 1932 747. 34 Water main aad addition to Reno Reservoir, water fund, District of Columbia (no year) 562. 15 water fund, District of Columbia 14, (no year) Reservoir, Fort Stanton Park, The account (water fund, District of Columbia) is charged with $1,818,561.93 transferred (see note 74) to appropriations as follows: Booster pumping plant, Dalecarlia Reservoir, District of Columbia (no year). Washington Aqueduct, District of Columbia; Fiscal year 1932 Fiscal year 1933
$13, 269. 93
10 366 02 446, 298. 40
i, 83i. 99
46, 235. 44
46, 235. 44
for this object, payable from Water Fund, District of Columbia" (special fund) p. 351. rr This account was credited with $2, 142, 315.01 receipts into the fund (see p. 72), and charged with $1,766, 718.32 transferred to "Gasoline tax road and street improvements, District of Columbia", fiscal years 1931, 1931-32, anrl 1933, per note 72. rt See also appropriation
rr
10, 000. 00
747. 84
r4
rr
4, 780. 78
13, 000. 00
Water department, District of Columbia: Fiscal year 1929 $5. 42 Fiscal year 1931 9, 317. 27 Fiscal year 1933 1, 155, 604. 89 Fiscal year 1933-34 10, 000. 00 Mains, water department, District of Columbia (no year) 170, 000. 00 Refunding water rents, etc. , District of Columbia (no year) 3, 700. 00 rr Transferred from "Water fund, District of Colurabia. See note 73. » Returned to "Water fund, District of Columbia. See note 73. rr See also appropriation for this object, chargeable to the "general-fuad" revenues of the District of Columbia, p. 350. » This account was credited with $854, 356.48 receipts into the fund, including $653,635.42 from the gcncnd fund of the District of Columbia (see p. 72), and with $2, 187.74 returned from "Policemen and firemen's rolief fund, District of Columbia, 1932", per note 41. The account is charged with $810,308.78 transferred per note 40 to appropriations as follows: Policemen and firemen's relief fund, District of Columbia: Fiscal year 1929 $4. 62 Fiscal year 1931 26, 00 Fiscal year 1933. 810 279 16
"
"
g
—
f988 Continued
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
to appropriations Expenditures
Funds available in 1933
Fiscal year
for which
appropriation wss made
or
Amount carried to surplus fund (see p. 7)
in 1933
p. 6)
Unexpended
balances June 30, 1933
On books of the Treasury
Warrants-issued basis
Appropriations
Treasury
DISTRrcr
are printed in ftaacj
Unexpended balances June 30, 1932
On books of
TRUST FUNDS
(see
in excess of expenditures
To credit of dis-
Checks-issued basis
Act June 20, 1874
Impounded salary savings
bursing oflicers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
coLUMBIA
—continued
—
Continued. snd indefinite Trust funds Continued.
Permanent
—
Redemption
of assessment
cer-
No year tidcstes Redemption of tax-lien certifiNo year cates DisRelief snd rehabilitation, trict of Columbia workmen' s compensation Sanitary fund
sct
No year No year No year
Surplus fund
Unclaimed
$1, 167. 65
$1, 167. 65
3, 039. 07
3, 039. 07
9, 498. 20 36. 17 996. 05
$1& 492. 09
$507. 91
$3, 642. 50
12, 632. 79 36. 17 996. 05
$1, 277. 95
f 722. 05
condemnation
awards, Rock Creek snd PoNo tomac Parkway Commission Teachers' retirement fund de. No ductions» Teachers' retirement fund, No Government reserves . No Washington redemption fund No Washington special tax fund Special deposit accounts
294. 00
year
294. 00
year
30, 558. 69
4, 107. 42
year year year
11, 073. 64 21, 015. 93 11, 554. 94
43, 101. 66
436, 013. 86
405, 457. 73
407, 722. 67
61, 114.82
1, 842. 48
» 234, 048. 91
221, 320. 20 275, 000. 00
221, 320. 20 314, 095. 36
23, 802. 35 29, 398. 68 11 554 94
4, 006. 30
283, 382. 75
4, 674. 05
886. 78
4, 337. 32
Total, District of Columbia Deduct United States share
8) 655, 809. 33 147, 034. 39
2, 045, 971. 54 18, 991.09
«46, 836, 166.58
42, 237, 933. 40
42) 028) 625 09
7, 812, 054. 07
7, 816, 049. 08
$843, 056. 91 5, 523. 10
$2, 082, 199.56 6. 42
$285, 803. 81
7, 775, 151.25
9, 542, 982. 23 104, 602. 05
2, 255, 279. 85 14, 996. 08
District of Columbia share
8, 508, 774. 94
2, 026, 980. 45
38, 561, 015. 33
34, 425, 879. 33
34, 212, 576. 01
837, 533. 81
2, 082, 193. 14
285, 803. 81
9, 438, 380. 18
2, 240, 283. 77
» For statement snd analysis of this account, see p. 433.
» This account was credited with
$55, 723.46 receipts into the fund (see 339), under act Jsn. 15, 1920, as amended (44
p. 72), and with $178,442.75 trans. Stat. 728, sec. 7), from accounts ss
ferred (see notes 32 snd 33, p. follows: Teachers' retirement appropriated fund, District of Columbia: Fiscal year 1932 Fiscal year 1933 The account h charged with $117.30 transferred to "Teachers' retirement Columbia, 1931.
"
$8, 442. 75 170, 000. 00
appropriated
fund, District of
«Exclusive of $146,740 for "Freedmen's Hospital, 1933", chargeable against the United States and stated under "General Fund, Department of the Interior, p. 159, being l)0 percent of appropriation for this oblect in Department of the Interior Act Apr. 22, 1932 (47 Stat. 131).
"
RECEIPTS AND EXPENDITURES, 1933 lfrra pi( ulofiou of ffe&)crof, Ir»nxfvr»ptir(qiriotions
[I&vi&i(
avail»tile In
Fi&n&ls
1) nex [&vmlv(
I
sf&e rial,
ond truet ftxr[de, by oeffo nixatioYL unifs
(net) anil rv)i»y&nvnts to npproprlations
F xpenditures
ID&03
sre printeil in Italic]
in excess of oxpon&iituros
Amount, corri«l to xuriilus fun&I
in 1933
(see p. 6)
(.&v&1
I&.
t»iliincex
balances Jnno 30, [933
On hooks of tlm 'I'reiisury
June 30, !!K[2
On hooks ol 'I'rvasurv '
t&neipn&»hi&i
6)
rPo
credit of disliursinc
A[8&ropriii(ioiii
(' hocks-I»inc&I
Warrants-issue&i
has[i
hails
Act June 20, 1874
lmponn&lcd sahlry sav)ngs
I
salary saving»
of I[cori '
0 I'e(lit of &
(list&iii"sing
ltoiorve for im[»&nmlo&l
omcor»
A viii lot&l&'
(ioe p. 7)
OKNKSAL YONI& [&g&»lilt, i ve
tiH, C&IO, (L50, H2
]4xocutivc () mcv I ndepondont ofOoci l)epnrt&nont of Air!vulture [)epartmont of ('iiininiir& t)e[mrtment of Lhv In(erior l)o[&nrtiimnl, of .lust, ice, inclu&ting Judicial. l)opartii&&in'I of I iilioi' Niivy l)opiir(incni I'ost ()(livc I)(!»irlniont, (poynhle from get[eral fun&1 of tl» 'I'ro»sury, svv p. 237) l)c[»irtn&ont of Stale 'I'ro»sury l)o[»ir(niont,
44, 614. 73 122, 7f&7, 004. 96 OU, (NK), f&04.
ll
1
Wiil l)op&i&'I nic(&t 1'111&i»&1&1 ( tin&it, 11&11»i[on&i&leo
09
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!3,5, U27, H4(l. IU
OS, 3&i4, I,'le. 12
31, 2(KI, I67. 83
5&2
!,
fi, HU4, 22H. i I
147, 034.
'.
I'i&HUH
!'IUS,
&4!I OUI
071. !3 464. 87
:31, 047, (ioo. 5(I 21, (!2!3, 103. 00 I, i&85, 807. 2li
IU
I H,
.
09
$20, J()6, 706. 83 514, 500. 00 4, 827, ()2C&, 320. 21 438 471 lr&ti 37 4 I, (L5S, 443. 44 U(l, 1.32, 3»I. 36 4(i 'I'37 (N&ri 02 NH
697, 466. 98 362, 092, 11 1, 008, 322, 662. 13 250, 248, 168. 26 40, 931, 864. 57 04, 420, 614. 92 na, 300, Bn:3. 76 12, Hi!0, 940. 33 340, UH7, 439. 16
Sari. 47
]17, 438, I24. 74
271, 277. 11 O!37, 236, 610. 83
243, 011. 82 425, 606, 6,'Mi. 60
15, 402, 357. 74 320, 40fi, 004, 27 432, 4H(i, 2!34, UO 11, 530, 139.21 7( 812& Olin. 07 689, 243, 01 t. 82 426, 660, 300. 00
8, 2()H, Uiia, I'Ul. 42
3, 81(&, HHD, 168. 17
!3,7D7, Hsi3. 332, 75&Z 4»4
I!7 4 IU
44
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Is, 2!H, 470,
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47. 71 I)66, CN)S, 2(NI. 56
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S, 178, C&30. 0(i UO, ILBU, ISU. 02
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Si
7t&fi. UH
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I
0!,2fio, H75&. 39 iiii&1 opoli&'(to&l.
2, 235,
25 2, 059, DNI. !N ], 184, S43. 3[
0, 037, 353. C&n I
$1, 495, t)(is, 57 21, 078. 22 26, 203, 284. 63 2, 25C&, 471. »2
[27, 062,
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HU
$20&
Cioo, 4
$895, 273. 61 6, 286. 09 4, 898, 996. 81 16, 306, 988. 43 940, 009. 03
700«34
], 111, 2(K[. 98
1, 771, 498. 55 2, 042, 020. UU 709, aof&. 81 10, 612, H70. IKI
907 30,
;342, f&34, I 20. 20
75 2()(J, 221 00 10, UHU, 'U)5&. 14
263. 67
$5, 190, 25&1. 72 177, 744. 44 3, 924, 74H, (Nl, 48 HIH, (N3. HB 232, H, t)H4, H60. 25 34 197 (YJ7 nri 7, 389, 211. nf) I, ![IK[, 020, 25 78, 321, I I 1. UU
17, 4 3K, 7!Lri. 87 15, I29, 166, 63
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703, H[3. 18 7, H47, ID I. 76 10, ( I(!, 2»l Ui 74 [, 7HO. 78 6. 42
[26& 432. 02
63, 720. !36 4, 773, 728. 20
[2, 9!K!, 734, fin
I
!3!'I,7 I'0, 300. IX) 419, 311, UUU. 0:I 11, I!7, 7Ci7. 84 7, Hl(i, 049. OH UHU, '1!3, 01 I. S2 42(i, (NO, 300. 00 I,
3, 8 I I, Ol)3,
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C&87.
$2,
UH4,
15, 637. 50 8, 120, H3H. 20 3, 0f&H 134. (7 1
r&9H, liHH.
77
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I, Ci20, I)28. 9!3 106, I 3'J. OU 23, 33 Ii, 623. IO
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I, S14, lf&3, HU 625 79 25[r 373 52
I Or, 2&
'384 (N)7 05&H
4, 517, C&72. CN) 104, 002. Uai f&,
4;, iBo, 78o. aa
5&O,
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746. 5&U
10, 287,
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Or)
1, :ICN) aa 21, 702, fiO I 03 ()«311, 7»l 1, 716, :N)2 4, 347, 327 '2, IUD, 442 I, 042, ()IO '.
'&I),
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133, 7t)7,
!1(i&H, &N)
I 'UD, 441. 23 I, 214, ciUU. 07 I, 110, S37. 10 26(i, 2(iH. 0 I
I,cgiilolivo In(lo[ionilont 0(licoi &cpi&rt n&oiii of Acr)i:ult. ur&. l&opiirln&oi&t of ( oi&i»ion'( l)eparlment ol I» l»(Or!or l)oport&n&nt of Justico. . l)cp»f(, n(cn! Cl I oho&' I
6, 224, nrio. IN
&
l)&&port»&opt. of HL»tc 'I'ro»sury l)c[i»rlmevt '3ynr l)apart men( 1 (1»&in&a ( iu&iil, »11&)nt cni&nco Ii»1[
I
23
i I, 281. IO
3r&U
leri 11
704, 135. 77 !324, 3HC&. 16
1, (LIU,
35&6. f)U
I!N, 1&
OTI
3, 226, 4, inn, H,
!77. 18
238, 032. 48
05
6, 71[, 742. 62 3, 037, 5D6. 07 4, 037, 729. 46 8, 610, 827. 57
I
I 'I
!
IO. 57
IOn
55
127, 056. 26
2 IFi,
(L)30.
m),
4%3. 2ti
Ii,
78
3, 282, (17H. 37 3, 863, UH4 ZU s, 752, 672. 22
!35&
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03
3, 7M. 00
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70, !3)32. 2U
Ufi4.
'[OU, , 0!K3. Fi I
(Iri'&
riU
IK)7. 27
7, lf&r&, 0, 02S, BUH.
Sh&vy l)op&if!&i&c&)L. I'oit ()ill&N l)cpari&non!
UU
1, 0[7, UHO
ID
2U2,
r&2
05. 19
7[3, 704. 26 7r&s, 4xri,
op&&1 1(l
ioii. . .
70 822, 040 76
71, e(&5&. Ni :iriD, 421. I4
!,
24, I!34, 464. 70 ]'1&i&li«lol&t vx[&en&lit»roe vh»r), enhle against. ordinnry rv&» i[&ts (ivv p. 402)
28,
[3[, 152. 64
743. 17 Dt, Ngi, 207. 87
28, 131, IF&2
Bn
000. 00 383. 30 476. 28 5&, 533. 22 2, 7UU, 7D]. 00 I& 1&i4, 362 [S 2, t&00, 000. 00
84, 871. 64 404, 974. 30
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268, onn. 47 5&29, 417. 92 894, [&97. 48
!2)
74
24, 227, D07. 97
20, 391,
36, 944, I [1.77
85, 944, 500. 00
3fi,
04, Ht)l, 029. 51
00 172 407
62, 335, 921. 12
H C&7, H
phe &ii(fore»ca botwccn the unexpended ba[anciii l&y organisation units snd totals in tliis column, sud 10'ivnn in the IIK32 r& I »&rt are &luc tO the trsnsler ol »vt ivi I Ios between ilvlmrt ment S»nil orgsnixotlon un[tax Loose s hoiv In Ihe forego!&iy &]et»i]5 iii&liciit(»[ &011 (1( by footnotvi sss &n( i
ta. 90 309, HOO. 'UH I, 012, 763, 325. 03 2C&2, ]Ui, S4». 4(i 41, 4 F&2, Nlis, 20 04, 741, Hao. Ha& 43, 7C&U, HSr&. 07 $20,
D7
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307
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40 037 27 2»3 US IO, I;I'0, 071, 70 47(i. 28 5. 63 US4 740 C&ri 3, 75&I, 100. 47 2, H(X), 0(N), IN) 2H,
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sss, [I I, sfi Nfi, 2 I fi. Hl 302, 300. 65 r&S7
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I H, (N)7
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4&it&,
272, 070. Iu&
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1ri,i 94
an, 570. 02
Fxcluiivv of the l)ls trivt of ('olun)bia
t!OU, fi(iri. fi7
110, UU1
! I
2S, 200, 600
4)
2fi,
007, 0!'IU. !'.
&
Receipts and expenditures, [Debit transfer appropriations
(net) snd repayments
—Continued
1M8
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 7)
Funds available in 1933
are printed in itaffc]
Amount carried to surplus fund (see p. 7)
Unex pended balances June 30, 1932
On books of
Treasury
TausT FUNDS Legislative Independent offlces Department of Commerce Department of the Interior Department of Justice Department of Labor Navy Department Post Offic Department (payable from the Tress/ ury, see p. 237) Department of State Treasury Department Wsr Department
$20, 000. 00 2, 358, 233. 15
To credit of
Appropriations
Warrants-issued basis
Checks-issued basis
$116, 669, 794. 25
2, 930, 066. 41 921, 630. 88 8, 553. 74 195, 426. 16
5, 239, 596. 83 896, 139. 70 701. 00 173, 629. 89
$120, 510, 774. 62 966. 00 5, 438, 140. 93 901, 218. 18 84 760. 10 174, 101.89
29. 00 338, 692. 24 SS4, 495. 46 1, 441, B72. 42
29. 00 338, 089. 62 669, 478. 74 1, 405, 040. 13
$119, 608, 565. 62
10. 91 16, 292, 724. 25 124, 445. 58 79, 463. 95 16, 920, 294. 46
3, 063, 921. 31 80, 445. 41 472. 00
Act June 20, 1874
Impounded salary savings
To credit of Reserve for impounded salary savings (see p. 7)
disbursing offf cers Available
$20, 000. 00 6, 296, 994. 42
10.91 13, 983, 193.83 149, 936. 76 87, 316. 69 15, 942, 086. 53
$4. 20
12, 832. 00 458, 991. 13 8, 978, 430. 27 5, 921, 9B1.66
16, 199.38
271, 145. 24 1, 809. 86 2, 119,624. 61
50, 167, 387. 26
12, 393, 969. 14
126, 066, 812. 42
123, 525, 759. 91
128, 122, 220. 53
4. 20
8, 508, 774. 94
2, 026, 980. 45
38, 561, 016. 33
34, 426, 879. 33
34, 212, 676. 01
837, 533. 81
$2, 082, 193. 14
68, 676, 162. 20
14, 420, 949. 59
164, 617, 827. 75
157, 951, 639. 24
162, 334, 796. 54
837, 538. 01
649, 609, 576. 63
170, 514, 609. 62
8, 437, 472, 948. 68
4, 035, 013, 205. 38
4, 035, 724, 414. 62
46, 032, 894. 56
8, 529. 67
balances June 30, 1933
On books of the Treasury
disbursing oiffcers
$9, 224, 401. 37
Unexpended
$4, 383, 421. 00 965. 00 2, 865, 377. 21 75, 366. 93 85, 431. 10
12, 803. 00 391, 444. 13 9, 214, 735. 55 6, 599, 913.75
9, 132. 29 324, 983. 32 52, 831. 67
52, 698, 435. 67
T, 797, 508. 62
$285, 803. 81
9, 438, 380. 18
2, 240, 283. 77
2, 082, 193. 14
285, 803. 81
62, 136, 815. 75
10, 037, 792. 29
52, Sl1, 506. 30
10, 684, 570. 36
4, 942, 540, 349. 72
169, 803, 400. 3S
District of Columbia (exclusive of United States share)
Total expenditures
chargeable against ordi-
nary receipts Adjustment of warrant expenditures to basis of actual cash expenditures from general fund:
Add: Disbursing offlcers' credits, etc., st beginning of ffscal year
170, f)14, 609. 62 4, 205, 627, 815. 00
Deduct: Disbursing officers' credits, etc., at close of flscal year chargeable against ordinary receipts on basis of checks issued Increase in outstanding dtsbursing officers' checks and Treasury warrants.
169, 803, 400. 3S
Total expenditures
Reconstruction
Finance Corporation
fnciuding publfodebt rechargeable against ordinary tirements receipts on basis of daily Treasury statements, revised
4, 035, 724, 414. B2
4, 035, 724, 414. 62
8. B83, 493. 95
8, 683, 493. 96
4, 027, 040, 920. 67 4, 027, 040, 920. 67 ' 1)267) 90T, 692. 48 (s)
Total ordinary,
4, 027, 040) 920. 67
5) 294, 948, 613. 15
PUEIJC EEET Isrksxs PRON PEENANENT INDEPINITB SPPROPBIXTIONS
From general fund
6, 183, 815, 625. 31
6, 183, 816, 625. 31 6, 183, 815, 625. 31
Total on basis of daily Treasury statements, revised, excluding Postal Service payable 11,478, 764, 238. 48
from postal revenues POSTXX SERVICE
Expenditures nues I
for Postal Service from postal reve-
587, 631, 864. 48
Total expenditures, including Postal Service 12~ 066y 395) 602
payable from postal revenues
I No warrants were issued on this account during the fiscal year 1933. ~ Represents net payments from credit established on account of the purchase by the Secretary of the Treasury of the obligations of the Reconstruction Finance Corporation under sec. 9 of the Reconstruction Finance Corporation Act
I
94
For total postal. expenditures,
see
p. 413.
RECAPITULATION [Debit transfer appropriations
OF EXPENDITURES, BALANCES, ETC.
(net) and repayments
to appropriations
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in ifcfic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Treasury
To credit of
Unexpended
balances Juue 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
1mpounded salary savrngs
disbursing officers
To credit of Reserve for impounded salary savings
disbursing officers
Available
(see p. 7)
LEGISLATIVE
(Details on pp. 81 to 93) United States Senate: No year (continuous) 1N3 1932
Prior years
Total general fund House of Representai, ives: No year (continuous)
$106, 001. 66 121, 025. 41
$109, 540. 95 15, 686. 93
227, 027. 07
125, 227. 88
$46, 000 00 3, 404, 355. 00 22, 550. 00
$46, 000 00
3, 000, 778. 51 9, 624. 30 I 4, 888. 95
$46, 000. 00 2, 957, 936. 80 103, 038. 27 1, 297. 98
$135, 414. 36
3, 472, 905. 00
3, 042, 013. 86
3, 108, 273. 05
134, 462. 71 8, 561, 338. 00
125, 462. 71 7, 071, 128, 17 407, 534. 80 1, 431. 70
118, 584. 04 134, 584. 04
5, 333. 33
70, I'A. 75
480, 856. N 50, 658. 94
21. 60
125, 462. 71 7, 648, 560. 85 78, 78I. 88 49, 887. 84
Total general fund.
72, 124. 75
531, 015. 17
8, 701, 150. 64
7, 652, 014. 50
7, 605, 557. 38
Legislative, miscellaneous: No year (continuous)
2, 217. 53
2, 502. 39
17, 003. 37 42, 330. 00
19, 220. 90 38, 835. 08 8, 000. 00
21, 723 29 26, 088 69
2, 000. 00
1933 1932
Prior years
1933 1932
3, 000. 00
Total general fund Special funds (continuous)
Total Architect of the Capitol: No year (continuous)
16, 000. 00
832, 042 38 145. 88
64, 729. 77 77, 969. 27 789. 55
577, 432. 68
832, 188. 26
154, 488. 59
577, 472. 29
40. 63
3r 454. 29
12, 746, 39
C5
11,000. 00 39. 61 fsJ
M
3, 000. 00 6, 454. 29 412. 91
12, 746. 39
3, 989. 11
5, 521. 89
59, 333. 37
56, 414. 65
49, 190 15
40. 63
6, 867. 20
12, 746. 39
6, 399, 253. 05
253, 746. 20
881, 000. 00
21. 00
5, 474, 600. 19 1, 225, 639. 62 259, 687. 00 30, 131.50
5, 088, 321. 05 1, 068, 524. 79 287, 029. 29 91, 530. 25
540, 878. 77
9, 046. 48 70, 723. 96 2, 828. 63 148. 55
1, 796, 606. 38 177, 716. 42 276, 228. 83 228, 748. 49
640, 025. 34 157, 114.83 68, 558. 42 1, 004. 67
2, 369, 501. 00
6, 990, 058. 31
6, 535, 405, 38
540, 878. 77
82, 747. 62
2, 479, 300. 12
866, 703. 26
121, 500. 00
119, 537. 41 261. 34
7, 880. 13
10, 619. 87 482. 75
1, 962. 69
7, 880. 13
11, 102. 62
1, 962. 59
282. 90 141, 084. 88
1, 315. 41 114, 186. 70 26, 882. 66 33. 33
1, 361. 41 49, 501. 53 9, 845. 96
412, 050. 33
268. 11 3, 805. 58
475. 98
Total general fund
4, 073. 69
475. 98
Library of Congress: No year (continuous)
43, 072. 84
Botanic Garden:
Prior years
58, 968 69
40. 63
7, 723, 483. 82
1933 1932
361, 212. 05
47, 811 98 1, 378 17
95, 900. 71 62, 403. 42
Prior years
161, 291. 80
55, 055. 98 1, 358. 67
799, 886. 31
1933 ' 1932
135, 414. 36
59, 333. 37
524, 344. 46
.
$42, 841. 71 16, 126. 98
5, 502. 39 19. 50
Prior years
.
$242, 284. 69 118, 927. 36
2, 217. 53 1, 771. 58
1933 1N2
Total general fund
$161, 291. 80
1, 474, 080. 00 14, 400. 00
140, 000. 00
119, 686. 03 4, 702. 69
/
8IJ. 8/j
3, 805. 58
65, 491. 37 I, 792, 77
140, 000. 00
121, 285. 36
119, 798. 75
88, 884. I 5
2, 610. 38
2, 201, 982. 87
I, 946, 711. 29
4, 615. 65 1, 897, 209. 76 138, 277. 06 I, 839. 34
I ri. 78
92, 631. 65 46. 57
3, 805. 58
4, 622. 79
C',
Special deposit accouats
Tctai general fund Special funds (contiauous) ' Special funds (special deposit accounts) Trast funds (continuous) Total Qovernment Printing Otflce: No year (continuous) 1933 1932
167, 461. 56 94, 669. 65
60, 550. 82 12, 964. 54 i 66, 118.69
2, 162, 947. 00
2, 041, 999. 89 237. 273. 81
2, 041, 841. 81 231, 672. 49 Fgs. 86
4, 622. 79
196, 177. 18
282, 181. 21
139, 634. 05
2, 359, 124. 18
2, 279, 273. 70
2, 273, 221. 48
4, 622. 79
134. 44
I, 244. 78
I, 070. 69 3, 460, 800. 00
69. 82
574, 172. 46 209, 077. 53 12, 858. 68
174. 19 469, 640. 30 557, 617. 31 14, 295. 75
75, 968. 07
361, 146. 00 I 92, 178. 43
3, 460, 869. 82
795, 038. 08
I, 041, 727. 55
75, 968. 07
313, 662. 40
453, 324. 43
3, 460, 869. 82
7g5, 038. 08
I, 024, 600. 49
6, 446, 677. 86
260, 760. 05
I, 039, 601. 93 19, 284, 880. 87 42, 111.61 112.42
5, 666, 823 59 14, 556, 197 81 495, 024. 02
$0, 57S 44)
5, 286, 196. 89 13, 610, 065. 92 1, 493, 758. 07 110, 395. 02
20, 366, 706. 83 196, 177. 18
20, 697, 465. 98 238, 632. 48
20, 500, 415. 90 233, 050. 66
224, 771. 03 88, 766. 93
Prior years Special deposit accounts
358, 464. 15 I, 437. 07
14".4 !8.10 53, 573. 02
60, 708. 90 18, 665. 86 66, 411. 51
141, 367. 78
215, 991. 12
145, 686. 27
859, 250. 12
1, 205. 03 2, 027, 377. 42 15, 693. 50
104, 532: it) 9, 924'. 37
859, 250. 12
2, 044, 275. 95
141, 367. 78
(')
Total general fund Special funds (special deposit accounts)
Total
313, 662. 40
17, 127. 06
114, 456. 53 1'0$') 30k 49'
75, 968. 07
859, 250. 12
2, 044, 275. 65
223', 762. 09!
9, 329. 38
1, 810, 126 82
64 I, 386. 75
313. 90
2, 640, 366'. 16 519'1 I84 37
946, 131.89 !04, 495. 34 I, (NI4. 6'I
Total, Legislative: No year (continuous) 1933 1932
Prior years Special deposit accounts
Total general fuad Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous)
975, 071. 29 1, 088, 301. 67
I, 103, 229. 39 131, 97g, 13
16, 000. 00
2, 072,
879, 273. 61
2, 974. 51 148. 55
895, 273 61
2, 084, 766. 34
229„571 37
(') 8, 510, 050. 82 96, 441. 23
1, 495, 968. 57 12, 984. 04 I 158, 297. 12
5, tgg, 251. ?2 5'4, 985. 93
17, 419. 88
20, 000. 00
I, 693, 018. 65 18, 565. 86 175, 71?.00
20, 000. 00
8, 626, 492. 05
1, 667, 249. 73
20, 562, 884, 01
20, 936, 098. 46
20, 716, 046. 68
39, 268. 18 5, 346. 55
21, 078. 22
512, 000. 00 2, 500. 00
347, 2M. 21 4, 827. 34 59. 56
344, 561. 23 25, 180. 19 59. 56
5, 286. 99
44, 614. 73
21, 078. 22
352, 092. 11
369, 800. 98
6, 286. 99
895, 273. 61
2, 084, 766. 34
5 273 237. 65
I, 887, 301. 51
140, 803. 60 36, 940. 84
2, 643. 98
177, 744. 44
3, 369. 35
EXECUTIVE OFFICE
(Details on p. 93) Execut, ive oflice: 1933 1932 Prior years
Total general fund INDEPENDENT
514, 500. 00
15, 637. 59
15, 637. 59
88, 353. 60
8, 353. 60
726. 37
OFFIcas
(Details on pp. 94 snd 121) Alien Property Custodian: Trust funds (special deposit account)
American Battle Monuinents Commission: No ye;ir (continuous) general fund
Ainericsn National Red Cross: 1931 (general fund) Special funds (continuous)
Total i
Stated under special funds following.
161, NF. 94
321, 834. 70
219, 581. 57
I 231, 942. 16
35, 011.61 I 10. 23
i 20, 393. 87
35, 021. 84
I 20, 393. 87
I Heretofore stated as a general fund account. See note 1. I Exclusive of funds in depositaries other than the Treasury of the United States.
483, 087. 64
404, 000. 00
320, 020. 88
346, 437. 73
32, 032. 63 46, 282. 71
11, 638. 76 43, 303. 73
2, 978. 98
46, 272. 48 46, 272. 48
78, 315. 34
64, 942. 49
2, 978. 98
' Debit
6, 359. 20
94. 80
298, !011Gti
205, 525. 31
'), t)7!t. !ttt
2, 978. 98
balance.
I Exclusive of $44, 600 face amount of fourth Liberty
Loss 4pi-I erccitt bonds
hclil for this iicccunt,
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
—Continued
baLances, etc.
to appropriations
Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre printed in itagc]
in excess of expenditures
Unexpended balances June 30, 1932
On books of
Treasury
INDEPENDENT
Orrlcxs
Unexpended
balances June 30, 1933
On books of the Treasury
To credit of
Appropriations
Warrantsdssued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing oflicers
To credit of Reserve for hnpounded salary savings (see p. 7)
disbursing officers
Available
—Continued
Arlington Memorial Bridge Commission: No year (continuous) general fund
$45, 891. 95
$102, 036. 63
$340, 000. 00
$297, 469. 40
$352, 355. 78
$5, 720. 31
$4, 762. 21
$77, 940. 03
$47, 150. 25
300, 657. 14
115, 612. 11 64, 937. 05
10, 281. 66
Ios, 843. 88
149, 734. 58 8, 637. 85
5, 000. 00
11, 201. 80
160, 016. 24 8, 663. 96
20, 028. 79
165, 617. 08 76, 225. 96 241, 843. 04
11, 201. 80
20, 028. 79
5, 000. 00
180, 549. 16
10, 281. 66
46, 030. 74
02
38, 282. 81 2, 399. 25
31, 359. 80 6, 120. 23 313. 20
12, 560. 68 31, 329. 10
40, 682. 06
37, 793. 23
Board of Mediation: 1933 1932
Prior years
Total general fund iBoard of Tax Appeals: 1938 1982 Prior years Special deposit account
Total general fund
46, 278. 18 152, 135.00
560, 000. 00
$30, 947. 80 157, 452. 29
158, 372. 43
501, 408. 56 6, 95S. 71 I /, 040. 37
493, 132. 59 38, 313. 51
Io, oso. 14 195.SO
19, 439. 62
491, 321. 90
520, 330. 66
19, 439. 62
46, 030. 74
300. 00
13, 382. 99
I, 395. 15
16, 113.82
13, 382. 99
I, 395. 15
16, 113.82
118, 148. 09
9, 555. 11
33, 757. 07 102, 072. 89
15, 335. 32 6, 827. 08
135, 829. 96
22, 162. 40
415. 66
50. 00 12. 46
122. 90
415. 66
62. 46
30, 947. 80
S, 784. 47
Bureau of Efllciency: 1933 1932
159, 500. 00
Prior years
Total general fund
39, 970. 00 27, 402. 82
I, 168. 43
67, 372. 82
I, 168. 43
114, 446. 69 36, 146. 30
13, 255. 33
150, 592. 99
13, 255. 33
38, 849. 51 20, 519. 43
I, 463. 92
59, 868. 94
I, 463. 92
3. 30
99. 54
128, 308. 04
491. OO 5. 19
128, 308. 04 676. 53
5. 19
40, 461. 90 27, 397. 63
68, 159. 53
159, 500. 00
127, 821. 33
128, 989. 76
I, 419, 366. 07
I, 257, 905. 80
I, 242, 570. 48
12, 373. 80
33. 60
18, 802. 05 33. 60
36, 112. 70
I, 419, 366. 07
I, 270, 313. 20
I, 261, 406. 13
36, 112.70
38, 119.93
38, 119.98 OSE 70
38, 119.93 541. 22
38, 119.93
37, 197. 23
38, 661. 15
7, 800. 00
7, 334. 34 O. 16
Civil Service Commission: 1933 1932
Prior years Total general fund Personnel Classification Board. 1983 1932 Prior years
Total general fund Commission of Fine Arts: 1933 1932 Prior years
25. 83
1933
9, 555. 11
39, 772. 21 20, 519. 43 60, 291. 64
211.44 90. 38 22. 53
22. 53
Total general fund Employees' Compensation No year (continuous)
7r
11sl 148. 09
99. 54
7, 800. 00
7, 325. 18
4, 880, 300. 00
7, 301. 82
22 53
67. 60
67. 60
57. 60
4, 721, 082, 26
4, 314, 344. 09
Commission: 38, 860. 96
11, 329. 96
109, 026. 82
4$, 738. 17
Lai
1932
3, TGG. ST
Prior years
SG,
Total general fund Trust funds (continuous) Total
617. 30 3, 766. 37 495. 30
4, 880, 300. 00
8, 988. 14
4, 735, 682. 31 13, 637. 97
4, 331, 452. 28 13, 682. 28
116, 106. 49
4, 261. 67
4, 889, 288. 14
4, 749, 320. 2S
4, 345, 034. 56
124, 890, 044. 39
3, 238, 989. 76 199, 977. 29 10.00
*788, 868. Jt
1933 1932
376, 206. 92 598, 900. 24 7, 686, 129. 21
Prior years
626. 21
36, 681. 58
13, 740. 49
648, 788. 76
2, 013, 740. 49
8, 888, 456. 36
169, 789. 35
133, 551. 534. 81
8, 938, 45'6. 88
5, 662, 740. 58
506, 680. DS
33, 023, 532. 80 599, G36. 79 13, 589. 73 682. 78
34, 530, 212. SS 599, 636. 79 42, 147. 78 842. 16
4&
52, 244. 1T
179, 531. 15 10. 00 526. 21
133, 551, 280. ?6 254. 05
—
deposit
17, 172. 4T s. 88
103, 525. 80 12, 580. 69
Farm Credit Administration: No year (continuous)
Total general fund Special funds 1931 Special funds (special counts)
14, 664. 33 8. 68
11,329. 96
161, 270. 99 7, 930. 86
38, SGIL 96
11, 329. 96
169, 201. 85
408, 547. 39
126, 029, 014. 15
36, 668. 11
29, 459. 14
110, 7(i'2. 38 59S, 890. 24 7, 671. 862. 51
1, 589, 896. 36 20, 446. 14
36, 008. 11
29, 459. 14
134, 410, 529. 28 254. 05
1. 610, 342. 50
acs
Total Federal Farm Board: No year (continuous). 1933 Prior J ears
Total general fund
1, 2S2, 731. 17 2, 013, 740. 49
566, 516. 78 1, 324, 932. 65
28, 558. 05 159. 38
23, 767, 695. 14
1, 535, 397. 51
9, 974, 767. 55
33, 637, 442. 10
35, 172, 839. 61
9, 514, 300. 00 343, 408. 43 370, 798. 38
16, 524. 71
. 50
9, 036, 668. 73 187. 46 4, 109.73
9, 026, 848. 47 16, 712. 17 4, 109. 73
366, 689. 15
714, 206. 81
16, 524. 71
9, 514, 300. 50
9, 040, 965. 92
9
369, G89. 15
10, 000. 00
11, 424. 86 7, 367. 13
122. 87
7, 500. 00 9, 425. 68
18, 791. 99
122. 87
1&
36, 608. 11
29, 459. 14
60, 973. 21
3S, 715. 01
60, 973. 21
38, 715. 01
27, 125. 51
2, 202. 08
445, 303. 68 342, 220. 97
9, 820. 26
27, 125. 51
2, 202. 08
788, 524. 65
9 820,
134, 410, 783. 33
2, 893, 073. 67
2, 486. 82
11, 149, 773. 91 701, 918. 66 568, 676, 15 1, 834, 349. 87
21, 876, 245. 71
1932
1, 228, 94f. 88
169 789 35
!
2&
5&
593 65 251. 90
332. 37
Federal Board for Vocational Education: 1933
193" Prior years To'. nl general fund
Federal Oil Conservation
670 37
Tti
Board:
1933 1932
Prior years
Total general fund Federal Power Commission: No year (continuous) 1933 1932
Prior years
7, 030. 01 8, 800. 57
388. 08
1&
483. 33
469. 99 747. 98
2, 627. 77
1, 217, 97
8, 578. 11 10, 691. G2 2, 624, 31 25, 000. 00
4, 473. 21 24. 92
7, 367. 13
10, 000. 00
16, 925. 68
15, 830. 58
254, 000. 00
217, 214. 08 1, 259. 55 55. 56
212, 740. 87 6, 879. 50 55. 56
219, 675. 93 75, 727. 76
G5,
7, 367. 13
388. 08
1, 483. 33
13, 788. 24
12, 306. 06
65, 710. 32
13, 788. 24
12, 306. 06
46, 894. 04 75, 411, 36
4, 498. 1,'i
710. 32
13, 788. 24
12, 306. 06
122, 305. 40
1, 498. 13
72, 568. 45
33, 907. 61
43, 742. 85 100, 391 7G
10,
8, 578. 11 3, 883. 86 90, 765. 88
628. 59 1, 999. 18
5, 644. 87
65, 710. 32
103, 227. 85 77, 300. 89
5, 644. 87
254, 000. 00 73, 838. 28
218, 529. 19 75, 727. 76
180, 528. 74
5, 644. 87
327, 838. 23
294, 256. 95
295, 403. 69
872, 000. 00
13, 418. 64 13. 97
31, 924. 27
721, 781. 09 10, 291. 18 32, 007, 34
711& 378. G4
110, 682. 94 9, 722. 76
'1'otal general fund fumis (special deposit accounts).
120, 405. 70
13, 432. 61
903, 924. 27
764, 079. 61
761, 932. 48 89, 3lf. Gf
9, G39. 69
72, 568. 45
33, 907. 61
144, 134. tii
15&, 5&7'J, 74 29, 311.61
Total
120, 405. 70
13, 432. 61
903, 924. 27
764, 079. 61
732, 620. 87
9, 639. 69
72, 568. 45
33, 007. 61
144, 134. (It
i.l
Total general fund Special funds (continuous)
Total Federal Radio Commission: 1933 1932
Prior years
Si&e«i;&1
~
04&
3, 000. 00
See note 62, p. 99
18, 532. 53 32, 021. 31
9, 639. 69
ig'&.
45
5, i77 29
YaJI 35&
Recapitulation [Debit transfer appropriations
of expendittfres,
(net) and repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in itaiic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Treasury
INDEPENDENT
OrrICES
To credit of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing ofiicers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
Federal Reserve Board: Special funds (continuous)
$72, 767. 94
$35, 469. 16
Prior years
79, 636. 38 9, 450. 49
67, 923. 48 7, 181. 88
Total general fund Trust funds (continuous)
89, 086. 87 753. 44
75, 105. 36
89, 840. 31
75, 105. 36
$2, 017, 465. 39
$2, 012, 938. 70
$2, 029, 698. 27
I, 43], 500. 00
I, 247, 631. 65
I, 216, 076. 73
24. 60
54, 999. 36 7, ]88. 8]
118, 587. 44 58. 67
I, 431, 524. 60
I, 295, 507. 80 99. 12
I, 334, 722. 84 99. 12
I, 431, 524. 60
I, 295& 606. 92
I, 334, 821. 96
4, 262, 620. 00
3. BIO, 703. 53
3, 772, 519. 71 17, 820. 40
$77, 294. 63
$18, 709. 59
Federal Trade Commission: 1933 1932
Total
$107, 721. 33
$16, 554. 48
59, 592. 54 24, 637. 02 14, 64G. 36
31, 554. 92 4, 335. 40
], 951. 94
107, 721. 33
16, 554. 48
98, 8? 5. 92 654. 32
35& 890. 32
I, 951. 94
107, 721. 33
16, 554. 48
99, 530. 24
35, 890, 32
386, 262. 78
31, 837. 64
33, S]6.05 39, 143. I&
,)8,
$1, 951. 94
C3
Genera] Accounting Office: 1933
]932 Prior years. Special deposit accounts
38, 361. 04 46, 094. 80
I
782. 88
8, 723. 87
46, 094. 80
6. 927. 17
859. 86
6, 067. Sl
Total general fund
183. 82 120. 64
386, 262. 78
31, 837. 64
72, 959. 92
45 231. 63
549, 860. 33
29, 798. 77
284, 643. 25 563, 628. 20
104, 479. 69
367, 148. 91
549, 860. 33
29, 798. 77
848, 271. 45 59, 603. 12
104& 479.
367, 148. 91
549, 860. 33
29, 798. 77
907, 874. 57
104, 479. 69
46, 281. 51
3, 904. 10
36, 700. 69 72, 086. 96
.]2, 632. 30
46, 281. 51
3, 904. 10
108, 787. 65
42, 632. 30
I, 546. 42
793, 846. 88
40, 392. 74
], 924. 43
212, 173 64
79, 22L 66
46, 094. 80
4, 262, 620. 00
3,
809& 920. 70
3, 789, 480. 75
? 148, 560. 00
6, 284, 257. 65 258, 009. 52 9, 820. 47
6, 179, 777. 96 355, 237. 03 9, 820. 47
487, 510. 76
6, 552, 087. 64 507, 783. 03
6, 544, 835. 46 507, 783. 03
7, 636, 258. 11
7, ON, 870. 67
7, 052, 6]8. 49
920, 000. 00
833, 113. 70 63, 173. 97 8, ]85. 95
790, 481. 40 69 0]8 28 I, 612. 21
126, 95G. 72
111.89
126, 956. 72
84, 455. 84
24, 791. 68
821, 637. 72 376, 782. 03
97, 227. 51
I, 198, 419. 75 ?9, 875. 39
97, 227. 51
I, 278, 295. 14
97, 227. 51
135, 260. 93 120, 216. 65
5, 844. 31 7, 748. 16
605. 12
255, 476. 58
13, 592. 47
920, 606. 12
I, 304, 090. 08
10], 208. 68
Interstate Commerce Commission: 1933 1932
&
Prior years
Total general fund Special funds (continuous) Total
]87. 35 7, 148, 747. 35
367, 148. 91
National Advisory Committee for Aeronautics: 1933 1932
Prior years
Total general fund
.
National Capital Park and Planning sion: No year (continuous)
890&
161. &2
861&
69
Commis-
Office of War Claims Arbiter: Special fund
Puerto Rican Hurricane Relief Commission: No year (continuous) general fund
I&
453. 37
477, 000. 00
168, 677. 66
50S, 696. 78
569, 612. 72
I, 453. 37
I, 453. 37
262, 901. 93
352, 350. 82
Public Buildings and Public Parks of tbe National Capital: No year (continuous)
Total general fund Special funds (special deposit accounts) Total Railroad Administration and Transportation No year (continuous) Special deposit accounts
4, 344, 506. 08 8, 068. 29
211, 030. 18
4, 075, 347. 13
4, 313, 514. 13
4, 336, 437. 79
101, 753. 93 5, 978, 300. 06
I, 204, 163. 28
f05, 363. 75
N8, 7f6. Lg
6, 080, 053. 99
I, 204, 163. 28
105, 333. 75
ISS, 587. 44
60, 000. 00 308, 699. 00
60, 529. 01 247, 011. 82 62, 105. 25 19, 588. 61
242, 041. 64 76, 087. 06 19, 588. 61
I, 953, 960. 34 33, 211, 169. 86
4&
101, 627. 17 86& 479. 35
33, 770. 74
I, 349, 642. 90
172, 144. 14
4, 313, 514. 13
132, 619. 12 78, 411.06
I, 349, 642. 90
160, 235. 56
076, 34T. 13
I, 953, 960. 34
33, 770. T4
172, 144. 14
157, 328. 06
78, 622. 13 43, 923. 31
14. 28 61, 931.36 49, 80(L 34 375. 19'
160, 235. 56
12, 083. 60
379, 807. 16 856, 957. 03
Prior years
6, 099. 13 4, 069, 248. 00
177, 538. 24 186, 004. 52 255, 006. 66 731, 093. 49
25, 769. 61
542, 871. 93 3, 685, 434. 25 154, 116.30
10, 073. 6S
8, 011. 13
2, 025. 88 170, 118.26
532, 812. 53 3, 687, 365. 61 124, 800. 51 Sf& 464. 58
T17, 196. 16
1933 1932
188, 106. 52
Act:
Total general fund
33, 211, 169. 86
Smithsonian Institution: No year (continuous)
949. 55
1933 1932
Prior years
Total general fund Special funds (special deposit accounts) Trust funds (continuous)
I&
Total
70, 134. 69 26, 981. 13
13, 981. 81
98, 065. 37
13, 98L 81 100, 041. &9
51&
368, 699. 00
389, 234. 69
34, MO, 666. 89
23/ 136. 33 5, 927. 171.35
34, MO, 666. 89
6,
128. 71
12, 902. 78
3, 572. 05
420. 54 45, 212. 35 8, 029. 44
12, 902. 7S
3, 572. 05
63, 662. 33
60, 529. 01
398, 246. 32 28, 844. 35
163& 307. 6$
4, 97IL 18
7, 392. 52 7, 392. 52
4, 970. 18
122, 286. 14
I, 000, 000. 00
000, 000. 00
I, 098, 065. 37
114, 023. 60
10, 617. 28 4, 422. 90
6, 944. 46
15, 040. 18
6, 944. 46
7, 392. M
368, 699. 00
389, 234. 69
376, 001. 97
766, 130. 00
6S5, 960. 87 9, 245. 41
168. 60
661, 666. 10 16, 189. 87 168. 60
4, 254. 30
695, 374. 88
678, 024. 57
4, 254. 30
12, 902. 78
3, 572. 05
I, 053, 662. 33
127, 256. 32
41, 392. 30
21, 161. 56
17, 615 27 I, 371. 87
24, 294. 77
41, 392. 30
21, 161. 56
18, 987. 14
24, 294. 77
National Museum: 1933 1932
Prior years
Total general fund United States Food Administration: Trust fund (continuous)
766, 130. 00
I, 686. 91
I, 686. 91
United States Grain Corporation: No year (continuous) general fund
I, 917. 39
I, 917. 39
I, 917. 39
11, 378. 00
10, 574. 27 I 35. 81
8, 393. 38 I, 133. 20 5, 503. 19
91. 14 91. 14
United States Geographic Board: 1933 1932
I, 268. 81
Prior years Total general fund United States Shipping Board: No year (continuous) 1933. 1932
Prior years
Total general fund Special funds (continuous)
~
91. 14
5, 503. 19
91. 14
6, 772. 00
2S, 365, 114.96
I 3, 900, 368. 84
10, 438. 66
15, 029. 77
73, 180. 64
5. 62
17, 640, 570. 78 307, 864. 47 181, 407. 18 816, 613. 23
21, 640, 939. 62 294, 999. 04 211, 823. 07 I, 015, 778. 28
209, 566. 95
186. 26
18, 946, 455. 66
23, 063, 540. 01
209, 566. 95
2, 405, 200. 31
3, 067, 556. 95
1, NO, 607. 48
5, 360, 000. 00
5, 211, 318. 77 1, 026, 174. 56
30, 415. 89 585, 911.05
4 516 695 TS
34, 602, 608. 29
I 3, 900, 368. 84
' 3, 900, 368. 84
512, 204. 40 26, 363, 618. 19
Special funds (special deposit accounts)
Total
11, 378. 00
38, 502, 977. 13
r
27, 492, 149. 53
t Fsclusive of funds in depositaries other than the Treasury of the United States.
6, 000, 000. 00
433&
711.01
92. &2 135. 61
2, ISO. 89
711.01
228. 33
2, iSO. 89
24, 267. 16
10, 797, 724. 82 5, 026, 444. 39 29, 911.59
12, 865, 43
386, 746. 00 24, 267. i6
I, 423. 98
SO
399, 611. 43
3, 238, 012. 20
I, 000, 000. 00
15, Ss&4, 080
6, 676, 690. 66
2, 838, 386. 6?
22, 014, 012. 61 r See
28, 319, 623. 18
note 93, p. 109.
19, 786, 927. 63 209, 566. 95
24, 267. 16
I, 423. 98
19, 092, 093. 00
t 21, 186, 538. 96
Recapitulation [Debit transfer appropriations
of expenditures,
(net) snd repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are p rinted in ifaac]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Treasury
Irrnzvz wnzrrr
Ovvrczs
Unexpended
balances June 30. 1933
On books of the Treasury
Appropriations
To credit of
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing officers
To credit of Reserve for impounded salary savings (see
p.
Available
disbursing ofO cars
'7)
—Continued
United States Supreme Court Building Commission: No year (continuous) general fund.
$4, 371, 790. 33
$93, 298, 85
58, 762. 77 19, 250. 09
19, 882. 98 2, 378. 10
Total general fund
78, 012. 86
22, 261. 08
Veterans' Administration: No year (continuous) 1933
9, 218, 067. 29
2, 253, 369, 60
$1, 632, 324. 95
$286 482 67
$8, 115. 26
24, 866. 17 46, 247. 24
28, 063. 28 2, 157. 12
90, 739. 21
8, 115. 28
71, 113.41
30, 220. 40
43, 050. 63 6, 145, 903. 72
8, 626. 26 3, 957, 585. 72
11, 022, 804. 93 363, 906, 281. 41 8, 261, 225. 68 175. 44
131, 832. 81 8, 969, 887. 45 9, 011.88
$1, 000, 000. 00
$3, 737, 358. 00
$3, 544, 174. 18
$2, 107. 38
I, 020, 000. 00
896, 279. 36 12, 515. 53 I, 399. 80
868, 216. 08 30, 241. 39 1, 071. 30
90, 739. 21
$20, 556. 89
I, 020, 000. 00
907, 488. 09
899, 528. 77
20, 556. 89
137, 396, 995. 37 1, 134, 566, 420. 44 4, 331, 280. 00 170, 618. 19
135, 527, 068. 78 760, 292, 469. 15 4, 786, 610. 76 I 6, 456. 93
137, 648, 605. 57 751, 322, 581. 70 13, 540, 463. 20 2271 076. 93 58, 019. 57
13, 512. 16
United States Tariff Commission: 1933 1932
Prior years
8, 716, 556. 44 747, 563. 81
1932
Prior years Special deposit accounts.
Total general fund Special funds (continuous) Trust funds (continuous) Special deposit accounts (trust funds) Total
8, 762, 864. 32 212, 291. 90 1, 433, 977. 20
18, 682, 187. 54 82, 813. 41 I, 339, 495. 83
12, 662, 503. 02
1, 276, 465, 314. 00
900, 622, 605. 62
902, 680, 707. 83
671, 961. 25 2, 230, 110. 12
119, 599, 567. 38
115, 656, 057. 16
118, 945) 054. 56 1, 713, 291. 60
20, 104, 496. 78
21, 564, 574. 39
1, 396, 064, 881. 38
1, 016, 278, G62. 78
1, 023, 339, 053. 99
G,
264, 180. 44
901, 549. 63
I, 179, 242. 23
1, 179, 242. 23
6, 188, 954. 25
6, 188, 954. 25
3, 966, 211. 98
3, 966, 211. 98
388, 190, 487, 46 82, 813. 41 5, 283, 006. 05
10, 604, 400. 81
388, 556, 306. 92
14, 504, 183. 18
Wsr Finance Corporation: No year (continuous) Special deposit accounts
Total general fund Miscellaneous commissions, No year (continuous) 1933
boards, etc. : 266) 352. 39
8, 999. 99
10, 000. 00 135, 317. 40
136, 387. 44
8, 999. 99
145, 317. 40
385, 000. 00
11, 169. 02
I, 745, 677. 58 59, 677. 58
49, 723. 69
38 34 112.65
I, 495, 212. 92
1, 347, 171. 21
54, 723. 69
19, 037. 85
Total general fund Trust funds (continuous)
647, 415. 82 3, 716. 28
97, 657. 72
2, 071, 000. 00
651, 132. 10
97, 657, 72
2, 071, 000. 00
1, 496, 212. 92
1, 347, 171. 21
3, 260, 000, 000. 00
130, 000. 00
8, 670. 57
101, 875, 200. 00
15, 095, 394. 01
14, 248, 461. 23
National Industrial Recovery: 1933-35 (general fund) Emergency Conservation Work: No year (continuous), general fund
12)864 81 6, 022. 16
201, 298. 38 827, 900. 00 6, 018. 38 311, 954. 45
56. 74 86, 431. 96
I
5, 00a 00
2G3, 251. 65 989, 045. 41 5, 961. 66 236, 954. 20
65, 677. 58 315, 385. 85
Total
3, 382, 963. 85 516, 818. 52
10, 000. 00 126, 387. 44
Prior years.
1932
I, 671. 90 I, 491, 996. 77
2, 343. 08
2, 343. 08
367, 892. 85 760, 610. 02 28, 595. 41
73, 122. 29 161, 145. 41 02 11, 431. 71
I, 147, 098. 28
245, 699. 43
.
3, 716. 28 54, 723. 69
19, 037. 85
18, 983. 88
2, 343. 08
1, 150, 814. 56
245) 699. 43
3, 259, 870, 000. 00
121, 329. 43
86, 760, 822. 13
846, 93k 78
Federal liame Loan Bank Board: No year (continuous) 1933
Total general fund Special funds (continuous)
National Banking Emergency Act: No year (continuous) general fund
217, 260. 34
6, 193.59
13, 398. 16
150, 00(L 00 7, 80(L 38
5, $42. 53
400, 00(L 00
222, 602. 87
217, 260. 34
6, 193. 59
13, 398. 16
157, 805. 38
5, 342. 5$
2, 891. 83
402, 891. 83
222, 602. 87
217, 260. 34
2, 000, 000. 00
325, 000. 00
235& 492.
6, 193.59
13, 398. 16
9. 59
97
160, 697. 21
5, 342. 5S
1, 674, 990. 41
89, 507. 03
ofsces:
No year (continuous) 1933
100, 082, 027. 95
1932
Prior years Special deposit accounts
Total general fund Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous) Trust funds (special deposit accounts).
8, 490, 579. 02
17, 087, 765. 52 5 587&301 48
9, 230, 340. 64
122, 757, 094. 95 4, 214, 590. 07
26, 203, 234. 63 ( 3, 352, e95. 28 26, 711, 860. 39 6, 672, 456. 55
2, 358, 233. 15
937, 269. 26 7, 545, 045. 71
380& 936& 374 11 4, 440, 954, 401. 74 788, tf 6. $&7 6, 519, 966. 83
362, 162. 83 797, 241, 833. 51 5, 622, 678. 44 1, 105, 977. 56
209, 206, 520. 34 787, 156, 605. 98 14, 774, 052. 18 1, 643, 022. 01 l 6, 876. J&S
21 5, 033, 433. 05
1, 008, 322, 652. 33
1, 012, 763, 325. 03
5, 711, 742. 52
119, 608, 555. 52
115, 6G9, 794. 25
1, 337, 358. 67 5, 404, 124. 59 118, 958, 735. 96 1, 552, 038. 66
4, 827, 625,
3¹
204&
2, 551& 944. 82
129, 329, 918. 17 DEP&LRT(BENT
222, 602. 87
2, 891. 83
Total
Total independent
150, 00(L OO 250, 000. 00
58, 786, 801. 11
4, 952, 267, 314. 78
1& 129& 704&
189 10
1& 14D&
015& 582
91
021, 477. 26 267, 480. 44 80, 234. 11 2, 529, 805. 00
93, 592. 41 8, 036, 094. 96 38. 34 112. 55
28, 837. 48 4, 258, 464. 80
4, 898, 996. 81
8, 129, 838. 26
4, 282, 302. 28
2&
274, 52?, 332. 08
3&636&221. 51
3& 631& 150» 528
03 10, 599, 898. 16 8, 471, 373. 21
10, OS5, 227. 53 78, 966. 90 400, 224. 80 7, 561, 92L 19
3, 924, 748, 631. 48 3, 536, 280. 60
21& 762,
561. 93 1, 021, 688. 57 21, 307, 735. 80 3, 383, 614. 84 999, 906. 16
6, 296, 994. 42
4, 898, 996. 81
8, 129, 838. 26
4, 282, 302. 28
3, 934, 583, 906. 50
48, 475, 407. 30
298, 064. 44 2, 752, 963. 10
21, 757. 19 711, 608. 58
658. 95 4, 452. 68
2, 500, 00
212, ?25, 303. 17 11,236, 630. 62 5, 898, 717. 75 2, 957, 952. 29
4, 874, 576. 65 1, 334, 451. 55 19, 688. 12 70, 403. 45 12, 661. 85
oF ACRlcULTURE
(Details on pp. 121 to 133) Sslarics and miscellaneous: No year (continuous)
177& 431, 814. 15
72, 239, 840. 73 5, 053, 889. 25 1, 522, 614. 13
173, 181, 674. 33 70, 905, 389. 18 6, 246, 244. SS 1, 810, 813. 56 47, 726. 51
2, 255, 471. 82
438, 471, 156. 37
256, 248, 158. 26
252, 191, 848. 46
1, 297, 545. 56
218, 869. 93
3, 008, 641. 62 29, 790. 57
1, 195. 53
3, 01S, 481. 09 28, 642. 48 358. 72 . 81 235, 196. 39
34, OG6. 63 I, SSS. 30
14, 060. 20 5, 231. 34
3, 198, 140. 57 39, 300. 00 5, 788. 86 6, 88A 66
35, 954. 93
10, 957, 915. 97 34, 859, 889. 99
Prior years. Special deposit accounts
Total general fund.
69, 693, 594.
Special funds; No year (continuous) 1933 1932
Prior years Special deposit accounts
Total, special funds.
OK'
09,
624, 4M. 83
1, 212, 043. 75 358, 602. 88 60, 388. 3G
36G,
886. Bf . 81
574, 070. 31
1, 316, 837. 10
Total, Department of Agriculture DEPART(RENT
601, 150. 82 86, 941, 043. 03 4, 556. 08 15, 088, 888. J&8
23, 875, 788. 13
1933 1932
71 010 431 19
3
15, 305, 988. 43
15, 305, 988. 43
056, 134. 17
735, 865.
&7
232, 818, 603. 83
6&,
I, 452, 977. 68 3, 750. 00
'3,
(&7(. 13
9, (2((
i
311, 781. G2
209, 030. 4G 1, 148. 09
(i(i
(3(33, 87:1 (PD
794& 135. 77
3, 226, 440. 57
3, 037, li95. 07
3, 282, 678. 37
607 59
441, 697, 596. 94
259, 285, 753. 33
255, 474, 526. 83
I, 152, 000. 00
866, 069. 29 258, 192. 39 1S, 004. 8?
828, 104. 51 305, 610. 73 25, 210. 96
51, 462. 72
1, 142, 266. 55
1, 158, 926. 20
61, 462. 72
049&
'8,
15, 305, 988. 43
3, 092, 089. 10
750 00
1, 4G5, Dii. (i?
&(9, O.'i", 37
739, 615. 77
234, 284, 581. 50
6, 860, 834, OD
298. 42
254, 459. 04 76, 216. 69
3&
Cos(a(ERCE
(Details on pp. 133 to 149) Office of the Secretary: 1933 1932 Prior years
Total general fund Special funds (continuous)
..
Debit balance.
47, 418. 34 7, 206. 09
444, 875. 00
54, 624. 43
11, 131.86 456, 006. se
Total (
334, 409. DS 110, 465. 92
See note 93, p. 109.
54, 624. 43
10. 00 1, 152, 010. 00 29, 314. 08 1, 181, 324. 08
26, 173. 25
li,
26, 173. 25
5, 298. 42
142, 266. 55
1, 158, 926. 20
51, 462. 72
&8
41, 008. 33
371, 684. 06 40,
1&
37, 964.
26, 173. 25
5, 298. 42
37, 964. 78
(45&. D4
412, 130, 00
37, Dfli. 78
Recapitulation [Debit transfer appropriations
of expenditures,
(net) snd repayments
balances, etc.
to appropriations Expenditures
Funds available in 1933
—Continued
in excess of expenditures
Amount carried to surplus fund (see p. 7)
in 1933
p. 6)
(see
are printed in itaac]
Unexpended balances June 30, 1932
On books of
Treasury
Unexpended
balances June 30, 1933
On books of the Treasury
To credit of
Appropriations
Cheeks-issued basis
Warrants-issued basis
Act June 20, 1874
Impounded salary savings
disbursing ofh cere
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing ofh cars
DEPARTstKNT OF CosruERCK
Radio Division. Aircraft in commerce: &
1933 1932
51, 403. 35
$6, 939, 939. 60 2, 066, 142. 14 231, 401. 37
$6, 610, 773. 91 2, 495, 830. 74 232, 544. 35
$220, 403. 98
8, 840, 903. 35
9, 237, 483. 11
9, 339, 149. 00
220, 403. 98
$8, 7SQ, 500. 00
Prior years
Total general fund
$2, 734, 721. 74 400, 402. 00
$478, 169. 53 1, 536. 75
3, 135, 123. 74
479, 706. 28
$225, 888. 20
$49, 117. 33
$1, 574, 554. 87 668, 579. 60
$32il, 165. 69
48, 480. 93
393. 77 225, 888. 20
49, 117. 33
2, 243, 134. 47
378, 040. 39
ci
Bureau of Foreign snd Domestic Commerce: 1933 1932
242, 615. 09
111, 145. 42
Prior years
108, 330. 39
12. 00
350, 945. 48
111, 157. 42
2, 504, 727. 94 24, 907. 11
Total general fund
3, 787, 132. 34 88, 846. 17 1, 778. 64
3, 659, 165. 87 87, 993. 91 1, 719. 77
110, 116. 23
4, 206, 007. 20
3, 762, 507. 53
3, 745, 410. 01
110, 116. 23
1361214. 11 4, 163, 96
968, 125. 00 ee, ooo. oo 18, OOG. OO
2, 292, 311. 65
2, 394, 317. 03
990. 76
4, 389. 66
2, 529, 635. 05
140, 878. 07
862, 129. 00
3, 153, 347. 69
1, 536, 165. 00 124, 154. 19
20, 233. 33 247. 67
270, 062. 90
6, 043. 84
142, 760. 92 265. 461. 26
127, 966. 47 305. 34 'j
16. 87
270, 062. 90
6, 043. 84
408, 222. 18
128, 254. 94
21, 013. 70 120, 427. 26
5, 788. 2T
155. 00
81, 277. 75 5, 834. 03 3, 920. 35
7?, 455. 21 34, 207. 83 765 06
3, 181, 297. 66
141, 440. 96
5, 943. 27
91, 032, 13
112, 428. 10
1, 381, 333. 57 9, 507. 97 eto. 57
I, 354, 396. 25
85, 355. 30
19, 146. 26
26, 932, 32
1. 10
113, 191. 76
56, 329. 8'7 114, 646. 22 747. 67
I, 536, 165. 00
I, 390, 594. 97
I, 384, 138. 65
113, 191. 76
85, 355. 30
19, 146. 26
165, 723. 76
26, 937. 32
162. 88
162. 88
2, 257, 280. 00
2, 032, 113. 19 57, 906. 40
2, 007, 128. 69
Bureau of Census: 1933 1932
Prior years
860, 045. 28
'
782, 590. 07
rf M
Total general fund
Bureau of Navigation Service: 1933 1932
Prior years
and Steamboat Inspection
.
113, 692. 86
Total general fund
237, 847. 05
Bureau of Standards: No year (continuous)
197. 70
1933 1932
107, 658. 52
6. 19
2, 257, 281. 34
2, 151, 824. 42
2, 208, 393. 17
107, 658. 52
158, 680. 50
2, 278. 00
236, 235. 62
24, 984. 50'
3, 860, 000, 00 9, 799, 280. 00
2, 364, 180. 82
8, 785, 333. 90 892, 070. 78 4, 649. 31
8, 281. 42 384, 484. 03
106, 331.97
3, 285, 822. 11 272, 259. 64 173, 235. 58
286, 872. 24 250, 870. 46
81, 99T. 46
12, 046, 234. 81
81, QQT. 46
3, '131, 317. 33
544, 97S. 67
1. 34
Tots'1 general fund
399, 395. 72
81, 553. 25
Bureau of Lighthouses: No year (continuous)
1, 964, 141.05
121, 015. 54
Prior years
Total general fund
24, 984. 50
61, 641. 95
74, 284. 22 7, 269. 03
1933 1932
34. 82 64, 214. 50' 167, 27T. 76 4, 708. 54
158, 674. 31
132, 190. 62 68, 910. QS
225, 184. 16 174, 013. 86
Prior years
29, 741. 30
648 025 84 82, 440. 81
424, 516. 39 3, 464. 52
741. 44
2, 530, 037. 52 9, 036, 204. 36 474, 790. 26 I, 184. 79
2, 694, 607. 70
548, 996. 45
13, 660, 021. 44
12, 042, 216. 93
892, 765. 45
106, 331.97
7, 235. 87
Coast and Veodetic Surrey: 1&&fo yesr (contirnxous)
3, 479. 97
1933 I982
3, 598, 013.00
! 69S. 38
53, 57, 445. 94
Prior years
Total general fund Special funds (continuous)
258, 094. 84 8, 068. 54
I
114, 624. 29
Total
3, 203, 603. 72 153, 710. 93 t, 164.78
110, 180. 86
110, 130.85 613.03
261, 163. 38 83
3, 598, 028. 26 17, 500. 00
3, 367, 578. 49 16, 499. 17
3, 356, 149. 86 11, 517.82
261, 164. 21
3, 615, 528. 26.
3, 384, 077. 66
3, 367, 667. 68
8, 220. 49 1, 648, 691. 76 196, 196. 16
12. 62
8, 236. 88 1, 695, 807. 66 125, 559. 97 95, 718. 15
166& 018, 18
39, 391. 55
080, 032 62
1, 925, 322 66
2, 019, 126. 59
39, 391. 55
935, 842. 29 534. 32
935, 842. 29 794. 12
935, 842. 29 794. 12
81, 576. 74
936, 376. 61 4, 062, 127. 42
936, 636. 41 3, 995, 238. 22
936, 636. 41 3, 997, 053. 06
.
1f4, 624. 29
15.26
3, 416, 854. 22 48, 848. 88 8, 889. 40
64, 390. 60
3, 479. 97 66, 773- 67 96, 044. 71
'213, 25L 50
57, 037. 58 g 308, 98
387. 80
272, 592. 01 4, 982. 18
166, 686. 15
277, 574. 19
22, 226. 95 302, 440. 97 126, 835. 36 11, 844. 71
16. 39 47, 115.90
14, 514. 85
462, 847. 99
56, 748. 54
220, 543. 57
70, 832. 29
30, 150. 39
124, 058. 06 368, 676. 51
70, 332. 29
30, 150. 39
492, 734. 57
731, 815. 31 55, 227. 19
25, 161. 52
166& 298. 35
110, 743. 88
4, 254. 26
224. 36 67, 256. 52
14, 514. 85
Buresu of Fisheries: No year (continuous) 1933 1932 Prior years
30, 6SS. 19 2, 080, 020. 00 147, 798. 94
70, 636. 19 79, 916. 28
430, SS2. 46
150, 552. 47
25-", 395. 33
Total general fuad
2&
1, 357. 15
9, 616. 25
Patent Office: 1933
Prior years.
81, 836. 54
Total general fund
Bl, 836. 54 254, 137. 05
Special funds. Special funds (special deposit accounts)
Total
125, 872. 90 188, 361.05
314, 233. 95
335, 973. 59
81, 576. 74
t80, 8t5. 46 4, 998, 504. 03
4, 931, 874. 63
4, 753& 374. 01
81, 576. 74
220, 543. 57
2, 775, 701. 93
1, 862, 164. 42 80, 57k 88 40. !jt
1, 837, 002 90 80, Gst& 4t 40. tt
64, 768. 01
116, 954. 19
771, 544. 19 25, 992. 06
I, 816, 338, 08
75, 819. 47
Bureau of Mines: 1933 1932
BBO, 023.
Prior years
Totsl general fund Special funds Total
Total genersl fund Trust funds (continuous) Trust funds (special deposit accounts)
69, 955. 41
891, 034. 35
69, 955. 41 10, 150. 38
1, 860, 326. 00 35, 223. 05
80, 105. 79
1, 895, 549. 05
1, 797, 536. 25
1, 851, 766. 95
69, 162. 62
50, M1. 62
69, 162. 62
50, 541. 62
2tiO,
. 27
891, 034. 35
Commerce, miscellsneous: No year (continuous) Specisl deposit sccounts.
9f 5, 876. 80
57 11, 010. 78
5, 000. 00
1&
.
Total
317, 218. 82
787& 042.
1, 273. 19
50 7, 957. 80
25, 1G1. 52 713. 57
118, 227. 38
795, 000. 30
25, 875. 09
49, 136. 83 211, 321. 93
2, 299. 14
21, 321. 86
1, 404. 79 105, 896. 89
458. 76
2, 299. 14
21, 321. 86 10, 91
107, 301. 68
35, 428. 87
317 218 82 5, 000. 00 10. 91
11, 051, 46
75, 819. 47
11G, OM.
19
965. 00 5, 010. 91
317, 218. 82
69, 162. 62
50, 541. 62
259, 493. 76
2, 003, 506. 91
121, 015. 54
3, 929, 162. 62 38, 097, 927. 22 t, 001, 878. 80 32, 729. 80
2, 588, 978. 90 32, 813, 506. 22 5, 128, 638. 46 400, 740. 99
2, 421, 701. 02 31, 652, 633. 87 G, 667, 038. 69 499, 563. 69 211, 321. 93
41, 058, 443. 44 4, 144, 164. 55
40, 931, 864. 57 4, 037, 729. 45
41, 452, 259. 20 4, 043, 999. 75 180, 8tk 48
2, 299. 14
21, 332. 77
108, 266. 68
Total, Department of Commerce: No year (continuous) 1933 1932 Prior years Special deposit accounts
Total general fund Special funds (continuous) S pecisl funds (special deposit sccounts) Trust funds (continuous) Trust funds (special deposit accounts)
7 999& 955 32 1, 312, 345. 15
Debit balance.
&
317, 218. 82
11, 315, 807. 38 265, 268. 91
2, 235, 786. 98 136, 024. 11 188, 361. 05
881, 241. 02
946, 009. 03
10, 804. 92 1, 465, 993. 25 120, 427. 26 1, 363. 34
212, 773. 20 155. 00
3, 332, 885. 71 3, 540, 886. 54 1, 749, 358. 40 61, 729. 60
288, 293. 42 1, 160, 872. 35 147, 267. 55 13, 062. 14 105, 896. 89
1, 598, 588. 77 222, 429. 79
212, 928. 20 70, 332. 29
8, 684, 860. 25 78, 941. 93
1, 715, 392. V) 129, 753. 81 368, 670 51
10. 91
10. 91
96k 00 11, 581, 087. 20
&
1 685 667 78 111,884. 84
64, 768. 01
2, 560&
172. 14
45, 202, 607. 99
44, 969, 594. 02
45, 314, 978. 49
t Transferred
snd stated under
965. 00 946, 009. 03
"Federal
1, 321, 018. 56
Radio Commission.
283, 260. 49
"
8, 763, 813. 09
2, 214, 787. 67
Recapitulation [Debit transfer appropriations
of espenditures,
(net) snd repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in (tahe]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Treasury
To credit of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20. 1874
Impounded salary savings
disbursing oflicers
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
DRPARTHENT OP THE INTERIOR
(Details on pp. 160 to 1S1) Off)ce of the Secretary: No year (continuous) 1933 1932 Prior years
Total general fund
$614, S85& 30
$783. 57 $729, 680. 00
89, 291. 60 6, 986. 45
12, 060. 74
710, 962. 36
12, 844. 31
$607, 240. 13 631, 822. 19 76, 248. 83
$2, 199.72 43, 171.88
$568, 656. 50 608, 804. 51 88, 309. 57
$1, 276. 93 11, 884. 36 1, 423. 21
$6, 975. 45 729, 680. 00
1, 316, 311.15
1, 265, 769. 68
11, 290. 09
11, 290. 09 1, 717, 833. 92
32. 07
11,290. 09 1, 779, 860. 99 35, 360. 55 18, 407. 49
2, 039, 122. 16 1, 352, 158. 86 6, 166. 95
1, 810, 104. 14 1, 426, 316.93 481. 44
1, 846, 053. 05 1, 424, 708, 96 481. 44
43, 581. 94
3, 397, 447. 97
3, 236, 90L 51
3, 271, 243. 45
43, 581. 94
25, 000, 000. 00 98, 000. 00
19, 709, 297. 48 49, 3OO. OO 64, 166. 68
19, 709, 297. 48 43, 424. 58 56, 681, 99
19, 822, 764. 16 6, 276, 801. 60
19, 808. 404. 05 5, 402, 991. 46 6, 48t. 13
1, 286. 49 190, 008. 90
5, 975. 45
45, 371. 60
14, 584. 50
135, 176. 12 130. 48
35, 483. 94 1, 463. 32
135, 306. 60 776. 22
36, 947. 26
$3, 968. 62 42, 801.57 ll, 619.56 1, 010. 00
$39, 368. 20 23, 017.68
59, 399. 65
62, 385. 88
0n. 56 77, 278. 95 29, 169. 75
62, oyr. 07
General Land Oflice (including Public Land 8erv-
ice): No year (continuous) 1933 1932
Prior years
Total general fund Special funds (continuous) Trust funds (continuous)
Total Bureau of Reclamation: No year (continuous)
107, 072. 56
2, 027, 800. 00
66, 124. 10 27, 142, 38
97, 975, 98
200, 339. 04 1, 916, B09. 62 190, 636. 93
97, 975. 98 4, 708. 46
2, 307, 585. 59
102, 684. 43
12, 895, 525. 20
1933
138, 336, 53 16, 407. 4&
1O7,
43, 581. 94
136, 082. 82
36, 947. 26
499. 39 787. 10
91, 725. 41
18, 760. 40
12, 987, 250, 61 3, 668, 723. 31
18, 760. 40 578, 240. 65 15, 413. 56
25, 098, 000. 00 4, 564, 088. 23
16, 655, 973. 92
612, 414. 61
29, 662, 088. 23
25, 099, 565. 76
25, 204, 914. 39
191, 295. 39
3, 981. 42
2, 829, 425. 00
2, 217, 265. 02
29, 768. 69 20, 668. 61
36. 00
189, 721. 76 4, 609. 72
92. 23
401, 167. 66 2, 528. 97
2, 069, 548. 12 422, 266. 9B 23, 097. 48
S, SSO. 95
461, 213, 27 155, 711. 69
152, 513. 20
Total general fund
616, 924. 96
50, 332, 10
2, 829, 492. 23
2, 620, 951. 64
2, 614, 912. 56
152, 518. 20
National Park Service: No year (continuous) 1933
5, 643, 262. 08
574, 139.96
1, 957, 200. 00
5, 083& 1B7.47 1, 438, 026. 82 2, 867, 453. 81 404, 333. 78
6, 161, 530. 63 1, 065, 862. 88 2, 543, 003. 03 627, 261. 06
9 397 647 60
Prior years
Total general fund 8pecisl funds (continuous) Bpecial funds (special deposit account)
Total Geologicsl Survey: 1933 1932
Prior years.
1932
Prior years
Total general fund
3, 606, 600. 00 2, 777, 391.90 622, 872. 92
346, 226. 15 225, 257. 16
9, 687. 19 15, 63L66
3, 981.42
218, 52L 26 1, 841, 676. 83 196, 322. 44
62, 077. O7 6, 316. 42
2, 251, 520. 03
68, 342. 49
18, 186, 227. 72 48, 200. 61 26, 771. 63
5, 875. 42 27, 245. 09
18, 261, 199.96 2, 762, 019. 62
33, 120, 51 452, 050. 79
H
21, 894. 68
219.58
507, 085. 98
1, 323. 93
416, 481. 27 64, 097. 57 7B1.76
147, 718.90 8, 654. 28
194, 331.48
'f, 280. 28
471, 340. 69
156, 87L 18
1, 742. 77
60, 862, 18
62, 189. 70 11, 763. 14 160, 416. 09 1, 919. 12
32, 613. 18 6, 184. 97
2, 463, 362. 14 2, 166, 820. 04 226, 596. 01 84, 001. 22
496, 776. 80 372, 163.94 170, 676. 93 2, 899. 88
60 862, 18
226 278 05
40 520 92
21& 025&
Special funds (continuous)
Total
2, 543. 41
8, 946, 070. 31
1, 148, 458. 15
et. 13
299, 902. 13
SO, 543. OS
36, 702. 34
5, 857, 797. 67
9, 373, 524. 91
9, 434, 349. 94
2, 550, 000. 00 350, 000. 00
2, 550, 000. 00
2, 550, 000. 00
300, 020. 33
293, 616. 50
6, 838. 20
785. 38
6, 838. 20
60, 862. 18
221, 838. Ss
46, 67K 57
226, 842. 18
40, 520. 92
6, 1M, 617.79
1, 087, 633. 12
25, 487. 49
937. 50 191.66
23, 554. 68 12, 386. 62 7, 055. 04
6, 403. 83 5, 849. 04 8, 940. 57
26, 272. 87
1, 129. 16
42, 996. 34
21, 193.44
1, 178. 74 21, 505. 76 25, 332. 30
4, 200. 42
1, 198. 33 12. 67
660, 256. 03 472, 356. 89 8, 847. 40 4, 441. 62
7, OOL 00 141, 876. 37 22, 279. 70
OSice of Education: No pear (continuous) 1933 1932 Prior years
49, 102. 73 32, 295. 89
6, 442. 23 2, 454. 84
fs, Ob'8. 83 13, 059. 37
30, 676. 64
24, 061. 02 24, 190. 41
Total general fund
81, 398. 62
8, 896. 57
2, 900, 002. 76
2, 904, 164. 80
2, 891, 867. 93
863, 102. 25
8, 952. 52
350, 000. 00 1, 462, 671. 10 504, 040. 00 foo, Bff. 10
551, 667. 48 964, 608. 03 513, 247. 65 72, 154. 33
553, 620. 00 822, 732. 66 492, 853. 32
41, 816. 46
14, 610. 56
1, 957, 368. 93 1, 496, 735. 62
1, 911, 021. 44 1, 592, 719. 10
14, 610. 56
48, 018. 80 113, 769. 93
5, 411. 42 28, 296. 14
1, 145, 901. 84 286, 586. 05
171, 155. 07 154, 975. 84 8, 701. 19
Government in the Territories: No year (continuous) 1933 1932 Prior years
Total general fund Special funds (continuous) Special funds (special deposit account)
Total Bene8ciaries: No year (continuous) 1933 1932
Prior years
Total general fund Trust funds (continuous)
Total Interior, civil, miscellaneous: No year (continuous)
44, 585. 68 146, 521. 62
1, 885. 37 113, 969. 69
1, 054, 209. 55
124, 807. 58 250, 958. 82 1, 620. 95
2, 117, 100. 00 1, 556, 037. 59
1, 423, 559. 70
377, 387. 35
3, 673, 137. 59
3, 454, 104. 55
3, 496, 660. 30
14, 610. 56
161, 786. 73
33, 707. 56
1, 432, 487. 89
334, 831. 60
2, 878, 255. 76
29, 264. 45
460, 000. 00 2, 322, 594. 53
802, 214. 35 1, 706, 644. 68
1, 059. 48
SB, 4th 66
766, 730. 43 1, 580, 255. 00 2, 414. 64
69, 709. 84 2, 478. 61
335, 986. 61
336, 343. 02
94, 727. 32
3, 311. 22 181, 313. 90 148. 39 33. 36
2 531 670. 71 364, 926. 11 243, 042. 22 22, 063. 66
64, 748. 37 126, 389. 68 67. 37 5, 292. 66
95, 786. 80
184, 806. 87
72, 188. 45
3, 161, 702. 70 875, 447. 90
196, 498. 08 21, 696. 31
95, 786. 80
184, 806. 87
72, 188. 45
4, 037, 150. 60
218, 194. 39
369, 350. 15
213, 227. 67 452, 810. 95
34, 923. 56 5, 649. 07
3, 544, 294. 38 942, 706. 03
69, 837. 08 7, 429. 57
2, 782, 594. 53 122, 906. 07
2, 812, 404. 09 190, 164. 20
2, 685, 743. 09
4, 487, 000. 41
77, 266. 65
2, 905, 500. 60
3, 002, 568. 29
2, 861, 640. 55
38, 675. 62 1, 000. 00
38, 699. 97
38, 699. 97
2, 578. 99
1933
Special deposit accounts
Total general fund Special funds (special deposit accounts) Trust funds (continuous)
Total
7, oeo. sb
9
2, 578. 99
2, 554. 64
1, 000. 00
438, 748. 19
20, 499. 97
459, 248. 16
459, 248. 16 72, 487. 96
175, 897. 46
39, 675. 62
38, 699. 97
»
3
59, 199. 94 53, 133, 30
554 64
438, 748. 19 124, 611. 16
487. 06
487. 06 3, 066. 05
531, 736. 12
39, 675. 62
38, 699. 97
7, 076. 74
23, 004, 482. 14
613, 140. 50
3, 700, 936. 95 1, 436, 066. 31
529, 277. 62 3S6, 659. 17 459, 248. 16
30, 367, 165. 71 13, 427, 770. 63 500, 645. 57 BOB, Of E Oe
29, 353, 576. 97 9, OS7, 54S. 06 3, 384, 494. 77 749, 130. 96
29, 359, 824. 10 8, 202, 078. 17 3, 706, 245. 07 1, 091, 971. 93 20, 499. 97
28, 141, 485. 40 5, 957, 226. 49
44, 093, 562. 83 7, 772, 186. 81
42, 574, 750. 76 8, 280, 396. 18
129, 073. 02
190, 645. 64
42, 380, 619. 24 8, 457, 121.86 65, 684. 56 176, 378. 90
380, 168. 33
1, 133, 830. 02
1, 988, 325. 45 836, 742. 80 89, 522. 47 7, 429. 57
35, 232, 541. 91
2, 922, 020, 29
51, 994, 822. 66
51, 045, 792. 58
50, 948, 435. 44
380, 168. 33
4, 041. 70
563, 359. 35
Total, Department of the Interior, excluding pensions and Indian Affairs: No year (continuous) 1933 1932 Prior years Special deposit accounts
Total general fund Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous)
~
Exclusive of $72, 487.96 stated ss a special fund account in 8scsl year 1933.
» See note 9.
1, 059. 48
379, 108. 85
58, 879. 38 608, 629. 44 190 6M 98 3, 524. 96
3, 019. 70 128, 173. 01 40, 691. 64 6, 177. 64
23, 955, 112.32 3, 603, 420. 12 585, 759. 13 96, 104. 82
606, 893. 37 885, 469. 89 207, 527. 32 43, 818. 20 438, 748. 19
861, 670. 76 304, 619. 18
178, 061. 99 32, 277. 56
28, 240, 396. 39 5, 112, 120. 38
2, 182, 456. 97 660, 017. 12
1, 072, 257. 40
155, 207. 03 21, 696. 31
34, 424, 774. 17
3, 019, 377. 43
1, 166, 289. 94
210, 339. 55
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic)
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of
Treasury
INDIAN
To credit of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing offtcers
Available
ARRAIRS
(Details on pp. 161 to 198) Salaries and general expenses: 1933 1932
$1, 680, 800. 00
210, 654. 62
2, 025, 861. 29
2, 021, 421. 54
2, 000, 445. 31
10, 282, 200. 00 233, 560. 00 41, 039. 63
4, 206. 00 8, 707, 801. 60 1, 021, 060. 96 240, 598. 73
15, 183. 05 8, 111, 840. 86 1, 475, 909. 01 488, 604. 80
$41, 000. 31 11, 317. 44
194 000 00 151, 061. 29
Total general fund
340, 422. 40
52, 317. 76
Education: No year (continuous)
4, 603. 61
10, 977. 05
1933 1932
Prior years
Total general fund Special funds (continuous) Special funds (special deposit account)
Total Qeneral support and administration: No year (continuous) 1933 1932
Prior years.
Total general fund Fulf]]]ing treaty stipulations No year (continuous)
$11, 589. 60 1, 606. 65
$47, 8/7. 43
$60, i36. 16 495. 80 317. 50
47, 877. 43
I, 000. SZ
$139, 920. 61 43, 009. 92 38, 907. 66
$62, 164, 92 7, 516. 45 3, 612. 61
60, 949. 46
14, 197. 07
221, 838. 19
73, 293. 98
399, 723. 23 44, 059. 95
], 826. 68
105, 518. 13 69, 390. 88 SSO. 61
1, 069, 157. 04 424, 102. 51 220, 549. 41
595, 960. 74 195, 932. 55 60, 610. 62
297. 61
1, 391, 254. 30 594, 751. 61
650, 780. 60 308, 616. 69
1, 990, 509. 52 4, 765. 81
970, 374. 34 11, 170. 44 501. 49
10, 556, 799. 63
9, 973, 667. 29 SO7. 11
10, 091, 537. 72 5, 234. 20 4. 13
238, 025. 91
445, 609. 76
175, 899. 62
1, 714, 106. 57 5, 572. 92
852, 503, 91 6, 129. 13 505. 61
1, 995, 275. 33
982, 046. 27
10, 5Ã, r99. 63
9, 972, 860. 18
10, 096, 767. 80
238, 025. 91
445, 609. 76
175, 899. 62
1, 719, 679. 49
858, 138. 65
49, 389. 15 1, 358, 772. 58 121, 389. 47
79, ]24. 88
11, 644. 35
2, 488, 43
17, 839. 65
45. 30
697. 67 48, 508. 45 28, 172. 62 674. 03
47, 649. 74 2, 328. 55 2, 172. 89
17, 839. 65
79, 170. 18
14, 293. 18
78, 052. 77
52, 151. 18
22, 747. 98
1, 218. 37
121, 823. 05 12, 212. 32 8, 274. 58 663. 00
14, 681. 17 182. 00 25, 309. 97 40, 173. 14
50, 086. 82
66, 200. 00 171, 825. 91
44, 873. 18 19, 829. 06
109, 666. 29 3, 348. 29
42. 95
49, 389. 15 1, 406, 422. 32 14, 051. 73 1, 313.03
114, 789. 06
113, 014. 58
1, 545, 742. 95
1, 471, 176. 23
1, 532, 039. 63
31, 225. 84
2]~ 582 75 536, 121. 33 64k 20 95. 48
21, 582. 75 520, 440. 16 29, 159. 31 2, 574. 04
12, 621. 81 12, 621. 81
22, 747. 98
1, 471, 37
142, 972. 96
47, 800. 00 366, 870. 86
242, 048. 40 37, 753. 47 21, 548. 64
155, 353. 92 19, 003. 61 1, 602. 09
16, 963. 23 1, 402, 82?. 60 666, 448. 43 I, 042, 287. 10
1, 545, 700. 00
2, 648. 83
snd treaty supports:
1933 1932
Prior years.
Total general fund MisceHaneous expenses of Indian Service: No year (continuous) 1933 1932
Prior years
Total general fund Special funda (continuous).
Total
$1, 469, 153. 63 341, 613. Z9
$1, 406, 988. 71 375, 097. 15 218, 359. 45
$192, 725. 66 147, 696. 74
Prior years.
112, 179.96
57], 300. 00 9, ]72. 78 13, 380. 29
28, 696. 11 27, 788. 53
134. 733. 03
56, 484. 64
602, 625. 84
557, 444. 76
573, 756. 26
18, 927. 87
10, 806. 38
269, 901. 80 5, 343, 930. 67
2, 308, 257. 37 2, ]93, 993. 83
795, 415. 93 646, 992. 74
267, 937. 16 7, 144, 160. 59 716, 406. ss
34, 397. 1$
821, 845. 47 737, 288. 13
273, 9i]0. 45 4, 700, 269. ]8 1, 424, 3S6. 65 I, 104, 529. 61
4, 621, 179. 07 262, 458. 60
1, 453, 216. 05 92, 419. 30
6, 671, 294. 24 364r 869 46
7, 172, 966. 07 . 330, 738. 60
7, 503, 145. 69 355, 904. 84
414, 670. 85
301, 350. 41 6, 374. 30
175, 959. 62 I, 375. 00
3, 127, 526. 36 279r 840. 19
1, 123, 035. 43 67, 252. 96
4, 733, 637. 67
I, 645r 634, 36
7, 026, 163. Sfi
7, 608, 704. 57
7, 859, 050. 53
414, 670. 85
306, 724. 77
177, 334. 62
3, 407, 366. 56
I, 190, 28S. 39
253. 00
6, 757. 73
643'661'4S I
192, M4, 85 279, 751. 36
C5
I o tercet
accounts: No year (continuous)
684, 727. 91
Trust funds: No year (conti nuous)
15 158&894-23
Special deposi t accounts I
649, 188. 27
660, 287. 00
672, 134. 22
23, 712. 71
2, 800, 993. 3!}
5, 048, 95L 19
4, 985, 414. 22 276, 347. 81
12, 910, 93B.43
404, 879. 97 2, 438, 800. 93
12, 910, 936. 43
2, 843, 680. 90
34, 811.44
341, 343. OO
636, 594. 58
2, 715, 148. 74
Total
15, 158& 894. 23
3, 056, 491. 74
2, 800, 993. 39
5, 048, 951. 19
5, 261, 762. 03
870, 426. 17
56, 594. 87
935, 757. 58 21, 224, 160. 59 SSS, 848. 69 167, 746. 75
994, 267. 97 17, 462, 429. 55 2, 199, 216. 65
I, 020, 392. 40 16, 098, 311.49 3, 425, 951.49 I, 816, 556. 23
114, 000. 00 617, 035. 65
731, 035. 65
Total, Indian Aifsirs: No year (continuous) 1933 1932 Prior years
Total general fund Special funds (continuous) Special funds (special deposit account) Trust funds (continuous) Trust funds (special deposit accounts)
3, 946, 283. 29
I, 625, 559. 24
53
998 063 69
7, 786, 360. 99
2, 680, 217. 80 103, 689. 74 501. 49 341, 343. 00 2, 715, 148. 74
22, 038, 818. 53 354, 869. 46
21, 845, 864. 16 329, 931.39
22, 361, 211. 61
2, 800, 993 39
5, 048, 951. 19
4, 985, 414. 22 276, 347. 81
23, 212, 479. 63
5, 840, 800. 77
25, 194, 681. 37
27, 224, 746. 74
27, 984, 108. 56
731, 035. 65
23, 874, 908. 31
669, 736. 37
31, 302, 923. 2g 34, 651, 93L 22 211, 799. 18 34, 876. 68
30, 347, S44. 94 26, 549, 977. 61 5, 583, 711.42 I, 939, 080. 95
30, 380, 216. 50 24, 300, 389. 66 7, 132, 196. 56 2, 90S, 528. 16 20, 499. 97
I, 059. 48
2&
969& 651
267, 224. 41
15, 158, 894. 23
I, I89, 949. 99
361, 139.04 f&.
803, 780. 65 82, 309. 22 28, 737. 92
285, 324. 37 92, 902. 97 3, 593. 52
811,915. 78 2, 672, 626. 02 I, 169, 008. 06 I, 303, 081. 20
909, 827. 79 5, 374. 36
'M 82(186 I, 375. 00
5, 956, 631. 06 285, 413. 11
2, 164, 870, 35 72, 382, 09
12, 910, 936. 43
404, 879. 97 2, 438, 800, 93
30, 470. 44
I, 364, 118. 06 398, 824. 40 371, 457, 45
IS
505. 61
915, 202. 15
383, 195. 86
19, 152, 980. 60
5, 081, 438. 95
58, 879. 38
3, 019. 70 413, 497. 38 133, 594. 61 9, 771. 16
24, 767, 028. 10 6, 276, 046, 14 I, 754, 767. 19
2, 249, 587. 95 606, 351. 72
I, 399, 186 02
415, 275. 65 438, 748. 19
559, 882. 85 33, 652. 56
34, 197, 027. 45 5, 397, 533. 49
4, 347, 327. 32 732, 399, ZI 155, 712. 64 426, 576. 28 2, 438, 800. 93
Total, Department of the Interior, including Indian Affairs, but excluding pensions: No year (continuous) 1933 1932 Prior years Special deposit accounts
Total general fund. Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous). Trust funds (special deposit, accounts)
DEPsRTMENT
or
7, 647, 220. 24 4, 405, 717. 84
2, 154, 836. 86 I& 384, 722. 86 459, 248. 16
846. 39 6, 224, 450. 90
4, 668, 543. 25 940, 332. 54 90, 023. 96 348, 772. 57 2, 715, 148. 74
66, 132, 381. 36 8, 127, 056. 26
64, 420, 614. 92
2, 930, 066. 41
5, 239, 596. 83
58, 445, 021. 54
8, 762, 821. 06
77, 189, 504. 03
15, 612, 260. 00 658, 844. 61 284, 015, 43
623, 725. 08 45, 889. 38
942, 860. 04
3, 037, 538, 11
35& 927,
16, 292, 724. 25
], 412, 410. 09 114, 000. 00 996, 144. 50
272, 946. 20 27, 262. 88
64, 741, 830. 85 8, 818, 260. 90 65, 688. 68 5, 161, 793. 12 276, 347. 81
I, 111,203. 98
I, 771, 498. 55
78, 270, 539. 32
78, 932, 544. 00
I, 111,203. 98
1, 096. 69
13, 355, 074, 37 55, 097. 19 M, 650. DS
13, 106, 911.65 598, 991.90 10, 539. 30
300, 406. 27
669, 614. 46
15, 613, 473. 60
13, 374, 821. 48
13, 716, 442. 85
107, 09L 07
I 786, 816. 87 29, 631, 075, 33 761, 73f. 66 58, 060. 58
3, OOO, 315, 38 24, 931, 845, 85 I, 020, 078, 03 982, 583. 02
2, 993, 460. 14 23 473, 563. 44 2 296, 320. 83 I, 089, 836. B5 200, 261. 76
724 221 42
29, 934, 822. 28
30, 053, 442. 82
921, 630. 88
896, 139. 70
8, 610, 327. 57
309, 993. 54
13, 983, 193. 83
637, 863. 81
2, OSI, 492. 09
593, 535, 41
53, 577, 754. 77
981, 791. 94
624, 040. 66
651, 353 03 603, 864. 33 20& 055. 93
248, 162, 72 79, 830. 37
300, 406, 27
981, 791. 94
624, 040. 66
I
e75 273 2g
327, 993. Og
2, 097, 39 400, 000. 00
7, 022. 4f& 1, 053, 215 59
283, 534. 94
2 962, 478. g5
H.
100, 816. 38
JUSTIcE
(Details on pp. 199 to 201) Salaries and miscellaneous: 1933
1932. Prior years.
Total, general fund
116.91
J UDICIkt (Details on pp. 201 to 211) Salaries and miscellaneous: No year (continuous) 1933 1932
Prior years Special deposit accounts
Total, general fund Special funds Trust funds (continuous) Trust funds (special deposit account)
Total
3, 078, 785. 29 I, 978, 170. 10
I, 387, 553. 68
8, 094, 493. 50 937. 27 124, 445. 58
I 990 06g 52
109, 439. 20 385, 985. 57
64, 478. 26
30&
15, 967. 15
8, 219, 876. 35
2, 070, 514. 93
31, 645, 852. 30
30& 830& 961
98
I, 814, glg.
L 306, 975. 90
I, 024, 084, pg 1, 426, 181. 48
29, 563. 57
1, 060, 238. 05
283, 534. 94
f&,
113, 93S, 17
I IS, 9.16 31 I, L&H, ZH'& 4 [ 111, 310. HH '-', 185. 57 I85, 723 SI
I, 871, 418
93'I, 27 149, g36, 76
906, 883. 86 5, 665. 68 30, 954, 661. 00
75,
I, 426, 181. 48
I, OBO, ZOH 05
283 534 94
6, 264, 812. 20
OH
63, 73L 10 21, fi32. HS
I
OIG Hl»
gl
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations Expenditures
Funds available in 1933
(see
—Continued
in excess of expenditures
are printed in italic]
Amount carried to surplus fund (see p. 7)
in 1933
p. 6)
Unexpended balances June 30, 1932
On books of Treasury
To credit of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Cheeks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing OKcers
To credit of Reserve fcr impounded salary savings
disbursing oilicers
Available
(see p. 7)
—Continued miscellaneous — Continued. Jvnrcrsr.
Salaries and
Total, Department of Justice, including Judicial: No year (continuous}
$3, 037, 538. 11
1933 1932
Prior years Special deposit accounts
Total, general fund Special funds Trust funds (continuous) Trust funds (special deposit account)
DEPARTMENT
or
$107, 091. 07
$1, 786, 816. 87 45, 243, 335. 33 761, 815. 46 59, 157. 27
$3 000 315 38 33, 286, 920. 22 1, 076, 175. 22 94'1. 232. 94
$2, 993, 460. 14 36, 580, 475. 09 2, 895, 312. 78 1, 100, 875. 95 200, 2BI. 76
3, 737, 629. 90 2, 262, 185. 53
2, 011, 278. 76 165, 328. 58 385, 985. 57
9, 037, 353. 54 937. 27 124, 445. 68
2, 659, 683. 98
46, 337, 695, 02
43, 309, 643. 76
43, 769, 885. 67
64, 478. 26 15, 967. 15
921, 630, 88
896, 139. 70
906, 883, 86 5, 665, 68
9, 162, 736. 39
2, 74D, 129. 39
47, 259, 325. 90
44, 205, 783. 46
44, 671, 103. 85
$2, 097. 39 400, 000. 00
$7, 022. 46 2, 035, 007. 53
$907, 575. 60
2, 042, 029. 99
907, 675. 60
1, 324, 490. 36
1, 726, 687. 75
1, 726, 587. 75
2, 042, 029. 99
907, 575. 60
$1, 814, 919.75 3, 613, 831. 98 1, 910, 84D. 23 49, 619. 50
$113,946. 31 1, 706, 445. 13 191, 141. 25 2, 185.67 185, 723. 81
7, 389, 211.46 937. 27
2, 199, 442. 07
149, 936. 76
53, 734. 10 21, 632. 83
7, 640, 085. 49
LABoR
'Tl
g
(Details on pp. 211 to 215) Office of the Secretary: 1933 1932 Prior years
552, 018. 76 103, 686. 75
3. 60
579, 696. 84 75, 725. 46 2, 867. 08
12. 89
12, 882. 98
712, 053. 60
652, 555. 22
655, 718, 40
12, 882. 98
450, 000. 00
2. 80
403, 393. 10 5, 865. 38 5, 555, 84
398, 256. 29 10, 440. 68 5, 831. 24
14, 750. 72
450I 002. 80
414, 814. 32
414, 528. 21
14, 750. 72
5, 450. 33 9, 918, 450. 00 200, 000. 00
5, 450. 33 8, 655, 229. 20 1, 050, 176. 22 31, 367. 81
6, 450. 33 8, 360, 950. 63 1, 277, 544. 49 1, 365. 82
9, 679, 618. 14 84, 871. 64
9, 642, 579. 63 102, 597. 86
9, 764, 489. 78
9, 745, 177. 49
712, 050, 00
98, 665. 66 10, 012. 40
28, 473. 07 2, 879. 97
108, 618. 06
31, 353. 04
5, 982. 67 64, 483. 84
4, 578. 19 278. 35
Total general fund
60, 466. 51
4, 856. 54
Bureau of Immigration: No year (continuous)
215. 25
Total general fund
27, 168. 81
I, 603. 06
103, 581. 29 22, 880. 20
27, 678. 08
511.78
27, 168. 81
I, 603. 06
126, 461. 49
28, 189. 86
34, 879. 24
3, 322. 39
8, 405. 27 117.29 34, 180. 08
5, 136. 81 2. 89 2. 95
34, 879. 24
3, 322. 39
42, 702. 64
5, 142. 66
547, 327. 75
8, 776. 47
215. 26 707, 116.58 82, 005. 76 55, 851. 85
294, 278. 57 5, 100. 72
31, 67A 99
547, 327. 75
8, 776. 47
845, 18D. 44 283. 96 72, 041. 48
299, 379. 29
31, 675. 99
547, 327. 75
8, 776. 47
917, 514. 88
299, 379. 29
Bureau of Labor Statistics: 1933 1932
Prior years
1933 1932
Prior years.
932, 181. 98 52, 619. 78
232, 468. 99 29, 871. 79
Total general fund Special funds (continuous) Trust funds (continuous)
984, 917. 01 7, 166. 60 '70, 591. 23
262, 340. 78 17, 726. 22
1D,
1, 062, 663. 84
280, OB7. 00
10, 207, 121. 03
Total
.
3, 770. 45 127, 670. 78 78, 000. 00 1, 450. 25 ~
31, 675. 99
is)
Bureau or Maturaiisation: 1933 1932
Prior years Total general fund
48, 949. 93 87, 479. 30
84, 812. 23 6. 82
136, 429. 23
84, 819. 05
Children's Bureau: No year (continuous) 1933 3 1932 Prior years
15, 570. 95 16, 710. 14
10, 184. 22 459. 14
Total general fund
35, 91?.83
10, 643. 36
19, 923. 78 10, 957. 67
11, 857. 71 470. 93
30, 881. 45
12, 328. 64
3, 782. 89 112, 401. 17
25, 984. 05 16, 095. 86
116, 184. 06
42, 079. 91
104. 00
566, 909. 42
868, 180. 26 SO, 768, 87
832, 2GL 60 63, 994. 66
28. 95
4s. sf
ss. ss
87, 550. 46
982, 863. 94
847, 379. 18
896, 214. 27
87, 550. 46
375, 500. 00
339, 604. 50 585. 92
327, 826. 86 10, 767. 70
3, 636. 74
Women's Bureau: 1933 1932
Prior years.
Total general fund Employment
975, 770. 00 7, 064. 99
1982
Prior years
Total general fund Housing Corporation: No year (continuous) 1933 1932 Prior years Special deposit accounts
17, 169. 28
375, 500. 00
339, 731. 28
338, 594. 56
160, 000. 00
147, 648. 00 7, 00$. ?$
448. 31
138, 339. 94 4, 855. 37 22. 62
11, 405. 98
160, 000. 00
140, 197. 55
143, 217. 93
11, 405. 98
965, 000. 00
742, 187. 07 f. 04 10, 331. 17
713, 030. 72 25, 971. 80 26, 148. 75
22, 472. 08
965, 000. 00
752, 517. 20
765, 151. 27
22, 472. 08
14, 000. 00
13, 097. 84 $9. fg
12, 870. 20 162. 26
221. 40
Labor, miscellaneous: No year (continuous) Special deposit accounts
526. 43
577, 083. 16
526. 43
Special funds (special deposit accounts) Trust funds (continuous) Trust funds (special deposit accounts)
Total of Labor: No year (continuous) 1933 1932 Prior years Special deposit accounts
Total, Department
.
Total general fund Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous) Trust funds (special deposit accounts)
159, 338. 83 999, 354. 30
8, 872. 72
1, 708. 00
35, 983. 96
3, 636. 74 2, 841. 54 14 985. 03
11, 777. 64 2. 44
21, 463, 31
11, 780. 08
9, 318. 92
3, 033. 08 26, 925. 92
9, 308. 06
9, 318. 92
29, 959. 00
9, 308. 26
66, 986. 10
155, 826. 83
3, 783. 93 79, 597. 92
29, 156. 35 11. 21 278 28
66, 986. 10
239, 208. 68
29, 445. 84
618. 97
104. 00 283. 19 59. 14
31, 345. 96
1, 708. 00
2, 201, 923. 83
576, 169. 98
200. 11
123, 778. 39 534, 138. 49 701. 00 8$, 431. 10
200. 11 15, 275. 21
15, 475 32
597, 296. 09
4, 156. 10 992, 312. 24 227, 531. 06 169, 629. 85
GGG, 909. Is 413, 485. 41 5, 687. 94 281. 23 55, 682. 10
1, 393, 629. 25
1, 042, 0-19. 10
10, 762. 42
11, 088. 74
7, 103. 49
701. 00
11, 789. 74
573, 186. 78
16, 539. 07
16, 539. 07 11, 335, 548. 40 1, 497, 423. ?1 30, 614. 29 113, 609. 07
16, 212. 75 13, 570, 770. 00 207, 064. 99 3, 805. 70
79, 463. 95
446. 33
618. 97
11, 088. 74 112, 689. 65
566, 909. 42
1, 184, 843. 31 17, 726. 22 999, 354. 30
9, 032. 92
11,088. 74
4, 482. 42
1, 485, 358. 99 7, 155. 60
227. 64
10, 762. 42
17, 865. 91
398, 579. 86 50, 062. 86 169, 291. 17
909. 42
13, 951. 88
1, 158, 693. 13
1, 124, 997. 86 355, 878. 71
11, 314. 41
56G,
13, 038. 70
9, 399. 15
I, 571, 978. 54
31, 345. 96
35, 925. 26 58 70
14, 000. 00
159, 338. 83
Total general fund
14, 705. 22
919. 42
9, 952. 34 11, 418. 41
81, 660. 06
11, 224. 46 ?sr 773. 79
11, 314. 41
11, 314. 41
.
Total general fund
14, 705. 22
17, 169. 28
45k fg
Service:
193
81, 660. 06
11, 749, 036. 81 1, 104, 531. 79
fa, 16?.SZ
13, 797, 853. 44 78, 000. 00
12, 850, 940. 33 84, 871. 64
12, 993, 734. 54 102, 597. 86 534, 138. 49
8, 553. 74
701. 00
701. 00 86, 431. 10
13, 884, 407, 18
12, 936, 512. 97
13 545 740. 79
4G,
640. 18
46, 649. 18 465, 215. 81
85, 431. 10
799, 305. 81
30, 115. 14
799, 305. 81
30, 115. 14
209, 221. 90
209, 221. 90
283. 96 465, 215. 81
87, 316. 69 85, 431. 10 209, 221. 90
799, 305. 81
30, 115. 14
1, 481, 229. 90
1, 592, 696 01
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic]
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of Treasurlr
To credit of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing officers
To credit of Reserve for 1m pounded salary savings (see p. 7)
disbursing ofhcers
Available
NAVY DEPARTMENT
(Deta, ils on pp. 216 to 235) Ofhce of the Secretary:
No year (continuous) 1933 1932
$4, 807. 09
$3, 388. 39 2, 010, 609. 08 896. 73
1, 682, 570. 60 107, 759. 06 578. 03
$3, 388. 39
$3, 388. 39 1, 673, 812. 16 121, 299. 49 578. 03
$130, 634. 77
$78, 748. 95
$18, 129. 02
$4, 807. 09 231, 160. 51 214, 662. 48
$8, 758. 44
Prior years
321, 524. 81 131, 091. 20
$13, 540. 43
Total general fund Special funds (continuous)
457, 423. 10 12, 446. 66
13, 540. 43
2, 015, 015. 80
1, 794, 296. 08 f, erO. 96
1, 799, 078. 07 1, 870. 96
130, 634. 77 9, 408. 50
78, 748. 95
18, 129. 02
450, 630. 08 4, 909. 11
8, 758. 44
469, 869. 76
13, 540. 43
2, 015, 015. 80
1, 792, 425. 13
1, 797, 207. 12
140, 043. 27
78, 748. 95
18, 129. 02
455, 539. 19
8, 758. 44
5, 389, 964. 00
4, 743, 165. 14 745, 037. 05 42, 549. 28
4, 743, 165. 14 745, 037. 05 42, 549. 28
1,04&
2, 356. 74
319, 955. 44
487. 23 5, 681. 33 1, 136. 73
539, 954. 89 495, 407. 64 718. 28
Total
121. 60
Bureau of Navigation: 1983 1932
Prior years
1, 246. 126 02 373, 277. 12
Total general fund Special funds (continuous)
1, 619, 403. 14 591, 878. 50
5, 381, 046. 61
5 530 751. 47 36, 853 35
5, 530, 751. 47 36, 853. 35
319, 955. 44
111,305. 29
2, 356 74
67, 587. Go
1, 036, 080. 81 497, 337. 65
2, 211, 281. 64
5, 323, 859. 11
5, 567, 604. 82
5, 567, 604. 82
319, 955. 44
111,305. 29
2, 356. 74
1, 533, 418. 46
18, 030, 000. 00
16, 438, 220. 46 2, 672, 618. 31 1, 133, 742. 40
382, '717. 64
590, 384. 02 32, 272. 45 20, 383. 36
33, 537. 67
4, 208. 49
16, 438, 220. 46 2, 672, 473. 55 1, 133, 742. 40
967, 857. 85 821, 411. 61 3, 540. 28
18, 034, 208. 49
20, 244, 436. 41
20, 244, 581. 17
382, 717. 64
643, 039. 83
33, 537. 67
1, 792, 809. 74
15, 821, 000. 00
13, 851, 081. 43 1, 626, 870. 60 461, 589. 92
824, 795. 26
628, 348. 47 36, 843. 26 14, 589. 79
54, 531. 01
336. 47
13, 851, 081. 43 1, 626, 692. 82 461, 589. 92
1, 287, 039, 09 1, 066, 772. 17 2, 728. 52
15, 821, 336. 47
15, 939, 364. 17
15, 939, 541. 95
824, 795. 26
679, 781. 52
54, 531. 01
2, 356, 539. 78
31, 096. 00
248, 342. 82 7, 325, 020. 72 3, 009, 297. 32 1, 058, 359. 44
7, 325, 020. 72 3, 010, 405. 51 1, 058, 359. 44
477, 273. 76
13, 080. 88 486, 243. 32 100, 352. 06 36, 253. 45
11, 802, 095. 00
11, 641, 020. 30
11, 642, 128. 49
477, 273. 76
635, 929, 71
Total
8, Ã7. 39
Bureau of Engineering: 1933 1932
3, 526, 157. 61 1, 536, 175. 19
144. 76
5, 062, 332. 80
144. 76
1933 1932
2, 730, 308. 25
1'77. 78
Prior years
1, 303, 367. 02
Prior years
Total general fund Bureau of Construction and Repair:
Total general fund
4, 033, 675. 27
Bureau of Ordnance: No year (continuous)
484, 513. 04
1933 1932
Prior years
Total general fund
177. 78
11, 271, 000. 00 4, 082, 469. 53 1, 543, 338. 06
1, 108. 19
6, 110, 310. 63
1, 108. 19
248, 342. 82
30, 268. 25
30, 268. 25
223, 089. 34 3, 429, 467. 71 972, 810. 15 2, 546. 41 4, 627, 913.61
Bureau of Supplies snd Accounts: No year (continuous) 1933 1932
6, 853, 124. 70
6, 999, 818. 87 167, 256, 331.00 f 80, 800. 00 63. 335. 03
2 8, 487, S 6). Od 151 341 405 97 5, 714, 398. 24 23, 959. 78
fd, 487, ddr. OS 161, 341, 405. 97 )1, 714, 398. 24 23, 959. 78
44, 711, 687. 13 7, 546, 206. 11 204, 129. 75
472. 00
161, 176, 349. f)6 218, 246. 33 34, 049. 47
143, 592, 412. 9B 117, 568. 17 22, 117. 34
143, 592, 412. 96 117, 568. 17 22, 589. 34
52, 462, 022. 99
472. 00
161, 428, 645. 46
143, 732, 098. 47
143, 732, 570. 47
1, 908, 000. 00
1, 561, 553. 19
1, 5{)1,553. 19 43, 989. 93 80. 88
8, 957, 263. 80
Prior years
Total general fund Special funds (continuous) Trust funds (continuous)
Total. Sureiiu of Medicine and Surgery: 1933 )932 Prior years
Total general fund Special funds (continuous)
Total Bureau of Yards and Docks: No year (continuous)
134, 395. 03 40, 482. 75
i&d,
166. 00
8, 5!)H, 000. 00
687, 131.38 55, 060. 84
Prior years
.
Total general fund Special funds (continuous)
Total.
870. 52
10, 232, 037. 34
Prior years
Total general fund
.
Naval Acaf)emy: )9,'33 l932. Prior years
)0!.20
870. 52
4, 532, 217. 42
107, 963. 14
59 62o, 987. 34
151 759. &)H
59, 483. 72
135, 203. 11 177, 684. 96
151, 759. 98
59, 483.
40, 567. 87
f)23, 753. 97
2, 022. 78
2, 022. 78
53, 138. 99
16 465. 02
19, 39G, 729. 73 2 465 02
19, 397
OC)4
14, C!70, 278. 22 3, 724, 466. 09
11, 705. 37
. 18, 400, 698. 09
11, 705. S7
59, 483. 72
2, 32G, 45G. 73
lw, 407. 34 464, 980. 30 13, 833. 48
4, 697. 17 36, 472. 60
9. 630, 735. 41
53, 138. 99 20, 534. HH
Ci!5, 221. 12
4), 169. 77
10 153 554 50 3, 427. 59
73, f)73. 82
615, 221. 12
41, lf)9. 77
10, 15G, 982. 09
21, 160. 41
)&J
)8
19, 3&JQ, liJ4. 75
25, 245. 420. 00
124, 071. 9G
18, 364, 296. l f) 10, 223, 738. 43 2, 788, 733. 47
18, 357, 107. Ci0 10, 235, 443. 80 2, 788, 733. 47
1, 054, 949. 77
417, 192, 17 37, 646. 68 4, 015. 78
25, 3()9, 491. 96
31, 376, 768. 06
81, 381, 284. 87
1, 054, 949. 77
458, 854. 63
21, 1BO. 41
10, 858, 457. 18
1, 881, 217. 00
1, G43 573. 89 117, 370. 12 3. 75
1, 643, 573. 89 117, 370. 12 3. 75
126, 764. G5
12, 850. 86
98, 027. 60 21, 354, 05
43, 206. 02
1, 760, 947. 7G
1, 760, 947. 76
43, 206. 02
126, 764. 55
12, 850. 8G
1)9, GH!. 65
609, 613. 60 1, 443. 16
18, 806. 63
I, 881, 217. 00
3&J&J519
Total. Alterations to )nival vessels: No year (continuous). 1'rior years
..
798. 34 1, 849, 378. 15 50, 301. 97
5, 953. 78 6, 442. 771. 26 4, 408, 893. 11 839. 03
'2, Gl(&,
13!.93 721. 43
350
HHH. &)4
399, 101.00 6, 605. 42
898, 798. 34 1 849 378 1,&i 50, 301. 97
21, 921, 444. 42 161, 282. 09
20 798 478 4fi 151, 367. 27
20, 798, 478. 46 151, 367. 27
1, 761, 370. 29
Gl 1, 056, 76
18, 806. 63
6, G21, 869. 20
22, 082, 726. 51
20, 949, 845. 73
20, 949, 845. 73
1, 761, 370. 29
611, 056. 76
18, HOli. 63
440, 497. 16 2, 817, 755. 20
16, 653, 259. 92 9, 869& 978. 1 l
12, 252, 886. 01 164, 779. 09
12, 252, 886. 01 164, 779. 09
564, 388. 45
2, 889. 90
4, 273, 592. 72
3, 258, 252. 36
14, 000, 283. 81
12, 417, 665. 10
12, 417, 665. 10
504, 388. 45
2, 889. 90
4 273, 5&92. 72
4, 430, 761. 25 1, 805, 066. 84
Tof, al general fund
473, 274. 89 49, 543. 93 . 27
20, 028, 101. 20
22, 143, 940. 00
Trust funds (continuous)
HHS. 07 2, 013, 568. 66
154, 406. 62
131.93
1933 )932 Prior yeiirs.
72:3!'2,
2, 646. 64
953 78
181, 933. 94
Siarine ('orps: No year (continuous)
5, 892, 402. 08
11, 207, 680. 77 7, 563, 272. 21 623, 753. 97
'2,
138, 724. 17 43, 209. 77
general fund.
'fetal general fund.
20, 028,
51, 790, 096. 68 7, 619, 828. 78 216, 061. 88
1, 2OH, 005. 20 7, 5&G,'3, 272. 21
26, 427. 44
r&
1933 )932
1
104, 794. 58 3, 168. 56
40, 567. 87
249, 958. 71
)O!. 20
10, 258, 464. 78
Ilureau of Aeronautics: No year (continuous)
To!al
!1, 490, f)00. 00
4, 508, 330. 49 23, 886. 93
3, 768, 302. 85
), 7CiH,
870. 52
5, 892, 402. 08
! 5, 892, 402. 08
30K 85
2, 722, 990. 56
9, 489, 845. 12
35, 806. 996 61 11,893, 986. 66 3, 089, 110.29 1, 000, 003. 22
40, 567. 87
1, 626, 227. 23
174, 877. 78
248. 36 104, 546. 22
1, 51S, 344. 14 249, 9&H. 7)
1, 908, 166. 00 814, 824. 56
3, 518, :)44. 14
1, 451, 349. 45
l 933
1932
989. Qd 80. 88
589, 088. 42 3, 915, 392. 15 3, 755. 27 94. GG
6, 285, 960. 02 385, 909. )H
j
IH,
)H, HQS,
2&,
1, 761, 370. 29 4, 967, 692. JO 39'i 823. OO
j
5, ,')f)3, 516. 30
ch
Recapitulation. [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations
—Continued Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
sre printed in ftedc]
in excess of expenditures
I. nexpended
On books of the Treasury
Unexpended balances Juae 30, 1932
On books of
Treasury
NAvY DEPARTREET
To credit of
balances June 30, 1933
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
To credit of
Impounded salary savings
disbursing officers
'
disbursing officers
Reserve for impounded salary savings (see p. 7)
Available
—Continued
Increase of the Navy: No year (continuous)
$38, 545, 637. 66 27, 174. 59 204. 17
$217. 17
3S, 573, 016. 42
217. 17
54, 766. 64 886. 20
5, 807. 21
Total geaeral fund
55, 652. 84
5, 807. 21
Contingent expenses, etc. : No year
337. 89
1932
Prior years
Total general fund.
Prior years.
Prior years
Total general fund Navy, miscellaneous: No year (continuous) general fund. Special funds (special deposit aeeounts) Trust funds (continuous)
General account of advances: No year (continuous)
1933 1932
Prior years
Total general fund. Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous)
48, 210. B3
296, 990. 67
48, 210. 63
15, 330, 255. 53
&
&
15, 472, 147. 24
292, 957. 19
31, 182, 007. 12
31, 181, 385, 77
78, 014, 914. 01 31, 182, 007. 12
31, 181, 385. 77
'I, 087. 69 80, 694. 37
4, 270, 100. 00
3, 705, 317. 03
7. 38
3, 709, 375. 29 rI, 817. 39 7. 38
4. 18 7. 38
886. 20
4, 270, 107. 38
3, 703, 571. 28
3, 705, 320. 23
886. 20
61. 00 513, 270. 12 284, 779. 11 101. 50
61. 00 503, 322. 98 332. 987. 74 101. 50
4, 812. 88
907, 120. 00
?98, 211.73
836, 473. 22
4, 812. 88
3, 673, 500. 78
3, 645, 329. 98
94. 60
145. 28
3, 645, 329. 9S 9, 403. Be 145. 2S
3, 673, 595. 38
$1, 648. 31
I, 049, 414 49
15, 110.48
14, 250, 107. 69
1, 648. 31
374, 222. 49
91, 164. 53
95, 337. 69 60, 578. 03
4, 058. 26
374, 222. 49
91, 164. 53
155, 915. 72
4, 058. 26
4, 052. 57
276. 89 389, 797. 31 6, 959. 29
9, 947. 14 2. 00
4, 052. 57
397, 033. 49
9, 949. 14
50, 890, 832. 72
318, 904. 2?
2, 431 r 8/&4. 96
302, 360. 55
302, 360. 55
29, 389, 614. 63
29, 383, 683. 07
2, 843. 26 29, 383, 883. 07 29, 952. 40 2. 00
29, 41B, 480. 73
5, 310. 21
62, 165, 588. 11 I, 792, BBE /9 247r 635r 603 52 26, 951, 830. 35 5, 726, 809. 67
62r 163r 832 54 5, 310. 21
2, 351, 857. 19
247, 605, B51. 12 27, 032, 522. 72 5, 726, 809. 67
483, 307. 66
64, 365, 555. 62 29, 389, 614. B3 28, 600, G00. 00 13r 736 225'00 1, 0 10, 376. 01
506, 253. 57 3, IBS. 66
78, 323, 141.90 10, 139, 071. 79
4?2. 00
196, 426. 16
173, 629. 89
133, 912, 738. 74
31, 566, 597. 02
383, 923, 294. 13
341, 266, 043, 36
343, 103, 799. 09
340 687 439 16 404, 974. 30
292, 957. 19
&
22, 945. 91 &
10, 986, 915. 14
7, 952, 189. 90 232, 550. 08 76, 473. 76
10, 986, 915. 14 29, 943. 33
10, 612, 870. 93 26, 533. 57
11, 016, 862. 67
cro
15, 500, 263. 16
f, ?92, 392. $9
332, 752, 484, 58 975, 383. 39
&gr
15, 330, 200. 65
4. 20
3, 636, 071.90
16, 920, 294, 46
31, 263, 167. 83
t3
170, 062 51
3, 645, 475. 26
342, 534, 126. 26 404, 974. 30 9, /ros. 86 174, 101.89
108, 364, 136. 12 9, 628, 308. 16
204. 17
48, 319, 748. 45
284, 671, 701. 08
41, 298, 809. 70 20, 232, 419. 53
$14, 249, 909. 34 198. 35
722, 39
48, 321, 179. 59
292, 957. 19
Total, Navy Department; No year (continuous) General account of advances (no year)
291, 738. 40 4, 9]4. 38
141, 891. 71
Total
$15, 110 48
$1, 048, G92. 10
$48, 293, 494, GO 26, 253. 85
25, 063, 000. 00
907, 120. 00
1933 1932
$48, 294, 925. 74 26, 253. 85
$204, 17
Salaries, Navy Department: 1933 1932
$25, 063, 000. 00
302, 360. 56
16, 942, 086. 53
4. 20 10, 639, 404. 60
509, 422. 13
104, 404, 300. 22
29, 718, 841. 28
Posr
OFFICE DsrxarxrENT
(Payable from the Treasury) (Details an p. 236) DeGciencies in the postal revenues: 1933 Prior years
Total general fund Miscellaneous expenses, Postal Service: No year (continuous) 1932 Prior years
Total general fund Special funds (continuous) Trust funds (continuous)
.
51, 942. 51 86. 12 206. 31
671. 13
52, 234. 94
671. 13
65, 066. 94
Total, Post Oiffce Department, exclusive of Postal Service payable from postal revenues: No year (continuous)
51I 942. 51
Prior years
Total general fund Special funds (continuous) Trust funds (continuous)
115, 000, 000. 00 2, 380, 192. 33
115, 000, 000. 00 2, 380, 192. 33
117 i 380i 192 33
1 17i 380 192 33
117i 380 192 33
59, 633. 14
58, 241. 63
58, 241, 63
809. 88
36L 91
53, 334. 02 395. 34 206. 31
671. 13
86. 12 206. 31
67L 13
52, 234. 94
671. 13
53, 729. 3G 476. 28 12, 803. 00
57, 932. 41
5S, 603. 54
29. 00
29. 00
109. 42
57, 961. 41
58, 682. 54
59, 633. 14 115, 000, 000. 00
58, 241. 63 115, 000, 000. 00 809. Es 2, 380, 192. 33
58, 241. 63 115, 000, 000. 00 361. 91 2, 380, 192. 33
206. 31
117, 438, 124. 74
117, 438, 795. 87
206. 31
29. 00
29. 00
59, 633. 14 476. 28
12, 832. 00
Total
1933 1932
2, 380, 192. 33
115, 000, OOO. 00
GO,
2, 380, 192. 33
117, 439, 825. 47 476. 28
12, 832. 00
67, 008. 64
206. 31
53, 334. 02
395. 34
53, 729. 36 476. 28 12, 803. 00
206. 31
671 13
11?i 440 301 76
117i 438i 153 74
117, 438, 824. 87
060. 08
332, 886. 15 261, 790. 04
33, 976. 13 12, 218. 51
6, 000. 00 2, 265, 540. 00 6, 846. 99 8, 296. 16
li 898, 621. 14 112, 449. 15 41, 921. 43
6, 080. 08 1, 844, 709. 65 136, 740. 28 63, 828. 23
219, 723. 87
947. 09
Total general fund
594, 676. 19
46, 194. 64
2, 262, 489. 87
2, 047, 931. 69
2, 030, 218. 13
219, 723. 87
204, 088. 83
23, 903. 74
361, 517. 93
63, 908. 20
Foreign intercourse: No year (continuous)
2, 273, 057. 46
15, 744. 94
3, 973, 349. 39 I, 337, 456. 02
262, 07G. 20
705, 124. 71 11, 276, 973. 20 80, 103. 89 68, 61$. 66
2, 611, 329. 43 8, 315, 899. 91 2, 465, 878. 13 88, 681. 68
2, 554, 9 71. 41 8, 092, 454. 71 2, 700, 200. 24 30, 736. 88 879, 616. 8$
2, 750. 00 99 502 02 277. 1G
1, 223, 765. 26
386. 56 492, 558. 09 5, 147. 58 1, 632. 12
363, 716. 18 2, 369, 013. 18 1, 582, 150. 41 97, 325. fio
72, 102. 96 223, 445. 20 27, 754. 09 2, 520. OG 281, 920. 57
12, 008, 787. 24 5, 533. 22
13, 354, 426. 05 5, 527. 69
499, 724. 35
102, 529. 18
4, 412, 205. 27 5. 53
607, 748. BS
271, 145, 24
338, 692. 24
13, 098, 947. 40 7, 078. 36 261, 566. 11 338, 089. G2
1, 223, 765. 26
458, 991. 13
352, 270. 23 1, 550. 67 712, 153. 59 8, 529. 67
8, 042, 854. 00
1, 074, 504. 1G
12, 285, 465. 70
13, 698, 64E 98
13, 705, 681. 49
li 223 765 26
65, 066. 94
0F STATE
DEPAETArENT
(Details on pp. 238 to 251) Salaries and expenses: No year (continuous) 1933 1932 Prior years
.
1933 1932
Prior years Special-deposit accounts
.
Total general fund Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous).
Total &
Debit balance.
See note 52, p. 235.
71, 944. 36
6&
2, 504. 73
7, 583, 862. 87
44. 19 203, 097. 55
499i 724 35
23, 903. 74
102, 629. 18
15. 84 139, 917. 57 214, 090. 71 7, 493. 81
53, 911.49
9, G85. 00 811.71
391, 411 13
450, 587, 18 9, 132, 2I}
4i 803, 654. 93
1, 067, 468. 65
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Amount carried to surplus fund (see p. 7)
Fxpenditures in 1983 (see p, 6)
Funds available in 1933
are printed in gaffe]
Unexpended balances June 30, 1932
On books of
Treasury
DEPARTMENT ov STATE
To credit of
Unexpended
balances June 30. 1938
On books of the Treasury
To credit of Appropriations
Warrants-issued basis
Act June 20,
Checks-issued basis
1874
Impounded salary savings
disbursing officers
Reserve for impounded salary savings (see p. 7)
disbursing othcers
Avaiiable
—Continued
—
Foreign intercourse Continued Total, Department of State: No year (continuous) 1988 1932
Prior years. Special-deposit accounts
Total general fund. Special funds (continuous) Special funds (special deposit accounts) Trust funds (continuous)
$2, 273, 057. 46
$15, 744. 94
13, 542, 513. 20 73, 757. 60 46, 118. 40
$2, 606, 269. 40 10, 214, 521. 05 2, 578, 327. 28 3, 240. 01
$2, 549, 911.38 9, 937, 164. 36 2, S86, 940. 52 84, 565. 11 879& 415. 84
$700, 124. 71
4, 306, 235. 54 I, 599, 246. 06
296, 052. 33 84, 162. 87 2, 504. 73
8, 178, 539. 06
14, 271, 277. 11 5, 533. 22
15, 402, 357. 74 5, 527. 69
458, 991. 13
398, 464. 87 I, 550. 67 712, 153. 59 8, 529. 67
271, 14A 24
338, 692. 24
15, 129, 165. 53 7, 073. 36 261, 566. 11 338, 089. 62
8, 637, 530. 19
I, 120, 698. 80
14 547 95A 57
15, 746, 577. 67
15, 735, 899. 62
160, 180. 00
144, 000. 00
140, 628. 98
7, 755. 00 9, 086. 26
593. 53
16, 791. 26
593. 58
15, 586. 48 11, 489. 04
26, 245. 48
27, 075. 52
26, 245. 48
112, 009. 39 41, 983. 38
106, 976. 31 2, 936. 05
$2, 750. 00 123, 405. 76 277. 16
$1, 443, 489. 13
$430. 75 695, 655. 64 5, 147. 5S 2, 579. 21
$363, 732. 02 2, 508, 930. 75 I, 796& 241. 12 104, 819. 31
$72, 102. 96 277, 356. 69 37, 439. 09 2, 837. 77 281, 920. 57
I, 443, 489. 13
703, S13. 18
126, 432. 92
4, 773, 723. 20
671, 657. OS
I, 443, 489. 13
l
5. 53 391, 444. 13
450, 587. 48 9, 132. 29
5, 165, 172. 86
I, 131, 376. 85
14, 561. 30
I, 618. 70 8, 848. 53
3, 371. 02
14, 561. 30
9, 967. 23
3, 371. 02
703& 813. 18
126, 432. 92
TREASURY DEPARTRENT
(Details on pp. 251 to 294) OIIIce of the Secretary: 1933 1932 Prior years
Total general fund
9, 086. 26
Once of Chief Clerk and Superintendent: 1933 1932
Prior years
Total general fund
.
Division of Supply: 1933 1932
Prior years
Total general fund General Supply Committee: No year (continuous) 1983 1932 Prior years
Total general fund
.
598. 68
153, 992. 7'7
109, 911.36
311, 797. 34
6, 361. 06
160, 180. 00
143, 406. 47
745, 000. 00
679, 679. 35 I, 586. 20 54. 18
655, 909. 50 27, 756. S9
54. 13
11, 434. 91
745, 000. 00
681, 319. 68
683, 720. 52
11, 434. 91
I, 219, 220. 00
I, 092, 063. 97
14, 37
83, 952. 22 I, 551. 73
897, SS7. 6O 190, 865. 18 4, 486. 78
40, 446. 02
I, 219, 234. 37
I, 177, 567. 92
I, 093, 089. 66
40, 446. 02
7O, 256. 62 154, 925. 93 I, 597. 28 87
7, 988. 84 153, 242. 63 I, 829. 93 37
I, 200. 77
226, 780. 20
163, 061. 77
I, 200. 77
170, 000. 00
I, 928. 23
290. 78
.
I, 201. 14 314, 926. 71
6, 651. 84
170, 000. 00
9, 036. 26
.
44, 375. 57
9, 500. 80
11, 444. 28 14, 000. 28
23, 769. 85 74. 79
44, 375. 57
9, 5OO. SO
25, 444. 56
23, 844. 64
17, 535. 69
I, 56S. 50
IOS,
051. 84 28, 057. 17
194, 376. 28 63. 36
I7, 635. 69
I, 568. 50
136, 109. 01
194, 439. 63
12, 876. 67
241, 640. 72 2, 197. 40 330. 95
68, 628. 84 I, 683. 30 58. 18
I2, 876, 67
244, 069. 07
70, 370. 27
Office of Commissioner
of Accounts and Deposits:
1933 1932
109, 160. Oo
Prfor years
Total general fund
4, 135.00 1, 542. 21
470. 82
5, 677. 21
470. 82
Division of Bookkeeping snd Warrants: No year (continuous) 1933 1932
Prior years
Total general fund Special funds (continuous) Total Public-Debt Service: No year (continuous) 1933 1932
64, 826. 72 37, 746. 3D
15, 138. 31
Iq2, 573. 02 22, 058. 78
15, 138. 31
124, 631. 80
15, 138.31
2, 803. 41
71, 968. 38 44, 147. 45
Prior years
47, 588. 34 130, 485. 89
Total general fund Trust funds (continuous)
180, 877. 64 339, 167. 42
116, 115.83
520, 045. 06
116, 115.83
1, 005. 00 918. 17
190. 00
1, 923. 17
190. 00
169. 31 847. 38
68. 04
Total
99, 100. 00 184. 7?
1, 142. 12
9, 580. 71
97, 957. 88 262. 82
4S. 23
1, 542. 21
9. MO. 71
109, 160. 00
98, 935 23
98, ZS. 70
752, 356. 97
317, ?40. 00
752, 356. 97 294. 623. 03
8. 72
537. 08 8. 72
752, 358. 97 279, 926. 04 14, 901. 25 8. 72
1, 070, 105. 69 18, 699. 34
1, 046, 751. 66 31, 772. 05
1, 047, 192. 98 30, 959. 94
37, 746. 30
1, 088, 805. 03
1, 078, 523. 71
1, 078, 152. 92
37, 746. 30
14, 970. 73
499, 484. 81
435, 804. 01 2, 701, 350. 99
36. 02
3, 024. 32 36. 02
453, 236. 76 2, 682, 282. 49 47, 171. 77
36, 261. 23
3, 065, 000. 00
36. 02
130. 485. 89
8, 564, 520. 83
3, 140, 215. 34 29, 234. 78
3, 182, 727. 04 29, 234. 78
3, 169, 450. 12
3, 211, 961. 82
40, 200. 00
40, 033. 02 2. 41
3, 584, 520. 83
1, 542. 21
Prior years
Total general fund. OfBce of Disbursing 1933 1932 Prior years
f87. 69
1, 315. 03
6, 831. 21 65, 063. 78
14, ff96. 99
14, 970. 73
1, 315.03
71, 894. 99 8, 986. 07
14, 696. 99
1, 315.03
80, 881. 06
15, 509. 10
11, 298. 55 217, 789. 26
14, 334. 16 50, 351. 66
4, 590. 27 95, 508. 09 44, 564. 02
54, 635. 63
186, 747. 12
229, 087. 81
64, 685. 82
144, 682. 38 309, 932. 64
73, 604. 13
186, 747. 12
229, 087. 81
64, 685. 82
454, 595. 02
73, 604. 13
4, 042. 29
3, 069. 28
568. 48 1, 192, 59
1GG. 98
4, 042. 29
3, 069. 23
1, 7G1. 07
166. 98
5, 134. 41
330. 00
775. 59 237. 35
76. 89
5, 134. 41
330. 00
1, 012. 94
76. 89
1, 255, 799. 77
228, 771. 28
901, 854. 65 1, 113, 821. 39
1, 507, 244. 37 414, 223. 88 57, 949. 30
1, 255, 799. 77
228, 771. 28
2, 015), 278. 04
1, 979, 417, 5)5)
37, 746. 30
1933 1932
47, 880. 00
40, 012, 41
40, 035. 43
54, 940. 00
48, 700. 00 68. 04
48, 623. 31
918. 17
Total genoral fund.
847. 38
13, 229, 991. 53 22, 000, 000. 00
12, 618, 747. 69 19, 201, 550. 42 270, 372. 73 349. 65
389, 034. 22
1, 693, 931. 75 20, 522. 36
1, 678, 560, 39
35, 231, 936. 76 2, 195. 26
32, 391, 178. 45 59. 87
32, 090, 321. 29 59. 67
I, 036, 842. 97
1, 714, 454. 11
1, 678, 560. 39
35, 234, 132. 02
32, 391, 238. 12
32, 090, 380. 96
1, 036, 842. 97
190, 000. 00
173, 600. 00
1?O, 481. 29
4, 003. 00 2, 527. 50
1, 200. 42 710. 21
6, 530. 50
1, 910. 63
3G6,
063. 93
Bureau of the Budget:
Prior years
48, 623. 31
1, 945. 23
Total general fund Special funds (continuous)
1933 1932
48, 631.96
27, 461. 71
1, 075, 879. 49 618, 052. 26
Total
54, 940. 00
12, 840, 957. 31 19, 615, 774. 30 37, 74k 46 27, 81J. 28
1, 285, 034. 75
Prior years.
19, OSS. 50
847. 38
1, 016. 69
Bureau of Customs: No year (continuous)
812. 11
918. 17
Clerk:
Total genera. . und
1, 18L SG
14, 970. 73
Division of Appointments: 1933 1932
4, 799. 06
847, 808. 75
22, 657. 95
1, 255, 799. 77
228, 771. 28
2, 037, 933. 99
1, D?9, 417. 55
i 1, 986. 08
3, 233. 19
1 200 75
3, 118. 71
4, 003. 00
167. 36
5, 203. 75
3, 238. 0?
1, 033. 06 3, 237. 71
710. Sf 190, 000. 00
172, 889. 79
171, 514. 35
3, 237. 71
11, 966. 06
3, 233. 19
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances,
to appropriations Expenditures
Funds available in 1933
(see
etc.
—Continued
in excess of expenditures
are printed in ttatfc]
Amount carried to surplus fund (see p. 7)
in 1933
p. 6)
Unexpended balances June 30, 1932
On books of
Treasury
Tnxxsuay D 8 pksTMENx
To credit of
Unexpended
balances Juno 30, 1933
On books of the Treasury
Appropriations
Warrant-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing officers
To credit of Reserve for impounded salary savings (see
p.
disbursing officers
Available
7)
—Continued
Federal Farm Loan Bureau: 1933 1932
Prior years
Total general fund Special funds: Prior years
Total Oflice of Treasurer of llnited States: 1933 1932 Prior years
Total general fund Ofdce of ComptroHer of the Currency: No year (continuous) 1933 1932 Prior years
Total general fund Special funds (continuous)
$20, 636. 96
7, 841. 93 &40. 80
$700, OS1. 68 35, 000. 57 173. 77
$29, 665. 75
$27, 158. 64 1, 114. 07
8750, 334. 39 68, 470. 07 le, 533. 40
$700, 031. 68
$40, 312. 00 12, 593. 10 52, 905. 10
28, 272. 71
704, 330. 92
706, 933. 31
735 206. 02
29, 665. 75
20, 636. 96
3, 480. 19
1, 408. 41
L 400. 55
7. 86
$4, 626. 69
56, 385. 29
29, 681. 12
704, 076. 87
705, 532. 76
735, 213. 88
4, 626. 69
29, 665. 75
20, 636. 96
1, 751, 745. 20
1, 556, 130. 87 t„700.88
1, 512, 186. 40 20, 131.90
110, 737. 21
36, 651.09
$48, 226. 03 10, 842. 31
$43, 944. 47
1, 751, 745. 20
1, 553, 429. 99
1, 632, 318. 30
110, 737. 21
36, 651. 09
59&068 34
43, 944. 47
501. 91 315, 340. 00
501. 91 283, 000. 00
501 91 279, 656. 28 S. 00
24, 325. 35
761. 44
7, 253. 21 3, 048. 18
3, 343. 72
0Q
10, 504. 82 51 530. 78
22, 832. 78
62, 035. 60
22, 832. 78
865. Js
2, 363. 39 51, 530. 78
53, 894. 17
2, 683. 00 8, 048. 57
373. 18
10, 731. 67 112, 346. 15
373. 18 59, 031. 91
315, 841. 91 2, 321& 857. 20
283, 136. 73 2, 481, 894. 66
280, 166. 19 2, 476, 290. 86
8, 048. 5(
24, 325. 35
761. 44
10, 301. 39 2, 308. 80
3, 343. 72 14, 635. 60
123, 077. 72
59, 405. 09
2, 637, 699. 11
2, 715, 031. 28
2, 756, 457. 05
8, 048. 67
24, 325. 35
761. 44
12, 610. 19
17, 979. 32
803, 859. 08
3, 907, 095. 48 61, 650, 000. 00
4, 166, 695. 75 49, 843, 450. 73 24, 859, 677. 51 6, 652, 802. 36
2, 456, 794. 47
456, 036. 58
1, 548, 783. 11 318, 480. 11
542. 60
3, 907, 095. 48 57, 188, 385. 84 20, 005, 328. 96 105, 130. 93
544, 258. 81 7, 344, 935. 11 98, 649. 87 223. 48
85, 522, 526. 35 7, 614. 31
675, 055. 37
2, 456, 794. 47
456, 036. 58
1, 867, 263. 22 796, 631. 69
7, 988, 067. 27
2, 456, 794. 47
456, 036. 58
2, 663, 894. 91
7, 988, 067, 27
353, 204. 02
139, 186. 09
122, 735. 18 295, 355. 99
59, 879. 12 2, 381. 52
353, 204. 02
139, 185. 09
418, 091. 17
62, 260. 64
8, 048. 57 fn
oo
Total Bureau of Internal Revenue: No year (continuous) 1933 1932
Prior years
Total general fund Special funds (continuous) Total
20, 323, 809. 07 779, 643. 70
4, 952, 898. 42 6, 547, S94. 91
21, 103, 452. 77 449, 992. 85
12, 304, 652. 41
66, 557, 638. 08 354, 253. 15
21, 553, 445. 62
12, 304, 652. 41
65, 911, 891. 23
81, 213, 565. 52
85, 530, 140. 66
676, 065. 37
4, 313. 56
3, 374. 76
3, 374. 76
938. 80
r 1, 746. 03 4, 600, 000. 00
71, 746. 03 3, 884, 875. 71 14, 941. 06 J, 825. N
71, 746. 03 3, 824, 996. 69 67, 665. 43 154. 22
101, 118.81
4, 571, 746. 03
3, 969, 737. 41
3, 964, 562. 27
101, 11S.81
Bureau of Prohibition: « Prior years (general fund)
Bureau of Industrial Alcohol: No year (continuous) 1933 1932
Prior years Total general fund
675, 055. 37
81, 206, 941. 21 7, 614. 31
310, 297. 05 99, 293. 42
55, 096. 89
409, 590. 47
67, 076. 60
1, 979. 61
Buregu of Narcotics: 1933 204, 548. 01 43, 337. 57
68, 488. 8? 265. SS
Total general fund
247, 885. 58
68, 754. 25
Coast Guard: No year (continuous)
I, 265, 525. 13
484, 481. 45
Prior years
1933 1932
113, 938. 00 18. 59
5, 492, 133. 05 94, 295. 32 24, 468. 59
5, 401, 841. 95 101, 855. 64 24, 468. 59
33, 549. 28
58, 460. 38
7, 560, 32
6, 543, 956. 59
5, 610, 896. 96
5, 528. 166. 18
33, 549. 28
1933 1932
728, 419. 00
19, 910. 20
173. 26
Prior years
12, 774. 20
311. 52
669, 109. 84 13, 719. 40 358. 69
646, 615. 56 13, 863. 18 58. 83
13, 026. 89
32, 684. 40
484. 78
728, 419. 00
682, 576. 55
660, 537. 57
13, 026. 89
11, 021, 413. 00 443, 202. 4S
421, 476. 28 88, 193. 00
9, 908, 157. 95 406, 448. 01
404. 62
42, 257. 68
9, 438, 136. 50 810, 533. 03 124, 912. 36
309, 134. 48
I, 738, 341. 17
509, 669. 28
11, 021, 817. 62
10, 356, 863. 64 3, 696. 74 265. 00
10 373 581 89
3, 756. 24 I, 748. 75
11, 027, 322. 61
10, 360, 825. 38
10, 377, 543. 63
], 387, 870. 00
I, 164. 001. 15
1, 108, 601. 80 95, 800. 02
Secret Service Division:
845. 06 27, 448. 52
1, 766, 634. 75
509, 669. 2S
284, 820. 44 216, 349. 50
142, 619. 96
501, 169.94
142, 619. 96
991, 587. 44 627, 561. 29
753, 089. 13 4, 478. 26
I, 619, 14S. 73
757, 567. 39
Mints and assay offices:
Total general fund
.
4, 097, 303. 96
1, 293, 997. 1S
642, 420. 73
62, 318. 06
233, 128. 16 20, 103. 78
90, 291. 10
642, 420. ?3
62, 318. 06
253, 231. 94
90, 29L 10
53, 095. 47
2, 807. 82
3, 405. 87 6, 190. 80
22, 494. 28
34, 920. 64
29. 48
53, 095. 47
2, 807. 82
9, 596. 67
22, 523. 76
638, 464. 18 607. 17
132, 616. 93
342, 173. 94 885, 583. 51 92, 214. 94
470, 021. 45 17, 391. 26 5, 538. 32
311, 634. 48
639, 071. 35
132, 616. 93
I 319
972 39 904. 5G 28, 932. 27
492, 951. 03
311,634. 48
G39, 071. 35
132, 616. 93
1, 349, 809. 22
492, 951. 03
105, 008. 85
65, 690. 01
53, 169. 99 331, 640. 38
55, 399. 35
105, 008. 85
65, 690. 01
384, 810. 37
55, 399. 35
770, 839. 48
317. 187. 07
1, 856, 59S. 15 872, 765. 60
928, 337. 80 888, 17
770, 839. 48
317, 187. 07
2, 729, 363. 75
929, 225. 97
2, 500. 00
2, 500. 00
Prior years
6, 887. 46
948, 773. 31
6, 430, 000. 00
1933 1932
737, 821, 98
737, 821. 98
7, 560. 32
Total
1, 293, 997. 18
948, 773. 31
46L 10 57, 999. 28
Total general fund Special funds (continuous) Trust funds (continuous)
4, 040, 866. 78 48, 787. 82 7, 649. 36
29, 230, 039. 99
933. 75
Bureau of Eugraving and Printing:
Prior years
6, 887. 46
948, 773. 31
29, 230, 039. 99
I, 292, 638. 69
76, 130. 51 1, 113,075. 78 69, 870. 25
740, 027. 64 90, 587. 24
27, 195, 527. 49
.
122, 121.80 2, 205, 268. 72 1, 644, 517. 99 68, 95(L 27
1, 551, 766. 42 24, 109, 355. 10 3, 034, 870. 41 534, 048. 06
28, 191, 669. 29
1933 1932
6, 887. 46
1, 143, 415. 48 25, 222, 430. 88
3, 328, 509. 6S
Public Health Service' No year (continuous)
189. 04 737, 632. 94
201. 19 28, 172. 220. 00
4, 794, 644. 91
Total general fund
117, 34L 88
43, 283. 98
27, 196, 461. 24
Total general fund.
337, 592. 68
I, 210, 857. 30
28, 185, 385. 37 6, 283. 92
Prior years
89, 681. 01
I, 259, 444. 93
3, 327, 575. 93 933. 75
1933 1932
92, 882. 98
I, 525, 000. 00
4, 745, 425. 40
Total
I lu, 414. 24 92?. 64
43, 2S3. 98
12, 964. 18
41, 570. 15 7, 649. 36
142, 828. 06 194, 764. 62
77, 344. 12 319.47
2, 364, 713. 02 478, 381. 46
Total general fund Special funds (continuous) Trust funds (continuous)
39, 681. 01
I, 133, 193.71
9, 783. 39 N. 59
2, 384, 545. 63 I, 095, 354. 64
Prior years
92, 882. 98
I, 249, 607. 95
I, 5M, 000. 00
1932
51. 91
819. 9$ 51. 91
I, 387, 921. 91
/j6,
3, 696. 74 265. 00
51. 91
216, 349. 50
I, 117, 233. 12
I, 204, 453. 73
216, 349. 50
17, 804, 893. 33
14, 860, 268. 63 118, 821. 84
I, 123. 50
L 655. 9$
13, 931, 930. 83 871, 022. 80 2, 822. 32
630, 340. 73
17, 806, 016. 83
14, 977, 434. 53
14 S05 775 95
630, 340. 73
OFFICE OF SUPERVISING ARCHITECT 4
Operating expenses, public buildings: 1933 1932
Prior years
Total general fund
» See also Bureau of Prohibition under the Department
of Justice, p. 201.
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
etc.
balances,
to appropriations
—Continued
in excess of expenditures
Amount carried to surplus fund (see p. 7)
ExpendItures m 1933
Funds available in 1933
(see
are printed in ftoac]
p. 6)
Unexpended balances June 30, 1932
On books of
Treasury
TREASURY DEPARTIIENZ
'To credit of
I, nexpended balances June 30, 1933
On bool-s of the Treasury
Appropc istions
Warrant-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers
Available
—Continued
oFFIGE oF sUPERVIEING ARGHITEGT
—continued
Repairs, equipment, etc. , public buildings: No year (continuous)
920, 681. 61 3, 255, 459. 46 831, 960. 70 10, 193. 07
$56, 039. 13
$1, 889, 264. 60 707, 632. 98 593, 602. 55
$280, 769. 02
190, 500. 13
490, 909. 90
250. 76
3& 958, 455. 24 85, 229, 130. 37 4, 014. 00
2, 581, 749. 69
250. 76
89, 191, 599. 61
2, 581, 749. 69
1, 137, 717. 59 34, 500. 42
299, 256. 53 80, 024. 48
1, 707. 30
$3, 185, 284. 68 3, 454, 189. 47 544, 115. 04 I 9, Bsh 41
1, 946, 767. 29
345, 446. 96
8, 697, 915. 62
7, 163, 757. 78
7, 018, 294. 84
No year (continuous) 1932 Prior years
27, 904, 230. 47 164, 780. 00 303 500. 00
2, 615, 062. 43
6, 804, 558. 35 156, 558, 173, 65
2, 846, 103. 11 99, 195, 199. 35 160, 766. 00 10, 046. 35
2, 846, 103. 11 99, 228, 512. 09 160, 766. 00 10, 046. 35
Total general fund
28, 372, 510. 47
2, 615, 062. 43
163, 072, 778. 35
102, 212, 114. 81
102, 245, 427. 55
677, 350. 00
590, 535. 59
590 535 59
2, 000. 00 81, 600. 00
245. 00 90, 791. 64
89, 864. 70
11, 505. 00
8, 903. 95
8, 903. 95
55, 000. 00 6, 467. 01
83, 600. 00
99, 940. 59
99, 013. 65
72, 972. 01
37, 284. 06
1, 463. 94
10, 000. 00 3, 115, 000. 00 419. 20
3, 084. 10 2, 661, 667. 66 419. 20
3, 084. 10 2, 660, 660. 94 419. 20
1, 801. 06
6& 915. 90 1, 100, 633. 96
1, 006. 72
3, 125, 419. 20
2, 665, 170. 96 3, 146. 50
2, 664, 164. 24 10, 788. 54
1, 801. 06
1;107, 549. 86
2, 668, 317. 46
2, 674, 952. 78
1, 801. 06
1933 1932
Prior years
Total general fund
$774, 549. 28
$16, 165. 95
Post offices, customhouses, courthouses, etc. : No year (Act July 21, 1932)
Inspection stations: No year (continuous)
general fund
C}usrsntine stations: No year (act July 21, 1932) No year (continuous) 1932 Prior years
Marine hospitals: No year (sct July 21, 1932). No year (continuous) Prior years
Total general fund Special funds (continuous)
Total Veterans' hospitals: No year (continuous)
247, 770. 17
56, 225. 70 55, 000. 00
general fund
537 00
15, 370. 96 126, 596. 66
Total general fund
$4, 300, 000. 00 4, 396, 208. 32
537. 00
649, 102. 68
649, 102. 68 107, 610, 16
10, 29i. 76
756& 712. 84
10, 291. 76
2, 581. 76
3&
125&
419 20
$&2,
$211, 165. 35
$23, 220. 52
56, 039. 13
211, 165. 35
23, 220. 52
37, 823. 64
3&
198, 730. 01 11, 410. 87
3, 500. 00
41, 323. 64
334, 584. 58
245, 00
1, 755. 00 35, 529. 06
&D
os co
104, 463. 66
2, 581. ZG
1, 463. 94
1, 212, 013. 52
1, 006. 72 2, 649. 72 3&
656. 44
Total, Oince of Supervising
Architect, including public buildings, hospitals, etc. : No year (sct July 21, 1932) No year (continuous) 3 1933 1932 Prior years
Total general fund Special funds (continuous)
Treasury, miscellaneous: No year (continuous)
general fund
127, 708, 954. 26 3, 146. 50
127, 423, 211. 82 10, 788. 54
193& 463, 080. 00
127, 712, 100. 76
710, 246. 61 65, 000. 00
96, 695, 345. 65
4, 007, 005. 94
982, 255. 59
713, 922. 29 65, 000. 00 117. 13 1, 385, 069. 54
1. 00
313. 75
713, 922. 29 65, 000. 00 117. 13
775, 560. 36 61. 11
779, 039. 42
608, 030. 12 5'88, ff?8. 62
197. 62
Ns, N5. 50
775, 621. 47
515, 044. 22
I, 198, 008. 64
197. 62
278, 136, 89& 63
27, 894, 351. 63
27, 894, 351. 63
468, 857, 203. 16 168, 577, 563. 24 81, 467. 93 279, 8N. $0
156, 403, 318 86 150, 741, 340. 59 22& I 17 369 72 234, 035. 10
156, 571, 001. 43 139, 618, 779. 84 31, 534, 585. 35 7, 377, 102. 82 1, 38$, 069. 54
637, 236, 610. 83 2, 706, 791. 06 1, 809. 86
329, 496, 064. 27 2, 4'?5, 849. 52 N4, 496. 42
333& 719
33, 072, 087. 92
3, 728& 905. 54
» 9, 803, 349. 45
26, 428, 494. 08
340, 407. 59
805, 058. 33
3, 718, 613. 78 10, 291. 76
9, 803, 349. 45
4, 004, 356. 22 2, 649. 72
127, 434, 000. 36
32, 964, 477. 76 107, 610. 16
8, 682, 584. 13
96, 590, 881. 99 104, 463. 66
982, 255. 59
N8, 703. 66
9, 803, 349. 45
340, 407. 59
805, 058. 33
34, 502. 74
78, 419. 16 8, 604, 164. 97
2, 864, 98L 37 1, 127, 067. 81 12, 299. 04
340, 407. 59
I, 052, 345. 66
Prior years Special deposit accounts
Special accounts: No year (continuous)
193, 463, 080. 00
3, 967, 126. 14 88, 589, 142. 57 2, 664, 231 13 1, 470, 382. 15
250. 76 982, 004. 83
2, 349, 085. 03 980, 932. 67
?8, 419. 16
Total
2, 849, 432. 21 105, 490, 254. 93 17& 187& 390 29 1, 863, 749. 50 32, 384. 89
2, 631, 765. 38
1933
Total general fund Trust funds (continuous)
2, 849, 432. 21 105, 723, 478. 92 18, 314& 458. 10 823, 702. 88 2& 117.86
6, 816, 55& 35 164, 732, 123. 65 22, 201, 101. 65
29, 634& 460. 06
53, 711.46 55, 000. 00 696, 346. 87
74, 742. 48
196. 62 11, 185, 418. 99
1933 1932
Prior years Special deposit accounts
Total general fund Special funds (continuous) Trust funds (continuous) Trust funds (special deposit accounts)=
57, 723, 999. 18
5, 283, 470. 10
28, 558, 501. 00 4, 656, 889, 44
9, 677, 120. 85 7, 183, 750. 16 If 9, 803, 349. 45
90, 939, 389. 62 758, 425. &0 8, 978, 430. 27
31, 947, 690. 56 71, 665. 83
399 90
2, 529, 417. 92 N4, 495. 42
11, 185, 418 99 324, 983. 32
8, 942, 963. 76
11, 510, 402. 31
74, 742. 48
276, 671, 039. 08
Total, Treasury Department: No year (continuous)
8, 868, 221. 28
481, 507. 91
11, 738. 35 7, 834, 849. 24
57, 363. 39 3, 982, 057. 63
607. 17
4, 520, 928. 93 4, 626. 69
7, 847, 194. 76
14, 334. 16 1, 599, 819. 73
369, 670, 303. 06 8, 401, 553. 68 6, 464, 628. 65 161, 173. 21
5, 115, 787. 53 11, 122, 560 75 259, 905. 22 40, 682. 44 11, 185, 418. 99
1, 614, 153. 89
384, 697, 658. 60 984, 740. 55 9, 214, 735, 55
27, 724, 354. '93 18, 097. 43
324, 983. 32
354, 983. 3$ 100, 676, 245. 59
» 32, 019, 356. 39
22, 294. 52
8, 140. 85
639, 945, 211.75
331, 737, 418. 37
335, 689, 339. 08
5, 119, 269. 98
4, 436, 354. 01 5, 11&82
3, 527. 63
19, 574. 07
4, 424, 260. 48 3, 024. 03 19, 574. 07
21, 989. 30
5, 122, 797. 61
4, 450, 811. 26
4, 446, 858. 58
21, 989. 30
4, 525, 555. 62
7, 847, 194. 76
1, 614, 153. 89
394, 897, 134. 70
28, 067, 435. 68
450, 291. 08
125, 705. 35
106, 919. 54 27, 411. 34 1, 288. 96
12, 093. 53
450, 291. 08
125, 705. 35
135, 619. 84
12, 093. 53
34. 07
197, 652. 32 31, 735. 37
37, 211.36
34. 07
229, 387. 69
37, 211. 36
WAR DEPARTMENT MILITARY ACTIVITIES
(Details on pp. 294 to 317) Salaries, Wsr Department: 1933 1932 Prior years
Total general fund Office of Secretary of War: 1933 1932 Prior years
Total general fund
39, 324. 70
61, 619. 22
8, 140. 85
654, 250. 00
456, 563. 61
222, 831. 38 28, 352. 96
37, 055. 00 4, 999. 09
21, 949. 01
191, 096. 01 27, 260. 82
419, 352. 25 228, 151.01 32, 259. 91
28, 041. 15
251, 184. 34
42, 054, 09
676, 199.01
674, 920. 44
679, 763. 17
23, 041. 15
» Exc]usive of 3169,789, 35 stated as special funds under the Farm Credit Administration.
Recapitulation [Debit transfer appropriations
of expenditures,
(net) snd repayments
balances,
to appropriations
etc.
—Continued
in excess of expenditures
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic)
Amount carried to surplus fund (see p. 7)
Unexpended balances June 30, 1932
On books of Treasury
Wan DzrsnrxrzNr
Unexpended
balances June 30, 1933
On books of the treasury
To credit of
Appropriations
Warrant. issued basis
Checks-issued basis
Act June 20, 1874
Impounded salarv savings
disbursing officers
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers Available
—Continued
—
MII ITAR Y scrrvI TIES continued
General Staff Corps: 1933 1932 Prior years
$105, 086. 89 9, 411.01 1, 449. 16
$5, 572. 59 5, 572. 59
5, 788. 59
1, 233. 16
$105, 086. 89 9, 411.01 1, 449. 16
23, 982. 65
125, 113. 16
115, 947. 06
115, 947. 06
110, 365. 00 472. 70
89, 217. 24 14, 431. 00 463. 37
89, 217. 24 14, 431. 00 463. 37
1, 412. 61
110, 837. 70
104, 111.61
104, 111.61
1, 412. 61
255, 500. 00
255, 500. 00
255, 500. 00
2, 700, 020. 34 202, 052. 57
3, 733, 495. 33 137, 963, 669. 00 1, 900, 000. 00 267, 395. 34
2, 985, 375. 89 124, 407, 150. 77 4, 409, 297. 24 265, 684. 19
2, 985, 375. 89 124, 407, 150. 77 4, 409, 297. 24 265, 684. 19
199, 100. 95
Total general fund
3, 139, 765. 72
143, 864, 559. 67
132, 067, 508. 09
132, 067, 508. 09
199, 132. 15
Accounting funds: No year (continuous)
' 9, 510, 960. 45
Total general fund
$123, 880. 00
$18, 194. 06
..
$5, 410. 90
$13, 382 21 8, 783, 05
5, 410. 90
22, 165. 26
Adjutant General's Department: 1933 1932
18, 573. 09
Prior years
1, 79Z. 67
Total general fund Judge Advocate General's Department: No year (continuous) general fund.
Finance Department: No year (continuous) 1933 1932
Prior years
237, 692. 81
1933 1932
Prior years Total general fund Special funds: No year (continuous) 1933
Total, epee!el funds Total
$1, 219. 39
15, 459. 48 4, 142. 09 389. 39
4, 468. 89
1, 219. 39
19, 990.96
4, 928, 994. 33
28, 952. 94
4, 928, 994. 33
28, 952, 94
31. 3)
ca
985, 781. 05 8, 598, 570. 96 190, 723. 10 4, 662. 77
9, 779, 737. 88
co
"$9, 235, 810.
10, 513, 289. 61
22
u 241, 462. 87
Special deposit accounts= Quartermaster Corps: No year (continuous)
4, 468. 89
19I 765, 073. 93 3, 075, 911.05
956. 05
31, 195, 060. 32
956. 05
478, 988. 58
956. 05
$20, 677, 904. 51 52, 412. 95
52. 50 324, 700. 54
tt, 507, 511.27 8, 552, 000. 75 3, 612, 277. 23 183, 844. 98
71'7. 29
811, 213. 45
52, 834. 61 890, 654, 59 45, 674. 20 16, 160. 69
871, 942. 96
1, 005, 324. 09
324, 753. 04
26, 855, 634. 23
717. 29
10, 000. 54
11, 245, 692. 00 45, 240, 206. 12 16, 107, 122. 50 2, 074, 692. 47
11, 245, 692. 00 45, 239, 488. 83 16, 108, 078. 55 2, 074, 692. 47
72, 530, 307. 09
74, 667, 713. 09
74, 667, 951. 85
I, 944, 1se. 98
1, 944, Iss. ss
766, 059. 40 1, 944, 126. 98
287, 07(L 82
I, 9JJ, I$6. 98
1, st/j, I ee, 98
2, 710, 186. 38
72, 817, 377. 91
72, 723, 586. 11
72, 723, 824. 87
60, 729. 61
287, 070. 82
478, 988. 68
31, 674, 048. 90
20 029 684 88
5, 434. 82
189, 049. 92
17, 512, 744. 55 55, 007, 562. 00
8, 354, 075. 34
sss, 804. es
871, 94Z. 96
1, 005, 324. 09
324, 753. 04
29, 665, 820. 61
'717;29
Signal Corps: 1933 1932 Prior years
Total general fund
1, 949, 640. 71 935. 679. 76 39, 908. 73
33, 478. 73
83, 478. 73
76, 791. 57
230. 00
1, 949, 640. 71 935, 6?9. 76 39, 908. 73
1, 129, 885. 79
2, 544, 505. 00
2, 925, 229. 20
2, 925, 229. 20
3, 184, 453. 15
6, 649. 38 25, 439, 131.00
1, 681, 898. 40 11,872, 232. 19
1, 681, 898. 40 11,872, 232. 19
57, 848. 8$
6, 924, 358. 55 1, 451, 369. 73
6, 924, 608. 49 1, 451, 369. 73
1, 030, 665. 96
25, 397, 937. 54
21, 929, 858. 87
21, 930, 108. 81
1, 030, 665. 96
1, 358, 000. 00
565, 226. 71 864, 640. 25 102, 756. 57
565, 168. 80 864, 731. 10 102, 756. 57
4, 554. 98
2, 544, 275. 00
1,053, 094. 22
69, 146. 88 1, 170. 35
1, 461. 43
524, 02L 98 116, 244. 11 3, 634. 11
70, 317. 23
1, 461. 43
643,, 904. 20
6, 355. 28 353, 898. 66 144. 89
55, 524. 06
360, 398. 83
555
Air Corps: No year (continuous) 1933 1932 Prior years
9, 315, 757. 42 2, 587, 941. 77
249. 94
Total general fund
15, 088, 152. 34
249. 94
1, 005, 022. 58 107, 493. 68
90. 85
1, 112, 516. 26
90. 85
1, 358, 191.25 18, 309. 00
1, 532, 623. 53
1, 532, 656. 4?
4, 554. 98
29, 671. 81
10, 747. 55
893, 109. 64 18, 309. 00
1, 112, 516. 26
90. 85
1, 376, 500. 25
1, 532, 623. 53
1, 532, 656, 47
4, 554. 98
29, 671. 81
10, 747. 55
911, 418. 64
471, 510. 00
349, 057. 39 122, 513.91 43, 266. 94
349, 057. 39 122, 513. 91 43, 966. 77
3, 240. 67
6, 839. 11
26, 243. 31 73. 03 2, 672. 63
92, 968. 63 35, 299. 37 6, 818. 32
471, 510. 00
514, 838. 24
515, 538. 07
6, 839. 11
28, 988. 97
3, 240. 67
135 086 32
5, 957. 20 10, 762, 396. 00 471. 87 86, 411. 17
19, 139.60 3, 724, 655. 94 3, 905, 317. 53 2, 327, 072. 04
19, 139. 60 3, 724, 655. 94 3, 905, 685. 50 2, 327, 072. 04
20. 85
270. 77 318, 840. 62 213, 005. 71 92, 686. 03
14, 512. 86 37, 505. 59 19, 895. 58 9, 329. 83
101, 276. 54 6, 6S1, 393. 85 1, 919, 251. 22 188, 870. 97
524. 06
17, 109, 642. 16
10, 747. 55
752, 358. 20 140 378 06
Medical Department: 1933 1932
Prior years
Total general fund Special funds (continuous) Total Corps of Engineers: 1933 1932 Prior years
Total general fund Fortifications, etc. , Panama Canal. » Ordnance Department: No year (continuous) 1933 1932
191.25
157, 886. 31 59, 597. 00
699. 83
217, 483. 31
699. 83
129, 263. 42
29, 667. 54
1, 502, 848. 85 13, 157, 476, 09 2, 391, 253. 98 58, 063. 24
4. 27
373. 38
6, 056, 998. 17 2, 654, 843. 69
367. 97
Prior years
Total general fund Special funds (continuous)
8, 841, 105. 28 286, 840. 95
367. 97
10, 855, 236. 24 7, 180. 64
9, 976, 185. 11 38, 729. 29
9, 976, 553. 08 38, 729. 29
123, 316. 84
624, 803. 13 2, 897. 27
81, 243. 86
8, 890, 792 58 252, 395. 03
9, 127, 946. 23
367. 97
10, 862, 416. 88
10, 014, 9 14. 40
10 015 282 37
123, 316. 84
627, 700. 40
81, 243. 86
9, 143, 187. 61
15, 243. 82 885, 549. 12 321, 921. 97 16, 125. 94
15, 243. 82 885, 549. 12 321, 921. 97 16, 125. 94
16, 904. 45 1, 319.04
6, 915. 19
496. 65 49, 811. 63 17, 318. 00 918. 19
215. 16 269, 734. 80 26, 887. 06 331. 26
1, 222, 000. 00
1, 238, 840. 85
1, 238, 840. 85
6, 915. 19
68, 544. 47
18, 223. 49
297, 168. 28
67, 610. 00
56, 911. 15 3, 082. 64
56, 911. 15 3, 082. 64
Total Chemical Warfare Service: No year (continuous) 1933
1, 222, 000. 00 367, 446. 07 24, 290. 58
1932
Prior years.
Total general fund
407, 692. 28
Chief of Infantry: 1933 1932. Prior years
Total general fund
15, 955. 63
3, 507. 84 259. 52
.
3, 767. 36
Chief of Cavalry: 1933 1932
Prior years
Total general fund
Debit balance. See note, p. 301. » Includes $774, 735.66 heretofore stated as a special deposit account.
1
i
67, 610. 00
59, 993. 79
59, 993. 79
21, 000. 00
18, 086. 32 83. 12
18, 086. 32 83. 12
120. 78 585. 66 706. 44
123, 295. 99
3, 802. 62
6, 896. 23 425. 20
3, 802. 62
7, 321. 43
259. 52 259. 52
1, 391.48
150. 00
1, 372. 20
37. 66 585. 66
21, 000. 00
18, 169. 44
18, 169. 44
1, 391. 48
585. 66
» Exclusive of $774, 735.66 included in "Army account of advances.
» Included under "Seacoast defenses.
"
1, 409. 86
"
See note 13.
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations
—COIItinued Amount carried to surplus fund (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in acac]
in excess of expenditures
Unexpended balances June 30, 1932
On books of
Treasury
WAR DEPARTMENT
To credit of
Unexpended
balances June 30, 1933
On books of the Treasury
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
Impounded salary savings
To credit of impounded
drsbursIng
salary savings (see p. 7)
officers
disbursing oilicers
Reserve for Available
—Continued
MILITARY ACTIvITIES
—continued
Chief of Field Artillery: 1933 1932
$25, 000. 00
$915. 20 373. 49
Prior years
Total general fund
1, 288. 69
f23, 987. 33 897. 92
$868. 67
$144. 00 17. 28
868. 67
161.28
599. 85
2, 012. 45 1, 025. 47
341. 94
599. 85
3, 037. 92
$10, 286. 35 1, 589. 52
142. 16 735, 114. 74 105, 533. 02 7, 680. QS
$23, 987. 33 897. 92
$373. 49 25, 000. 00
24, 885. 25
24, 885. 25
28, 000. 00
25, 387. 70 1, 499. 42
25, 3S7. 70 1, 499. 42
373. 49
Chief of Coast Artillery: 1933 1932
2, 524. 89
Prior years
341. 94
Total general fund
2, 866. 83
Seacoast defenses: I' No year (continuous)
142. 16
341. 94 28, 000. 00
26, 887. 12
26, 887. 12
2, 338, 136. 00
1, 546, 432. 64 654, 719. 62 220, 040. 81
19, 02?. 05
46, 302. 27 15, 709. 29 3, 905. 94
19, 027. 05
65, 917. 50
11, 8?5. 87
848, 470. 90
668. 98 96, 362. 86
3, 985. 00
2, 940. 61 44, 819. 15 28, 033. 98
3, 985. 00
75, 793. 74
777, 551. 45 246, 522. 35
4, 132. 43
1, 546, 432. 64 654, 719. 62 220, 040. 81
Total general fund
1, 024, 215. 96
2, 342, 268. 43
2, 421, 193.07
2, 421, 193.07
Military Academy: No year (continuous)
83, 084. 58
6, 711.56 2, 402, 115.00
86, 186. 55 2, 256, 947. 99 172, 708. 95
86, 186. 55 2, 256, 947. 99 172, 708. 95
1933 1932
Prior years
1933 1932
200, 742. 93 28, 256. 14
48. 36
94. 29
94. 29
28, 210. 21
312, 083. 65
2, 408, 874. 92
2, 515, 937. 78
2, 515, 937. 7S
28, 210. 21
97, 031, 84
68D, 6S4. 88
33, 463, 565. 00 2, 200, 000. 00 8, 428. 45
5, 000, 89 27, 223, 690. 33 5, 496, 984, 43 444, 261. 08
5, 000. 89 27, 223, 690. 33 5, 496, 984. 43 444, 261. 08
211, 090. 62
12. 68 332, 197. 26 18, 318. 98 22, 984. 97
4, 670, 212. 36
35, 671, 993. 45
33, 169, 936. 73
33, 169, 936. 73
211, OQO. 62
373, 513. 89
403. 75
6, 587, 260. 82
6, 354, 348. 00
5, 267, 825. 97 472, 139. 70
3, 005. 01
6, 366. 81
239, 706. 74
214, 912. 89 12, 489. 69 26. 53
868, 604. 13 290, 008. 97 37. 50
5, 746, 332. 48
239, 706. 74
227, 429. 11
3, 005. 01
I, 158, 650. 60
Prior years
Total general fund---------------------Militia Bureau: No year (continuous) 1983 1932
Prior years
Total general fund Organized Reserves: 1933 1932 Prior years
Total general fund.
8, 671. 49 3
QSD
855. 99
774, 638. 36 245, 727. 00
410. 58
5, 267, 825. 97 472, 139.70 6, 366. 81
1, 020, 365. 36
6, 354, 758. 58
5, 746, 332. 48
403. 75
3, 657. 92 5, 907, 273. 66 665, 552. 58 10, 776. 66
Ci tf sans' Mui tery Traininfu 1988
Total general fund
N
National Board for Promotion of Rifle Practice: No year (continuous) 1938 1932 Prior years
I, 505, 229. 99
114, 140. 16
47, 855. 36
2, 945. 62
I
917. 46
I, 348, 766. 03
7, 092, 925. 46
6, 459, 546. 07
6, 459, 546. 07
8. 00 120, 411. 67 137, 231. 51 53. 35
120, 411. 67 137, 231, 51 Ga. aa
2, 217. 63
139, 150. 00
257, 693. 53
257, 693. 53
21, 265, 558. 02
16, 038, 534. 15 10, 513, 2S9. 61 236, 165, 111.04 41, 630, 880. 42 7, 320, 137. 00
16, 038, 534. 15 88e, eoa. Ge 236, 115, 030. 95 41, 677, 741. 08 7, 325, 835. 92 189, 049. 92
8, 536. 18 139, 150. 00 157, 342. 66 2, 270. 98
Total general fund
2, 8?a 59 72. 12
114, 140. 16
39, 416. 27 8, 2ISL 85 181.24
166, 93IL 49
1, 181, 827 54
Prior years.
5, 544, 489. 24 890, 860. 20 24, 196. 63
5, 544, 489. 24 890, 860. 20 24, 196. 63
7, 092, 008. 00
1932
168, 149. 82
282. 636. 37 29, 337. 92 817& 204- 2S
8, 539. 18
8. 60 2, 511.84 208. 31
'm,
2, 217. 63
2, 72IL 15
44&
781. 56
60, 638. 97
m. 82
19, 902. 84
664. 84
Total, military activities: No year (continuous) Accounting funds 1933 1932
Prior years Special deposit accounts
Total general fund
12& 021& 874 &
76 9, 510, 960. 45
47, 783, 219. 73 10, 236, 141. 28
60, 530, 275. 32
Special funds: No year (continuous) 1933
765, 829, 53
Total special funds
765, 829. 53
61, 296, 104. 85 NONMILITARY
$9, 235, 810. 22 46, 860. 66 5, 698. 92 241, 462. 87
9, 529, 832. 67
292, 707, 239. 98 4, 100, 471. 87 613, 005. 24
318, 686, 275. 11
312, 560. 46
312, 560. 46
9, 529, S32. 67
311, 667, 952. 22
300, 417, 387. 34
38, 729, 29
3S, 729. 29
I, 964, 188, 98
1, 944, 186. 88
I, &06, 897. 69
I, 906& 887. 69
309, 762, 554. 53
298, 511, 989. 65
15, 691. 81
60&
5, 434. 82 7, 865, 827. 51 2, 884, 038. 03
382, 375. 57 139, 536. 22
14, 565. 36 ~
626, 669. 25 22, 876. 26 9, 329. 83
17, 112, 912, 74 20, 029, 684. 88 48, 049, 632. 18 9, 897, 559. 35 496, 110.44
$20, 677, 904. 51 50, OSO. 09
52, 412. 95 2, 944, 814. 59
8, 403, 813. 09
55, 526, 529. 83
6?3, 440. 70
2, 897. 27
1, 03G, 763. 43 I, 944, 126. 98
2, 897. 27
2, 980, 890. 41
20, 780, 397. 55
20, 780, 397. 55
ACTIVITIES
(Details on pp. 318 to 330) National cemeteries: No year (continuous)
116, 501. 07 67, 745. 65
884, 689. 00 15, 000. 00 299. 02
770, 950. 18 118, 502. 14 24, 418. 05
15, 691. 81 770, 950. 18 118, 502. 14 24, 418. 05
43, 500. 78
Total general fund
251, 935. 86
899, 988. 02
929, 562. 18
929, 5C2. 18
43 500 78
National military parks: No year (continuous)
42, 932. 63
200. 00
38, 574. 35
270, 541. 00
240, SOS. 72 17, 102. 75
270. IS
46, 574. 62 239, 829. 27 36, 234. 44 128, 081. 39
3, 26&8, 32
761. 01
402, 846. 00
450, 719. 72
3, 268. 32
10, 291. 23
4, 524. 42 5, 213. 68 33G. 76 580, 963, 23
4, 524. 42 5, 213. 68 33G. 76
580, 963. 23
25, 247. 82
591, 038. 09 24, 170. 81
615, 208. 90
67, 689. 14
1933
1932. Prior years
1933 1932
20, 810. 05 118, 411. 06
Prior years
182, 153. 74
Total general fund Miscellaneous ()uartermaster No year (continuous) 1933 1932
Prior years.
Total general fund Special funds (continuous)
Total ~
Debit balance.
8, 040. 30 19, 131.69 21, 811.21 48, 983. 20
I, 677. 37 272, 418. 37
IOG,
299. 07 19, 223. 35 231. 61
5, 485. 01
19, 754. 03
5, 485. 01
299. 93 9, 230. 29
4, 595. 01
51, 698. 26 89, 030. 46 12, 767. 32 125. 84 153, 621. 88
.
4, 258. 35
!5,8!6.08
5, 819. 00
I, 161. 75 1, 315 137. 10
I, 325, 958, 35 29, 065. Gl
5, 819. 00 2, 040. 00
591, 038. 09 24, 170. 8 I
I, 355, 023. 96
7, 859. 00
015, 20S. 90 is
See note 42, p. 313.
45
3, 707. 30 9, 788. 92 4, 595. 01
33, 571. 55
7, 453. 10
2, 314. 01
5, 135. 08 538. GS Sal. 0!I 699, 158. 94
25, 247. 82
7, 519. (4
2, 314. 01
705, 6&5&i. GO G, 934. SO
25, 247. 82
7, 519. 74
2, 314. 01
712, 592. 49
Corps: 9, 659. 50
40. 03
I 069
6G. 64
I, 109. 48
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances, etc.
to appropriations
—Continued
in excess of expenditures
Amount carried to surplus fuutl (see p. 7)
Expenditures in 1933 (see p. 6)
Funds available in 1933
are printed in italic]
Unexpended balances June 30, 1932
To credit of
On books of
balances June 30, 1933
On books of the Treasury
Appropriations
Checks-issued basis
Warrant-issued basis
~
Ar. t June 20,
1874
Impounded salary savings
disbursing o]I]cars
Treasury
Unexpended
To credit of Reserve for impounded salary savings (see p. 7)
Available
disbursing officers
WAR DETARTTRENT NON&IILITARY
AcT]v]TIER
—continued
Signal Corps (nonmilitary]: 1933-34 1932-33 Prior yaers
$161, 285. 00 $54, 92L 41 ' 2, 021. 09 ',
Total general fund
161, 285. 00
56, 942. 50 '
124. 50
~r, 779. 29 ]24. 50
$171. 45
194, 277. 68
194, 277. 68
171. 45
3, 985. 84
$1, 624. 48
Prior years
25, 319.08 15, 322. 64 149, 768. 55
57. 07 51, 237. 69
3, 214. 47 13, 213. 46 6, 060. 69
Total. general fund Special funds (continuous)
190, 410. 27 48, 831. 10
52, 919. 24 6, 686. 32
10, 367. 34 22, 062. 70
239, 241. 37
59, 605. 56
23, 304. 85 25, 638. 33
65, 037. 97
424, 076. 95
48, 943. 18
65, 037. 97
28, 526, 088. 43
11, 890, 163. 18
Ig32
Total Improving harbors: No year (continuous). genera] fund Special furds (continuous)
Total Improving rivers: No year (continuous) 1933
.
$18, 085. 02 142. 12 1, 725. 14
3, 826. 09
19, 952. 28
961. 92
22, 104. 61 1, 989. 18 154, 867. 22
26, 586. 40
Total general fund Special funds (continuous)-------------------Total
35, 847. 07 11, 320. 99
120. 00
96L 92 201, 97
178, 961. 01 26, 566. 43
27, 439. 51 17, 428. 03
32, 430. 04
47, 168. 06
120. 00
I, 163. 89
205, 527. 44
44, 867. 54
5, 000. 00 24
4, 905. 85 244, 923. 28
48, 304. 85 228, 975. 04
94. 15 40, 854. 93
454, 076. 95
225, 740. 24
249, 829. 13
277, 279. 89
4O,
197, 226, 548. 22 789, 268. 00
118, 047, 110. 05 481, 463. 53
I ] 5, 996, 352. 43 445, 918. 04 43, 933. 35
I, 152, 55
334. 56 45, 032. 28
86, 471. 46
87, 624. 01
„220, 740
6, 827. 42
'
28, 632, 189. 80 952, 685. 19
11, 991, 303. 16 284, 896. 85
198, 015, 819 77 825, 684. 77
118, 528, 509. 95
] ] 6, 53], 570. 66
], 259, 08]. 67
], 329, 985. 13
29, 584, 874. 99
12, 276, 000. 01
198, 841, 504. 54
1]gi 787) 5g] 62
1]7) 86] 555 79
87, 624. 01
11, 890, 163. ]8
lg7, 256, 548. 22 789, 268. 00
118, 052, 110.05 481, 463. 53
I ]6) 001 258 28
I, 152. 55
3. 55
6, 827. 42 6, 86]. 06
445, 9]8.04 43, 933. 35 334. 56 45, 032. 28
1]B, 53B, 476. 51 ], 574, 908. 41 118, 111,384. 92
18, 869. 89, 87, 231. 48 '
'
37, 105. 93 7, 225. 61 56, 808. 44
6, ssl. 06
28, 655, 494. 65 978, 323. 52
1],991, 303. 16 349, 734. 82
198, 045, 819. 77 I, 249, 761. 72
118, 533, 509. 95 ], 479, 821. 91
29, 633, 818. 17
12, 34], 037. 98
199, 295, 581. 49
120, 0] 3, 331.86
2, 250, 968. 00
$366, 791. 06
19, 146. 94
3. 55
28, 549, 393. 28
Total general fund Special funds (continuous)
120. 00
37, 105. 93 7, 225. 61 56, 808. 44
Tot l, rivers and harbors:
$S53. 11
13, 270. 53 18, 590. 70
30, 000. 00
18, 869. 89 87, 231. 48
Prior years Special deposit accounts.
No year (continuous) ]933 ]932 Prior years Special deposit accounts
$3, 826. 09
M
Corps of Engineers (nonmilitary): No year (continuous)
1932
$]39, 373. 89
$139, 373. 89 54, 779. 29
105, 086, 614. 99 288, 657. 53 ]2, 042. 47 7, 654. 62
949. OS
]3, 940, 920. 80 35, 545. 49
11, 776. 16 2, 270, 114.94
366, 79L 06
105, 394, 969. 61 507, 733. 79
13, 988, 242. 45 213, 793. 39
2, 281, 669. 44
366, 791. 06
105, 902, 703. 40
14, 202, 035. 84
2, 250, 968. 00 19, 146. 94
366, 791. 06
105, 134, 919.84 288, 657. 53 12, 042. 47 7, 654. 62
13, 941, 014. 95 35, 545. 49
87, 624. 01
2, 270, ] 14. 94 11, 554, 50
366, 791. 06
105, 443, 274. 46 736, 708. 83
13, 988, 336. 60 254, 648. 32
87, 624. 01
2,
2S], 669, 44
366, 791. 06
106, 179, 983. 29
14, 242, 984. 92
11, 55. 50
86, 471. 46
t3
11, ?76. 16
co
Inland W'aterwsys Corporation) No year (continuous)
3, 000, 000. 00
3, 000, 000. 00
Wsr claims and relief acts: No year (continuous) Miscellaneous, nonmilitary: No year (continuous), general fund
Trust funds: No year (continuous)
65. 63
31, 158. 47
26, 546. 23
.
16, 199.38
5, 849, 927. 45
1933 1932
27, 343. 55 44, 690. 56
Prior years
Total trust funds. activities: No year (continuous) 1933 1932 Prior years Special deposit accounts
22, 345. 91
385. 12
65. G3
43, 868. 90
52, 296. 34
52, 296. 34
102, 995. 92
104, 385. 10
104, 385. 10
25, 157. 05
2, 085, 586. 43 46, 809. 35 7, 366. 91
1, 374, 124. 26 14, 555. 58 12, 921. 84 3& 438. 45
6, M4, 757. 33 32, 253 77 21, 788. 62 21, 114. 03
52, 831. 67
188. 08
1, 410, 756. 55 14, 555. 58 12, 921. 84 3, 438. 45
6, 599, 913. 75
52, 831. 67
108, 265, 619. 10 412, 128. 67 31, 473. 38 873, 320. 68
13, 941, 9 3. 72 36, 614. 94
379, 185. Og
109, 582, 541. 83 770, 210. OG 6 5gg g13 75
14, 01(i, 951. 22 272, 076. 35 52, 831. 67
116, 952, 665, 64
14, 341, S59. 24
125, 378, 531. 84 20, 029, 684. SS 48, 461, 760. 85 9, 929, 032. 73 1, 369, 431. 12
13, 941, 973. 72 20, 677, 904. 51 86 (ri5 03
80&
5, 921, 961. 56
16, 199.38
2, 119, 624. 61
1, 441, 672. 42
1, 405, 040. 13
31, 752, 698. 33
11, 899, 893. 59
227, 586. 81 1, 740, 314. 93
56, 294. 69 80, 274. 51 56, 808. 44
197, 403, 613. 04 2, 111, 602. 00 15, 000. 00 1, 979. 94
118, 270& 796. 54 1, 637, 900. 00 210, 761. 82 6(IS, S24. 32
116, 228, 716. 41 1, 601, 285. 06 267, 056. 51 752, 512. 43 45, 032. 28
Total, nonmilitary
Total general fund Special funds (continuous) Trust funds (continuous)
Total, War Department ma Canal); No year (continuous) Accounting funds
(excluding
2, 251, 567. 00 51, 493. 31
366, 791. 06 10, 080. 02
120. 00 158, 659. 83
231. 61 9, 176. 03
2, 314. 01
'
33, 720, 600. 07 1, 056, 220. 23 . 5, 921, 961. 56
12, 093, 271. 23 356, 421. 14 16, 199. 38
199 M2 194 98 1, 251, 801. 72 2, 119, 624. 61
120, 818, 282. 68 1& 526, 050. 42 1, 441, 672. 42
118, 894, 602. 69 1, 610, 400. 21 1, 405, 040. 13
160, 317. 50
2, 312, 467. 95 11, 756. 47
40, 698, 781. 86
12, 465& 891. 75
202& 903, 621. 31
123, 786, 010. 52
121, 910, 043. 03
160, 317. 50
2, 324, 224. 42
379, 185. 09
46, 774, 573. 09 9, 510, 960. 45
11, 899, 893. 59
218, 669, 171. 06
132, 267& 250. 56 988, 80$. 68 237, 716, 316. 01 41, 944, 797. 59 8, 078, 348. 35 234, 082. 20
2, 312, 205, 97
381, 356. 42
294, 818& 841. 98 4, 115, 471. 87 614, 985. 18
134, 309, 330. 69 10, 513, 259, 61 237, 803, 011. 04 41, 841, 642. 24 8, 018, 961. 32
62, 319. 23
» 9, 235, 810. 22
120. 00 3, 042, 692. 86
5, 434. 82 7, 917, 320. 82 332, 607. 18 148, 712. 25
636, 749. 27 22& 876. 26 11, 643. 84
26, 586. 40 ll, 776. 1(i
Pana-
4
1933 1932
Prior years Special deposit accounts
Total general fund Special funds (continuous) Trust funds
PANAMA
1, 537. 67
r
48, 010, 806. 54 11, 976, 45G. 21
103, 155. 35 85, 973. 43 u 298, 271. 31
94, 250, 875. 39 1, 822, 049. 76 5, 921, 961. 56
21, 623, 103. 90 356, 421. 14 16, 199.38
518, 218& 470. 09 1, 564& 362. 18 2, 119, 624. 61
432, 486, 234. 90 378, 348.87 1, 441, 672. 42
419, 311, 990. 03 89$, 887. 48 1, 405, 040. 13
3, 105, 132. 09
10, 716, 281. 04 14, 653. 74
1, 052, 625. 79
165. 109, 071. 6G 3, 751, 100. 47 6, 599, 913. 75
34, 797, 348. 77 272, 076. 35 52. 831. 67
101, 994, SS6. 71
21, 995, 724. 42
521& 902,
456. 88
433, 548, 565. 05
420, 422, 032. 68
3, 105, 132. 09
10, 730, 934. 78
1, 052) 625. 79
175, 460, 085. 88
35&,
5, 894, 228. 44
1, 346, 022. 93 639, 784. 32
11, 146, 661. 00
11, 530, 139. 21
11, 280, 649. 83 137, 108. 01
23. 33
741, 780. 78
251, 373 M
4, 517& 572. 60
1, 59,5, 512, 3i 502, G76. 31
5, 894, 228. 44
1, 985, 807, 25
11, 146, 661. 00
11, 530, 139. 21
11, 417, 757. 84
23. 33
741, 780. 78
251, 373. 52
4, 517, 572, 60 2, 800, 000 00
2,
757. 84
23. 33
741, 780. 78
251, 373. 52
7, 317, 572. 6)0
2, 098, 188. G2
431, 839, 790. 52
3, 105, 155, 42
11, 472, 715. 56
1, 303, 999. 31
182, 777, 658. 48
37, 220, -(i,) 41
26, 586. 40 64, 189. 11
122, 256). 79
CANAL
(Details on p. 331) Panama Canal, maintenance No year (continuous) Special deposit sccouuts
and operation:
Total general fund Special funds (continuous)
2, 800, 000. 00
Total
Total, War Department
5, 894, 228. 44
1, 985, 807. 25
13, 946, 661. 00
107, 889, 115. 15
23, 981, 531. 67
535 849, 117. 88
11& 530,
139. 21
11& 417,
OOH,
1SB.G2
(including Panama
Canal) ) Dchi(, halance. » In(Index 8774, 735.66 heretofore stated as
445, 078, 704. 26
)(
s special deposit account.
E xclus)ve of $774, 735, 66 )ncluded m "Army account
of advances. "
Recapitulation [Debit transfer appropriations
of expenditures,
(net) and repayments
balances,
to appropriations
etc.
—Continued
in excess of expenditures
Expenditures
Amount carried to surplus fund (see p. 7)
in 1933 (see p. 6)
Funds available in 1933
are printed in itatfc]
Unexpended balances ]uue 30, 1932
To credit of
On books of
balances June 30, 1933
On books of the Treasury
Warrant-issued basis
AppropnatIons
Checks-issued basis
Act June 20, 1874
Impounded salary savings
disbursing officers
Treasury
Unexpended
To credit of Reserve for impounded salary savings (see p. 7)
disbursing officers A. vailable
PUBLIC DEBT
Interest: No year (continuous) Sinking fund: No year (continuous)
Total general fund
$689, 243, 011.82
$689, 243, 011. 82
$689, 243, 011.82
$47. 71
425, 665, 636. 60
425, 660, 300. 00
425, 660. 300. 00
$5, 384. 31
47. 71
1, 114, 908, 648. 42
1, 114, 903, 311.82
1, 114, 903, 311.82
5, 384. 31
2, 650, 844, 516. 60 5, 555, 866, 908. 91 1, 812, 906. 77 8, ets, see. lf
1, 914, 101, 575. 70 1, 755, 178, 994. 32 117, 557, 336. 31 22, 239, 197. 77
1, 902, 357, 013. 01 1, 725, 763, 580. 66 144, 080, 415. 10 31, 750, 390. 52
ORDINARY II
General fund: No year (continuous) 1933 1932 Prior years Special deposit accounts
.
306, 364, 724. 52
$69, 803, 942 54
171, 744, 263. 18 88, 342, 184. 47
27, 974, 749, 29 10, 483, 736. 87
$81, 548, 505. 23 29, 415, 413. 66 1, 451, 670. 50 972, 544. 12 20, 394, 839. 01
10, 287, 863. 13
4, 852, 089, 241. 51
133, 782, 972. 52
104, 602. 05
14, 996. 08
8, 200, 278, 040. 17
3, 809, 077, 104. 10
3, 803, 237, 647. 88
45, 155, 263. 43
50, 119& 740. 17
147, 034. 39
18, 991. 09
7, 775, 151. 25
7, 812, 054. 07
7, 816, 049. 08
5, 523. 10
6. 42
598, 206. 56
127, 962, 507. 39
8, 208, 053, 191.42
3, 816, 889, 158. 17
3, 811, 053, 696. 96
45, 160, 786. 53
50, 119, 746. 59
10, 287, 863. 13
4, 852, 193, 843. 56
133, 797, 968. 60
24, 315, 173. 16
' I, 597, 120. 80
28, 829, 517. 74
107, 153. 41 3, 750. 00
28, 196, 335. 68
2, 401, 611.69
39, 300. 00 6, 768. $6 6, $3f. 5'6
607, 677. 27 1, 888. 30
3, 871. 13 9, 128. 66
1, 148. 09
1, 195. 53
20, 200, 222. 03 28, 642. 48 358. 72
34, 570. 02
14, 060. 20 5, 231. 34
24, 198, 954. 52 29, 790. 57 SSS. 81
Prior years Special deposit accounts
. 31
28, 131, 152. 64
. Sf
28, 857, 817. 74
24, 227, 907. 97
26, 391, 421. 12
35, 944, 111.77
35, 944, 500. 00
35, 944, 500. 00
60, 172, 407. 97
62& 335,
23, 564, 879. 71 34, 570, 02
609, 565. 57
110, 903. 41
25, 967, 639. 49
28, 209, 335. 47
against, 743. 17 28, 131, 152. 64
24, 335, 207. 87
64 801 929 51
354. 94
921. 12
34, 570. 02
126, 679, 963. 29 14, 555. 58 12, 921. 84 3, 438. 45 1, 411, 341. 37
4. 20
609, 565. 57
110, 903. 41
25, 967, 639. 49
28, 209, 690. 41
i
Trust funds: » 7, 110, 908. 43
50, 095, 353. 15
1932
2?, 343. 55
Prior years Special deposit accounts-
44, 69(L $6
126, 022, 774. 24 46, 809. 35 7, 366. 91 eo, fss. ve
123, 494, 844. 04 14, 555. 58 12, 921. 84 3, 438. 45
5, 283, 060. 71
Total
50, 167, 387. 26
Total
641, 100, 801, 69 ~
(s) t&u
6, 162, 198. 20
29, 727, 077. 91 24, 334, 464. 70
No year 1933
&If
M
1932
Total
1, 033, 916, 865. 59 3, 747, 564, 253. 59 54, 623, 260. 84 15, 984, 861. 49
127, 943, 5M, 30
566&
Special funds: » No year 1933
Public debt expenditures chargeable ordinary receipts (see p. 402)
$721, 374. 38 9, 385, 670. 72 156, 903. 03 23, 915. 00
566, 451, 172. 17
Add United States share of District of Columbia general funds
Total
$5, 900, 940. 85 42, 989, 741. 83 967, 952. 27 261, 105. 22
?16, 761. II
19, 681, 087. 60
Total
$2, 56S, 484. 60 748, 248. 45 251, 717. 50 41, 586, 812. 88
52, 623, 279. 15 32 253 77,
3, 925, 789. 18
--
21, 788. 62 21, 114.03
3, 871, 719.34
12, 393, 969. 14
126, 056, 812. 42
128, 525, 759. 91
128, 122, 220. 53
4. 20
168, 487, 629. 17
8, 398, 911, 933. 35
4, 000, 587, 326. 05
4, 001, 511, 838. 61
45, 195, 360, 75
60, 729, 312. 16
10, 398, 766. 54
52, 698, 435. 57
7, 797, 508. 52
4, 933, 101, 969. 64
167, 563, 116.61
cO
co os
District of Columbia: (Details on pp. 332 to 352) No year (continuous)
3, 932, 696. 99
1933 1932
3, 026, 597. 86 36, 872, 886. 82 115, 158. 64 49, 716. 79
3, 358, 701. 23 32, 319, 093. 34 I& 069& 778. 76 284, 120. 26
3, 753, 455. 57 30, 858, 575. 04
14, 385. 43
I, 990, 621. 07
69, 433. 43 759, 238. 05
3, 569, 797. 61 2, 328, 050. 13 762, 357, 36 244, 066. 70
240, 310. 54 1, 460, 518. 30 16, 632. 11 5, 222. 75 4, 674. 05
271, 148. 14 14, 655. 67
6, 904, 271 80 1, 924, 346. 50 714, 363. 93
I, 727, 357. 76
16, 410. 58 1, 954, 699. 72 152. 35 I, 374. 94
271, 043. 63 104. 51
1, 972, 637. 59 109, 561. 97
I, 786, 667. 77 I, 239, 083. 16
937, 474. 42 242, 945. 39 4, 337. 32
Total general funds, District of Columbia Special funds Trust funds (continuous)
6, 958, 447. 92 I, 358, 593. 97 338, 767. 44
1, 819, 822. 01 121, 039. 62 105, 109. 91
40, 064, 360. 11 4, 120, 191.39 2, 151, 615. 08
37, 031, 693. 59 3, 430, 221. 22 I, 776, 018. 59
37, 124, 157. 85 3, '239, 393. 29 1, 665, 073. 95
843, 056. 91
Total, District of Columbia. Deduct United States share
8, 655, 809. 33 147, 034. 39
2, 045, 971. 54
46, 336, 166. 58 7, 775, 151. 25
42, 237, 933. 40 7, 812, 054. 07
42, 028, 625. 09 7, 816, 049. 08
843, 056. 91 5, 523. 10
2, 082, 199. 56 6. 42
285, 803. 81
18, 991. 09
9, 542, 982. 23 104, 602. 05
2, 255, 279. 85 14, 996. 08
District of Columbia share
8, 508, 774. 94
2, 026, 980. 45
38, 561, 015. 33
34, 425, 879. 33
34, 212, 576. 01
837, 533. 81
2, 082, 193. 14
285, 803. 81
9, 438, 380. 18
2, 240, 283. 77
649, 609, 576. 63
170, 514, 609. 62
8, 437, 472, 948. 68
4, 035, 013, 205. 38
4, 035, 724, 414. 62
46, 032, 894. 56
52, 811, 505. 30
10, 684, 570. 35
4, 942, 540, 849. 72
169, 803, 400. 38
Prior years Special deposit accounts
Total expenditures nary receipts
521, 842. 90 336. 76
311,867. 55 216, 054. 55
chargeable against ordi-
Adjustment of warrant expenditures to basis of actual cash expenditures from general fund:
Add-
Disbursing officers' credits, etc. , at beginning of ffscaj year
170, 514, 609. 62 4, 205, 527, 815. 00
Deduct— Disbursing officers' credits, etc. , at close of fiscsi year
169, 803, 400. 38
Total expenditures
chargeable against ordinary receipts on basis of checks issued Increase in outstanding disbursing officers' checks and Treasury warrants
Reconstruction
Finance Corporation
4, 035, 724, 414. 62
4, 035, 724, 414. 62
8, 683, 493. 95
8, 683, 493. 95
4, 027, 040, 920. 67
(u)
4, 027, 040, 920. 67 I01,267, 907, 692. 48
4, 027, 040, 920. 67
5, 294, 948, 613. 15
6, 183, 815, 625. 31
6, 183, 815, 625. 31
Total ordinary,
including public debt retirements chargeable against ordinary receipts on basis of daily Treasury statements, revised
PUBLIC DEBT PAYABLE FROM PERMANENT INDEFINITE APPROPRIATIONS
From general fund
6, 183, 815, 625. 31
Total on basis of daily Treasury statements, revised, excluding Postal Service payable from postal revenues
11, 478, 764, 238. 46
POSTAL SERVICE
Expenditures
for Postal Service from postal reve-
nues It including Postal Service, payable from postal revenues.
587&
631, 364. 48
Total expenditures,
I I
I
Itt
Is
Net debit balance on special funds reflected in amount stated in note 93, p. 109. Includes sinking fund but exclusive of public debt and postal. Exclusive of District of Columbia. No warrants were issued on this account during the fiscal year 1933.
12, 066, 395, 602 94 Itt Represents net payments from credit established on account of the purchase by the Secretary of the Treasury of the obligations of the Reconstruction Finance Corporation under sec. 9 oi the Reconstruction Finance Corporation Act, » For total postal expenditures, see p. 413.
SUMMARY, INCLUDING GENERAL, SPECIAL, AND TRUST FUNDS [Analysis of appropriations
Funds available in 1933 Unexpended
by acts of Congress shown oo p. 398] Expenditures in 1933 (see p. 6)
Amount carried to surplus fund (see p. 7)
Unexpended
balances
On books of the Treasury
June 30, 1932
On bool s of
Treasury
To credit of
balances June 30, 1933
Appropriations
Warrants-issued basis
Checks-issued basis
Act June 20, 1874
To credit of
Impounded salary savings
Reserve for impounded salary savings
disbursing officers
disbursing officers A v ail
ah
le
(see p. 7)
EXPENDITUREs, ORDINARY
Legislative
Executive Office Independent offices Department of Agriculture Department of Commerce Department of the Interior Department of Justice, including judicial Department of Labor Navy Department Post Office Department (payable from general fund of the Treasury, see p. 237) Department of State Treasury Department War Department Panama Canal, maintenance and operation District of Columbia Interest on the public debt
.
Sinking fund
Public debt expenditures chargeable against ordinary receipts (see p. 402)
$20, 562, 884. 01 514, 500 00 4, 952, 267, 314. 78 441, 697, 596. 94 45, 202, 607. 99 77, 189, 504. 03 47, 259, 325. 90 13. 884, 407. 18 333, 923, 294. 13
$20, 936, 098. 46 352, 092. 11 1, 129, 704, 189. 10 259, 285, 753. 83 44, 969, 594. 02 78, 270, 539. 32 44, 205, 783. 46 12, 93(i, 512. 97 341, 266, 043. 35
$20, 716, 046. 68 369, 800. 98 li 140' 015i 582 91 255, 474, 526. 83 45, 314, 978. 49 78, 932, 544. 00 44, 671, 103. 85 13, 545, 740. 79 343, 103, 799. 09
47. 71
117, 440, 301. 75 14, 547, 955. 57 639, 945, 211. 75 521, 902, 456. SS 13, 946, 661. 00 46, 336, 166. 58 689, 243, 011.82 425, 665, 636. 60
117, 438, 153. 74 15, 746, 577. 67 331, 737, 418. 37 433, 548, 565. 05 11, 530, 139. 21 42, 237, 933. 40 689, 243, 011. 82 425, 660, 300. 00
117, 438, 824. 87 15, 735, 899. 62 335, 689, 339. OS 420, 422, 032. 68 11, 417, 757. 84 42, 028, 625. 09 689, 243, 011. 82 425, 660, 300. 00
743. 17
35, 944, 111.77
85, 944, 500. 00
35, 944, 500. 00
8, 437, 472, 948. 68
4, 035, 013, 205. 38
4, 035, 724, 414. 62
$8, 626, 492. 05 44, 614. 73 129, 329, 918. 17
$], 667, 249. 73
58, 445, 021. 54 9, 162, 736. 39 I, 571, 978. 54 133, 912, 738. 74
21, 078. 22 58, 786, 801. 11 3, 049, 607. 59 2, 560, 172. 14 8, 762, 821. 06 2, 740, 129. 39 2, 201, 923. 83 31, 556, 597. 02
65, 066. 94 8, 637, 530. 19 100, 676, 245. 59 101, 994, 886. 71 5, 894, 228. 44 8, 655, 809. 33
671. 13 1, 120, 698. 80 32, 019, 356. 39 21, 995, 724. 42 1, 985, 807. 25 2, 045, 971. 54
71, 010, 431. 19 11, 581, 087. 20
on basis of warrants and ' 649, 609, 576. 63 ' 170, 514, 609. 62 checks issued Adjustment of warrant expenditures to basis of actual cash expenditures from general fund: Add disbursing officers' credits, etc. , at beginning of fiscal year
Total ordinary
Total Deduct disbursing
170, 514, 609. 62
4, 205, 527, S15. 00
officers' credits, etc. , at
169, 803, 400. 38
close of fiscal year
Total expenditures
on basis
of checks
issued
Increase in outstanding disbursing officer' checks and 'Treasury warrants
Total Reconstruction
4, 035, 724, 414. 62
4, 035, 724, 4]4. 62
8, 6S3, 493. 95
8, 683, 493. 95
4, 027, 040, 920. 67
4, 027, 040, 920. 67 I 1, 267, 907, 692. 48
(I)
Finance Corporation
Total ordinary, including public debt retirements chargeable against ordiuary receipts on basis of daily Treasury statements, revised Public debt principal payable from permanent indefinite appropriations ..
6, 183, 815, 626. 31
4, 027, 040, 920. 67
5, 294, 948. 613. 15
6, 183, 815, 625. 31
6, 183, 815, 625. 31
Total on basis of daily Treasury statements
(revised), excluding Postal Service payable from postal revenues
11, 478, 764, 238. 46
1, 111,203. 98 1, 726, 587. 75 209, 221. 90 11, 016, 862. 67
$2, 084, 766. 34 15, 637. 59 8, 129, 838. 26 3, 092, 089. 10 1, S21, 018. 56 2, 081, 492. 09 2, 042, 029. 99 799, 305. Sl 10, 639, 404. 50
206. 31 1, 443, 489. 13 4, 525, 555. 62 3, 105, 132. 09 23. 33 843, 056. 91
703, 813. 18 7, 847, 194. 76 10, 730, 934. 78 741, 780. 7S 2, 082, 199. 56
$895, 273. 61 5. 286. 99 4, 89S, 996. 81 15, 305, 988. 43 946, 009. 03
$8, 353. 60 4, 282, 302. 28
739, 615. 77 283, 260. 49 593, 535. 41 907, 575. 60 30, 115. 14 509, 422. 13
'
126, 432. 92 I, 614, 153. 89 1, 052, 625. 79 251, 373, 52 285, 803. 81
$5, 273, 237. 65 177, 744. 44 3, 934, 581, 906. 50 234, 284, 581. 50 8, 763, 813. 09 53, 577, 754. 77 7, 540, 085. 49 1, 48 1, 229. 90 104, 404, 300. 22 67, 008. 64 5, 165, 172. 86 394, 897, 134. 70 175, 460. 085. 88 7, 317, 57'r. 60
9, 542, 982. 23
$1, 887, 301. 51 3, 369. 35 48, 475, 407. 30 6, 860, 834. 09 2, 214, 787. 67 8, 100, 816. 38 2, 274, 809. 00 1, 592, 696. 08 29, 718, 841. 21
1, 131, 376. 85 2S, 067, 435. 6S 35, 122, 256. 79 2, 098, 188. 62 2, 255, 279. 85
5, 384. 31
354. 94
46, 032, 894. 56
52, 811, 505. 30
10, 684, 570. 35
4, 942, 540, 349. 72
169, 803, 400. 38
FosrxL SERVICE Expenditures nues i
for Postal Service from postal reve567, 631, 364. 48
Total expenditures, including Postal Service 12, 066, 395, 602. 94
payable from postal revenues i The differences between the unexpended balances by organization units and totals in this column, and those shown in the 1931 report are due to the transfer of activities between departments and organization units, as indicated by footnotes in the foregoing details. ' Nb warrants were issued on this account during the fiscal year 1933.
t Represents net payments from credit established on account of the purchase by the Secretary of the Treasury of the obligations of the Reconstruction Finance Corporation under sec. 9 of the Reconstruction Finance Corporation Act. For total postal expenditures, see p. 413, &
RECEIPT8 AND EXPENDITURES, 1933
Table
1.— ACCOUNTABILITY
STATEMENT OF APPROPRIATIONS,
BY ACTS OF CONGRESS
[Placed upon the books of the Treasury during the fiscal year 1933]
balances at beginning of year: Appropriations: Ordinary (details on p. 390) Public debt chargeable against ordinary receipts (details on p. 402)
1. Unexpended
officers' credits Treasurer United States: Check-book balances Outstanding checks
Disbursing
on
books
$649, 608, 833. 46
743. 17
$649, 609, 576. 63
of
170, 514, 609. 62 62, 226, 38L 79
232, 740, 991. 41 1, 444, 607. 54
Unpaid warrants
2. Appropriations: Annual appropriation acts, 1933: Legislative Act, June 30, 1932 Executive and Independent Offices Act June 30, 1932: Executive Independent
offices
18, 678, 991. 00
$392, 000. 00 982, 054, 041. OQ
DiStrict of Columbia Act, June 29, 1932 Department of Agriculture Act, July 7, 1982 Department of the Interior Act, April 22,
1932' Interior (civil) Interior (Indians)
Navy Department Act, June 30, 1932 Treasury and Post Office Departments Act, July 5, 1932: Treasury Department Post Office Department
War Department
'
24, 688, 233. 00 20, 845, 439. 33
appropriation
250, 308& 158. 00 805, 939, 675. 00
112, 291, 970. 89 317, 583, 591. 00
1, 056, 247, 833. 00
'
acts,
Less immediately available appropriations under the foregoing acts set up during the fiscal year 1932, the unexpended balances of which are included under (1) above: Executive and Independent Offices Act, June 30, 1932: Independent offices of the Interior Act, Department Apr. 22, 1932; Interior(civil) $13, 934, 920. 00 (InInterior dians) 4, 127, 043. 00 available items Less amounts included in the annual appropriation acts for 1933 not payable from general fund of the Treasury: Department of Agriculture (payable from establishing wool standards fund) District of Columbia: Payable from water fund .. $2, 091, 380 Payable from gasoline-tax fund 1, 863, 700
Total immediately
45, 533, 672. 38
13, 663, 792. 89 45, 996, 000. 00 39, 711, 408. 00 12, 920, 770. 00
Act, July 14, 1982
Total annual 1933
~
' 175, 671& 665. 00
'
Department of State, Justice, Commerce, and Labor Act, July 1, 1932: Department of State Department of Justice Department of Commerce Department of Labor
982, 446, O41. OO 41, 245& 622. 00
396, 078, 513. 00
3, 145, 772, 399. 22
60, 000. 00
18, 061, 963. 00 18, 121, 963. 00
39, 800. 00
8, 955, 030. 00 $1,000, 000 of this amount is taken up under Chicago World's Fair C entennisl Commission, In dependent Offices. & $140,470 of this amount is taken up under Freedmen's Hospital, Dr'strict of Columbia. s $490, 000 of this amount is taken up under Federal Radio Commiss ion, Independent Offmes. 4 $494, 310 of this amount is taken up under Construction and Moist enance of Roads, llridges, a nd Trails, Alaska, Department &
of the Interior.
$883, 795, 175. 58
AOgPIINTABILITY
—
Tzsz, E 1. Accountability
—
statement
of appropriations,
by arts
of Congress
—Continued
—
Continued. appropriation acts, 1988 Continued. Less amounts included in the annual appropriation acts for 1933 not payable from general fund of the TreasuryContin ued. Department of Commerce (payable from the revenues of the Patent
2. Appropriations
BY ACT OF CONGRESS
STATEMENT OF APPROPRIATIONS,
Annual
Office)
Interior Department, civil (payable from reclamation fund) (payable Post Office Department from postal revenues)
acts, 1934 (immediately available items): Legislative Act, Feb. 28, 1938 Executive and Independent Offices Act, June 16, 1983: Executive Independent offices
$4, 890, 700. 00 2, 414, 500. 00
805, 939, 675. 00
$835, 861, 168. 00
$2, 310, 411, 731. 22
Annual appropriation
District of Columbia Act, June 16, 1983 Department of Agriculture Act, Mar. 8, 1983 Department of the Interior Act, Feb. 17, 1988: Interior (civil) Interior (Indians)
1, 005, 380. 00
120, 000. 00 822, 274, 000. 00
87, 100J 000. 00 12, 402, 000. 00 2, 185, 848. 00
Departments of State, Justice, Commerce, and Labor Act, Msr. 1, 1938: Department of State Department of Commerce
5, 000. 00 110, 000. 00
Act, Mar. 3, 1983: Treasury Department War Department Act, Mar. 4, 1933
Department of Commerce Department of the Interior (civil) Department of the Interior (Indians) Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department
14, 587, 848. 00
115, 000. 00
1, 077, 000. 00
Navy Department Act, Msr. 3, 1933 Treasury and Post Office Departments
Deficiency appropriation acts: Second Deficiency Act, 1982, approved July 1, 1982: Legislative Executive Office Independent offices District of Columbia Department of Agriculture
322, 394, 000, 00 63, 840. 00
54, 200, 000. 00 65, 823, 517. 00
4,
7,
2,
5,
147, 862 71 2, 500. 00 469, 264 50 397, 372. 11 24, 466. 54 305, 722. 98 081, 687. 15 555, 986. 74 20, 110. 16 210, 227. 88 701, 657. 27 97, 910. 64 88, 119 68 644, 867. 88 984, 867. 01
Less:
496, 366, 580. 00
22, 682, 628. 20
Amounts not payable from general fund of the Treasury: District of Columbia (payable from policemeri and firemen's relief fund $4. 62 and from water fund
$5.42)~
Department of Commerce (payable from the revenues of the Patent Office) Post Office Department f rom postal (payable revenues)
10. 04 280, 000. 00 95, 328. 24
375, 333. 28
22, 3071 289. 92
RECEIPTS AND EXPENDITURES& 1933
—Accountability
Tsar' 1.
—
statement
of appropriations,
by acts
of Congress
—Continued
Continued. Appropriations Deficiency appropriation acts Continued. First Deficiency Act, 1933, approved Jan.
—
30, 1933:
Legislative Independent offices District of Columbia Department of Agriculture Department of Commerce Department of the Interior (civil) Department of the Interior (Indians) Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department
$168, 061. 00 85, 524. 33 625, 450. 00 1, 002, 533. 22 25, 347. 56 1, 563. 27 2, 092. 60 245, 333. 14 201, 083. 00 738, 401. 31 205, 807. 94 198, 272. 87 15, 394. 89 241, 670. 59
Less:
Amounts not payable from general fund of the Treasury: Post Office Department from (payable postal revenues)
Second deficiency Mar. 4, 1933:
205, 807. 94
$3, 550, 727. 78
Act, 1933, approved
Legislative
Independent offices District of Columbia Department of Agriculture Department of Commerce Department of the Interior (civil) Department of the Interior (Indians) Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department
253, 103. 45 262, 965. 86 769, 290. 01 27, 958. 80 261, 529. 10 234, 846. 47 440, 368. 46 32 626. 77 451, 188. 67 41& 016. 06 8, 777. 49 186, 029. 42 28, 299, 789. 24 716, 195. 32
Less:
Amount not payable from general fund of the Treasury: District of Columbia (payable from gasoline-tax road and street fund) Department of Commerce (payable fromm revenues of the Patent Office) Department of the Interior (payable from reclamation fund) Post Office Department (payable from postal revenues)
Amounts not available until July 1, 1934: Legislative
Third deficiency Act, 1933, approved May 29, 1933: Legislative
$3, 756, 535. 72
Independent offices Department of Agriculture ' Department of Commerce Department of the Interior (civil) Department of the Interior (Indians) Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department
31, 985, 685. 12
10. 00 200, 000. 00 27, 453. 43 8, 777. 49
236, 240. 92 2, 150. 00
238, 390. 92
31, 747, 294. 20 103, 834. 70 5, 110. 55 28. 62 33, 346. 31 2. 75 118. 78 2, 015. 64 3, 500. 00 33, 188. 34 5, 238. 15 435. 48 21, 265. 95 786, 512. 28 994, 597. 55
ACCOUNTABILITY TABLE
—
— —
—Accountability
1.
statement
Continued. 2. Appropriations Deficiency appropriation acts Continued. Third deficiency Act, 1933, approved May 29, 1933 Continued. Less: Amount not payable from general fund of the Treasury: Post Office Department (payable from postal rev-
of appropriations,
by acts
of Congress
—Continued
—
enues) Amount not available until July 1, 1933: Legislative
Fourth deficiency Act, 1933, approved June 16, 1933: Legislative Independent offices District of Columbia Department of Agriculture Department of Commerce Department of the Interior (civil) Department of the Interior (Indians) Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department
$1, 010. 77 22, 275. 00
128, 527. 60 ' 3, 342, 701, 872. 75 11, 942. 51 354. 54 3 921. 14 1, 585. 00 232 119. 80 21, 222. 82 1, 501, 032 27 102, 639. 91 6, 929. 84 160, 747. 73 ' 265, 001, 072. 77 208, 161. 36
Less: Amount not payable from general fund of the Treasury: Post Office Department (payable from postal revenues) Amounts not available until
July 1, 1933: Legislative Independent offices Department of Labor Department of State Treasury Department
126, 210, 00 240, 000. 00 1, 500, 000. 00 35, 700. 00 15, 000, 000. 00
$971, 311. 78
3, 610, 082, 630. 04
16, 908, 839. 84
17, 003. 37 11, 076. 91 576, 41 1, 106. 00 212. 40 22, 166. 48 11, 895, 00 6, 800. 07 2, 450. 33 37, 387. 66 52, 750. 35 21, 263. 45 38, 404. 78
Department of Commerce Department of the Interior (civil) Department of the Interior (Indians) Department of Justice Department of Labor Navy Department Post Office Department Treasury Department War Department Public acts, public resolutions, and private resolutions: Legislative: Public Resolution No. 34, July 7, 1932 Public Resolution No. 41, July 16I 1932 Public Resolution No. 4, Apr. 14,
$23, 285. 77
6, 929. 84
Miscellaneous acts: Private relief acts (details on pp. 399—401): Legislative Independent offices District of Columbia Department of Agriculture
1933
BY ACT OF CONGRESS
STATEMENT OF APPROPRIATIONS&
3, 593, 173, 790. 20
223, 093. 21
3, 720. 00 2, 480. 00
12, 628. 00
18, 828. 00
Includes $3y300 000 000 for National Industrial Itecovery; $40, 000, 000 for Farm Credit Administration, revolving fund, and $3,000, 000 for administrative expenses, production, credit corporations snd associations. 1' includes $50, 000,000 subscriptions to paid-in surplus, Federal land banks; $50, 000,000 subscriptions to preferred shares, Federal savings snd loan associations; $150,000, 000 sub'~'P mns to capital stock, Federal Deposit Insurance Corporation, snd $15,000, 000 for payments to Federal land banks, reductions in interest rate on mortgages (n'ot available unnl July 1, 1033).
RECEIPTS AND EXPENDITURES& 1933 TABLE
2. Appropriations
—Accountability
1.
—
statement
Continued. Deficiency appropriation acts Continued. Pulilic acts, public resolutions, and private resolutions Continued. Independent offices: Public Resolution No. 35, July 8,
af appropriations,
by acts
of Congress
—Continued
—
—
Public Resolution No. 43, July 22, 1932 Public Act No. 305, July 22, 1932 Public Resolution No. 51, Feb. 1 1
Public Act No. 1, Mar. 9, 1933
$100, 000. 00 40, 000, 000. 00
250, 000. 00 4, 100, 000. 00 2, 000, 000. 00
District of Columbia:
No. 52, Feb. 13, 1933 Department of Agriculture: Public Act No. 302, July 21, 1932 Public Act No. 10, May 12, 1933
$46, 450, 000. 00
Public Resolution
Department of Commerce: Public Act No. 302, July 21, 1932 Department of the Interior (civil): Public Act No, 302, July 21, 1932 Department of the Interior (Indians): Public Act No. 302, July 21, 1932 Navy Department: Public Act No. 302, July 21, 1932 Treasury Department: Public Act No. 302, July 21, 1932 War Department: Public Act No. 302, July 21, 1932 Permanent and indefinite appropriations, actual (various acts): Interest on the public debt Sinking fund Advances to Agricultural Adjustment Administration
Patent Office deficiencies Postal deficiencie
Appropriation of special and trust fund receipts Other permanent and indefinite appropriations, including interest on judgments and premium on public debt
reestablished from surplus fund for adjustment of fiscal officers' accounts, act Mar. 3, 1875 (18 Stat. 418, sec. 5) 3. Add receipts credited direct to appropriations: Proceeds of railroad securities owned by the Government Veterans' Military and naval insurance, Administration Loans to farmers in storm, drought, and flood stricken areas and for seed grain and feed loans, etc
25, 000. 00
132, 000, 000. 00 100, 000, 000. 00
232, 000, 000. 00 5, 560, 000. 00 13&
000, 000. 00
1, 000, 000. 00
10, 000, 000. 00
100, 000, 000. 00 60, 664, 000. 00
$468, 717, 828. 00
689, 243, 011. 82 425, 665. 636. 60 500, 000. 00 842. 29 117, 380, 192. 33 935&
161& 945&
733. 55
74, 147, 667. 00
1, 469, 81-8, 083. 59
Amount
17, 333. 89 974, 565. 79
598, 640, 73 2, 650, 616. 60
4, 223, 823. 12 1&
appropriations, exclusive of appropriations to cover face amount of public debt redemptions chargeable against ordinary receipts 4. Add indefiiiite and special fund receipt appropriations to cover face amount of public debt retirements chargeable against ordinary receipts Total ordinary appropriations, including appropriations to cover face amount of public debt retirements chargeable against ordinary receipts (see pp. 390, 398)
474, 059, 240. 60
Total ordinary
carried to surplus fund appropriations (details on p. 390): Act June 20, 1874 (18 Stat. 110, sec. 5) Act June 30, 1932 (47 Stat. 403) as amended
8, 401, 528, 836. 91
35, 944, 111. 77
$8, 437, 472, 948. 68 9, 321, 268, 124. 26
5. Deduct
46, 032, 894. 56 52, 811& 505, 30
98, 844, 399. 86
ACCOUNTABILITY
STATEMENT OF APPROPRIATIONS,
—Aecountabitity
TARzE 1,
statement
balances at close of year: Appropriations: Ordinary (details on p. 390) Public debt chargeable against ordinary receipts Disbursing officers' credits on books of Treasurer United States: Check book balances (details on p. 390) Outstanding checks
of appropriations,
397
BY ACT OF CONGRESS
by acts of Congress
—Continued
6. Deduct unexpended
Unpaid warrants
7. Reconstruction
Finance
Corporation
$4, 953, 224, 565. 13
354. 94
$169, 8(M, 400. 38 71, 070, 819. 83
240, 874, 220. 21 1, 283, 663. 45
$5, 195, 382, 803. 73
'
$5, 294, 227, 203. 59 4, 027, 040, 920. 67
notes pur-
1, 267, 907, 692. 48
chased
Total to be accounted for as expenditures during fiscal year 1933 (see p. 390)
5, 294, 948, 613. 15
THE GENERAL FUND OF THE TREASURY
Balance according to daily Treasury statement, June 30, 1932 (unrevised) Deduct net excess of expenditures over receipts in June reports subsequently received
Receipts, fiscal year 1933: Ordinary (p. 12) Public debt (p. 62)
Balance according to daily Treasury statement, June 30, 1933 (unrevised) Deduct net excess of expenditures over receipts in June reports subsequently received
Deduct public debt expenditures (p. 403) Less amount chargeable against ordinary receipts
Total ordinary expenditures, according to daily Treasury statement (revised), chargeable against ordinary receipts (p. 390)
417, 197, 178. 17 25, 992, 049. 15
391, 205, 129. 02
2, 244, 254, 061. 08 9& 697, 082, 823. 58
11, 941, 336, 884. 66 12, 332,
542&
013. 68
862, 205, 220. 61 i
8, 427, 445. 39
6, 645, 420, 425. 31 461, 604, 800. 00
853, 777, 775. 22
11, 478, 764, 238. 46 6, 183, 815, 625. 31
5, 294, 948, 613. 15
—
Table 2. ANALYSIS OF APPROPRIATIONS ESTABLISHED UPON THF BOOKS OF THE TREASURY DURING THE FISCAL YEAR ENDED JUNE 30, 1933, BY ACTS OF CONGRESS Annual appropuation
acts
Second De- First De- Second Deficiency Act, ificiency Act, ficiency Act, fiscal year fisiel year fiscal year For the service For the serv1932, ap1933, ap1933, apof the fiscal ice of the fi- proved July proved Jan. proved Mar. ' i year 1938 i sca year 1934 ' 1932 1933 I, 30, 4, 1933 i
Department
Legislative establishment Executive office Independent. offices Department of Agriculture Department of Commerce. Department of the Interior, including Affairs Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department District of Columbia Interest on the Public Debt
$18, 673, 991.00 $1, 005, 330. 00 $147, 862. 71 $168, 061. 00 392, 000. 00 120, 000. 00 2, 500. 00 983, 748, 221. 44 322, 274, 000. 00 4, 469, 264. 50 85, 524. 33 174, 632, 365. 00 37, 100, 000. 00 24, 466. 54 I, 002, 533. 22 34, 330, 708. 00 110, 000. 00 25, 722. 98 25, 347. 56
Specific and indefinite permanent annual DefiFourth ficiency Act, fiscal ciency Act, fiscal appropriations, apincluding year 1933, year 1933, appropriation of approved proved June special and May 29, 16, 1933 trust fund re1933 & ceipts (various acts) '
Third De-
&
$250, 953. 45 $81, 559. 70 262, Oo5. 86 27, 958. 80 61, 529. 10
;
Private acts (details on p. 399)
5 IIO 5o~3'342' 461' 872' 75 28. 62 354. 54 33, 346. 31 3, 921. 14
133' 644' 9QS' 7 13, 593, 016. 53 5, 083, 744. 77
.
3, 655. 87 245, 333. 14 201, OS3. 00 738, 401. 31
647, 761. 50 32, 626. 77 451, 188. 67 41, 016. 06
121. 53
2, 015. 64 3, 500. 00 33, 188. 34 4, 227. 38 435. 48 IS6, 029. 42 198, 272. 87 15, 394. 89 28, 299, 789. 24 21, 265. 95 716, 195. 32 7 86, 512. 28 241, 670. 59 625, 450. 00 769, 280. 01
14, 639, 902. 43 935, 217. 30 93, 655. 08 1, 8/2, 593. 02 117, 380, 736. 62 286, 248. 46 49, 566, 522. 70 14, 852, 095. 78 7, 004, 883. 58 689& 243, 011. 82
233, 704. 80 21, 222. 82 I, 532. 27 102, 639. 91 125, 047. 73 250, 001, 072. 77 208, 161. 36 11, 942. 51
34, 061. 48 14, 000, 000. 00 6, 800. 072, 450. 33 37, 387. 66 10, 000, 000. 00 52, 750. 35— 21, 263. 45 100, 000, 000. 00 38, 404. 78 60, 664, 000. 00 25, 000. 00 576. 41
Total 2, 310, 411, 731. 22 496, 366, 530. 00 22, 307, 289. 92 3, 550, 727. 78 31, 747, 294. 20 971, 311. 78 3, 593, 173, 790. 20 I, 048, 393, 604. 00 223, 093. 21 468, 717, 828. 00 Appropriations to cover public-debt retirements (face amount) chargeable against ordinary re461, 609, 748. 37
ceipts
Total ordinary appropriations established upon the books of the Treasury during the fiscal year 1933 i
.
Exclusive of $18,121,963 immediately
2, 310, 411, 731. 22 496, 366, 530. 00 22, 307, 289. 92 3, 550, 727. 78 31, 747, 294. 20 971& 311 78 3 593 173& 790 20
available appropriations
established
upon the books of the Treas-
ury during the fiscal year 1932, $805,939,675 o payable from postal revenues; and $11,299, 530 i payable from special fund receipts; total $835, 361,168 as shown in detail on pp. 392, 393. i Immediately
available appropriations
in 1934 annual appropriation
acts established
upon the books of
the Treasury in the fiscal year 1933.
in the Second Deficiency Act for the fiscal year 1932 did not become available until the
s Appropriations fiscal year 1933. i Exclusive of $205, 807.94 payable from postal revenues as shown in detail on p. 394. until July I, 1933; $8, 777.49 payable from postal revenues and $227, 463.43 i ii Exclusive of $2, 150 not available payable from special fund receipts; total $238, 390.92 as shown in detail on p. 394. Exclusive of $22, 275 not available until July I, 1933, and $1,010.77 payable from postal revenues; total 423, 285. 77 as shown in detail on pp. 395.
'
I&
510& 003
Total
+ or—
$18, 828. 00
Indian 25, 405, 049. 33 14, 587, 843. 00 7, 637, 673. 89 45, 996, 000. 00 20, 110. 16 12, 920, 770. 00 210, 227. 83 317, 319, 410. 56 I, 077, 000. 00 2 701 657 27 2, 587. 40 13, 663, 792. 89 5, 000. 00 88, 119.6S 250, 308, 158. 00 54, 200, 000. 00 644, 867. 88 395, 584, 203. 00 65, 823, 51?.00 5, 934, 867. 01 397, 362. 07 37, 437, 062. 00 63, 840. 00
Net amount of transfers among departments and offices
$20, 562, 884. 01 514, 500. 00 11,076. 91 46, 450, 000. 00 +$118, 854, 279. 71 4, 952, 267, 314. 78 — 16, 684, 232. 31 441, 697, 596. Oi4 I, 106. 00 232, 000, 000. 00 —31, 924. 27 4 o, 202, 607. 99 212. 40 5, 560, 000. 00
$196, 977. 18 $17, 003. 37
$2, 317. 60
Other acts and resolutions (details an p. 396)
352 37 223, 093. 21 468, 717, 828. 00
—269. SO
Tf& 189, 504. 03
47, 259, 325. 90 13, 884, 407. 18 333, 923& 294. 13
—4, 990. 96 —93& 133, 123. 13 —9, 000, 609. 24
117, 440„301.75 14, 547, 955, 57
'639, 945&211. 75 535, 849, 117. 88 +770. 00 46, 336, 166. 58. 689, 243, 011.82
.-------- 7&975 863 200 31 461, 609, 748. 37
- - 8, 437, 472, 94 8. 68
Exclusive of $16,901,910 not available until July I, 1933, and $6,929.84 payable from postal revenues; total $16,908, 839.84 as shown in detail on p. 395. i Includes $17,333.89 reestablished from the surplus fund during fiscal year 1933 ia connectioa with the adjustment of fiscal officers' accounts, in accordance with the provisions of sec. 5 of the act of Mar. 3, 1875, 18 Stat. , p. 110, and $4, 223, 823. 12 receipts from miscellaneous sources credited dh. ect to appropriations. o Deficiencies in the postal revenues payable from the general fund uader an indefinite appropriation are included in the eighth money column of this statement. i The appropriation of receipts covered into the Treasury under these special fund appropriations is included in the eighth money column of this statement
399
RECEIPTS AND EXPENDITURES, 1933
f gbIe 3.
STATEMENT EXHIBITING THE PRIVATE RELIEF ACTS FOR WHICH APPROPRIATIONS WERE ESTABLISHED ON THE BOOKS OF THE TREASURY DURING THE FISCAL YEAR 1933
Number of
Amount appropriated
Benenciaries
Approved
act
14, 1932
( EGISLATIVE.
James E. Fraser
160
Julv
378
Feb, 26, 1931
Catherine
163 297 298
July 14, 1932 Mar. 4, 1933 do
Caughman-Kaminer Edward J. O' Neil George Beier
EMPLOYEES
CoaIPEiNSATION
(SEE P.
S, )
81(, 003. 37
COMMISSION.
(SEE P. 97)
Panturis RAILROAD
130. 87 4, 400. 00 2, 000. 00 6, 530. 87 U. S. GRAIN
(SEE P. 109)
CORPORATION.
Estate of Thomas Bird
251
Mar.
209
Feb. 17, 1933
Tampico Marine Iron Works
373 180 181 181 181 207 253 273
Feb. 24, 1931 Feb. 1, 1933
'5'fary
U. s. SHIPPING VETERANS
do do do Feb. 16, 1933 Mar. 3, 1933 do
BOARD.
1, 500. 00 ADMINISTRATION.
L. Dickson
(SEE P. 113)
Kenneth Carpenter Orem Wheatley Kenneth Blaine Joseph R. Ball
274
&10
do (io do do do do &lo
3, 1933
Mar.
Baltitnore Branch Federal Reserve Bank of Richntond Texas Poorer Light Co &('r
272
Feb. 21, 1933 Mar. 3, 1933
OF AGRICULTURE.
(SEE P. 132)
350. 00 115. 00 21. 00 45. 00 90. 00 100. 00 100. 00 35. 00 150. 00 50. 00 50. 00
W. A. Blankenship Walter I, . Shriner
P. A. Worden
Ben M. Joslin Delbert H. ShaA'er A. W. Lee Charles Palmer Wilbur Linn George Cook Jack Marrs Great Falls Meat Co
1, 106. 00 DEPARTMEiNT
Lindley Nurseries, Inc Harvey Canal Ship Yard
(ft
OF COMMERCE.
(SEE P. 119)
77. 40 135. 00
Machine Shop
Total
212. 40 DEPARTMENT OF THE INTERIOR.
157 157 166 166 201 202 225
263 264 302
8, 1932
July
do July 14, 1932 do Feb. 15, 1933 (io
Mar. Mar.
1, 1933 3, 1933 (io
Mar,
4, 1933
110 July 1, 1932 Mar. 3, 1933 Mar. 24, 1933
285 3
Civil: Knud O. Flakne Alfred Sollom Mrs. Amy Dysert N. F. Inman Lyman L. Miller Great Western Coal Mines Co Harold W. Merrin William A. Lester Zetta Lester Jack Schneider Indian: R. K. Stiles (k Co Hatnilton Grounds Holy Family Hospital, St. Ignatius , Mont
Total See footnotes
at
end of table.
240. 00 30. 00
1, 368. 65
Total 216
'
30. 00 20. 00 42. 00 65 00 643. 00 298. 65
B. F. Hart
DEPARTMENT
196 196 196 196 196 196 196 196
1, 917. 39
(SEE P. 110)
Total 111 July 1, 1932 196 Feb. 14, 1933
300. 00
(SEE P. 107)
ADMINISTRATION.
Co
Total 3, 1933
'
(SEE PP.
160, 131)
151. 60 726. 00 102. 64 102. 64 400. 00 16, 600. 00 124. 35 100. 00 400. 00 8, 459. 25 569. 34 2, 500. 00 8, 825. 66
84, 061. 48
400
RECEIPTS AND EXPENDITITRESI 1933
TABLE
Number of
set
—Statement
3.
exhibiting
the private relief acts
—
for Mhich appropriations were established on the books of the Treasttry dttring year 1988 Continued
DEPARTMENT
119 July
130 169 179 200 255 259 267 291 295
8 9
1, July 2, July 16, Jan. 30, Feb. 15, Mar. 8, do (io do Mar. 4, Mar. 28, do
1932 1932 1982 1988 1938 1938
1933 1938
Amount
Beneficiaries
Approved
R. L. Wilson
sp propristed
OF JUSTICE.
(SKK P. 210)
$500. 00 250. 00 1, 500. 00 60. 00 168. 36 442. 41 664. 30 1, 000. 00 560. 00 500. 00 175. 00 980. 00
Clyde Sheldon William Dalton Messrs. Short, Ross, Shaw, and Mayhood Estate of Peter Paul Franzel Anderson-Tully Co John Pearce Cann George H. Hansen Arthur R. Saffran Pei, er Bess W. H. Hendrickson A. Y. Martin
Total
6, 800. 07 DEPARTMENT
148 187 258
7, 1982 6, 1982 3, 1988
July July Mar.
OF LABOR.
Magee Bros. , Ltd John Stratis Catterina Pollino
(SEE P. 213)
950. 38 1, 000. 00 500. 00
Total
2, 450. 83 NAVY DEPARTMENT.
118 July
175 176 204 210 229 235 244 252
265 269
309
2, 1982
July 19, 1932 clo
Feb. 15, 1983 Feb. 17, 1933 Mar. 1, 1933 do
2, 1933 3, 1933
Mar. Mar. do do
Mar.
824
4,
1933
do
(SEE PP.
234, 235)
Joe Andrews Co
275. 00
Sophia A. Beers Estate of Annie Lee Edgecumbe Essie Fingar Van Camp Sea Food Co. , Inc M. M. Brayshaw Laura J. Clarke Annie M. Eopolucci Madrigal & Co Alvs, D. McGuire, Jr Newport Contracting & Engineering Co Claimants, explosion at naval ammunition Joseph T. Ryerson & Son, Inc
4, 000. 00 5, 000. 00
540. 00 1, 718. 06 210. 00 3, 500. 00 5, 000. 00 420. 00
depot, Lake Denmark, N. J
POST OFFICE DEPARTMENT.
115 117
128 126 147 148 150 151 155 173 174 178 280 284 236 254 268 270
313 314 315
July
1, 1932
do do
2, 1932
July do
7, 1982
July do do do
July 16, 1982 clo
Dec. 14, 1932 Mar. 1, 1933 do do
3, 1988
Mar.
(10 (10
Mar.
4, 1988 clo clo
321 822
do do
(SEE PP. 236, 237)
75. 41 109. 00 650. 00 3, 500. 00 1, 000. 00 3, 500. 00 1, 500. 00 1, 000. 00 1, 500. 00 7. 14 8, 168. 50 5, 000. 00 9, 287. 85 3, 000. 00 654. 17 8, 044. 99 1, 500. 00 500. 00 129. 00 2, 500. 00 1, 500. 00 5, 000. 00 3, 904. 16 720. 18
Estate of Harry W. Ward Mary Murnane John H. Day Estate of Samuel Schwartz Catherine Bell Nelson E. Frissell Ellen N, Nolan Genevieve M. Heberle D. Emmett Hamilton Ss,m Echols Frank Martin May Weaver Employees, post office Detroit, Mich Mary Elizabeth Fox First National Bank, Junction City, Ark Merchants and Farmers Bank, Junction City, Ark Mary E. Stebbins National Surety Co Avery G. Constant Frances Southard Sadie Bermi Della O' Brien National Bank of Commerce, El Dorado, Ark First National Bank, El Dorado, Ark
52, 750. 35
Total TREASURY DEPARTMENT.
100
124 149 152 154 158 167
1, 1932
July July July
2, 1982 7, 1982
do clo
July 8, 1982 July 14, 1932
31. 50 2, 490. 00 14, 090. 55 112. 55 87, 387. 66
Total 109
the fiscat
Mildred B. Crawford William Knourek Same Giacalone and Same Ingrande J. H. Wallace Samuel Weinstein Estate of Jacob D. Hanson Hilda Barnard
(SEE PP.
292, 293)
2, 500. 00 421. 00 459. 55 250. 00 3, 000. 00 5, 000. 00 1, 886. 80
401
STATEMENT EXHIBITING THE PRIVATE RELIEF ACTS
TABLE
Number ot
—
—
exhibiting the prit&ate relief acts for u hich appropriations were established year 1988 Continued
3. Statement
on the books of the Treasury during the f(seal.
Amount appropriated
Beneficiaries
Approved
aet
TREASVRY DEPARTMENT.
171 182 218 257 276 280 296
308
16, Feb. 1, Feb. 28, Mar. 8, do do Mar. 4, do
July
1982 1933 1933 1983
1938
Elsie M. Sears George T. Johnson Samuel C. Davis
(!'&
(SEE PP.
292, 293)
—continued
$25. 00 180. 00 4, 725. 32 83. 00 175. 00 100. 00 2, 000. 00 957. 78
Sons
William Powell Mary Byrkett Sinks Gust J. Schweitzer John L. Dunn Withycombe Post No. 11, American Legion
Total
21, 268. 45 WAR DEPARTMENT.
145 182 37 101 122 128 129 181 132 183 134 136 141 144 156 165 168 170 183 187 189 197 199 203 203 203 228 226 241 242 243 246
2(5 275 275 277 300
300 300 300 800 300 300 300 300 300 300 300 300 301 306
310
June 27, do June 7, July 1, July 2,
1980 1982 1932 1982
C!0 &10
do do do c!0 July 6, 1932 do July 7, 1932
July 14, 1982 do July 16, 1982 Feb. 1, 1933 Feb. 7, 1938do Feb. 14, 1938 Feb. 15, 1938 do do do Mar. 1, 1988 do Mar. 2, 1983 do do do Mar. 3, 1988 do do do Mar. 4, 1983 do do do
do. do
(!0 do do do do do do do do do
Sarah E. Edge Mrs. W. M. Kittle Chester J. Dick John A. Pearce Noble Jay Hall Emma Shelly Kenneth G. Gould Mrs. Johnnie Schley Gatewood Oscar R. Hahnel Alex Bremer D. M. Leypoldt Co Joseph E. Bourrie Co Lela B. Smith
(SEE PP. 328,
829)
' 420. 00 ( 8(i7. 56 (i40. 00 2, 000. 00 350. 00 800. 00 186. 17 8& 000. 00 800. 00 -700. 00 966. 39 1& 055. 70 1, 181. 22 850. 00 600. 00 480. 47 750. 00 5& 000. 00 115. 12 562. 80 5, 000. 00 262. 10 1, 284. 14 750. 00 500. 00 750. 00
William R. Nolan Mills Brothers Raymond D. Woods
Frank R. Scott Claude E. Dove Johnson (fz Higgins
William B. Thompson Anna Pokorny Wilmot Castle Co
Katherine R. Theberge Ida E. Godfrey Estate of Annie L. Davis Thomas N. Emley Allegheny Forging Co Lizzie Pittman Florence Mahoney Maj. L. D. Worsham Herman H. Bradford Emily Addison Manuel M. Wiseman, trustee of estate of Louis Wiseman Rose Gillespie Joseph Anton Dietz Booth Fisheries Co Bethel Cemetery Co. et al Presbyterian Church, Chesapeake City, Md Harold S. Stubbs George Morgan Edward Sta ppp William J, Howard David J. Seacord Mary L. McIntire Emma E. Foard Herbert C. Hannigan Sisters of Saint Baisl Edward Bedwell Rachel A. Loveless C. A. Cates John I. Lowe Howard McKee
914. 55 350. 00 1& 000. 00 1, 500. 00 887. 00
00 90. 33 8. 72 14. 30 68. (5 964. 29 141. 28 175. 45 27. 72 105. 89 40. 25 47. 50 68. 25 125. 00 64. 48 687. 57 8&, 58 96. 76 1, 000. 00 1, 000. 00 915. 00
1&
Tots. l 307
do
Ada
89, 192. 84
B. (Gould)
DISTRICT OF COLVMBIA.
Gollan
(SEE P. 350)
Grand total, private acts ( Indesnite. I Includes 31,327.56 referr
—
30867~6
26
5&00.
hi h I
o
id
d
d
576. 41 '-'
d ft ite appropriations
in the Disest of Approprh
2'&
t, -!20. 7
&
—
Table 4. PUBLIC-DEBT EXPENDITURES Funds available in 1933
Expenditures
in 1933
Fiscal year for which
Appropriations
appropriation wss made
Unexpended balances June 30, 1932, on books of Treasury
Net cost
Unexpended balances June 30, 1933, on books of Treasury
(actual)
Face amount redeemed
$47. 71
$425, 574, 965. 04
$418, 764, 000. 00 4, 993, 300. 00 1, 903, 000. 00
$418, 764, 000. 00 4, 911, 817. 54 1, 893, 810. 90
$5, 384. 31
$81, 482. 46 9, 189. 10
47. 71
425, 574, 965. 04
425, 660, 300. 00
90, 671. 56
425, 569, 628. 44
5, 384. 31
30, 007, 463. 38
30, 977, 000. 00
969, 128. 97
30 007 871 03
Appropriations
Premium
Discount (credit)
PUBLIC-DEBT PRINCIPAL
I.
PUBLIC-DEBT ExPENDITURES CHARGEABLE AGAINST ORDINARY RECEIPTS
General fund: Sinking fund: Treasury notes, series 1932 (3)4 percent) Treasury bonds of 1951—55 (3 percent) Treasury bonds of 1946—49 (3)s percent)
No year No year No year
Total, general fund Special funds: Purchases and/or redemption of bonds, etc. , from cash repayments of principal by foreign governments Treasury bonds of 1951— 55 (3 percent)
No year No year
Redemption of bonds, etc. , received as repayments of principal by foreign govem ments Treasury bonds of 1951— 55 (3 percent)
No year
1, 546, 300. 00
1, 546, 300. 00
1, 546, 300. 00
Redemption of bonds, etc. , received as on obligations of interest payments Treasury bonds of foreign governments 1951—65 (3 percent)
No year
1, 363, 350. 00
1, 363, 350. 00
1, 363, 350. 00
Obligations retired from Federal reserve bank franchise tax receipts Treasury bonds of 1951—55 (3 percent)
No year No year
17. 08
2, 011, 417. 89
2, 036, 750. 00
Obligations retired from net earnings derived by the United States from Federal intermediate credit banks
No year
306. 40
419. 69
—
—
Retirements from gifts, forfeitures, and other miscellaneous receipts: First Liberty loan bonds (3Ys percent) First Liberty loan bonds, convertible (4Vs percent) Fourth Liberty loan bonds (4)s percent) Treasury bonds of 1951—55 (3 percent) Treasury bonds of 1946-49 (3P& percent) Treasury bonds of 1940-43 (3~/s percent) Treasury bonds of 1941—43 (3sss percent)
Total public debt expenditures
able against ordinary receipts
charge-
306. 40
1, 000. 00
1, 000. 00
700. 00
700. 00 5, 300. 00 10, 100. 00 2, 500. 00
1, 000. 00
600. 00 1, 000. 00
700. 00 5, 300. 00 10, 100. 00 2, 500. 00 500. 00 1, 000. 00
21, 100. 00
21, 100. 00
21, 100. 00
743. 17
34, 949, 631. 27
35, 944, 500. 00
994, 480. 50
34, 950, 019, 50
354. 94
790. 88
460, 524, 596. 31
461, 604, 800. 00
1, 085, 152. 06
460, 519, 647. 94
5, 739. 26
year year year year year year
5, 300. 00 10, 100. 00 2, 500. 00 5PO.
Total
Total, special funds
2, 011, 398. 47
1, 000. 00
No year No No No No No No
25, 351. 53
00
II.
PUBLIc DEBT ExPENDITURES& PAYABLE FROM PERMANENT
INDEFINITE APPROPRIATIONs
General fund: Second Liberty loan bonds (4 percent) Second Liberty loan bonds, convertible (4/4 percent) Third Liberty loan bonds (4/4 percent) Victory Liberty loan notes (34/4 percent) Victory Liberty loan notes (4~/4 percent) Certificates of indebtedness (various rates) Treasury bills Treasury certificates (2 percent) Treasury notes (various rates) Treasurynotes, civil-serviceseries(4percent) Treasury notes, foreign-service series (4 percent) Treasury notes, Canal Zone series (4 per-
No No No No No No No No No
year year year year year year year year year
No year
cent) Compound interest notes (6 percent) Federal Reserve and national bank notes
No year No year
(old series) Federal Reserve and national bank notes (new series) Fractional currency Funded loan of 1907 (4 percent) Loan of 1908—18 (3 percent) Loan of 1925 (4 percent) 1-year Treasury notes of 1865 (5 percent) Postal Savings bonds 2d series (2&/z percent) Postal Savings bonds 3d series (2' percent) Postal Savings bonds 4th series (2' percent) Refunding certificates (4 percent) Treasury Savings certificates, issue Dec.
No year
— — —
15, 1921 Treasury Savings certificates, issue Sept. 30, 1922 Treasury Savings certificates, issue Dec. 1, 1923 Thrift and Treasury savings stamps
113, 150. 00
113 150 00
541, 200. 00 541, 200. 00 095, 750. 00 095, 750. 00 050. 00 8, 8, 050. 00 144, 200. 00 144, 200. 00 3, 150, 668, 700. 00 3, 150, 668& 700. 00 2, 719, 362, 000. 00 2, 719, 362, 000. 00 31& 020, 150. 00 31, 020, 150. 00 186, 305, 350. 00 186, 305, 350. 00 47, 800, 000. 00 47, 800, 000. 00
541, 200. 00 095, 750. 00 8, 050. 00 144, 200. 00 3, 150, 668, 700. 00 2, 719, 362, 000. 00 31, 020, 150. 00 186, 305& 350. 00 47, 800. 000. 00
113, 150. 00
No year
142, 000. 00
142, 000. 00
142, 000. 00
000. 00 60. 00
4, 000. 00
4, 000. 00
60. 00
60. 00
6, 542, 046. 00
6, 542, 046. 00
6, 542, 046. 00
840, 680. 00 1, 855. 31 400. 00 1, 080. 00 100, 200. 00 10. 00
37, 840, 680. 00 1, 855. 31 400. 00 1, 080. 00 100, 200. 00 10. 00
4&
year year year year year year
37 840, 680. 00 1, 855. 31 400. 00 1, 080. 00 100, 200. 00 10. 00
No year
2, 020. 00
2, 020. 00
2, 020. 00
No year
850, 180, 00
850, 180. 00
850, 180. 00
No year No year
062, 360. 00
1, 062, 360. 00
1, 062, 360. 00
No year
19, 525. 00
19, 525. 00
19, 525. 00
No year
74, 250. 00
74, 250. 00
74, 250. 00
No year No year
83, 025. 00 33, 244. 00
83, 025. 00 33; 244. 00
83, 025. 00 33, 244. 00
6, 183, 815, 625. 31 6, 183, 815, 625. 31
6, 183, 815, 625. 31
No No No No No No
140. 00
Total
37&
140. 00
140. 00
RECAPITULATION
Public debt expenditures receipts: General fund Special funds
Total
chargeable
Public debt expenditures payable propriations General fund Total public debt expenditures '
against
ordinary
from indefinite
ap-
47. 71 743. 17 790. 88
425, 660, 300. 00 35, 944, 500. 00 461, 604, 8QO. 00
6, 183, 815, 625. 31 6, 183, 815& 625. 31 790. 88 6, 644, 340, 221. 62 6, 645, 420, 425. 31
Appropriations as above: Sinking fund Other retirements chargeable against ordinary receipts
Discount (add): Sinking fund Other retirements
' 425, 574, 965. 04 34, 949, 631. 27 460, 524, 596. 31
90, 671. 56 994, 480. 50 1, 085, 152. 06
425, 569, 628. 44 34, 950, 019. 50 460, 519, 647. 94 6, 183, 815, 625. 31
l, 085, 152. 06 6, 644, 335, 273. 2,
'&
$425, 574, 965. 04 34, 949, 631. 27
$460, M4, 596. 31
90, 671. 56 994, 480. 50
chargeable against ordinary receipts
Total Net appropriations on basis of face amount (general fund) p, 331 Othor retirements chargeable against ordinary receipts (special funds) p. 331
384. 31 534 94 5, 739. 25 '&,
425, 665, 636. 60 35 944, 111.77
461 609 748 37
461, 609, 748, 37
5, 739. 25
404
RECEIPTS AND EXPENDITURES& 1 933
—
Table 5. STATEMENT OF THE PUBLIC DEBT Loans
Outstanding
June 30, 1932
Receipts (issues)
Expenditures (retirements)
Outstanding
June 30, 1933
INTEREST-BEAIIING DEBT
Bonds:
Consols of 1980 (2 percent) Panama Canal loan of 1916—86 (2 percent) Panama Canal loan of 1918—88 (2 percent) Panama Canal loan of 1961 (8 percent) Conversion bonds of 1946— 47 (8 percent) Postal Savings bonds, consolidated series (2%x P ercent) Liberty loan bonds: First Liberty loan (3/s percent) First Liberty loan, convertible (4 percent) First Liberty loan, convertible (4V4 percent) First Liberty loan, second convertible (4' percent) Fourth Liberty loan (4/4 percent) Treasury bonds: Bonds of 1947—52 (4' percent) Bonds of 1944—54 (4 percent) Bonds of 1946—56 (3% percent) Bonds of 1948—47 (3%s percent) Bonds of 1940—48 (3%s percent) Bonds of 1941—43 (3s/s percent) Bonds of 1946—49 (3%s percent) Bonds of 1951-55 (3 percent) Treasury notes: Series A-1934 (8 percent) Series A-1985 (8 percent) Series B-1984 (2%s percent) Series A-1986 (8&& percent) Series B-1936 (2s/4 percent) Series C-1936 (2!/s percent) Series A-1937 (8/& percent) Series B-1937 (3 percent) Series A-1938 (2% percent) Series B-1988 (2r/s Percent) Civil service retirement fund: Series 1988 (4 percent) Series 1934 (4 percent) Series 1935 (4 percent) Series 1986 (4 percent) Series %937 (4 percent) Series 1988 (4 percent) Foreign-service retirement fund: Series 1938 (4 percent) Series 1934 (4 percent) Series 1985 (4 percent) Series 1936 (4 percent) Series 1937 (4 percent) Series 1988 (4 percent) Canal Zone retirement fund: Series 1986 (4 percent) Series 1987 (4 percent) Series 1938 (4 percent) Certificates of indebtedness: Series T.A. G. 1983 (4 percent) Series T.D. 1933 (s/4 percent) Series T.D. 2, 1988 (4)4 percent) Series T.M. 1984 (',s percent) Adjusted-service certificate fund Series 1932 (4 percent) Treasury bills (maturity value): Series maturing July 5, 1933 Series maturing July 12, 1933 Series maturing July 19, 1933 Series maturing July 26, 1933 Series maturing Aug. 2, 1988 Series maturing Aug. 9, 1933 Series maturing Aug. 16, 1933 Series maturing Aug. 28, 1938 Series maturing Aug. 80, 1933 Series maturing Sept. 6, 1938 Series maturing Sept. 20, 1933 Series maturing Sept. 27, 1983
$599, 724, 050. 00 48, 954, 180. 00 25, 947, 400. 00 49 800, 000. 00 28, 894, 500. 00 34, 317, 420. 00
debt
$18, 880, 020. 00
1, 392, 228, 850. 00 5, 002, 450. 00 532, 491, 150. 00 8, 492, 150. 00 6, 268, 100, 450. 00
758, 983, 800. 00 1, 036, 834, 500. 00 489, 087, 100. 00 454, 135, 200. 00 352, 994, 450. 00 544, 917, 050. 00 821, 403, 000. 00 800, 421, 500. 00
52, 697, 440. 00
$1, 000. 00
1 892 227 350 00
700. 00
5, 002, 450. 00 582, 490, 450. 00
5, 800. 00
8, 492, 150. 00 6, 268, 095, 150. 00
500. 00
1, 000. 00
1, 905, 500. 00 40, 926, 800. 00
244, 234, 600. 00 416, 602, 800. 00
47, 85, 32, 64, 20,
800, 000. 00 800, 000. 00 400, 000. 00 200, 000. 00 100, 000. 00
47, 800, 000. 00
23, 900, 000. 00 50, 400, 000. 00
142, 000. 00 454, 000. 00 509, 000. 00 440, 000. 00
61, 000. 00
1, 998, 000. 00 66, 000. 00
142, 000. 00
598, 000. 00 62, 000. 00
113, 000. 00 84, 000. 00
4, 000. 00
469, 089, 000. 00 254, 864, 500. 00 478, 828, 000. 00 460, 099, 000. 00
105, 000, 000. 00
229, 900, 000. 00
6, 822, 347, 820. 00
35, 800, 000. 00 32, 400, 000. 00 64 200 000 00 44 000 000 0o 50, 400, 000. 00 454, 000. 00 509, 000. OO 440, 000. 00 654, 000. OO 62, 000. 00 1, 994, 000. 00 179, 000. 00 84, 000. OO
469, 089, 000. 00 254, 364, 500. 00 478, 828, 000. 00 460, 099, 000. 00 242, 900, 000. 00
100, 096, 000. 00 75, 733, 000. 00 75, 188, 000. 00 80, 295, 000. 00 60, 655, 000. 00 75, 067, 000. 00 75, 442, 000. 00 60, 078. 000. 00 100, 352, 000, 00 75, 529, 000. 00 100, 861, 000. 00 75, 697& 000. 00
15, 217, 535, 600. 00
988, 800. 00 884, 500. 00 087, 100. 00 185, 200. 00 998, 950. 00 916, 050. 00 819, 497, 500. 00 759, 494, 700. 00
758, 1, 086, 489, 454, 852, 544,
244 234 600 00 416, 602, 800. 00 845, 292, 600. 00 865, 188, 000. 00 360, 583, 200. 00 572, 419, 200. 00 884, 401, 500. 00 508, 828, 900. 00 277, 516, 600. 00 628& 911, 800. 00
845, 292, 600. 00 365, 138, 000. 00 860, 583, 200. 00 572, 419, 200. 00 834, 401, 500. 00 508, 328, 900. 00 277, 516, 600. 00 628, 911, 800. 00
—
Total interest-bearing
$599, 724, 050. 00 48, 954, 180. 00 25, 947, 400. 00 49, 800, 000. 00 28, 894, 500. 00
92, 000, 000. OO 100, 096, 000 00 V5 V33 000 00 75, 188, 000. 00 80, 295, 000. 00 6o, 655, ooo. 00 V5, O67, 000. OO 75& 442& 000 60, 078, 000 OO 100, 352, 000 OO 75, 529, 000 OO 10(},861, 000 00 75, 697, 000. OO
388, 686, 800. 00
21, 706, 196, 120. 00
405
STATEMENT OF THE PUBLIC DEBT TABI E Losns
tSATURED DEBT ON WHICH
—
5. Statement of the Outstanding
pt»btt'c debt
June 30, 1932
—Continued
Receipts (issues)
Expenditures (retirements)
Outstanding
June 30, 1933
INTEREST HAS CEASED
(Payable on presentation) Old debt matured
Old debt:
—issued prior to Apr. 1, 1917:
6 percent stock of 1790 Deferred stock of 1790 8 percent stock of 1790 Navy 6 percent stock 8 percent loan of 1800 16 million loan of 1813 10 million loan of 1814 Mississippi stock 7 percent stock of 1815 Treasury notes of 1815 Treasury notes prior to 1846 Treasury notes of 1846 Treasury notes of 1847 Treasury notes of 1857 Bounty land scrip Mexican indemnity
Certificates of indebtedness (6 percent) Compound interest notes (6 percent) Consols of 1865 (6 percent) Consols of 1867 (6 percent) Consols of 1868 (6 percent) Five-twenties of 1862 (6 percent) Five-twenties of 1864 (6 percent) Five-twenties of 1865 (6 percent) Funded loan of 1881 (5 percent) Funded loan of 1881, continued (3/&x percent) Funded loan of 1891 (4)&s percent) Funded loan of 1891, continued (2 percent) Funded loan of 1907 (4 percent) Loan of 1847 (6 percent) Loan of 1858 (5 percent) Loan of February 1861 (1881's) (6 percent) Loan of July and August 1861 (6 percent) Loan of July and August, continued (8/s percent) Loan of 1868 (6 percent) Loan of 1868, continued (3~/s percent) Loan of July 12, 1882 (3 percent) Loan of 1904 (5 percent) Loan of 1908-18 (8 percent) Loan of 1925 (4 percent) 1-year Treasury notes of 1863 (5 percent) Oregon war debt (6 percent) Postal Savings bonds first series (2Q percent) Postal Savings bonds second series (2)s percent) Postal Savings bonds third series (2)rx percent) Postal Savings bonds fourth series (2/x percent) Refunding certificates (4 percent) Seven-thirties of 1861 (7s/ro percent) Seven-thirties of 1864-65 (?pro percent) Temporary loan (4, 5, 6 percent) Ten-forties of 1864 (5 percent) Texas indemnity stock (5 percent) 3 percent certificates Treasury notes of 1861 (6 percent) 2-year notes of 1868 (5 percent)
151, 610. 26 3, 000. 00 156, 510. 00 55, 350. 00 84, 050. 00 3, 800. 00 105, 250. 00 18, 950. 00 19, 750. 00 22, 400. 00
151, 610. 26 3, 000. 00 156, 450. 00 55, 350. 00 84, 050. 00 3& 800. 00
13, 984. 90 13, 953. 18 100. 00 500. 00 46. 39 288. 98 846. 78 32. 52 67. 53 82& 415. 35 5, 900. 00 950. 00 700. 00 2, 900. 00 1, 104. 91
$60. 00
105, 250. 00 13& 950. 00 19& 750. 00 22& 400. 00
400. 00
600. 00 8, 100. 00
100. 00 200. 00 18, 050. 00 158, 840. 00 162, 850. 00 30, 040. 00 2, 250. 00
1& 080. 00 100, 200. 00 10. 00
600. 00 3, 100. 00 100. 00 200. 00 13, 050. 00 157& 760. 00 62, 650. 00 80, 080. 00 2, 250. 00
020. 00
1, 860. 00
854, 860. 00
850, 180. 00
4, 680. 00
980. 00
1, 062, 360. 00
12, 620. 00 8, 660. 00 9, 800. 00
3, 880. 00
1&
50. 00 18, 800. 00 1, 000. 00 345, 700. 00 950. 00 2, 000. 00 5, 000. 00 15, 050. 00
280. 00
280. 00
— — —
Second Liberty Loan (4 percent) Second Liberty Loan convertible (4V» percent)-----Third Liberty Loan (4)» percent) Victory Libertv Loan (3s/4 and 4s/' percent)---------
$27, 869. 77
50. 00 18, 800. 00 1, 000. 00 346, 100. 00 950. 00 2, 000. 00 5, 000. 00 15, 050. 00
—
Total, old debt
$27, 869. 77 13, 934. 90 13, 958. 18 100, 00 500. 00 46. 89 288. 98 846. 78 32. 52 67. 53 82, 415. 35 5, 900. 00 950. 00 700. 00 2, 900. 00 1, 104. 91
0?4&
2&
8, 800. 00 9 800. 00
140. 00
3, 521, 300. 26
2, 016, 450. 00
1, 504, 850. 26
864, 550. 00 2, 216, 300. 00 5, 067, 250. 00 1, 115, 700. 00
113, 150. 00 541, 200. 00 1, O95, 75O. 00 152, 2S0. 00
751, 400. 00 1, 675, 100. 00 8, 971, 500. 00 963, 450. 00
119, 400. 00 2, 850. 00 18, 850. 00 19, 000. 00 5, 000. 00 2, 250. 00 26, 700. 00
119, 400. 00 2 850. 00 18, 350. 00 19, 000. 00 5, 000. 00 2& 250. 00 26& 700. 00
RECEIPTS AND EXPENDITURES& 1933
—Statement
TABI.K 5. Loans
Outstanding
of the public debt June 30, 1932
—Continued
Receipts (issues)
Expenditures iretireinents)
Outstanding
June 30, 1933
MATURED DEBT ON WHICH INTEREST HAS CEASKD—
continued
Treasury notes, at various interest rates, matured: Treasury notes: Series A-1930—82 (3/Is percent) Series B-1930—32 (8/z percent) Series C-1980—32 (3/&i percent) Series 1932 (8)i percent) Series B-1926 (4/4 percent) Series B-1925 (4% percent) Series C-1925 (4&/2 percent) Series A-1927 (4Vs percent) Series A-1925 (4s/s percent) Series A-1926 (4~/4 percent) Series B-1927 (4/4 percent) Series B-1924 (5Vs percent) Series A-1924 (5ss4 percent)
Total, Treasury notes Certificates of indebtedness, at various interest rates, matured: Certificates of indebtedness (specials) (/4 percent) Certificates of indebtedness (specials) (Vs percent) Certificates of indebtedness (specials) (lr/4 percent) Certificates of indebtedness, T.S. 1932 (1Vs percent) Certificates of indebtedness, T.S. 2. 1932 (3 percent) Certificates of indebtedness, T.0. 1932 (8/s percent) Certificates of indebtedness, T.M. 1988 (3s/4 percent) Certificates of indebtedness, first series (2 percent) Certificates of indebtedness, T.J. 1988 (I'/2 percent) Certificates' of indebtedness, A. 1932 (8)s percent) Certificates of indebtedness, A. 1938 (8/4 percent) Certificates of indebtedness, B. 1933 (2 percent) Certificates of indebtedness, T.S. 2. 1981 (I/s percent) Certificates of indebtedness, T.J. 2. 1981 (I/s percent) Certificates of indebtedness, T.D. 2. 1931 (1/s percent) Certificates of indebtedness, T.D. 1981 (1/s percent) Certificates of indebtedness, T.M. 1982 (2 percent) Certificates of indebtedness, T.S. 1981 (2s/s percent) Certificates of indebtedness, T.J. 1982 (2ss4 percent) Certificates of indebtedness, T.J. 1931 (2r/s percent) Certificates of indebtedness (specials) (8 percent) Certificates of indebtedness, T.J. 1926 (8 percent) Certificates of indebtedness, T.S. 1930 (8)s percent) Certificates of indebtedness, T.J. 1928 (8ys percent) Certificates of indebtedness, T.D. 1930 (3y4 percent) Certificates of indebtedness, T.D. 1928 (8&/4 percent) Certificates of indebtedness, T.J. 2. 1926 (3/Is percent) Certificates of indebtedness (specials) (3)s percent)
$759, 750. 00 972, 950. 00 7, 500, 200. 00 600, 446, 200. 00 15, 000. 00 48, 100. 00 30, 700. 00 26, 700. 00 37, 200. 00 7, 800. 00 77, 800. 00 13, 000. 00 24, 200. 00
$827, 000. 00 626, 150. 00 6, 744, 900. 00 597, 322, 900. 00 7, 300. 00 200. 00 8, 100. 00 8, 900. 00
3, 000. 00
$482, 750. 00 346, 800. 00 755, 300. 00 3, 128, 300. 00 7, 700. 00 42, 900. 00 27& 600. 00 22, 800. 00 37, 200. 00 4, 600. 00 49, 600. 00 13, 000. 00 21, 200. 00
609, 954, 100. 00
605, 069, 350. 00
4, 884, 750. 00
8, 200. 00 27, 700. 00
$149, 000. 000. 00
149, 000, 000. 00
40, 000, 000. 00
40, 000, 000. 00
451, 447, 000. 00
451, 447, 000. 00
314, 279, 500. 00
313, 125, 000. 00
1, 154, 500. 00
898, 225. 000. 00
896&
704. 000. 00
I, 521, 000. 00
833, 492, 500, 00
882, 901, 500. 00
591, 000. 00
660, 715, 500. 00
658, 684, 500. 00
83, 960, 900. 00
81, 020, 150. 00
2, 940, 750. 00
873, 856, 500. 00
364, 458, 500. 00
9, 898, 000. 00
227, 631, 000. 00
227, 268, 500. 00
867, 500. 00
144, 872, 000. 00 239, 197. 000. 00
148, 599, 500. 00 235, 948, 000. 00
772, 500. CO 8, 249, 000. 00
795, 000. 00
526, 000. 00
269, 000. 00
25, 000. 00
14, 000. 00
11, 000. 00
529, 000. 00
488, 500. 00
45, 500. 00
919, 000. 00
916, 000. 00
3, 000. 00
3, 785, 000. 00
2, 549, 500. 00
1, 285, 500. 00
264, 000. 00
189, 500. 00
124, 500. 00
18, 148, 000. 00
18, 351, 000. 00
4, 797, 000. 00
55, 500. 00
21, 500. 00
34, 000. 00
19, 000, 000. 00
7&
081, 000. 00
19, 000, 000. 00
1, 000. 00
I, 000. 00
11, 500. 00
2, 000. 00
I, 000. 00
9, 500. 00 1, 000. 00
60, 500. 00
22, 000. 00
38, 500. 00
500. 00
500. 00
1, 000. 00
1, 000. 00
14, 000, 000. 00
14, 000, 000. 00
407
STATEMENT OF THE PUBLIC DEBT TABLE
—
5. Statement of the public Outstanding
June 30, 1932
debt
—Continued
Receipts (issues)
Expenditures (retirements)
Outstanding
June 30, 193$
MATCRED DEBT ON WHICH INTEREST HAS CEASED
continued
Certi6cates of indebtedness, at various interest rates, Continued. matured T.M. 1929 (3fs Certificates of indebtedness, percent) T.J. 1927 (3Q Certi6cates of indebtedness, percent) Certificates of indebtedness (various) (3'j& percent) (various) (4 perCertificates of indebtedness cent) Certificates of indebtedness (various) (4/4 percent) T.D. 1929 (4/4 Certi6cates of indebtedness, percent) Certificates of indebtedness, T.J. 1929 (4)&4 percent) Certificates of indebtedness (various) (4Q percent) T.D. 2. 1929 Certificates of indebtedness, (4sr4 percent) Certi6cates of indebtedness, T.S. 1929 (44&4 percent) Certificates of indebtedness (various) (4'j4 percent) Certificate of indebtedness, T.J. 1930 (4~/s per-
—
cent) Certificates cent) Certificates cent) Certificates cent) Certi6cates cent) Certificates
of indebtedness,
T.M. 1930 (5)s per-
of indebtedness
(various)
(5)4 per-
of indebtedness
(various)
(5)&s
per-
of indebtedness
(various)
(54/q
per-
of indebtedness
(various) (6 percent)
Total, certificates of indebtedness Treasury bills: Maturing Mar. 17, 1930 Maturing July 17, 1931 Maturing Dec. 30, 1931 Maturing Jan. 13, 1932 Maturing Jan. 25, 1932 Maturing Feb. 8, 1932 Maturing Feb. 15, 1932 Maturing Feb. 24, 1932 Maturing Mar. 2, 1932 Maturing Mar. 30, 1932 Maturing Apr. 13, 1932 Maturing Apr. 27, 1932 Maturing May 1, 1932 Maturing May 18, 1932 Maturing May 25, 1932 Maturing June 1, 1932 Maturing June 29, 1932 Maturing July 13, 1932 Maturing July 17, 1932 Maturing July 20, 1932 Maturing Aug, 10, 1932 Maturing Aug, 17, 1932 Maturing Aug. 24, 1932 Maturing Aug. 31, 1932 Maturing Sept. 28, 1932 Maturing Oct. 11, 1932 Maturing Oct. 19, 1932 Maturing Oct. 26, 1932 Maturing Nov. 9, 1932 Maturing Nov. 16, 1932 Maturing Nov. 23, 1932 Maturing Nov, 30, 1932 Maturing Dec, 28, 1932 Maturing Jan. 11, 1933 Maturing Jan. 18, 1933 Maturing Jan. 25, 1933
$3, 500. 00
$3, 500. 00
2, 000. 00
2, 000. 00
500. 00
500. 00
1, 000. 00
1, 000. 00
1, 000. 00
1, 000. 00
101, 000. 00
$12, 500. 00
88, 500. 00
21, 400. 00
8, 700. 00
12, 700. 00
21, 500. 00
12, 500. 00
9, 000, 00
52, 000. 00
28, 500. 00
23, 500. 00
32, 000. 00
3, 000. 00
29, 000. 00
2, 500. 00
2, 500. 00
90, 000. 00
19, 500. 00
70, 500. 00
146, 000. 00
23, 500. 00
122, 500. 00
1, 000. 00
1, 000, 00
6, 500. 00
6, 500. 00
4, 500, 00 9, 000. 00 2, 750, 821, 300. 00
1, 000. 00 30, 000. 00 25, 000. 00 20, 000. 00 52, 000. 00 154, 000. 00 112& 000. 00 85& 000. 00 150, 000. 00 258, 000. 00 452, 000. 00 241, 000. 00 162, 000. 00 948, 000. 00 1, 028, 000. 00 5, 469, 000. 00 4, 696, 000. 00 76, 200, 000. 00 51, 550, 000. 00 75, 600, 000. 00 76, 744, 000. 00 75, 000, 000. 00 60, 050, 000. 00 100, 022, 000. 00 100, 466, 000. 00
1, 000. 00
4, 500. 00 8, 000. 00
$673, 447, 000. 00
2, 938, 788, 850. 00
485, 479, 450. 00
75, 278, 000. 00 75, 923, 000. 00 83, 317, 000. 00 75, 217, 000. 00 75, 016, 000. 00 62, 350, 000. 00 100, 500, 000. 00 100, 665, 000. 00 75, 954& 000. 00 75, 110, 000. 00 80, 295, 000. 00
1, 000. 00 30, 000. 00 25, 000 00 20, 000 00 2, 000. 00 154, 000. 00 37, 000. 00 75, 000. 00 5, 000. 00 157, 000. 00 402, 000. 00 154, 000. 00 gn, 000. Oo g01, 000. 00 1, 028, 000. 00 3, 785, 000. 00 4, 607, 000. 00 76, 200, 000. 00 51, 450, 000. 00 75, 600& 000. 00 76, 729, 000. 00 74, 966, 000. 00 60, 050, 000. 00 99, 822, 000. 00 100, 425, 000, 00 75, 148, 000. 00 75, 923, 000. 00 83, 317, 000. 00 75, 217& 000. 00 75, 011& 000. 00 62, 350, 000. 00 100, 300, 000. 00 100, 450, 000. 00 75, 894, 000. 00 75, 055, 000. 00 80, 095, 000. 00
50, 000. 00 75, 000. 00 10, 000. 00 145, 000. 00 101, 000. 00 5o, ooo. on 87, 000. 00 72, 000. 00 47, 000. 00 1, 684, 000. 00
89, 000. 00
100, 000. 00 15, 000. 00 34, 000. 00
000. 00 41, 000. 00 130, 000. 00
200&
5, 000. 00
200, 000. 00 215, 000. 00 60, 000. 00 55, 000. 00 200, 000. 00
RECEIPTS AND EXPENDITURES& 1983
—Statement
I ABLE 5. Leans
MATUR14D
Outstanding
of the public debt June 30, 1932
—Continued Expenditures (retirements)
Receipts (issues)
June 30, 1933
Outstanding
DEBT OX WHICH INTEREST HAS CEASED
Continued
Treasury bills Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing Ma, turing Maturing Maturing Maturing Maturing Maturing
—Continued.
Feb. 8, 1983 Feb. 15, 1988 Feb. 28, 1983 Mar. 1, 1988 Mar. 29, 1988 Apr. 12, 1983 Apr. 19, 1938 Apr. 26, 1988 May 10, 1988 May 17, 1938 May 24, 1933 May 81, 1938 June 6, 1983 June 21, 1988 June 28, 1988
Total, Treasury bills
$629, 515, 000. 00
Treasury (war) savings certificates
$75, 056, 000. 00 75, 480, 000. 00 60, 000, 000. 00 100, 000, 000. 00 100, 039, 000. 00 75, 090, 000. 00 75, 032, 000. 00 80, 020, 000. 00 75, 228, 000. 00 75, 202, 000. 00 60, 074, 000. 00 100, 618, 000. 00 75, 216, 000. 00 100, 569, 000. 00 100, 158, 000. 00
$74, 924, 000. 00 72, 480, 000. 00 60, 000, 000. 00 98, 827, 000. 00 98, 275, 000. 00 74, 461, 000. 00 78, 066& 000. 00 79, 101, 000. 00 74, 885, 000. 00 74, 527, 000. 00 59, 623, 000. 00 99, 485, 000. 00 75, 167, 000. 00 99, 698, 000. 00 99, 873, 000. 00
$132, 000, 00 8, 000, 000, 00
2, 107, 402, 000. 00
2, 719, 362, 000. 00
17, 555, 000. 00
176, 800. 00
572, 325. 00
6, 267, 815, 800. 00
517, 357, 825. 26
749, 125. 00
Total outstanding
1, 173, 000. 00 1, 764, 000. 00 629, 000. 00 1, 966, 000. 00 919 000 00 843, 000. 00 675, 000. 00 451, 000. 00 1, 128, 000. 00 49, 000. 00 876, 000. 00 785, 000. 00
debt on which
matured interest has ceased
4, 008, 824, 625. 26
2, 780, 849, 000. 00
DEBT BEARING NO INTEREST
United States notes Less gold reserve Old demand notes National bank notes and Federal Reserve bank notes (old series) National bank notes and Federal Reserve bank notes (new series) Fractional currency Thrift and Treasury savings stamps, unclassified sales, etc
Total outstanding
$346, 681, 016. 00
$346, 681, 016, 00
' 156, 089, 088. 03
i 156 089 088. 08 53, 012. 50
debt bearing no interest,
53, 012. 50
32, 873, 727. 50
$8, 881, 685. 00
$6, 542, 046. 00
30&
86, 727, 740. 00 1& 987& 927. 57
90, 002, 487. 50
37, 840, 680. 00 1, 855. 81
88, 889& 547. 50 1, 986, 072. 26
8, 365, 204. 83
2, 881. 08
88, 244. 00
265, 649, 540. 37
less gold reserve
98, 886, 508. 58 44, 417, 825. 81 ' ' 19, 487, 009, 765. 68 9, 697, 082, 828. 58 6, 645, 420, 425. 81
Total gross debt
3,
218, 816, 50
384&
315, 118, 218. 64 22, 538, 672, 163. 90
PUBLIC DEBT ISSUES AND RETIREMENTS WITHIN SAME FISCAL YEAR INCLUDED IN THE FOREGOINQ STATEMENT
Certifiicates of indebtedness issued and retired within same fiscal year: Certificates of indebtedness (specials) ()4 percent)' Certificates of indebtedness (specials) (/s percent) Certificates of indebtedness (specials) (3 percent) Certificates of indebtedness (specials) (3Ps per-
cent) of indebtedness Certificates ' series) (4 percent)
I
(adjusted-service
Total, certificates of indebtedness Treasury bills year: Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing Maturing
$149, 000, 000. 00 40, 000, 000. 00 19, 000. 000. 00
$149, 000, 000. 00 40, 000, 000. 00 19, 000, 000. 00
14 000 000 00
14, 000, 000. 00
137, 900. 000. 00
137, 900, 000. 00
359, 900, 000. 00
359, 900, 000. 00
75, 147, 000. 00 75, 923, 000. 00 83, 817, 000. 00 75, 217, 000. 00 75, 011, 000, 00 62, 850, 000. 00 100, 300, 000. 00 100, 450, 000. 00 75, 894, 000. 00 75, 055, 000. 00 80 095 000. 00 74, 924, 000. 00
147, 000. 00 923, 000. 00 317, 000. 00 217, 000. 00 011, 000. 00 850, 000. 00 100, 300, 000. 00 100, 450, 000. 00 75, 894, 000. 00 75, 055, 000. 00 80, 095, 000. 00 74, 924, 000. 00
issued and retired within same fiscal
Oct. 11, 1932 Oct. 19, 1932 Oct. 26, 1982 Nov. 9, 1982 Nov. 16, 1982 Nov. 23, 1982 Nov. 80, 1932 Dec. 28, 1932 Jan. 11, 1938 Jan. 18, 1988 Jan. 25, 1988 Feb. 8, 1933
&
De&luct.
&
Inciudes 32, 455, 540&, 000 issues and retirements
within same fiscai year.
75, 75, 88, 75, 75, 62,
i
341. 91
409
STATEMENT OF THE PUBLIC DEBT TABLE
—
5. Statement of the public
Leans
Treasury bills issued and retired withirr same fiscal year Continued. Maturing Feb. 15, 1938 Maturing Feb. 28, 1983 Maturing Mar. 1, 1933 Maturing Mar. 29, 1988 Maturing Apr. 12, 1988 Maturing Apr. 19, 1983 Maturing Apr. 26, 1983 Maturing Msy 10, 1983 Maturing May 17, 1988 Maturing May 24, 1938 Maturing May 31, 1938 Maturing June 6, 1938 Maturing June 21, 1933 Maturing June 28, 1988
—
Outstanding
June 30, 1932
debt
—Continued
Receipts (issues)
Expenditures (retirements)
$75, 480, 000. UU 60, 000, 000. 00 98, 827, 000. 00 98, 275, 000. 00 74, 461, 000. 00 73, 066, 000. 00 79, 101& 000. 00 74, 885, 000. 00 74, 527, 000. 00 59& 623, 000. 00 99& 485, 000. 00 75, 167, 000. 00 99, 693, 000. 00 99, 373, 000. 00
$75, 480, 000. 00 60, 000, 000. 00 98, 827, 000. 00 98, 275, 000. 00 74, 461, 000. 00 73, 066, 000. 00 79, 101, 000. 00 74, 885, 000. 00 74, 527, 000. 00 59, 623, 000. 00 99, 485, 000. 00 75, 167, 000. 00 99, 698, 000. 00 99, 373, 000. 00
Total, Treasury bills
2, 095, 646, 000. 00
2, 095& 646, 000. 00
Total issues and retirements within same fiscal year
2, 455, 546,
000. 00
2, 455, 546, 000. 00
Outstanding
June 30, 1933
410
RECEIPTS AND EXPENDITURES, 1938
—
Table 6. GOLD RESERVE FUND AND UNITED STATES PAPER CURRENCY GOLD RESERVE FUND On June 30, 1933, the gold reserve against United States notes and Treasury notes of 1890 was $156,089, 088.03. There was no change in this fund during the fiscal year 1988, the receipts on account of franchise tax on earnings of the Federal reserve banks and Federal intermediate credit banks having been used for retirement of the public debt as shown on page 402. The United States notes, for which this reserve is held, were outstanding in the amount of $846, 681,016, a sum which is fixed by law. When such notes are received they The Treasury notes of 1890, for which this gold reserve is also held, were outstanding on June 30, 1983, in the amount of are reissued. $1, 186,324. When such notes are received and retired they are not reissued.
UNITED STATES PAPER CURRENCY Issues
Gold certificates issued Silver certificates issued Decrease
Total
Amount
$91, 320, 000. 00 489& 628& 000. 00 107& 586, 642. 00 688, 534, 642. 00
Redemptions
Gold certificates redeemed Silver certificates redeemed Treasury notes of 1890 redeemed
Total
Amount
$198, 284, 610. 00 495, 231, 532. 00 18, 500. 00
688, 584, 642. 00
—
Table 7. AUDITED EXPENDITURES
—SERVICE OF
THE POST OFFICE DEPARTMENT
Stated from July 1, 1932, to June 30, 1933, service of the fiscal year Appropnat&on
Total expenditures audited during the
t&tie
POST OFFICE DEPARTMENT& WASHINGTON&
Salaries:
1930 snd prior
1931
1932
1933
Certified claims
fiscal year 1933
D. C.
Office of the Postmaster General Post Office Department buildings Office of the First Assistant Postmaster General Office of the Second Assistant Postmaster General Office of the Third Assistant Postmaster General:
Regular employees Temporary employees Office of the Fourth Assistant Postmaster General Office of the Solicitor for the Post Office Department Office of the chief inspector Office of the purchasing agent Bureau of Accounts: Regular employees Temporary employees Contingent expenses, Post Office Department: Stationer Fuel, repairs, etc Telegraphing Miscellaneous items: Miscellaneous items Street-car fare Telephone service Law books, etc Expenses, conventions Traveling expenses, purchasing agent, et al Furniture and filing cabinets Printing and binding, Post Office Departmeut Heat, light, and power, Post Officc Building, Washington, Claims for damages, act of Dec. 28, 1922
$205, 481. 34 240, 116. 10 439, 403. 84 873, 817. 89
$205, 481 240, 116 489, 408 878, 817
34 10 84 89
676, 626. 84 20, 355. 09 302& 606. 10 68, 408. 01 182, 700. 76 84, 371. 88
676, 626 20, 355 302, 606 68, 408 182, 700 34, 371
84 09 10 01 76 88
36, 802 77
86, 802. 77 42, 513. 01
Total, Post Office Departlncnt
3&
80, 184. 84 540. 00 12, 240. 64 1, 319. 82 128. 51 327. 00 3, 888. 18 638, 538. 84 80, 798. 77 85, 454. 86
35, 276 540 18, 365 1, 412 384 827 6, 575 987, 962 35, 163 35& 454
5, 091. 97
1, 125. 25
93. 10
206. 00
2, '686. 87 354, 429. 37 4, 370. 21
3, 428, 739. 79
372, 987. 72
288, 478. 77 2, 520. 58 1, 800, 927. 50
2, 732. 81
1, 052. 20 116, 902. 07 8, 890. 69 120. 71
373, 278. 84 19, 860. 17 11, 380. 38 284, 484. 25
25, 781. 90 3, 748. 75 1, 578. 46 '9. 21
19, 889. 50 4, 517. 76 87. 75
' 1, 748. 97
518 01
17, 103 48 38, 099 96 6, 907 81
$854. 17 870. 52 760. 26
16, 249. 26 34, 729. 44 6, 147. 55
D. C
42&
31 00 89 92 51 00 00 71 98 3(i
3, 801, 727. 51
FIELD SERVICE& POST OFFICE DEPARTMENT
Once of the Postmaster General
Electric power, light, etc Freight, express, or motor transportation
of equipment,
etc
Personal or property damage claims Post-office inspectors, salaries Post-office inspectors, traveling expenses: Traveling expenses Chemical investigations, Department of Agriculture Post-offi inspectors, miscellaneous expenses, division headquarters Post-offic inspectors, clerks, division headquarters Paylncttt of rewards: Retract ls Information Travel expenses, etc. , Postmaster General &
&
Repayments in excess of audited expenditures. Fiscal year 1930.
»
29, 105. 00
Fiseal year 1929.
$187. 26 987. 65 5. 36
(
t $41. 50 s
296. 25
$68. 83
3, 785 01 405, 636 98 12, 73(i 62 1, 801, 053 57
399, 060 28, 603 12, 958 284, 475 880. 00
t 200.
00
50,
02&4.
2, 778.
87,
74 92 84 04
50 7!) 75&
TABLE
—
7. Audited expenditures
—Seroice of the Post Offtce Department —Continued Stated from July I, 1932, to June 30, 1933, service of the fiscal year
Appropriation
Total expenditures audited during the
title 1933
FIELD sERvlcE, PosT oFFIGE DEPARTMENT
1932
1931
1930 and prior
Certified claims
fiscal year 1933
—cont)Rued
Once of the First Assistant Postmaster General Compensation to postmasters Compensation to assistant postmasters Clerks first- and second-class post offices Watchmen, messengers, and laborers Clerks, contract stations Unusual conditions at post offices Clerks, third-class post offices Miscellaneous items, first and second-class post offices Village delivery service Detroit River postal service Car fare and bicycle allowance City delivery carriers Special delivery fees Rural delivery service Travel expenses, etc. , First Assistant Postmaster General Oflice of the Second Assistant
Postmaster
—
' $8, 252. 05
746, 507. 54 401, 796. 82 31, 711. 62 7 665, 661. 35 1, 876, 253. 94 1, 416, 085. 39 15, 995. 00 1, 182, 624. 13 107, 399, 380. 01 5, 316, 141. 95 93, 772, 120. 65 538. 95
852. 23 259. 25 2& 173. 96 31, 316. 60 29, 821. 37 8, 508. 32
1. 00 467. 85 ' 204. 34
' 197. 83 1, 011. 82
472. 42 1, 696. 42 184. 80
5, 206. 48 6, 734. 09 4, 269. 20 30, 021. 26
17. 56 1, 288. 52 15. 29 126. 92
11. 34
1, 244) 441. 49 3) 638. 48
116. 27
12) 919, 041. 84
92, 465. 60 119, 242. 16 161, 931. 93
service
Star-route service Alaska Power-boat service Railroad transportation and mail-messenger Railroad service
service:
Mail-messenger service Space basis act, District of Columbia Cost ascertainment, District of Columbia Contract Air Mail Service: Air Mail Service Assistant superintendents and clerks Personal services, District of Columbia Railway Mail Service Salaries Railway postal clerks Travel allowances Railway Mail Service: Traveling expenses Miscellaneous expenses Electric and cable-car service Foreign mail transportation: Steamship service Aircraft service Sea-post service Assistant Director, Division of International Postal Servi ee Delegates, Pan American Postal Congress, Madrid Balances due foreign countries Indemnities, international mail Travel expenses, etc., Second Assistant Postmaster General
— —
Office
$119, 751. 27 1, 314. 14 26, 897. 87
2&
$2, 519. 64 3. 07 5, 832. 45
14. 43 718. 55
95. 63 59. 89 547. 30 150. 00
'
' $155. 17
2, 202. 43
230. 44 127. 62
$44, 349, 519. 03 6, 320& 066. 20 152, 653, 454. 13
95. 63
1, 747, 420. 66 403, 071. 22
34, 035. 58 7, 697, 246. 03 1, 907& 573. 90 1, 425, 790. 33
15, 995. 00 1, 187, 859. 51 107, 409, 605. 05 5, 320, 50'1. 71 93, 802, 396. 45
J M
538. 95
General
Star-route service: Star-route service
Government-operated
$44, 235, 500. 17 6, 318, 734. 56 152, 618, 005. 26
15, 708. 27 142, 642. 46
84, 716& 220. 59 9, 522, 720. 60 42, 273. 04 31, 903. 68
10, 638, 049. 05 35, 913. 05 1& 000. 71 1, 156. 86
17, 714, 084. 80 13, 795. 81 32, 249. 68 48&' 400, 137. 86 2, 398, 542. 71
1, 101, 657. 44
45, 033. 35 970, 928. 23 405, 219. 19
3, 496. 72 101, 226. 64 46, 919. 09
495, 593. 22 6, 235, 264. 84 141, 197. 47 3, 240. 00
2, 958, 487. 09 602, 304. 66
283, 020. 94 8, 108. 73 268. 95
542, 665. 31 4& 414. 44 118. 45
878, 469. 69
125, 099. 90 845, 122. 26 202, 598. 00
24&
t7
20. 80
485. 00
3, 285. 69 1, 973. 45
28. 84 159, 940. 30 16, 765. 04
22. 15
21. 75
1, 413. 93
152. 95
10, 544. 79
659. 23
' 3, 718. 90 159, 795. 79 1&
361. 01
95, 358, 969. 26 9, 560, 607. 10 43,' 273. 75 33, 060. 54 18, 815, 742. 24 13)' 795. 81 82, 278. 52 48, 560, 253. 26 2, 415& 329. 50 48, 530. 07 1, 072, 585. 71 454, 704. 35
430. 84 2, 566. 07 6, 208. 38
14, 163, 220. 40 96, 104. 08 134, 950. 43 1, 305, 059. 39
210, 932. 52 1, 644. 84
27, 470, 833. 48 6, 837, 569. 50
141, 856. 70 3& 240. 00 1 3 718. 90 1, 196, 414. 56 10, 429. 02 387. 40
of the Third Assistant Postmaster General
Manufacture of postage stamps and stamped paper: Manufacture of postage stamps Manufacture of stamped envelops and newspaper wrappers Manufacture of postal cards Distribution of stam&ped envelops and newspaper wrappers
1, 525& 948. 74
438, 648. 60 21, 292. 89
1, 003, 569. 59 2, 371, 071. 00 641, 241. Bo 21, 292, Bg
&u
t3
d
Indemnities, domestic mail Travel expenses, etc. , Third Assistant Postmaster General Unpaid money orders more than 1 year old
0+ce of the Fourth Assistant I'ostmaster General Stationer Post-office equipment and supplies: E m nt and nd supplies Pdiipment
echnical works Twine and tying devices Shipment of supplies: Shipment of supplies Personal services, District of Columbia Labor-saving devices Mail bags and equipment: Mail bags, etc Personal services, District of Columbia Rent, light, and fuel Pneumatic tube service Pneumatic tube service, Boston Vehicle service: Vehicle service Travel expenses, etc. , Fourth~Assistant Postmaster General Adjusted losses and contingencies, postal funds
Total, field service Total expenditures,
service of the Post Office Department
404, 578. 06 655. 70 201, 101. 37
152, 281. 28 80. 75
4, 899. 79
494, 429. 08
49, 831. 46
2, 688. 14
590, 681. 19 . 50 287& 102. 44
459, 859. 15 6?. 60 17, 544. 04
75. 17
5, 621. 53 38, 793. 36 852, 784. 77
726. 61
231, 282. 77 542, 788. 76 16, 267, 714. 82 515, 931. 78 24, 000. 00
116, 047. 00 ' 48 89 866, 105. 57
1, 050, 640. 91
25. 40
68. 10
254, 646. 48
6& 848 14 38, 793 36 469, 285 84
6. 00
497. 57
275, 388. 82 542, 744. 87 16, 683, 211. 97 515, 981. 78 24, 000. 00
89, 958. 88
9, 438. 70
771. 23 227. 46
767. 82
68. 39
15, 884, 272 22 2, 320 22 119, 070 17
673, 019, 253. 98
22, 712, 805. 73
220, 442. 36
382. 58
251, 644. 87
696, 204, 529. 02
676, 447, 998. 77
23, 085, 793. 45
220, 442. 36
382. 58
251, 644. 87
700, 006, 256. 53
13, 578, 669. 78 2& 092. 76 119, 070. 17
2, 259,
'$700, 006, 256. 58 587, 631, 364. 48
Excess of postal expenditures over postal revenues Grants from the Treasury (including $248, 965.08 certified claims)
5
Excess of grants from the Treasury over postal deficiency resulting in an increase in the postal balances Repayments in excess of audited expenditures. &Fiscal year 1930, Excludes $64, 006, 612.01 impounded from vacancies and deductions from postal compensations and allowances and includes $15,645, 440. 96 civil-service retirement deductions. $15,610,737.73 was covered into the Treasury during the fiscal year 1933. &
546, 948. 68
44, 156. 05
Postal expenditures, as above Postal expenditures from postal revenues
&
564, 957. 90 686. 45 201, 101. 87
8, 198. 77
112, 874, 892. 05 117 380, 192. 83
M tat
0
5, 005, 800. 28
'
Exclusive of other payments from the general fund of the Treasury on account of the Postal Service amounting to $58, 632.54 (see p. 375). Salaries and contingent expenses for the Post Oifice Department beginning with the fiscal year 1923 are paid from postal revenues. For classification of extraordinary expenditures contributing to the deficiency in postal revenues for the fiscal year 1933 see exhibit following.
O H
RECEIPTS AND EXPENDITURES, 1938
414
EXHIBIT I Letter of the Postmaster General to the Secretary of the Treasury dated Nov. 13, 1933, certifying extraordinary expenditures contributing to the deficiency of postal revenues for the fiscal year ended June 30& 1933& in pursuance of Public Act No. 316, Sevent -first Con ress, ap Proved June 9, 1930 (46 Stat. 523) NovEMRER 18, 1933. MY DEAR MR. SEcRETARY.'In accordance with the provisions of the act of June 9, 1980, embodied in section 260, Postal Laws and Regulations, the amounts set forth below with respect to certain mailings during the fiscal year ended June 80, 1933, are certified to you in order that they may be separately classified on the books of the Treasury Department in stating the expenditures made from the appropriation to supply the deficiency of postal revenues. (a) The estimated amount which would have been collected at regular rates of postage on matter mailed during the year by officers of the Government (other than those of the Post Office Department) under the penalty privilege, $14, 315, 414. 00 including registry fees (5) The estimated amount which would have been collected at regular rates of postage on matter mailed during the year by: 1. Members of Congress, under the franking privilege $1, 019, 621. 00 2. By others, under the franking privilege 3, 994. 00 1, 023& 615. 00 (c) The estims, tcd amount which would have been collected during the year at regular rates of postage on publications going free in the country (d) The estimated amount which would have been collected at regular rates of postage on matter mailed free to the blind during the year 90, 522. 00 (e) The estimated difference between the postage revenue collected during the year on mailings of newspapers and periodicals published by and in the interests of religious, educational, scientific, philanthropic, agricultural, labor, 458, 569. 02 and fraternal organizations, and that which would have been collected at zone rates of postage 20, 086, 482. 16 (f) The estimated excess during the year of the cost of aircraft service over the postage revenues derived from air mail (g) The estimated amount paid during the year to vessels of American registry for carrying the ocean mail in excess of what would have been paid at pound rates if carried in vessels of foreign registry 25, 228, 463. 41
Total
61, 691, 286. 59 Very truly yours, JOSEPH
C.
O'MAHONEY&
Acting Postmaster
General.
RECAPITUI&ATION
415
OF EXPENDITURES MADE FROM SPECIFIC AND INDEFINITE APPROPRIATIONS
—
Table 8. RECAPITULATION OF EXPENDITURES MADE FROM SPECIFIC AND INDEFINITE PERMANENT ANNUAL APPROPRIATIONS, INCLUDING SPECIAL AND TRUST FUNDS, DURING THE FISCAL YEAR 1933 [Ou basis of checks issued]
[Repayments to appropriatious
in excess of expenditures
Specific
and
permanent
are printed in italics]
indefinite
annual
Special funds
Trust funds
appropriatious
Total
LEGISLATIVE
Bequest of Gertrude M. Hubbard, Library of Congress (interest account) Funds contributed for memorial to John Ericsson Library of Congress trust fund, investment account Library of Congress gift fund Library of Congress trust fund, income from investment account Special deposit accounts, Library of Congress Special deposit accounts, Government Printing Office
$1, 878. 59
48, 623. 59
898. 89 17, 197. 06
1, 878. 59 INDEPENDENT
$1, 378. 17 110, 015. 88 73, 083. 02
OFFICES
snd expenses, Federal Board for Vocational Education Cooperative vocational education, teachers, etc Cooperative vocational education in agriculture Cooperative vocational education in trades and industries (interest on trust Expenses of Smithsonian Institution
Salaries
fund)
Guaranty to carriers after termination of Federal control Increase of compensation, State, War, and Navy Department Buildings Special deposit accounts, Smithsonian Institution American National Red Cross Building, contributions Special deposit accounts, Farm Credit Administration Payments to States under Federal water power act Salaries snd expenses, Federal Reserve Board Special deposit account, Federal Radio Commission General railroad contingent fund, section 15a, interstate commerce sct of settlement of war claims Expenses of administration sct of 1928, Office of War Claims Arbiter Special deposit account, Offlce of Public Buildings and Public Parks of the National Capital Construction loan fund, United States Shipping Board United States Shipping Board Merchant Fleet Corporation (checking account) Special deposit accounts, United States Shipping Board Special deposit accounts, Alien Property Custodian Relief snd rehabilitation, longshoremen's and harbor workers' compensation act Refund to depositors, excess licenses under sec. 10 (c), trading with the enemy act Adjusted-service certificate fund, Veterans' Administration ' Unclaimed moneys of former patients, Veterans' Administration hospitals United States Government life insurance fund, Veterans' Administration S~ecisI deposit accounts, Veterans' Administration I'ivi]-service retirement and disability fund Canal Zone retirement snd disability fund s General post fund, National Homes, Veterans' Administration Horatio Ward Fund, National Homes, Veterans' Administration Funds due incompetent beneficiaries, Veterans' Adrninistrstion
200, 000. 00 940, 681. 64 2, 724, 300. 00 2, 652, 629. 22
60, 000. 00 066. 62
223&
89, 8l&l&. 85 43, 303. 73 1, 119, 97&1. 88 75, 727. 76 2, 029, 698. 27 89, 611. 61 507, 783. 03
1, 458. 37 8, 068. 89 1, 880& 607. 9 7&.
6, 564, 710. 83
11, 980. 33
99. 12 7 601 748 76
17. 95 70, 344, 294. 13 1, 713, 291. 60 40, 341, 504. 95 344, 786. 93
64, 468. 47 2, 585. 85
45, 652. 52 6, 800, 674. 81
For statement and analysis of this account see p. 430. statemeur aud analysis of this account see p. 424. For complete statemeut and analysis of this account see p. 429,
' For complete complete
$161, 958. @ 13, 582. 28
'
&
$217, 509. 37
215, 630. 78
6, 741, 483. 26
120, 510, 774. 62
134, 052, 932. 69
RECEIPTS AND EXPENDITURES, 1933 TABLE
—
8. Recapitulation of expenditures
—
made from specific and indefinite permanent annual funds, during the fiscal year 1988 Continued
appropriations,
including
special and trust
[On basis of checks issuedl
[Itepayments
to appropriations
l
in excess of expenditures
Specific
and
permanent
appropriations
indefinite
annual
Trust funds
Special funds
Total
OF AGRICULTURE
DEPARTMENT
Cooperative agricultural extension work Increase of compensation, Department of Agriculture National Forest Reservation Commission Refund to depositors, excess of deposits, national forests fund Meat inspection, Bureau of Animal Industry received and covered Refunding moneys erroneously (Agriculture) Cooperative work, Forest Service Payments to States and Territories from the national forests fund Payments to school funds, Arizona and New Mexico, national forests fund Roads and trails for States, national forests fund Establishing wool standards Expenses, Cotton Standards Act Classification of cotton, revolving fund Special deposit accounts
$)4,
656,' 096. 00
79. 67 451. 36
69, 339. 88 3, 000, 000. 00 20. 00
DEPARTMENT
$2, 118, 502. 56
568, 256. 51
21, 221. 30 215, 266. 23 29, 000. 89 29, 130. 28 66, 104. 21 235, 196. 39 7, 725, 827. 57
$11, 008, 505. 94
3, 282, 678. 37
OF COMMERCE
Refunding penalties or charges erroneously exacted Topographic survey of United States, contributions Deficiency in Patent Office revenues Salaries and expenses, Patent Office Special deposit account, Patent Oflice Gas production, helium plants Special deposit accounts
1, 628. 84
11, 517. 82
935, 842. 29 3&
937, 471. 13 DEPARTMENT
are printed in itsacel
997, 053. 06 180, 816. 1)6 35, 428. 87
3, 863, 684. 29
i[966. 00
965. 00
OF THE INTERIOR
Repayments for lands erroneously sold Colleges for agriculture and the mechanic arts Expenses, public survey work, Alaska Expenses, public surve~ work, general The Oregon and Califctrnia land-grant fund Payments to States from receipts under mineral leasing act Payment to Oklahoma from royalties, oil and gas, south half of Red River Coos Bay wagon road grant fund 5 percent funds of the net proceeds of sales of public lands in the States Reclamation fund Colorado River dam fund, Boulder Canyon project project, Colorado River dam fund, Boulder Canyon emergency construction, act July 21, 1932 Yuma auxiliary irrigation project, Arizona Special deposit accounts (Reclamation Service) National Park Service, donations Public schools, Alaska fund Wagon roads, bridges, and trails, Alaska fund Funds contributed for improvement of roads, bridges, and trails, Alaska Alaska Railroad special fund Special deposit accounts (government in the Territories) Unearned moneys, lands Outstanding liabilities, lands Personal funds of patients, St. Elizabeths Hospital Pension money, St. Elizabeths Hospital Special deposit accounts (Interior, civil) Civilization of the Sioux Interest on Indian trust funds Indian Service supply fund Annette Islands Reserve, Alaska, fund from leases Special deposit accounts (Office of Education) Maintenance, construction charges, etc. , irrigation systems, Indian Service
11, 290. 09
2, 550, 000. 00
887. 10 10) 537. 97
167& 764. 46 1, 208& 488. 28
10, 342. 86 17, 677. 75 9, 010. 54 5, 403, 986. 94
19, 0/6. 06
606. 99 18, 657. 57
6) 1)81. 18
36, 702. 34 33, 668. 46 161, 767. 40
6, 370. 68 1, 390, 912. 56 7, 080. 8$
254, 664. 18 660, 287. 00 76, 818. 78
58) 188. 80
5, 234. 20 li.
18
342, 870. 78
18. 00 493. 44 146, 032. 70 29, 864. 76
4, 800, 190. 42
RECAPITUI&ATION TABLE
—
8. recapitulation
4 17
OF EXPENDITURES MADE FROM SPECIFIC AND I NDEFINITE APPROPRIATIONS
of ezpenditures
—
made from specific and indefinite permanent annual funds, during the fiscal year 1988 Continued
appropriations,
including
special and trust
[Ou basis of checks issued]
[Reparmeuts to appropriatious
in excess of expenditures
Specisc aud
iudefluite
permanent
appropriations
oF THE INTERIoR
DEPARTMENT
are printed in italics]
annual
Special funds
$13, 034. 06
$1, 024, 002. 59
136, 729. 14
1, 787, 071. 79 2, 03?, 610. 70 276, 347. 81
$3, 400, 022. 54
8, 752, 572. 22
5, 438, 140. 93
$17, 590, 735. 69
OF JUSTICE
Return of unclaimed moneys deposited by clerks of courts received snd covered moneys erroneously Refunding (Justice) Unclaimed moneys of individuals whose whereabouts are unknown (Justice) Commissary funds, Federal prisons Funds of Federal prisoners Special deposit accounts
7, 390. 70
6, 131. 72
564. 26 259, 576. 46 646, 743. 14 5, 665. 68
901, 218. 18
13, 522. 42 DEPARTMENT
914, 740. 60
OF LABOR
Naturalization fees, publishing citizenship textbooks Extra compensation for overtime, Immigration Service Unclaimed moneys of individuals whose whereabouts are unknown (Labor) Special deposit accounts
7&
7&
NAVY
Total
—continued
Power plant, Coolidge Dam, Ariz. , electric current fund Indian moneys, proceeds of labor (act June 13, 1930) Indian moneys, proceeds of labor, agencies, schools, etc Proceeds of oil and gss leases, royalties, etc. , Osage Reservation, Okla Miscellaneous trust funds of Indian tribes Special deposit accounts (Indian Service)
DEPARTMENT
Trust funds
064. 99
102, 597. 86
064. 99
534, 138. 49
701. 00 85, $8L 10
636, 736. 35
81&,
780. 10
559&
071. 24
DEPARTMENT
United States naval prison activities fund Naval Home, Philadelphia, Ps Navy fines and forfeitures Improving Naval Observatory circle Naval supply account fund Naval supply account fund (trsnsfer to Wsr Department,
act Msy 21, 1920)
Naval working fund Clothing and small stores fund Ship's stores profits, Navy Pay of the Navy, deposit fund Navy allotments (transfer to Veterans' Bureau, 1917) Naval hospital fund Naval Reservation, Olongapo, civic fund Psy of Marine Corps, deposit fund Prize money to captors Prize money, Battle of Manila Bsy Prize money to captors, Spanish Wsr Special deposit accounts
1&
163 988 63
870. 95
36, 603. 35 250. 00
18, 698, 588. 86 2, 779. 87 183, 410. 48
50, 788. 88 168, 351. 55
22, 484. 34
act Oct. 6,
105, 00 249, 958. 71 2, 465. 02
151, 367. 27 1. 08 141. 28 2. 92
9, $08. 86 395, 570. 94
18, 81&8, 81&9. 88
174&
101. 89
19 778 676 55
POST OFFICE DEPARTMENT
Deficiency in the postal revenues (including certified claims Return of subscriptions to Liberty Bond issues placed through the postmaster at Philadelphia, Pa
117, 380, 192. 33
29. 00
117, 380, 192. 33
—
—
30361 36
31
'
29. 00
117, 380, 221. 33
418 TARl, E
RECEIPTS AND EXPENDITURES, 1933
—
8. RecapituLation of expenditures
—
made from specific and indefinite permanent annual appropriations, funds, during the fiscal year 1988 Continued
including
special and trust
[On basis of checks issued]
[Repayments
to appropriations
in excess of expenditures
Specific
and
are printed in itelicsl
indefinite
permanent
annual
Special funds
Trust funds
Total
appropriations
DEPARTMENT
OF STATE
Pay of consular agents for services to American and seamen Refunding moneys
erroneously
received
and
vessels
$8, 310. 44
covered
(State)
742. 27 72. 00
Refunding passport fees German Government's moiety, expenses, Mixed Claims Commission Government's H ungarian moiety, expenses, Tripartite Claims Commission Government's Austrian moiety, expenses, Tripartite Claims Commission Special deposit accounts, Department of State Estates of decedents, trust funds Repatriation of American seamen Foreign Service retirement and disability fund 4 Miscellaneous trust funds
$6, 518. 78 227. 96 261&
326. 16 566. 11
$734. 90 262, 176. 38 75, 178. 34
9, 124. 71
268, 644. 47
338&
089. 62
$615, 858. 80
TREASVRY DEPARTMENT
Recoinage of silver coins Expense of loans, act Sept. 24, 1917, as amended Expense of loans, act Sept. 24, 1917, as amended and extended Expenses of loans, act Sept. 24, 1917, as amended and extended (transfer to Post Office Department, act Nov, 4, 1918) Preparation, custody, and delivery of farm-loan bonds (reimbursable) Preparation, custody, and delivery of Federal intermediate credit banks securities (reimbursable) Debentures or drawbacks, bounties, or allowances (custoDIS)
Refund of excessive duties (customs) Refunding moneys erroneously received and covered (customs) Refunding proceeds of unclaimed merchandise (customs) Refunding to national banking associations, excess duty Contingent expenses, national currency (reimbursable) Allowance or drawback (internal revenue) Redemption of stamps (internal revenue) Refunding legacy taxes, act Mar. 30, 1928 Refunding moneys erroneously received and covered (internal revenue) Allowance or drawback (industrial alcohol) Refunding moneys erroneously received and covered (industrial alcohol) Increase of coiripensation, Treasury Department To promote the education of the blind (interest) received and covered Refunding moneys erroneously (Treasury) Relief of the indigent and redistribution funds, Alaska fund Philippine special fund (customs duties) Salaries and expenses, Federal Farm Loan Board Miscellaneous expenses, Federal Farm Loan Board Salaries and expenses, national bank examiners Additional income tax on railroads in Alaska (internal revenue) National Institute of Health, conditional gift fund Cleveland, Ohio, marine hospital (new) Securities trust fund Moneys and effects of deceased patients, Public Health Service Unclaimed moneys of individuals whose whereabouts are unknown (Treasury) Outstanding liabilities Special deposit accounts
752, 356. 97 5, 818. 'M
483, 930. 08 547. 38 85&
1, 137. 92 7, 712, 419. 41 4, 895, 342. 68
11. 13
1, 921. 70
501. 91
149, 983. 72 123& 549. 60 4, 032, 618. 03 10, 000. 00
388. 27 71, 745. 03 1. 00
180. 08 10, 000. 00 2,
For complete statement snd analysis of this account see p. 428.
615. 31
30, 959. 94 59. 67 6. 36 1. 50 2, 476, 290. 86 7, 614. 31 3, 696. 74 10, 788. 54 29&
234. 78 265. 00
20. 00 85$, 015. 80 884& 988. 88 18&
&
555. 90
216, 561. 49
2, 529, 417. 92
o59, 1i7B. u
20, 186, 500 67
RECAPITULATION TARnE
OF EKPENDITURES MADE FROM SPECIFIC AND INDEFINITE
—
8. Recapitulation of expenditures
made from specific and indefinite funds, during the fiscal year
—
permanent
annual
1988 Continued
419
APPROPRIATIONS
appropriatiorte,
including
special and trust
[On basis of checks issued] [Repel&ments to appropriations
in excess of expenditures
Specific
and
permanent
are printed in italics]
indefinite
annual
Special funds
Trust funds
Total
appropriatione WAR DEPARTMEi&tT
Claims of officers and men of the Army for destruction
of private property Extra pay, Regular Army, war with Spain Extra pay to volunteers, war with Spain ili[itary Establishment Increase of compensation, Replacing clothing and equipage Replacing Army transportation Replacing regular supplies of the Army Replacing barracks and quarters Replacing subsistence of the Army Replacing medical supplies Replacing Signal Corps supplies and equipment Replacing seacoast defenses, Engineers, act July 9, 1918 Replacing Engineer equipment of troops, act July 9, 1918 Replacing Engineer opera, tions in the field, act July 9, 1918 Replacing Engineer depots Replacing ordnance snd ordnance stores National Guard, section 87, National Defense Act Examinations and surveys at South Pass, Mississippi River Gauging waters of Mississippi River and its tributaries Maintenance of channel, South Pass, Mississippi River Operating snag and dredge boats on upper Mississippi, Illinois, and Minnesota Rivers Operating snag boats on the Ohio River Operating and care of canals and other works of navigation Commission of Congresses of Permanent International Navigation Removing obstructions in Mississippi, Atchsfalaya, and Old Rivers Removing sunken vessels or craft obstructing or endangering navigation Soldiers' Home interest account Refunding moneys erroneously received snd covered (Wsr) Ordnance material, proceeds of sales (Wsr) Restoration of Old Fort Niagara, N. Y., donations Paving Government road across Fort Sill Military Reservation, Okla. , contributions Protective works and measures, Lake of the Woods and Rainy River, Minn Wagon roads, bridges, and trails, Alaska fund. e Funds contributed for improvement of roads, bridges, and trails, Alaska. e Maintenance and operation of dams and other improvements of navigable waters Funds contributed for improvement of river and harbor work (for appropriation accounts see pp. 323, 327): Rivers Harbors Preservation, birthplace of Abraham Lincoln Pay of the Army, deposit fund Soldiers' Home permanent fund Army allotments (transfer to Veterans' Bureau, act Oct. 6, 1917) Estates of deceased personnel War Department Estates of deceased soldiers, United States Army Civilian Conservation Corps, savings fund
$1, 13'2. 35 22o. 17 2 106. 04 80. rr rgr, 598. 88 22 861. 49 127, 965. 72 18, 009. 88 7, 493, 971. 15 63& 996. 13 58, 161. 84 1, 213. 96 41, 599. 77 rt8, rr9'. 88 202. 90 1, 89?, 159. rtrt 98, 918. 95 10, 311. 63 9, 025. 53 12?, 799. 00
6&
of the Interior.
198. 98
13, 509. 11 43, 755. 11 546, 727. 75 2, 641. 55
79, 660. 03
195, 134. 72 104, 382. 11 2. 99
38, 729. 29 . 04 23, 971. 09
11, 320. 99
172, 836. 87 1, 157, 148. 26 244, 923. 28
199. 68
$849, 169. 47 521, 872. 41 2, 332. 05 56. 33
30, 915. 87 694. 00 12, 632, 872. 65
' Stated undec the Department
t'ai, 91&rt,
894, 99?. 1&8
1, 405, 040. 13
$13, 742, 915. 30
420
RECEIPTS AND EXPENDITURES, 1933
—
8. Recapitulation
TABLE
of expenditures
made from specific and indefinite permanent annual appropriations, funds, during the fiscal year 1988 Continued
—
special and trust
includtng
[On basis of checks issued]
[Repayments to appropriations
in excess of expenditures
Snecific
and
permanent
are printed in italics]
indefinite
annual
appropriations
Special funds
Trust funds
Total
PUBLIC DEBT
Principal chargeable against ordinary receipts Principal payable from permanent indefinite tions
$35, 944, 500. 00
appropria$6, 183, 815, 625. 31 689, 243, 011. 82 425, 660, 300. 00
Interest Sinking fund
Total, exclusive of District of Columbia
7, 298, 718, 937. 13
35, 944, 500. 00
7, 452, 495, 800. 98
62, 335, 921. 12 $128, 122, 220. 53
$7, 334, 663, 437. 13 7, 642, 953, 942. 63
DISTRICT OF COLUMBIA
Alleys
Extension, etc. , of streets snd avenues Refunding taxes Industrial home school fund Gasoline tax road and street improvements Washington Aqueduct Water department Mains, water department Booster pumping plant, Dalecarlia Reservoir Refunding water rents, etc Reservoir, Fort Stanton Park, water fund Miscellaneous trust-fund deposits Outstanding liabilities Permit fund Relief and rehabilitation, District of Columbia workmen' s compensation act Inmates' funds, workhouse snd reformatory Teachers' retirement fund deductions Teachers' retirement fund, Government reserves Washington redemption fund
Total expenditures permanent
from specific annual appropriations,
and
etc
619. 49 71, 367. 68 52, 310. 23 1&
23. 71 667, 568. 76 419, 614. 83 965, 603. 99 175, 486. 67 8, 219. 24 2, 659. 40 216. 69
637, 339. 96 665. 09 24, 257. 05 1, 277. 95 59, 725. 85 407, 722. 67 221, 320. 20 314, 095. 36
123, 058. 42
3, 239, 393. 29
1, 665, 073. 95
7, 452, 618, 859. 40
65, 575, 314. 41
129, 787, 294. 48
5, 027, 525. 66
indefinite
7,
647&
981, 468. 29
—
Table 9. STATEMENT OF EXPENDITURES QY DEPARTME'NTS AND INDEPENDENT OFFICES FOR THE BENEFIT OF, AND FROM APPROPRIATIONS PROVIDED FOR, OTHER DEPARTMENTS AND INDEPENDENT OFFICES DURING THE FISCAL YEAR 1933' [Checlr-issued basis]
[Repayments
General fund, expended
by—
Legislative: Library of Congress Government Printing Office National Advisory Committee for Aeronautics National Capital Park and Planning Commission Smithsonian Institution U. S. Shipping Board Veterans' Administration Department of Agriculture Department of Commerce Department of the Interior Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Depar tment Panama Canal
Total, general fund Trlist funds, expended by: Veterans'
Total
For Commerce
to appropriations
For Interior
in excess of expenditures
For Justice
are printed in italics]
For Navy
For State
For Treasury
For War
For District of Columbia
For Chicago World's Fair Centennial Celebration
$168 18 850 18 5, 670 11 5, 757 20 6, 078 89
659 19
$18, 087. 96
' $265, 591. 74 209. 66 $2, 000. 00
$212, 864. 61 42& 342. 76
$32, 466. 88 19, 584. 27 58, 177. 21
$12, 649. 69 400. 00
1, 067 45 60, 291 68
834. 52 26, 380. 83 85& 816. 45 $8&
547. 38
790. 98 18, 878. 94
11, 61&6. 86 254&
155. 14
340, 176. 72
842, 176. 72
564, 660. 57
819, 867. 94
05
48, 482. 00
109, 386. 31
62, 079. 07
81&8.
105. 00
Administration
18, 878. 94
254, 155. 14
342, 176. 72
819, 972. 94
4'1, 70lf.
121, 031. 80
88
37, 948 19, 376 379 17, 318 21, 020 2, 501 4, 635 11, 489
13 14 30 40 17 01 67 21
4, 013 33 731 22
1, 701&. 88
199, 955. 46
1, 70/e 88
199, 955. 46
2, 332. 05 109&
386. 31
62, 079. 07
123, 363. 85
Expenditures from appropriations or funds transferred from one department or establishment to another under the provisions of the fortificatio act of Msy 21, 1920; under the annual appropriation acts authorizing the Bureau of Standards or Bureau of Mines to conduct scientific investigations for other departments or establishments; under tne annual appropriation acts authorizing the Veteraus' Administration to allot money to the pukdic Health Service, the War, Navy, snd Interior Departments for care and treatment of beneficiaries of the Veterans' Administration, or under any other provision of law authorizing the transfer of funds, sre expenditures of the department or establishment for which the appropriations were made and are not expenditures of the department or establishment to which such appropriations have been transferred. Includes $95, 593.34 for the Indian Service. &
&
—Continued
during the fiscal year 1988
[Check-issued basis]
[Repayments
General fund, expended
by—
For Emergency Conservation
Work
to appropriations
in excess of expenditures
Fed-
For For expenses, eral Board national bankVocafor ing emergency tional act Mar. 9, 1933 Education
For Fed-
eral Farm
Board
Legislative: I ibrary of Congress Government Printing Office National Advisory Committee for Aeronautics National Capital Park and Planning Commission Smithsonian Institution U. S. Shipping Board Veterans' Administration Department of Agriculture $820. 79 Department of Commerce $230. 00 s Department of the Interior $8, 981. 62 Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department $231, 011. 57 War Department 14, 239, 529. 61 Panama Canal
Total, general fund Trust funds, expended by:
14, 248, 461. 23
231, 011. 57
14, 248, 461. 23
281, 011. 57
280. 00
820. 79
230. 00
820. 79
For Federal Power Commission
~
are printed in italics]
For National Advisory Committee for Aeronautics
For George Washington Bicentennial Commission
For U. S.
Yorktown Sesquicentennial Commission
For U. S.
Tariff Commission
For Veterans' Administration
$168. 18 850. 18 5, 670. 11 5, 757. 20 6, 078 89
$75. 76
$40, 888. 72
$185. 00
$172. 31
$8, 938. 00
778. 82 1, 180, 405. 65 8, 328, 004. 92
330. 00 75. 76
40, 668. 72
172. 31
185. 00
4, 468, 126. 89
Veterans' Administration
Total r
Indian Service.
Total
659 1, 067 886, 098 850, 385 226, 228 879 17, 818 21, 798 3, 048
19 45 57
91 99 30 40 49 89
4, 635 67 1, 711, 378 87
18, 168, 823 10 781 22 20, 910, 573. 11 2, 437. 05
75. 76
40, 663. 72
172. 81
1. 86
185. 00
4, 463, 126. 89
20, 913, 010. 16
RECEIPTS AND EXPENDITURES, 1933
423
—RECAPITULATION
OF EXPENDITURES MADE FROM THE APPROPRIATIONS "PRINTING AND BINDING" DURING THE FISCAL YEAR 1933
TgbIe 1P,
FOR
[On basis of checks issued]
[Repayments to appropriations
in excess of expenditures
1933
PRINTIiVG
AND
1931
1932
1929 and
1930
prior
Total during the
Certified claims
fiscal year 1933
BINDING
Library of Congress Government Printing Office (public printing and binding) Executive Office Advisory Committee for Aeronautics Board of iQediation Board of Tax Appeals Bureau of Efficiency Civil Service Commission Commission of Fine Arts Employees' Compensation Commission Federal Power Commission Federal Radio Commission Federal Trade Commission General Accounting Oflice Interstate Commerce Commission Smithsonian Institution Public Buildings and Public Parks of the Na. tional Capital United States Geographic Board United States Shipping Board United States Tariff Commission Veterans' Administration Department of Agriculture Department of Commerce Department of the Interior Department of Justice and courts Bureau of Prohibition Court of Claims United States Supreme Court United States Court of Customs and Patent Appeals United States Customs Court Department of Justice Department of Labor Navy Department Post Office Depa, rtment Department of State Pan American Union Treasury Department Bureau of the Budget War Department District of Columbia, Supreme Court, District of Columbia
$323 557, 10
Total
1
176, 818. 89 1, 798. 85 10, 457. 29 902. 29 12, 212. 28 157. 32 17, 142. 48 195. 66 1, 275. 54 2& 844. 44 3, 347. 70 7, 307. 40 46, 282. 11 41& 589. 52 24, 020. 42
$43 280. 93 $1&
139. 27 472, 487. 90 278, 556. 81 82, 214. 13 227& 403. 75
291, 648. 17 283, 297. 52 6S, 474. 83 50, 673. 32
18, 964. 13 13, 321. 24
5, 944. 90 9, 176. 54
1, 106. 44 1, 115. 42
1, 190. 08 70. 08
143 938 77 271, 964. 12
80, 847. 47 275, 085. 3S
'5
989. 11
24, 091. 81
223. 51
24, 353. 50
199. 19
4, 656. 09 4, 903. 67
2
19, 492. 96 4, 403. 19
3, 347. 70 22, 110. 67 54, 469. 32
9, 036. 14
198. 17 106, 413. 35
151&
3, 7 8, 23, 124, 764,
'1, 100. 00
1, 069 00
7. 50
203. 63
918. 96 1. 80
64] 30 137. 56 510. 30
433. 73
88. 58
1, 185. 50 14. 40 224, 786. 24 547, 049. 50 14. 46 220, 253. 56 20, 000. 00 606, 270. 58
14. 40
28. 35
39, 400. 56 4, 464. 90
159, 870. 03 739. 32 209, 011, 94 15, 4S8. 92 939. 35
32, 259. 91
2, 843, 632. 97 2 , 342, 370. o2
109, 175. 87
&
269. 32
755. 48 136. 07 561, 862. 88 150, 688. 96 279, 633. 39 1. 80 24, 909. 03 22& 497. 78
8. 55
14. 46 98, 076. 64
283, 414. 37 43, 149. 66 5, 500. 00
302, S93. 72 I, 929. 10 18, 421. 07
589. 81
s
82, 748. 01 20, 000. 00 441, 935. 65 32, 187. 05
$69. 82
11. 48
1, 785. 31 1, 114. 88 3, 934. 25 16, 442. 11 30, 608. 71
c}4,
81. 10 gli/8, 55
479. 54
5, 529. 21
14, 803. 27 8, 187. 21 100, 572. 51 62, 899. 97
In ludes 37, 027AS for 1932-33.
—
$366, 838. 03
477, 802. 90 130. 25 7, 963. 78 86& 82 11, 879. 53 66. 19 7, 199. 54 3. 53 3, 380. 55 2, 059. 23
1, 484. 01 1, 023. 23 4, 203. 31 5, 999. 19
,
'
are printed in italics]
926. 37
32&
524, 686. 22 58, 638. 58 6, 567. 66
128. 31 4, 837. 81
189. 15
1930-31.
s
503. 55
391. 37
5, 300,
1923.
Table 11. RECAPITULATION
APPROPRIATIONS
OF EXPENDITURES MADE FROM THE ANNUAL AND INDEFINITE FOR "INCREASE OF COMPENSATION" DURING THE FISCAL YEAR 1933 [On basis of checks issued] [Repayments to appropriations in excess of exuenditures
are printed in itafics]
indefinite for fiscal years— Certified claims
Annual for 1923 1922
IViCREASE OF COMPEiVS
Offiee of
Superintendent,
ment Buildings Department of Agriculture
Treasury Department War Department Military Establishment
Total increase of compensation
Total during the fiscal year 1933
A. TION
State, War, and Navy Depart-
Naval Estab]ishmcnt
1921
1918
1919
1920
88.' 67 811/. 00
881/. Oo
09
rr. 8o
6'6.
80. 59
71. 80
81,.
6r
881/.
51. 50
81/.
00,
gz 67
kr. oo
]S, )it 84
85. 81/ 19, 618. 74
19, 265. 01
00
8. 16
18. 67
87. 00,
60. 67
1/.
I
50
18. 88
0
98. 6/ 7. 38 11/. 13 48(}. 00
38 313. 75 480. 00 18 817 61 $&.
fo
r/lj
/
—
Table 12. CIVIL-SERVICE RETIREMENT AND DISABILITY FUND [Acts May 22, 1920 (41 Stat. 614), July 3, 1926 (44 Stat. 910), and Mar. 7, 1928 (45 Stat. 227)]
Fiscal years 1921-24
Unexpended vear
1925
1926
1927
Total
1933
1932
1931
1930
1929
1928
balance (warrant) at beginning of $85, 423. 55
Credits: Appropriation from general fund of the Treasury On account of deductions from basic compensation and service credit payments of employees subject to the Civil-Service Retirement 4.ct (2Q percent from Aug. 1, 1920, to June 30, 1926, and 3Vs percent thereafter) $55, 950, 961. 35 Interest on investments 2, 986, 199. 13 Profits on investments 129, 603. 85
Total (for details of credits, see table13) Charges: On account of annuities On account of refunds of employees' contributions On account of interest on refunds On account of direct settlements of General Accounting Office, including differences between disbursing officers' balances as at beginning and close of year
On account of investments at cost On account of accrued interest on investments (repayable in subsequent pear) On account of repayment of accrued interest on investments of previous years Unexpended balance (warrant) at end of year
.
$38, 844. 59
$570, 065. 73
&
20, 500, 000. 00
&
21, 000, 000. 00
60, 086, 034. 92
61, 509, 489. 90
443, 441. 062. 86
13, 107, 731. 55
19, 859, 891. 09
23, 553, 816. 82
30, 048, 405. 96
149, 607, 121. 13
3, 645, 744. 76 421, 678. 78
4, 496, 031. 42 553, 075. 94
3, 650, 127. 17 510, 244. 52
3, 381, 825. 71
4, 034, 789. 70 754, 496. 39
39, 771, 631. 07 4, 186, 068. 09
78, 107. 96
186, 536. 35
427, 889. 47
15, 994, 375. 46 33, 000, 000. 00
18, 343, 375. 26 40, 700, 000. 00
24, 448, 152. 25 33, 800, 000, 00
27, 738, 529. 57
29, 541, 700. 82
49, 155, 092. 53
59, 090, 340. 67
6, 766, 601. 17
9, 598, 285. 73
10, 990, 454. 20
12, 005, 059. 88
2, 542, 380. 32 171, 071. 86
3, 181, 548. 44 262, 315. 88
3, 532, 553. 07 329, 869. 02
3, 422, 717. 21 348, 445. 44
71, 046. 32
64, 534. 51
114, 895. 58
13, 575, B03. 40 14, 124, 926. 97
21, 660, 808. 75
17, 437, 728. 28
6, 239, 146. 45
7, 883, 918. 27 292, 142. 93
$103, 450, 000. 00
58, 323, 477. 56
29, 944, 191.69 7, 332, 320. 46
20, 114, 291. 24
21, 000, 000. 00
290, 760, 432. 58 48, 815, 531. 34 415, 098. 94
9, 381, 514. 95
59, 06B, 764. 33
&
9, 752, 298. 53
r
2, 696, 539. 87
21, 000, 000. 00
' 30, 493, 792. 21
28, 122, 943. 18 ' 964, 539. 63
24, 355, 882. 00
&
30, 421, 896. 76 8, 588, 812. 85
26, 454, 611.68 3, 048, 244. 55
17, 969, 178. 50 2, 204, 513. 36
$263, 399. 16
$75, 325. 31
$46, 965. 41
$160, 717. 07
$117, 609. 72
' 19, 950, 000. 00
17, 998, 866. 56 1, 860, 548. 01 169, 453. 12
29, 048, 108. 65
r
116, 041. 97
9
C)
I, 548. 93
4
25, 667, 333. 41
8, 881, 552. 31
33, 804, 222. 32
9, 697, 449. 76
10, 275, 000. 00 10, 872, 854. 96
13, 432. 68
57, 957. 33
845. 39
'
137, 525. 75
14, 624, 091. 10 14, 800, 000. 00
&
542, 727. 33
s
55 734 10
27, 422, 635. 76 32, 400, 000. 00
r
625 272 85
34, 212, 419. 20 26, 500, 000. 00
r
120, 282. 14
p t(j
193, 444, 538. 15 249, 199, 454. 01
g t3
3, 647. 63 85, 423. 55
4
N, 066, 764. 33
Total
$1, 487, 116. 89
~
4 9, 785. 05 1, 487, 116. 89
20, 114, 291. 24
57, 957. 33 570, 065. 73
r 845. 39 38, 844. 59
117, 609. 72
180, 717. 07
46, 966. 41
75, 325. 31
263, 399. 16
797, 070. 70
797, 070. 70
21, 660, 808. 75
27, 738, 529. 57
29, 541, 700. 82
49, 155, 092, 53
59 090 340 67
58 323 477 56
60, 086, 034. 92
61, 609, 489. 90
448, 441, 062. 86
r
Face amount of securities held at close of each pear specified F iscal 192S
Fourth Liberty Second Liberty Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes
Total
loan bonds (4Y& percent) loan bonds (4)i percent). (4s/4 percent), A-1926 (4 percent), 1931 (4 percent), 1932 (4 percent), 1933 (4 percent), 1934 (4 percent), 1935 (4 percent), 1936 (4 percent), 1937 (4 percent), 1938
$20, 188, 350. 00 22, 500, 000. 00 s 670, 000, 00
1926
$23, 624, 050. 00 30, 500, 000. 00
48, 85S, SSO. OO
64, 024, 060. 00
1929
1927
1930
$22, 695, 050. 00
$22, 695, 050. 00
$22, W5, 050. 00
$22, 695, 050. 00
31, 200, 000. 00
Sli 200, 000. 00 14, 400, 000. 00 14, 800, 000. 00
31, 200, 000. 00
31, 200, 000. 00 14, 400, 000. 00 47, 800, 00(t 00 35 800, 000. 00 4, 900, 600. 00
14, 400, 000. 00
4
years
BSl 296, Pof) 00
83, 095, 050. 00
14, 400, 000, 00 47, 800, 000. 00
11B,095, 050. 00
166, 79@BN. Oo
1931
$22, 695, 050. 00
14, 400, 000. 00 47, 800, 000. 00 35, 800, 000. 00 32, 400, 000. 00 37, NO, 000. 00
190, Ns, 060. 00
1932
$22, 695, 050. 00
47, BOO, 00O. 00 35, 860, 000. 00 32, 400, 060. 00 64, 200, 000. 00 20, 100, 000. 00
222, 995, 050. 00
1933
$22, 695, 050. 00
35, 800, 000. 00 32, 400, 000. 00 64, 200, 000. 00 44, 000, 000. 00 50, 400, 000. 00 249, 496, ON. 00
oo
Prir&cipal cost of securilies held at close of each year specified Fiscal years 1925
Fourth Liberty Second Liberty Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes Treasury notes
TotaL &
&
loan bonds (4Y& percent) loan bonds (4Vs percent) (4&/4 percent), A-1926 (4 percent), 1931 (4 percent), 1932 (4 percent), 1933. (4 percent), 1934 (4 percent), 1935 (4 percent), 1936 (4 percent), 1937 (4 percent), 1938
$19, 800, 436. 47 22, 536, 870. 50 r 594, 365. 11
4
42, 931, 672. 08
1926
$23, 217, 656. 54 30, 656, 870. 50
53, 874, 527. 04
1927
1928
1929
1930
$22, 399, 454. 01
$22, 399, 454. 01
$22 399 454 01
$22 399 454 01
31, 200, 000. 00 14, 400, 000. 00
31, 200, 000. 00 14, 400, 000. 00 14, 800, 000. 00
31, 200, 000. 00
31, 200, 000. 00 14, 400, 000. 00 47, 800, 000. 00 35, 800, 000. 00 4, 900, 000. 00
82, 799, 454. 01
115, 799, 454. 01
67, 999, 454. 01
14, 400, 000 00 47, 800, 000. 00
166, 499, 454. 01
1931
$22 399, 454 01
14, 400, 000. 00 47, 800, 000. 00 35, 800, 000. 00 32, 400, 000. 00 37, MO, 000. 00
190, 299, 454. 01
1932
$22 399 454 01
47, 800, 000. 00 35, 800, 000. 00 32, 400, 000. 00 64, 200, 000. 00 20, 100, 000. 00
222, 699, 454. 01
1933
$22 399 454 01
35, 800, 000. 00 32, 400, 000. 00 64, 200, 000. 00 44, 000, 000. 00 50, 400, 000. 00 249, 199, 454. 01
Includes $150,000 for District of Columbia liability. Exclusive of $3, 482, 257.53 interest due June 30, 1929, not credited until July 1, 1929, on account of June 30 falling on Sunday.
' Includes $3, 482, 257.53 interest due June 30, 1929, not credited until July 1, 1929, on account of June 30 falling on Sunday.
Credits, deduct. This amount includes $1,407, 868.33, representing $1,400, 700 principal cost, snd $7, 168,33 accrued interest, on $1,380,000 face amount of second Liberty loan 4&3 percent bonds purchased on June 29, 1925, but not cleared through the records in time for inclusion in the investment figures for the fiscal year 1925. See notes 6 and 7. & Exclusive of $1,380,000 face amount (second Liberty loan bonds, 4)4 percent) purchased June 29, 1925, but not cleared through records in time for inclusion in investment figure for 1926. & Exclusive of $1,400, 700 principal cost (second Liberty loan bonds, 4V& percent) purchased June 29, 1925, but not cleared through records in time for inclusion in investment figure for 1925. Exclusive of $1,430,808.84 transferred to Canal Zone retirement snd disability fund. & Exclusive of $3, 812.90 repay adjustments during the year. &
&
&
—
Table 13. DETAILS OF CREDITS TO CIVIL SERVICE RETIREMENT AND DISABILITY FUND BY ORGANIZATION AUG. 1) 1920) TO JUNE 30, 1933
UNITS,
[Acts May 22, 1920 (41 Stat. 614), July 3, 1926 (44 Stat. 910), and Mar. 7, 1928 (45 Stat. 227)]
Fiscal years
Total 1921-24
I
1925
1926
1927 4
1928
1929
1930
1931
1932
1933
CREDITS
Appropriation Appropriation Columbia
from general fund of the Treasury from revenues of the District
$19, 800, 000. 00 $20, 350, 000. 00 $20, 850, 000. 00 $20, 850, 000. 00 $20, 850, 000. 00 $102, 700, 000. 00
of 150, 000. 00
150, 000. 00
150, 000. 00
150, 000. 00
150, 000. 00
750, 000. 00
17, 742. 33
19, 112. 95
20, 037. 26
18, 904. 87
23, 736. 79
168, 165. 18 11, 713, 50 421, 753. 10 3, 101, 412. 32 640. 66 47, 478. 46
On account of deductions from basic compensation of employees subject to the Civil Service Retirement Act (29 percent from Aug. 1, 1920, to June 30, 1926, and 3)44 percent thereafter) under:
Legislative: Architect of the Capitol Botanic Garden Library of Congress Government Printing Office Legislative, miscellaneous Executive Office Independent offices: Alien Property Custodian Arlington Memorial Bridge Commission American Battle Monuments Commission Board of Mediation ' Board of Tax Appeals Bureau of Efficiency Chicago World's Fair Centennial Commission Civil Service Commission Commission of 1&'ine Arts Council of National Defense Committee on Public Information Federal Home Loan Bank Board Employees' Compensation Commission Federal Board for Vocational Education Federal Farm Board Farm Credit Administration Federal Fuel Distribution Federal Oil Conservation Board Federal Power Commission Federal Radio Commission Federal Reserve Board Federal Trade Commission General Accounting Office Social Hygiene Board Interdepartmental Interstate Commerce Commission National Advisory Committee for Aeronautios. National Capital Park and Planning Commission National Sesquicentennial Exhibition Commission Personnel Classiffcation Board Railroad Labor Board Reconstruction Finance Corporation Rock Creek and Potomac Parkway mission
' $7, 059. 23 4, 184. 34 52, 938. 76 507, 591. 38 143. 53 9, 535. 53
15, 286. 43 210. 0 2
$13, 228. 50 1, 217. 00 21, 098. 20 162, 312. 00
$13, 524. 50 1& 700. 00 22, 316. 95 181, 843. 00
$17, 570. 42 2, 295. 34 29, 561. 87 261, 968. 98
$17, 248. 33 2, 316. 82 35, 794. 37 279, 888. 43
3, 975. 46
2, 931. 17
4, 265. 76
3, 421. 95
500. 00
2, 168. 64
2, 566, 00
3, 795. 44
1, 055. 13 315. 45 1, 724. 10 6, 558. 75 4, 682. 87
911.67
173. 55
2&
154. 85
169. 18 4, 349. 75 3, 344. 38
11, 585. 42
3, 150. 00
46, 008. 12 342. 17
18, 965. 74 85. 50
25, 384. 11
3, 090. 00 3, 967. 19
3, 031. 50
82. 50
28, 255. 35 111.24
(')
(')
(')
(4)
46, 186. 01 325, 350. 67 291. 08 3, 630. 39
49, 049. 09 289, 756. 92
3, 602. 70 645. 47
3, 019. 53 545. 94 619. 64 2, 184. 14 9, 757. 04 6, 826. 43
3, 774. 71
50, 927. 43 340, 865. 01 32. 50 3, 766. 88
54, 214. 67 398, 847. 33
59, 665. 75 352, 988. 60
180. 36
6, 996. 25
2, 537. 37
4, 534. 00 631. 04
4, 639. 58
458. 50 584. 03 1, 949. 38 10, 382. 79 5, 206. 79
329. 83
530. 95
2, 161. 93 9, 082. 29 6, 272. 14
2, 286. 94 9, 863. 11 6, 550. 40
241. 88 133. 33
34, 172. 20 148. 66
36&
942. 11 149. 45
42 93'7 72
9, 275. 37 6, 078. 75
14, 503. 86 6, 937. 79
13, 751. 23 8, 271. 93 8, 319. 66
14, 815. 54 9& 464. 66
29&
(4)
201. 30
5&
363. 78 1, 927. 05 11, 170. 68 5, 048. 17
961. 43 451. 58 1, 636. 32 9& 535. 84 5, 015. 32
47, 097. 58 223. 27
293. 28 44, 957. 51 198. 25
297. 92 128. 33 10, 684. 96 104, 260. 73
5, 822. 34
3, 708. 95 5, 965. 85
16, 531. 06
599. 72 12, 290. 82 22, 6'75. 32 15&
507. 73 13, 959. 32 9, 652. 52 12, 361. 55 2, 607. 38
5. 62 157. 80
489. 58
162. 50
224. 58
261. 10 426. 24
2, 963. 60 3, 505. 58
3, 893. 92 4, 656. 87
74. 26 5, 272. 63 8, 651. 25 667. 42 21, 121.54 146, 751. 17
19& 274. 95 144, 882. 75
604. 44
255, 816. 94
213, 978. 52
149. 24 23, 123. 64 44, 702. 67 1, 538. 79 172, 288. 62 1, 290, 631. 75 9, 584. 25 1, 991& 950, 75
20, 042. 44
23, 357. 09
22, 756. 54
145, 003. 51
1, 552. 03
895. 28
5, 193. 26
4, 835. 57
1, 237. 08
147. 03 11, 388. 89
2, 463. 98
12, 707. 32
8, 732. 54 15, 171. 28
4, 477. 60
3, 650. 00 043. 73
9, 000. 00 80, 408. 40
14, 773. 78 111, 799. 94
14, 487. 03 132, 329, 70
16, 051. 15 121, 592. 87
17, 527. 01 146, 685. 99
6, 964. 49 194. 08 19, 031. 36 137, 985. 45
9& 584. 25 342, 019. 89
96 869. 38
113 649 94
152 901. 84
179, 908. 38
197, 074. 96
207, 126. 46
232&
10, 878. 64
6, 384. 21
7, 218. 08
10, 301. 01
12, 346. 27
14 581. 73
17, 137. 50
37, 371. 80
85&
69. 36 5, 220. 33 20& 498. 24 677. 29
2, 447. 31
147. 03 122. 98
4, 687. 04
293. 28 353, 942. 32 1, 675. 67 297. 92 128. 33 507. 73 102, 420. 45 172, 712. 58 59, 887. 59 2, 607. 38
211. 42
211. 42
) 183, 151.75
44, 649. 69 5, 419. 20 3, 519. 29 13& 869. 86 70, 700. 25 57, 681. 92
1, 435. 00
2, 610. 50
Com70. 75
83. 37
45. 48
389. 52
Smithsonian Institution National Museum Oifice of Public Buildings snd Public Parks of the National Capital State, War, and Navy Department Build-
7, 569. ?5 32, 528. 98
2, 993. 52 11, 969. 75
j
39, 975. 50
ings
74, 860. 24
U. S. Coal Commission
22, 585. 19
25, 644. 54
30, 752. 04
31, 690. 21
33, 175. 96
35, 334. 85
28, 757. 98
68, 670. 43
69, 386. 15
79, 393. 80
84, 310. 61
95, 445. 97
99, ssgs 25
88, 915. 26
11, 637. 41 1, 495, ?17. 92 1, 311, 195. 07 594, 311. 17
337. 48 7, 544. 86 49. 00 13, 553. 43 1, 812, 830. 98 1& 417, 355. 20 696, 941. 70
285. 72 6, 614. 06 134. 85 13, 996. 37 2, 065, 043. 86 1, 379, 229. 77 644, 031. 13
Department of Agriculture Department of Commerce Department of the Interior: Excluding Indian Service Indian Service Department of Justice Department of Labor Navy Department Post Office Department Department of State Treasury Department War Department. Panama Canal District of Columbia
587, 5?1.85
686, 226. 85
685, 869. 52
5, 743, 636. 47
126. 00 006. 29
4, 371. 62
282. 18 5, 126. 91
310. 85 6, 281. 02
7, 752. 76 988, 672. 34 989, 307. 78 384, 880. 50
8, 441. 36 1, 105, 134. 49 1, 046, 393. 88 421, 496. 64
10, 242. 98 1, 152, 292. 94 1, 240, 873. 95 455, 785. 04
03
1, 229, 574. 47 1, 237, 177. 55 529, 018. 50
405, 967. 36
461, 252. 45
520, 274. 76
561, 890. 88
14, 598. 12
2, 909. 50
3, 206. 48
87. 50 3, 727. 10
8, 544. 72 2, 177, 791. 31 1, 974, 920. 29 522, 514. 97
3, 999. 81 1, 039, 106. 73 602, 894. 03 213, 733. 20
7, 515. 94 801, 597. 69 779, 837. 93 247, 789. 00
(s 936, 755. 17
326, 572. 62 72, 364. 27 28, 275. 00 133, 246. 40 1, 810, 452. 43 10, 268, 477. 47 28, 250. 40 1, 801, 765. 03 961, 586. 39 33, 841. 86 95, 450. 57
205, 231. 81
212, 378. 52 93, 167. 43 327, 129 00 6, 860, 582, 14 31, 495, 381, 95 91, 515. 60 » 5, 512, 760. 90 3, 739, 606. 63 130, 811, 57 234, 950. 52
81, 280. 41 44, 685. 84 131, 703. 14 1, 783, 606. 36 10, 472, 989. 59 29, 598. 91 1, 637, 234. 22 964, 405. 94 37, 653. 73 108, 551. 98
75, 489. 11 193, 135. 00 2, 411, 290. 30 13, 806, 510. 68 34, 741. 86 2, 154, 415. 27 1, 653, 387. 22 195, 284. 01 135 266 34
55, 807, 469. 85
17, 905, 070. 98
17, 871, 530. 80
Z4
2, 986, 199. 13 129, 603. 85 143, 491. 50
1, 860, 548. 01 169, 453. 12 93, 795. 58
2, 204, 513.36
2, 696, 539. 87
97, 647. 70
116, 041. 97 168, 957. 01
259, 294, 48
2, 123, 796. 71
2, 302, 161.06
2 981 538 85
59, 066, 764. 33
20, 028, 867. 69
20, 173, 691. 86
27, 168, 463. 84
((
I.
186 924 99
4&
129. 19
10& 627.
277, 377. 83
115, 345. 89 450. 80 1, 558. 92 58, 385. 96 183. 85 96, 311.81 13, 867, 762. 73 11, 979, 185. 45 4, 710, 501. 85
40, 485. 65
450. 80
U. S. Geographic Board U. S. Shipping Board U. S. Supreme Court Building Commission U. S. Tariff Commission U. S. Veterans' Administration
On account June 30, covering inclusive,
2, 898. 18 11, 476. 88
92, 406. 53 229, 724. 56 2, 760, 121. 11 15, 774, 533. 37 45, 177. 04 2, 640, 327. 52 1, 715, 808. 62 257, 996, 21 177, 294. 65
107, 771. 23 290, 235. 34 2, 759, 610. 50 16, 107, 824. 63 53, 745. 90 2, 764, 060. 57 1, 826, 349. 21 274& 644. 38 191, 947. 10
458, 144. 56 334, 454. 58 362, 588. 54 304, 724. 77 2, 832, 297. 38 2& 665, 367. 17 16, 026, 529. 65 16, 180, 811.70 159, 266. 53 67, 182. 21 3, 005, 690. 68 2, 741, 615. 08 2, 286, 846. 88 1, 945, 635. 34 283, 667. 37 (' 1, 38$, ssf . 89 244, 564. 43 350, 354. 19
448, 393. 34 320, 115. 49 2, 729, 419. 23 15, 610, 737. 73 119 552. 40 2, 826, 044, 59 2, 178, 833. 96
((r) 360, 162. 47
1, 760& 237. 31 2, 513, 004. 64 29, 008, 481. 78 161, 080, 114.02 668, 2G1. 87 27, 523, 831. 62 18, 811& 854. 97 70, 191.46 2, 052, 679. 74
015, 924. 73
28, 915, 041. 20
29, 698, 131. 19
30, 090, 441. 94
30, 497, 605. 11
289, 319, 277. 83
3, 048, 244. 55
964, 539. 63
9, 381, 514. 95
7, 332, 320. 46
8, 588, 812. 85
9, 752, 298. 53.
123, 474. 64
10?, 018. 45
133, 067. 45
246, 060. 50
331, 454. 82
(!4)
48, 815, 531. 34 415, 098. !(4 1, 444, 967. 65
19
1, 071, 558. 08
9, 514, 582. 40
7, 578, 380. 96
8, 920, 267. 67
9, 752, 298. 53
50, 675, 5&97. 93
856. 23
49, 037, 482. 81
58, 929, 623. 60
58, 276, 512. 15
60, 010, 709. 61
61, 249, 903. 64
443, 444, 875. 76
77, 449. 69 220, 402. 40 2, 395, 735. 16 15, 336, 317. 25 39, 231. 02 2, 439, 917. 76 1, 539, 394. 78 240, 524. 22 154, 327. 41 26&
331 137 04
28&
of miscellaneous receipts, Aug. 1, 1920, to 1926 and the fiscal year 1933 and repay warrants for fiscal years 1927 to 1932 from sources as follows:
Interest on investments Profits on investments Deferred deductions, service credit pay(nents, e!c
3&
3&
171& 719
Total credits from appropriations from general fund of Treasury, revenues of the District of Columbia, ments
deductions,
receipts, and repay-
' For deductions for fiscal years 1921 to 1924, inclusive, see "Combined Statement of Receipts and Expenditures, Balances, etc. , of the United States for the fiscal year 1930", p. 440. ( This covers deductions only for the first 11 months of the fiscal year 1927, the deductions for the last month of the fiscal year (June) not reaching the Tressurv until July 1927. s $3, 042. 86 for Superintendent of Capitol Buildiugs and Grounds, included under Interior Department for 1921, and .'13, 345.50 included under Interior Department for 1922. ' Deductions included under Library of Congress. & Formerly Railroad Labor Board. ' $?2, 252. 56 for accounting offices included under Treasury Department for 1921, Stated under Board of Mediation.
Z9, 502,
( Deductions included under District of Columbia. of War Risk Insurance, included under Treasury Department
500.45 for Bureau "'$181, See note 3. »
for 1921.
See notes 6 and 9. » Deductions amounting to $46, 576, 95 u ere credited to this fund during the fiscal year 1932 snd $1,430,808.84 charged against the Panama Canal accumulated deductions or credits by transfer to the Canal Zone Retirement and Disability Fund, p. 429, leaving a net charge of $1,384, 231.89 in this fund. u Deductions credited to "Canal Zone Retirement and Disability Fund". (( Deferred deductions, etc. , included in above statement.
—
Table 14. FOREIGN-SERVICE RETIREMENT AND DISABILITY FUND [Acts May 24, 1924 (43 Stat. 144), July 3, 1926 (44 Stat. 902), and Feb. 23, 1931 (46 Stat. 1211)] Fiscal years 1925
Unexpended
balance (warrant) at beginning of year
1926
$3, 541. 21
1927
1928
1929
1980
1931
1932
1933
Total
$725. 63
$431. 38
$8. D6
$457. 86
$1, 041. 09
213, 000. 00
216, 000. 00
216, 000. 00
215, 000. 00
416, 000. 00
$1, 276, 000. 00
154, 322. 08 15, 187. 65
168, 841. 38 t 6, 587. 88
167, 293. 86 58, 125. 41
r
173, 931. 32 53, 448. 63
173, 904. 54 64, 678. 69
167, 740. 49 84, 752. 99
1, 454, 802. 02
r
$757. 48
$304. 77
Credits: Appropriations from general fund of the Treasury On account of 5 percent deductions from basic compensation sub]ect to the Foreign Service Act Interest and profits on investments .
Total Charges: On account of refunds, annuities, etc On account of investments at cost Unexpended balance (warrant) at dose of year
Total &
r
of officers $143, 902. 29 2, 207. 83
153, 153. 39 7, 589. 86
151, 712. 67 10.007. 54
146, 110. 12
164, 284. 46
162, 024. 98
170, 267. 21
389, 154. 89
441, 850. 65
443, 388. 01
454, 041. 09
669, 534. 57
3, 033, 388. 50
60, MD. 00 82, 568. 91 3, 541. 21
63, 946. 25 100, 033. 44 304. 77
74, 000. 00 87, 267. 50 757. 48
97, 841. 58 71, 700. 00 725. 63
90, 923. 51 297, 800. 00 481. 38
129, 142. 59 312, 700. 00 8. 06
106, 000. 00 336, 930. 15 457. 86
136, 000. 00 317, 000. 00 1, 041. 09
156, 000. 00 513, 000. 00 534. 57
2, 119, 000. 00 534. 57
146, 110. 12
164, 284. 46
162, 024. 98
170, 267, 21
389, 154. 89
441, 850. 65
443, 388. 01
454, 041. 09
669, 534. 67
3, 033, 388. 60
&
302, 586. 48
913, 853. 93
r Exclusive of $18, 223. 45 interest due June 30, 1929, not credited until July 1, 1929, on account of June 30 falling on Sunday. t Includes $18, 223.45 referred to in note '3. Exclusive of $248. 70 loss on securities sold.
Includes $324. 17 covered by repay covering warrants. Inc)udes $5, 639.02 covered by repay covering warrants.
Face amount of securities held at close of each year specified Fiscal years Loan title 1925
Fourth Liberty Loan bonds (4)4 percent) Certificates of indebtedness (2' percent) Certificates of indebtedness (ssg percent) Second Liberty Loan bonds (4]4 percent) Treasury notes (35 percent) Treasury notes (4 percent), 1933 Treasury notes (4 percent), 1934 Treasury notes (4 percent), 1935 Treasury notes (4 percent), 1936 Treasury notes (4 percent), 1937 Treasury notes (4 percent), 1938
Total
$79, 150. 00 1, 500. DD
]926 $79, 150. 00
1927
1928
1929
$79, 150. 00
$79, 150. 00
$79, 150. 00
188, 800. 00
108, 500. 00 152, 000. 00
56, 30D. 00 502, 000. 00
1930
1931
1932
$278, 000. 00 454, 000. 00 509, 000. 00 48, 000. 00
$142, 000, 00 454, 000. 00 509, 000. 00 440, 000. 00 61, 000. 00
1, 289& 000. 00
1, 606, 000. 00
1933
$79, 150. 00
26, 000. 00 74, 600. 00
80. 650. 00
179, 750. 00
267, 950. 00
339, 650. 00
637, 450. 00
385, 000. 00 454, 000. 00 32, 000. 00
050, 150. 00
$454, 000. 00
50, 000. 00 440, 000. 00 654, 000. 00 62, 000. 00 2, 119, 000. 00
Principal cost of securities held at close of each year specified Flees) years
Loan title 1925
Fourth Liberty Loan bonds (4V4 percent) Certidcstes of indebtedness (284 percent) Certificates of indebtedness (384 percent) Second Liberty Loan bonds (4 )4 percent) Treasury notes (3I4 percent) Treasury notes (4 percent), 1933 Treasury notes (4 percent), 1934 Treasury notes (4 percent), 1935 Treasury notes (4 percent), 1936 Tresaury notes (4 percent), 1937 Treasury notes (4 percent), 1938
$81, 069. 86 1, 499. 06
1926
1927
$81, 069. 85
1931
1932
385, 000. 00 454, 000. 00 32, 000. 00
$278, 000. 00 454, 000. 00 509, 000. 00 48, 000. 00
$142, 000. 00 454, 000. 00 509, 000. 00 440, 000. 00 61, 000. 00
952, 069. 85
1, 289, 000. 00
1, 606, 000. 00
1930
1929
192S
$81, 069. 85
$81, 069. 85
$81, 069. 85
188, 800. 00
108, 500. 00 152, 000. 00
56, 300. 00 502, 000. 00
1933
$81, 069. 85
26, 000. 00 75, 532. 50
Total
82, 568. 91
182, 602. 35
269, 869. 85
341, 569. 85
639, 369. 85
$454, 000. 00 509, 000. bo 440, 000. 00 654, 000. 00 62, 000. 00
2, 119, 000. 00
—
Table 15. CANAL ZONE RETIREMENT AND DISABILITY FUND [Act Msr. 2, 1931 (46 Btat. 1477)j
Fiscal years 1932
Unexpended balance (warrant) at beginning of year Credits: Transferred from Civil Bervice retirement fund Payment by Panama Railroad Co On account of deductions from basic compensation ployees subject to the Canal Zone retirement act Interest earned on investments
1933
Fiscal years
Total
$14, 325. 31
$1, 430, 808. 84 355, 984. 00
$1, 430, 808. 84 355, 984. 00
1932
Charges: On account of annuities and refunds On account of investments at cost Unexpended balance (warrant) ht end of year
1933
$195, 801. 94 $348, 952. 54 193, 000. 00 33, 303. 65
2, 064, 000. 00 14, 325. 31
Total
$544, 754. 48 2, 257, 000. 00
33, 303. 65
of em-
Total
420, 948. 52 66, 385. 89
475, 945. 57 84, 985. 31
896, 894. 09
2, 274, 127. 25
575, 256. 19
2, 835, 058. 13
151, 371. 20
Total
2, 274, 127. 25
Face amount (cost) of securities held at close of year Fiscal years 1932
Treasury notes (4 percent), 1936 Treasury notes (4 percent), 193L Treasury notes (4 percent), 193S
Total
1933
$1, 998, 000. 00 66, 000. 00
$1, 994, 000. 00 179, 000. 00 84, 000. 00
2, 064, 000. 00
2, 257, 000. 00
575 256 19
2, 835, 058. 13
—
Table I6. ADJUSTED-SERVICE CERTIFICATE FUND, VETERANS' ADMINISTRATION [Act May 19, 1924 (43 Stat. 128)]
Fiscal years 1925
Appropriations
Interest
1927
1929
1928
1930
$100, 000, 000. 00 $120, 000, 000. 00 $116, 000, 000. 00 $112, 000, 000. 00 $112, 000, 000. 00 $112, 000, 000. 00 57, 643. 84 3, 8]9, 331.50 7, 688, 197. 22 12, 316, 951. 63 16, 072, 865. 40 20, 500, 175. 3]
r
Certificate payments Investments (net)
Unexpended deduct Unexpended
1926
balance (wsrrsnt)
at beginning
100, 057, 643. 84
123, 819, 331. 50
123, 688, 197. 22
124, 316, 951. 63
128, 072, 865. 40
132, 500, 175. 31
4, 657, 643. 84 95, 400, 000. 00
15, 319, 331. 50 108. 500, 000. 00
14, 688, 197. 22 109, 000, 000. 00
35, 415, 714. 73 88, 900, 000. 00
16, 874, 102. 30
111,200, 000. 00
16, 300, 175. 31 116, 200, 000. 00
100, 057, 643. 84
123, 819, 331. 50
123, 688, 197. 22
] 24, 315, 714. 73
128, 074, 102. 30
132, 500, 175, 31
1931
~
1932
1933
$224, 000, 000. 00 $200. 000, 000. 00 $100, 000, 000. 00 $1, 196, 000, 000. 00 34, 326, 542. 45 3, 018, 641. 12 5, 577, 165. 31 103, 377, 513. 78 203, 018, 641. 12
105, 577, 165. 31
1, 299, 377, 513. 78
4
219, 869, 078. 24 16, 800, 000. 00
r
118, 474, 587. 79 13, 000, 000. 00
1, 207, 247, 273. 61 92, 000, 000. 00
258, 248, 442. 68
203, 069, 078. 24
105, 474, 587. 79
1, 299, 247, 273. 61
78, 099. 77
78, 099. 77 27, 662. 65
27, 662. 65 130, 240. 17
130, 240. 17
258, 326, 542. 45
203, 018, 641. 12
105, 577, 165. 31
1, 299, 877, 513. 78
258, 326, 542. 45 ~ 4
765, 648, 442. 68 507, 400, 000. 00
of year, 1, 236. 90
balance (warrant) at end of year
1, 236. 90 100, 057, 643. 84
123, 819, 331. 50
123 688 197 22
]24) 316 951 63
1
128, 072, 865. 40
132, 500, 175. 31
Total
Face amount of securities held at close of each year specified Fiscal years Loan title 1925
Certificates of indebtedness (adjusted-service series), A-1927 Certificates of indebtedness (adjusted-service series), A-1928 Treasury notes (adjusted-service series), A-1930 Treasury notes (adjusted-service series), A-1931 Treasury notes (adjusted-service series), B-]93] Treasury notes (adjusted-service series), A-1932 Treasury noi. es (adjusted-service series), A-1933 Treasury notes (adjusted-service sensa), A-1934 Treasury notes (adjusted-service series), A-1935 Special 4 percent certificstes of indebtedness (adjusted-service
1926
$45, 400, 000
$30, 400, 000
50, 000, 000
50, 000, 000 53, 500, 000 70, 000, 000
203, 900, 000
Includes $112,000, 000 appropriation for fiscal year 1932 made immediately available. Credited by repay covering warrants. s Exclusive of $18,500, 000 advanced to disbursing officers for which securities will not be redeemed until
]
1928
$16, 000, 000 50, 000, 000 53, 500, 000 70, 000, 000 123, 400, 000
$31, 500, 000 53, 500, 000 70, 000, 000
312, 900, 000
401, 800, 000
123, 400, 000 123, 400, 000
1929
$15, 000, 000 53, 500, 000 70, 000, 000 123, 400, 000 123, 400, 000 127, 700, 000
1930
613, 000, 000
1931
1932
1933
$46, 900, 000 70, 000, 000 ] 23, 400, 000 123, 400. 000 127, 700, 000 137 800 000
series)
95, 400, 000
4
1927
629, 200, 000
$121, 800, 000
$105 000 000
$92, 000, 000
121, 800, 000
105, 000, 000
92, 000, 000
checks are presented to the Treasurer for payment. See Annual Report of the Secretary of the Treasury for 1931, p. 53, for outline of special procedure for the handling of this fund. ' Redemption in excess of investments.
—
Table 17. TEACHERS' RETIREMENT FUND, DISTRICT OF COLUMBIA [Acts Jan. 15, 1920 (41 Stat. 387), June 5, 1920 (41 Stat. 852), and June 11, 1926 (44 Stat. 727)i
COMBINED APPROPRIATED AND TRUST FUNDS, ON BASIS OF WARRANTS ISSUED Fiscal years 1920
Unexpended
balances beinning of year
Credits: Deductions from salaries Interest earned on investments Appropriations made by Congress
.
1921
1922
1923
1924
1927
1926
1925
1932
1931
1930
1929
1928
1933
Total, Jan 15 19'&0 to Ju((e 30, 1933
$43, 786. 01 $99, 376. 90 $37, 503. 44 $56, 113.07 $33, 876. 64 $52, 792. 89 $35, 323. 03 $35, 438. 86 $17, 254. 87 $38, 938. 98 $51, 652. 43 $68, 470. 78 $50, 632. 33 $58, 366. 78 192, 847. 75 202, 782. 64 209, 247. 98 2'i2, 136. 81 260, 826. 36 263, 919. 72 282, 109. 89 282, 307. 49 282, 326. 17 283 568 39 285 967 98 284, 268. 53 292, 648. 28 &5 403 324 77 1, 853. 53 12, 134. 21 21, 369. 19 30, 410. 99 40, 660. 20 49, 471. 88 59, 391. 26 87, 756. 01 100, 830. 83 127, 150. 02 149, 624. 89 178, 197. 28 199, 089. 04 1, 057, 939. 33 30, 000. 00 50, 000. 00 ( 13, 164. 76 41, 000. 00 l 31, 031. 19 ) 6S, 755. 18 l 60, 807. 86 ' 87, 895. 57 r 332, 130.99 380, 000. 00 400, 000. 00 401, 484. 88 400, 000. 00 400, 000. 00 2, 669, 940. 91
88, 366. 78 288, 487. 29 301, 128. 99 309, 120. 61 339, 692. 06 404, 118. 38 426, 992. 35 464, 719. 75 737, 633. 35 780, 411. 87 849, 657. 39 888, 730. 18 930, 936. 59 942, 369. 65 7, 131, 205. 01
Total Charges: Annuities and refunds Investments, principal cost Accrued interest on investments, repayable in subsequent year Repayment of accrued interest on investments of preceding year Unexpended balance at close of year: Treasurer, United States (investment account) Appropriation ledger (trust fund) Appropriation ledger (appropriated fund)
Total
1, 29B. 41 32, 283. 12 35, 106. 93 64, 137. 27 74, 414. 69 95, 785. 57 94, 632. 45 139, 199. 55 197, 854. 26 219, 915. 57 247, 361. 98 249, 687. 53 278, 705. 02 309, 190. 78 2, 039, 571. 13 43, 033. 71 156, 894. 44 228, 362. 71 189, 051. 27 231, 341. 85 254, 796. 42 295, 741. 13 ) 289, 740. 81 ) 522, 132. 67 ) 524, 015. 93 550, 363. 81 569, 700. 28 602, 698. 00 547, 767. 03 5, 005, 640. 06
183. 48
339. 39
158. 39
217. 27
250. 65
( 183. 48
( 339. 39
( 158. 39
12. 34 42, 761. 79 56, 602. 77
18, 553. 65 3, 343. 71 15, 606. 08
20, 035 74 20, 108. 52 15, 968. 81
19. 88 33, 798. 87 57. 89
250. 65 4
14, 900. 12 28, 885. 89
2, 988. 59
529. 98
809. 15
2, 597. 04
( 2, 988. 59
( 529. 98
320. 67 15, 579. 17 1, 355. 03
595. 99 37, 226. 72 1, 116. 27
374. 86 50, 694. 09 583. 48
960. 77
2, 256. 51
2, 597. 04
217. 27
( 960. 77
( 2, 256. 51
'
28. 99
7. 73
52, 736. 40 27. 50
29, 149. 31 6, 172. 99
68. 42 33, 501. 43 1, 869. 01
&
581. 98
592. 88
' 809. 15 ) 1, 680. 74
( 581. 98
1, 680. 74
49, 990. 94 18, 479. 84
4), 632. 33 84, 917. 17 9, 000. 00
4S3. 77
592. 88
84, 917. ]7 483. 77
88, 366. 78 288, 487. 29 301, 128. 99 309, 120. 61 339, 692. 06 404, 118. 38 426, 992. 35 464, 719. 75 737, 633. 35 780, 411.87 849, 657. 39 888, 730. 18 930, 936. 59 942, 369. 65 7, 131, 205. 01
Face amount of securities held at close of each year specif(ed
5
Fiscal years Loan title 1920
First Liberty Loan bonds (4', I percent) Second I,iberty Loan bonds (4' percent) Third I.iberty Loan bonds (4(/4 percent) Fourth Liberty Loan bonds (4)4 percent) Treasury bonds, 1941—43 (SsB percent) Treasury bonds, 1943-47 (3' percent) Treasury bonds, 1946-5B (BF4 percent) Treasury bonds, 1944-54 (4 percent) Treasury bonds, 1947-52 (4' percent) Federal farm loan Federal farm loan Federal farm loan Federal farm loan Federal farm loan Philippine bonds
Total
1921
1922
1923
1924
$31, 400. 00 $31, 400. 00 $139, 300. 00 $165, 45i0. 00 $165, 450. 00 16, 950. 00 196, 050. 00 324, 450. 00 479, 700. 00 712, 950. 00
10, 000. 00
bonds (4 percent) bonds (4Y» percent) bonds (4' percent) bonds (4$4 percent) bonds (5 percont) (4)4 percent) 48, 350. 00 227, 450. 00 463, 750. 00
( Excess charges (surplus fund warrant), deduct. ) Net, after deducting amounts carried to surplus fund. ) Net, after deducting principal cost of bonds sold.
10, 000. 00
1925
1926
1927
1929
1928
1930
1931
$26, 850. 00 153, 400. 00 165, 450. 00 735, 750. 00
$26, 850. 00 202, 150. 00 165, 450. 00 735, 750. 00
$26, 850. 00
$26, 850. 00
$26, 850. 00
$26, 850. 00
$26, 850, 00
165, 450. 00 735, 750. 00
3, 450. 00 735, 750. 00
735, 750. 00
735, 750. 00
735, 750. 00
10, 000. 00
10, 000. 00
10, 000. 00
47, 740. 00
288, 840. 00
370, 300. 00 358, 340. 00 47, 800. 00
10, 000. 00 10, 000. 00 75, 320. 00 270, 960. 00 664, 740. 00 1, 011, 480. 00 416, 940. 00 417, 440. 00 91, 480. 00 91, 480. 00 1, 000. 00 1, 000. 00 182, 000. 00 182, 000. 00
1032
$26, 850. 00
1933
$26 8&r. 00
815, 750. 00 794, 750 00 rr, 000, 00 142, 000 00 247, 000. 00 48, 000 00 54, 000. 00 87, 000 00 79, 000. 00 79, 000 00 10, 000. 00 11(,I, 200 00 10, 000. 00 81, 200. 00 270, 9(iO. 00 270, 960. 00 270, 960. 00 55, 320 00 1, 609, 480. 00 2, 178, 480. 00 2, 178, 480. 00 1, 358, SSO 00 417, 440. 00 459, 440. 00 45'J. 440. 00 459, l.(O 00 91, 480. 00 91, 480. 00 91, 480. 00 9(, 380 00 1, 000. 00 lriri, 000 00 1, 000. 00 1, 000. 00 18'J, 000 00 182, 000. 00 182, 000. 00 182, 000. 00
655, 150. 00 888, 400. 00 1, 139, 190. 00 1, 429, 040. 00 1, 714, 490. 00 2, 207, 530. 00 2, 746, 960. 00 3, 344, 960. 00 3, 955, 960. 00 4, 553, 160. 00 3, 603, ri20. 00
' Excess ((
of credits, deduct. Exclusive of $1,504, 340 in Government
Reserve Fund.
Principal, cost of securities held at close of each year specified Fiscal years
Loan title 1920
First Liberty Loan bonds (4Vs percent) Second Liberty Loan bonds (4V4 percent) Third Liberty Loan bonds (4R percent) Fourth Liberty Loan bonds (4)4 percent) Treasury bonds, 1941-43 percent) Treasury bonds, 1943-47 (334 percent) Treasury bonds, 1946-56 (3Vs percent) Treasury bonds, 1944-54 (4 percent) Treasury bonds, 1947-52 (4V4 percent) Federal farm loan bonds (4 percent) Federal farm loan bonds (4)4 percent) Federal farm loan bonds (4H percent) Federal farm loan bonds (4' percent) Federal farm loan bonds (5 percent) Philippine bonds (4' percent)
(3'
Total
Nore. — The
1921
1922
1923
1924
1925
10, 000. 00
10, 000, 00
1927
1928
1929
1930
$27, 529. 64 203, 954. 62 157, 611.47 704, 371. 27
$27, 529. 64
$27, 529. 64
$27 529 64
$27 529 64
154, 915. 17 157, 611. 47 704, 371. 27
157, 611.47 704, 371. 27
3, 455. 72. 704, 371. 27 704, 371. 27
704, 371. 27
10, 000. 00
10, 000. 00
10, 000. 00
49, 052. 85
295, 754. 53
373, 951. 62 366, 174. 71 49, 323. 63
$27, 529. 64
$28, 512. 64 $28, 512. 64 $131, 388. 67 $157, 611.47 $] 57, 611.47 14, 521. 07 171, 415. 51 296, 902. 19 449, 730. 66 681, 072. 51
1926
1931
1932
$27 529 64
$27) 529 64
704, 371. 27
785, 080. 65
1933
$27~ 529,
64
763, 896. 90 59, 730. 00 137, 657, 50 254, 201. 25 49, 500. 00 53, 983. 12 87, 437. 81 79, 366. 25 79, 366. 25 10, 000. 00 10, 000. 00 84, 708. 00 118, 988. 00 10, 000. 00 10, 000. 00 54, 660. 95 74, 285. 95 262, 711. 73 262, 711.73 262, 711.73 262, 711.73 671, 739. 36 1, 010, 280. 23 1, 560, 644. 04 2, 090, 112.37 2, 090, 112. 37 1, 313, 830. 89 426, 283. 96 426, 788. 96 426, 788. 96 467, 020. 91 467, 020. 91 467, 020. 91 94, 627. 91 94, 729. 55 94, 729. 55 94, 729. 55 94, 729. 55 94, 729. 55 1, 030. 00 1, 030. 00 1, 030. 00 1, 030. 00 1, 030. 00 156, 835. 77 197, 669. 56 197, 669. 56 197, 669. 56 197, 669. 56 197, 669. 56 197, 669. 56
43I 033. 71 199t 928. 15 428 I 290. 86 617 342. 13 848 683. 98 1 103 480. 40 1 399 221. 53 1 688 962. 34 2 211 095. 01 2I ?35 110. 94 3 285I 474. 75 3 855 I 175. 03 4 457 873. 03 3 549 I 022. 09
foregoing unexpended
balances are exc)usive of funds in hands of disbursing
oflicer of the District of Columbia for payment of annuities snd refunds.
RECEIPTS AND EXPENDITURES& 1933
—
Table 18. STATEMENT OF DISTRICT OF COLUMBIA ACCOUNT [Act of June'29, 1922 (42 Stat. 669)] BALANCE DUE THE DISTRICT OF COLUMBIAN
JUNE 30) 1932
Vfarrant balance, June 30, 1932 (sec. 305 R.S.) Disbursing officers' balances, June 30, 1932 (p. 352) Less United States share (p. 352)
$2, 045, 971. 54 18, 991. 09
$9, 291, 690. 00 2, 026,
Cash balance June 30, 1932 (on basis of checks issued)
980. 45
11, 318, 670. 45
RECEIPTS, FISCAL YEAR 1933
Receipts, fiscal year 1933 (p. 72) Le88 United States share (p. 72)
34, 484, 530. 85 73, 743. 84
Total available during fiscal year 1933
34, 410, 787. 01
45, 729, 457. 46
EXPENDITURES, FISCAL YEAR 1933
Expenditures, fiscal year 1933 (p. 352): W'arrant basis (sec. 305 R.S.) Less United States share (lump sum appropriation $7, 775, 000, under act of June 29, 1932, plus additional charges under divided accounts
$37, 054. 07)
$42, 237, 933. 40
7, 812, 054. 07
Add disbursing officers' balances, June 30, 1932 (as above) Less Uniteri States share
Deduct disbursing officers' balances, June 30, 1933 Less United States share
21
045I 971. 54 18I 991. 09
2, 255, 279. 85
14, 996. 08
34, 425, 879. 33 2, 026, 980. 45
36, 452, 859. 78 2, 240, 283. 77
Total expenditures chargeable against the District of Columbia during 1933 (cash basis checks issued)
—
34, 212, 576. 01
BALANCE DVE THE DISTRICT OF Col VMRIA, JUNE 30, 1933
Warrant balance, June 30, 1933 (sec. 305 R.S.) Disbursing officers' balances, June 30, 1933 (p. 352) Less United States share (p. 352)
Cash balance, June 30, 1933 (on basis of checks issued) ' includes 31 628 08 unexpended Treasury ledger.
balance of appropriation,
' '9,
2, 255, 279. 85 14, 996. 08
276, 597. 68
2, 240, 283. 77
11, 516, 881. 45
"Mosquito control" on Treasurr ledger snd 3316 42 impounded savings carried to surplus fund under that account on
RECEIPTS AND EXPENDITURES, 1933
—
Table 19. STATEMENT OF IMPOUNDED SALARY AND VACANCY SAVINGS ADJUSTED AND REPORTED DURING THE FISCAL YEAR 1933 [Act June 30, 1932 (47 Stat. 403, secs. 109, 110), ss amended by secs. 3 snd 7 of title
(These figures do not represent the entire savings for the fiscal year, inasmuch year have not been adjusted and reported to the Treasury Department. )
II of the
act of Msr. 20, 1933 (43 Stat. 13)l
as many deductions for the last quarter of the fiscal
Covered into the Treasury as miscellaneous receipts: Furlough and compensation deductions and vacancy savings from special deposit accounts, under— Railroad Administration Shipping Board Department of Agriculture Department of Commerce Department of Justice Department of the Interior War Department
Return Return Impounded excluding
of part of compensation of the President of salary from constitutional officers salary savings for all Departments, independent the Postal Service: Amount carried to the surplus fund of the Treasury
offices, boards,
and commissions,
$2, 683. 88 129, 485. 90 118. 77 5. 00 310. 99 308. 26 5, 406. 66
as shown on p. 390
12, 843. 75 2, 816. 66
52 811 525 30 52 965 505 17 10, 684, 570. 35
Reserve for vacancy savings
Total ' Exclusive of $54, 361,403.61 on account of impounded books of the Treasury Department.
$138, 319. 46
—
salary savings snd $9, 645, 206.40, reserve for impounded
' 63, 650, 075. 52
salary vacancy savings, for the Posts[ Service, not carried on the